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Power Producer Transport Airline hub Transport hub Codes HUB, Guobiao abbreviation of Hubei, a province of China HUB, station code for Hunmanby railway station, Hunmanby, North Yorkshire, England hub, ISO 639-3 code for Huambisa language of Peru People Hub (given name), a list of people with the given name or nickname Hub (artist), artist and illustrator of Okko magazine Hub (bassist), American musician Leonard Nelson Hubbard (c. 1959–2021) Hub (wrestler), main ring name of Japanese professional wrestler Yuto Kigawa (born 1978) Other uses Hub (network science)
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North American insurer Hub Power Company, first and largest Pakistani Independent Power Producer Transport Airline hub Transport hub Codes HUB, Guobiao abbreviation of Hubei, a province of China HUB, station code for Hunmanby railway station, Hunmanby, North Yorkshire, England hub, ISO 639-3 code for Huambisa language of Peru People Hub (given name), a list of people with the given name or nickname Hub (artist), artist and illustrator of Okko magazine Hub (bassist), American musician Leonard Nelson Hubbard (c. 1959–2021) Hub (wrestler), main ring name of Japanese professional wrestler Yuto Kigawa (born 1978) Other uses Hub (network science) Discovery Family, formerly "Hub
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the UK have for some years been held on a Thursday. The Electoral Commission is unsure when this practice arose, but dates it to 1931, with the suggestion that it was made to coincide with market day; this would ease voting for those who had to travel into the towns to cast their ballot. A candidate for a seat must submit nomination papers signed by ten registered voters from that area, and pay £500, which is refunded if the candidate wins at least five per cent of the vote. Such a deposit seeks to discourage frivolity and very long ballot papers which would cause vote splitting (and arguably voter confusion). Each constituency is also called a seat (as it was in 1885), as it returns one member, using the first-past-the-post electoral system, under which the candidate with a plurality of votes wins, that is greatest number of votes. Minors (that is, anyone under the age of 18), members of the House of Lords, and prisoners are not qualified to become members of the House of Commons. To vote, one must be a UK resident and a citizen of either Britain, a British overseas territory, the Republic of Ireland, or a member of the Commonwealth of Nations. British citizens living abroad are allowed to vote for 15 years after leaving. It is a criminal offence for a person to vote in the ballot of more than one seat which is vacant at any election. This has not always been the case: before 1948 plural voting was permitted as voters qualified by home ownership or residence and could vote under both entitlements simultaneously, as well as for a university constituency if a university graduate. Once elected, Members of Parliament normally continue to serve until the next dissolution of Parliament. But if a member dies or ceases to be qualified (see qualifications below), his or her seat falls vacant. It is also possible for the House of Commons to expel a member, a power exercised only in cases of serious misconduct or criminal activity. In each case, the vacancy is filled by a by-election in the constituency, with the same electoral system as in general elections. The term "Member of Parliament" by modern convention means a member of the House of Commons. These members may, and almost invariably do, use the post-nominal letters "MP". The annual salary of each member is £81,932, effective from 1 April 2020. Members may also receive additional salaries for other offices they hold (for instance, the Speakership). Most members also claim for various office expenses (staff costs, postage, travelling, etc.) and, in the case of members for seats outside London, for the costs of maintaining a home in the capital. Qualifications There are numerous qualifications that apply to Members of Parliament. One must be aged at least 18 (the minimum age was 21 until s.17 of the Electoral Administration Act 2006 came into force), and must be a citizen of the United Kingdom, of a British overseas territory, of the Republic of Ireland, or of a member state of the Commonwealth of Nations. These restrictions were introduced by the British Nationality Act 1981, but were previously far more stringent: under the Act of Settlement 1701, only natural-born subjects were qualified. Members of the House of Lords may not serve in the House of Commons, or even vote in parliamentary elections (just as the Queen does not vote); however, they are permitted to sit in the chamber during debates (unlike the Queen, who cannot enter the chamber). A person may not sit in the Commons if he or she is the subject of a Bankruptcy Restrictions Order (applicable in England and Wales only), or if she or he is adjudged bankrupt (in Northern Ireland), or if his or her estate is sequestered (in Scotland). Previously, MPs detained under the Mental Health Act 1983 for six months or more would have their seat vacated if two specialists reported to the Speaker that the member was suffering from a mental disorder. However, this disqualification was removed by the Mental Health (Discrimination) Act 2013. There also exists a common law precedent from the 18th century that the deaf-mute are ineligible to sit in the Lower House; this precedent, however, has not been tested in recent years. Anyone found guilty of high treason may not sit in Parliament until she or he has either completed the term of imprisonment or received a full pardon from the Crown. Moreover, anyone serving a prison sentence of one year or more is ineligible, per Representation of the People Act 1981. Finally, members of the Senedd, formerly the National Assembly for Wales until May 2020, and Northern Ireland Assembly are disqualified since 2014, and sitting MPs are expelled from Parliament if sentenced to a one-year imprisonment or greater. Article 159, Section 2 of the Representation of the People Act 1983 formerly disqualified for ten years those found guilty of certain election-related offences, until this section was repealed in 2001. Several other disqualifications are codified in the House of Commons Disqualification Act 1975: holders of high judicial offices, civil servants, members of the regular armed forces, members of foreign legislatures (excluding the Republic of Ireland and Commonwealth countries), and holders of several Crown offices. Ministers, even though they are paid officers of the Crown, are not disqualified. The rule that precludes certain Crown officers from serving in the House of Commons is used to circumvent a resolution adopted by the House of Commons in 1623, under which members are not permitted to resign their seats. In practice, however, they always can. Should a member wish to resign from the Commons, she or he may request appointment to one of two ceremonial Crown offices: that of Crown Steward and Bailiff of the Chiltern Hundreds, or that of Crown Steward and Bailiff of the Manor of Northstead. These offices are sinecures (that is, they involve no actual duties); they exist solely to permit the "resignation" of members of the House of Commons. The Chancellor of the Exchequer is responsible for making the appointment, and, by convention, never refuses to do so when asked by a member who desires to leave the House of Commons. Officers At the beginning of each new parliamentary term, the House of Commons elects one of its members as a presiding officer, known as the Speaker. If the incumbent Speaker seeks a new term, then the house may re-elect him or her merely by passing a motion; otherwise, a secret ballot is held. A Speaker-elect cannot take office until she or he has been approved by the Sovereign; the granting of the royal approbation, however, is a formality. The Speaker is assisted by three Deputy Speakers, the most senior of whom holds the title of Chairman of Ways and Means. The two other Deputy Speakers are known as the First and Second Deputy Chairman of Ways and Means. These titles derive from the Committee of Ways and Means, a body over which the chairman once used to preside; even though the committee was abolished in 1967, the traditional titles of the Deputy Speakers are still retained. The Speaker and the Deputy Speakers are always members of the House of Commons. Whilst presiding, the Speaker or Deputy Speaker traditionally wears ceremonial dress. The presiding officer may also wear a wig, but this tradition was abandoned by Speaker Betty Boothroyd. Her successor, Michael Martin, also did not wear a wig while in the chamber. His successor, John Bercow, chose to wear a gown over a lounge suit, a decision that sparked much debate and opposition; he also did not wear a wig. The Speaker or deputy presides from a chair at the front of the house. This chair was designed by Augustus Pugin, who initially built a prototype of the chair at King Edward's School, Birmingham: that chair is called Sapientia (Latin for "wisdom") and is where the chief master sits. The Speaker is also chairman of the House of Commons Commission, which oversees the running of the house, and controls debates by calling on members to speak. A member who believes that a rule (or Standing Order) has been breached may raise a "point of order", on which the Speaker makes a ruling not subject to any appeal. The Speaker may discipline members who fail to observe the rules of the house. The Speaker also decides which proposed amendments to a motion are to be debated. Thus, the Speaker is far more powerful than his or her Lords counterpart, the Lord Speaker, who has no disciplinary powers. Customarily, the Speaker and the deputies are non-partisan; they do not vote (with the notable exception of tied votes, where the Speaker votes in accordance with Denison's rule), or participate in the affairs of any political party. By convention, a Speaker seeking re-election to parliament is not opposed in his or her constituency by any of the major parties. The lack of partisanship continues even after the Speaker leaves the House of Commons. The Clerk of the House of Commons is both the house's chief adviser on matters of procedure and chief executive of the House of Commons. She or he is a permanent official, not a member of the house itself. The Clerk advises the Speaker on the rules and procedure of the house, signs orders and official communications, and signs and endorses bills. The Clerk also chairs the Board of Management, which consists of the heads of the six departments of the house. The Clerk's deputy is known as the Clerk Assistant. Another officer of the house is the Serjeant-at-Arms, whose duties include the maintenance of law, order, and security on the house's premises. The Serjeant-at-Arms carries the ceremonial mace, a symbol of the authority of the Crown and of the House of Commons, into the house each day before the Speaker, and the mace is laid upon the table of the house during sittings. The Librarian is head of the House of Commons Library, the house's research and information arm. Procedure Like the Lords, the Commons meets in the Palace of Westminster in London. The Commons chamber is small and modestly decorated in green, unlike the large, lavishly furnished red Lords chamber. Benches sit on both sides of the chamber and are divided by a centre aisle. This arrangement reflects the design of St Stephen's Chapel, which served as the home of the House of Commons until destroyed by fire in 1834. The Speaker's chair is at one end of the chamber; in front of it, is the table of the house, on which the mace rests. The clerks sit at one end of the table, close to the Speaker so that they may advise him or her on procedure when necessary. Members of the Government occupy the benches on the Speaker's right, whilst members of the Opposition occupy the benches on the Speaker's left. In front of each set of benches a red line is drawn, which members are traditionally not allowed to cross during debates. The Prime Minister and the government ministers, as well as the leader of the Opposition and the Shadow Cabinet sit on the front rows, and are known as frontbenchers. Other members of parliament, in contrast, are known as backbenchers. Not all Members of Parliament can fit into the chamber at the same time, as it only has space to seat approximately two thirds of the Members. According to Robert Rogers, former Clerk of the House of Commons and Chief Executive, a figure of 427 seats is an average or a finger-in-the-wind estimate. Members who arrive late must stand near the entrance of the house if they wish to listen to debates. Sittings in the chamber are held each day from Monday to Thursday, and also on some Fridays. During times of national emergency, the house may also sit at weekends. Sittings of the house are open to the public, but the house may at any time vote to sit in private, which has occurred only twice since 1950. Traditionally, a Member who desired that the house sit privately could shout "I spy strangers!" and a vote would automatically follow. In the past, when relations between the Commons and the Crown were less than cordial, this procedure was used whenever the house wanted to keep its debate private. More often, however, this device was used to delay and disrupt proceedings; as a result, it was abolished in 1998. Now, members seeking that the house sit in private must make a formal motion to that effect. Public debates are recorded and archived in Hansard. The post war redesign of the house in 1950 included microphones, and debates were allowed to be broadcast by radio in 1975. Since 1989, they have also been broadcast on television, which is now handled by BBC Parliament. Sessions of the House of Commons have sometimes been disrupted by angry protesters throwing objects into the chamber from the galleries—items thrown include leaflets, manure, flour, and a canister of chlorobenzylidene malonitrile (tear gas). Even members have been known to disturb proceedings of the house. For instance, in 1976, Conservative MP Michael Heseltine seized and brandished the mace of the house during a heated debate. However, perhaps the most famous disruption of the House of Commons was caused by Charles I, who entered the Commons Chamber in 1642 with an armed force to arrest five members for high treason. This action was deemed a breach of the privilege of the house, and has given rise to the tradition that the monarch does not set foot in the House of Commons. Each year, the parliamentary session begins with the State Opening of Parliament, a ceremony in the Lords Chamber during which the Sovereign, in the presence of Members of both Houses, delivers an address outlining the Government's legislative agenda. The Gentleman or Lady Usher of the Black Rod (a Lords official) is responsible for summoning the Commons to the Lords Chamber. When he arrives to deliver his summons, the doors of the Commons Chamber are traditionally slammed shut in his face, symbolising the right of the Lower House to debate without interference. He then knocks on the door three times with his Black Rod, and only then is granted admittance, where he informs the MPs that the Monarch awaits them, after which they proceed to the House of Lords for the Queen's Speech. During debates, Members may speak only if called upon by the Speaker (or a Deputy Speaker, if the Speaker is not presiding). Traditionally, the presiding officer alternates between calling Members from the Government and Opposition. The Prime Minister, the Leader of the Opposition, and other leaders from both sides are normally given priority. All Privy Counsellors used to be granted priority; however, the modernisation of Commons procedure in 1998 led to the abolition of this tradition. Speeches are addressed to the presiding officer, using the words "Mr Speaker", "Madam Speaker", "Mr Deputy Speaker", or "Madam Deputy Speaker". Only the presiding officer may be directly addressed in debate; other members must be referred to in the third person. Traditionally, members do not refer to each other by name, but by constituency, using forms such as "the Honourable Member for [constituency]", or, in the case of Privy Counsellors, "the Right Honourable Member for [constituency]". Members of the same party (or allied parties or groups) refer to each other as "my (Right) Honourable friend". A currently serving, or ex-member of the Armed Forces is referred to as "the Honourable and Gallant Member" (a barrister used to be called "the Honourable and Learned Member", and a woman "the
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in the UK have for some years been held on a Thursday. The Electoral Commission is unsure when this practice arose, but dates it to 1931, with the suggestion that it was made to coincide with market day; this would ease voting for those who had to travel into the towns to cast their ballot. A candidate for a seat must submit nomination papers signed by ten registered voters from that area, and pay £500, which is refunded if the candidate wins at least five per cent of the vote. Such a deposit seeks to discourage frivolity and very long ballot papers which would cause vote splitting (and arguably voter confusion). Each constituency is also called a seat (as it was in 1885), as it returns one member, using the first-past-the-post electoral system, under which the candidate with a plurality of votes wins, that is greatest number of votes. Minors (that is, anyone under the age of 18), members of the House of Lords, and prisoners are not qualified to become members of the House of Commons. To vote, one must be a UK resident and a citizen of either Britain, a British overseas territory, the Republic of Ireland, or a member of the Commonwealth of Nations. British citizens living abroad are allowed to vote for 15 years after leaving. It is a criminal offence for a person to vote in the ballot of more than one seat which is vacant at any election. This has not always been the case: before 1948 plural voting was permitted as voters qualified by home ownership or residence and could vote under both entitlements simultaneously, as well as for a university constituency if a university graduate. Once elected, Members of Parliament normally continue to serve until the next dissolution of Parliament. But if a member dies or ceases to be qualified (see qualifications below), his or her seat falls vacant. It is also possible for the House of Commons to expel a member, a power exercised only in cases of serious misconduct or criminal activity. In each case, the vacancy is filled by a by-election in the constituency, with the same electoral system as in general elections. The term "Member of Parliament" by modern convention means a member of the House of Commons. These members may, and almost invariably do, use the post-nominal letters "MP". The annual salary of each member is £81,932, effective from 1 April 2020. Members may also receive additional salaries for other offices they hold (for instance, the Speakership). Most members also claim for various office expenses (staff costs, postage, travelling, etc.) and, in the case of members for seats outside London, for the costs of maintaining a home in the capital. Qualifications There are numerous qualifications that apply to Members of Parliament. One must be aged at least 18 (the minimum age was 21 until s.17 of the Electoral Administration Act 2006 came into force), and must be a citizen of the United Kingdom, of a British overseas territory, of the Republic of Ireland, or of a member state of the Commonwealth of Nations. These restrictions were introduced by the British Nationality Act 1981, but were previously far more stringent: under the Act of Settlement 1701, only natural-born subjects were qualified. Members of the House of Lords may not serve in the House of Commons, or even vote in parliamentary elections (just as the Queen does not vote); however, they are permitted to sit in the chamber during debates (unlike the Queen, who cannot enter the chamber). A person may not sit in the Commons if he or she is the subject of a Bankruptcy Restrictions Order (applicable in England and Wales only), or if she or he is adjudged bankrupt (in Northern Ireland), or if his or her estate is sequestered (in Scotland). Previously, MPs detained under the Mental Health Act 1983 for six months or more would have their seat vacated if two specialists reported to the Speaker that the member was suffering from a mental disorder. However, this disqualification was removed by the Mental Health (Discrimination) Act 2013. There also exists a common law precedent from the 18th century that the deaf-mute are ineligible to sit in the Lower House; this precedent, however, has not been tested in recent years. Anyone found guilty of high treason may not sit in Parliament until she or he has either completed the term of imprisonment or received a full pardon from the Crown. Moreover, anyone serving a prison sentence of one year or more is ineligible, per Representation of the People Act 1981. Finally, members of the Senedd, formerly the National Assembly for Wales until May 2020, and Northern Ireland Assembly are disqualified since 2014, and sitting MPs are expelled from Parliament if sentenced to a one-year imprisonment or greater. Article 159, Section 2 of the Representation of the People Act 1983 formerly disqualified for ten years those found guilty of certain election-related offences, until this section was repealed in 2001. Several other disqualifications are codified in the House of Commons Disqualification Act 1975: holders of high judicial offices, civil servants, members of the regular armed forces, members of foreign legislatures (excluding the Republic of Ireland and Commonwealth countries), and holders of several Crown offices. Ministers, even though they are paid officers of the Crown, are not disqualified. The rule that precludes certain Crown officers from serving in the House of Commons is used to circumvent a resolution adopted by the House of Commons in 1623, under which members are not permitted to resign their seats. In practice, however, they always can. Should a member wish to resign from the Commons, she or he may request appointment to one of two ceremonial Crown offices: that of Crown Steward and Bailiff of the Chiltern Hundreds, or that of Crown Steward and Bailiff of the Manor of Northstead. These offices are sinecures (that is, they involve no actual duties); they exist solely to permit the "resignation" of members of the House of Commons. The Chancellor of the Exchequer is responsible for making the appointment, and, by convention, never refuses to do so when asked by a member who desires to leave the House of Commons. Officers At the beginning of each new parliamentary term, the House of Commons elects one of its members as a presiding officer, known as the Speaker. If the incumbent Speaker seeks a new term, then the house may re-elect him or her merely by passing a motion; otherwise, a secret ballot is held. A Speaker-elect cannot take office until she or he has been approved by the Sovereign; the granting of the royal approbation, however, is a formality. The Speaker is assisted by three Deputy Speakers, the most senior of whom holds the title of Chairman of Ways and Means. The two other Deputy Speakers are known as the First and Second Deputy Chairman of Ways and Means. These titles derive from the Committee of Ways and Means, a body over which the chairman once used to preside; even though the committee was abolished in 1967, the traditional titles of the Deputy Speakers are still retained. The Speaker and the Deputy Speakers are always members of the House of Commons. Whilst presiding, the Speaker or Deputy Speaker traditionally wears ceremonial dress. The presiding officer may also wear a wig, but this tradition was abandoned by Speaker Betty Boothroyd. Her successor, Michael Martin, also did not wear a wig while in the chamber. His successor, John Bercow, chose to wear a gown over a lounge suit, a decision that sparked much debate and opposition; he also did not wear a wig. The Speaker or deputy presides from a chair at the front of the house. This chair was designed by Augustus Pugin, who initially built a prototype of the chair at King Edward's School, Birmingham: that chair is called Sapientia (Latin for "wisdom") and is where the chief master sits. The Speaker is also chairman of the House of Commons Commission, which oversees the running of the house, and controls debates by calling on members to speak. A member who believes that a rule (or Standing Order) has been breached may raise a "point of order", on which the Speaker makes a ruling not subject to any appeal. The Speaker may discipline members who fail to observe the rules of the house. The Speaker also decides which proposed amendments to a motion are to be debated. Thus, the Speaker is far more powerful than his or her Lords counterpart, the Lord Speaker, who has no disciplinary powers. Customarily, the Speaker and the deputies are non-partisan; they do not vote (with the notable exception of tied votes, where the Speaker votes in accordance with Denison's rule), or participate in the affairs of any political party. By convention, a Speaker seeking re-election to parliament is not opposed in his or her constituency by any of the major parties. The lack of partisanship continues even after the Speaker leaves the House of Commons. The Clerk of the House of Commons is both the house's chief adviser on matters of procedure and chief executive of the House of Commons. She or he is a permanent official, not a member of the house itself. The Clerk advises the Speaker on the rules and procedure of the house, signs orders and official communications, and signs and endorses bills. The Clerk also chairs the Board of Management, which consists of the heads of the six departments of the house. The Clerk's deputy is known as the Clerk Assistant. Another officer of the house is the Serjeant-at-Arms, whose duties include the maintenance of law, order, and security on the house's premises. The Serjeant-at-Arms carries the ceremonial mace, a symbol of the authority of the Crown and of the House of Commons, into the house each day before the Speaker, and the mace is laid upon the table of the house during sittings. The Librarian is head of the House of Commons Library, the house's research and information arm. Procedure Like the Lords, the Commons meets in the Palace of Westminster in London. The Commons chamber is small and modestly decorated in green, unlike the large, lavishly furnished red Lords chamber. Benches sit on both sides of the chamber and are divided by a centre aisle. This arrangement reflects the design of St Stephen's Chapel, which served as the home of the House of Commons until destroyed by fire in 1834. The Speaker's chair is at one end of the chamber; in front of it, is the table of the house, on which the mace rests. The clerks sit at one end of the table, close to the Speaker so that they may advise him or her on procedure when necessary. Members of the Government occupy the benches on the Speaker's right, whilst members of the Opposition occupy the benches on the Speaker's left. In front of each set of benches a red line is drawn, which members are traditionally not allowed to cross during debates. The Prime Minister and the government ministers, as well as the leader of the Opposition and the Shadow Cabinet sit on the front rows, and are known as frontbenchers. Other members of parliament, in contrast, are known as backbenchers. Not all Members of Parliament can fit into the chamber at the same time, as it only has space to seat approximately two thirds of the Members. According to Robert Rogers, former Clerk of the House of Commons and Chief Executive, a figure of 427 seats is an average or a finger-in-the-wind estimate. Members who arrive late must stand near the entrance of the house if they wish to listen to debates. Sittings in the chamber are held each day from Monday to Thursday, and also on some Fridays. During times of national emergency, the house may also sit at weekends. Sittings of the house are open to the public, but the house may at any time vote to sit in private, which has occurred only twice since 1950. Traditionally, a Member who desired that the house sit privately could shout "I spy strangers!" and a vote would automatically follow. In the past, when relations between the Commons and the Crown were less than cordial, this procedure was used whenever the house wanted to keep its debate private. More often, however, this device was used to delay and disrupt proceedings; as a result, it was abolished in 1998. Now, members seeking that the house sit in private must make a formal motion to that effect. Public debates are recorded and archived in Hansard. The post war redesign of the house in 1950 included microphones, and debates were allowed to be broadcast by radio in 1975. Since 1989, they have also been broadcast on television, which is now handled by BBC Parliament. Sessions of the House of Commons have sometimes been disrupted by angry protesters throwing objects into the chamber from the galleries—items thrown include leaflets, manure, flour, and a canister of chlorobenzylidene malonitrile (tear gas). Even members have been known to disturb proceedings of the house. For instance, in 1976, Conservative MP Michael Heseltine seized and brandished the mace of the house during a heated debate. However, perhaps the most famous disruption of the House of Commons was caused by Charles I, who entered the Commons Chamber in 1642 with an armed force to arrest five members for high treason. This action was deemed a breach of the privilege of the house, and has given rise to the tradition that the monarch does not set foot in the House of Commons. Each year, the parliamentary session begins with the State Opening of Parliament, a ceremony in the Lords Chamber during which the Sovereign, in the presence of Members of both Houses, delivers an address outlining the Government's legislative agenda. The Gentleman or Lady Usher of the Black Rod (a Lords official) is responsible for summoning the Commons to the Lords Chamber. When he arrives to deliver his summons, the doors of the Commons Chamber are traditionally slammed shut in his face, symbolising the right of the Lower House to debate without interference. He then knocks on the door three times with his Black Rod, and only then is granted admittance, where he informs the MPs that the Monarch awaits them, after which they proceed to the House of Lords for the Queen's Speech. During debates, Members may speak only if called upon by the Speaker (or a Deputy Speaker, if the Speaker is not presiding). Traditionally, the presiding officer alternates between calling Members from the Government and Opposition. The Prime Minister, the Leader of the Opposition, and other leaders from both sides are normally given priority. All Privy Counsellors used to be granted priority; however, the modernisation of Commons procedure in 1998 led to the abolition of this tradition. Speeches are addressed to the presiding officer, using the words "Mr Speaker", "Madam Speaker", "Mr Deputy Speaker", or "Madam Deputy Speaker". Only the presiding officer may be directly addressed in debate; other members must be referred to in the third person. Traditionally, members do not refer to each other by name, but by constituency, using forms such as "the Honourable Member for [constituency]", or, in the case of Privy Counsellors, "the Right Honourable Member for [constituency]". Members of the same party (or allied parties or groups) refer to each other as "my (Right) Honourable friend". A currently serving, or ex-member of the Armed Forces is referred to as "the Honourable and Gallant Member" (a barrister used to be called "the Honourable and Learned Member", and a woman "the Honourable Lady the Member".) This may not always be the case during the actual oral delivery, when it might be difficult for a member to remember another member's exact constituency, but it is invariably followed in the transcript entered in the Hansard. The Speaker enforces the rules of the house and may warn and punish members who deviate from them. Disregarding the Speaker's instructions is considered a breach of the rules of the House and may result in the suspension of the offender from the house. In the case of grave disorder, the Speaker may adjourn the house without taking a vote. The Standing Orders of the House of Commons do not establish any formal time limits for debates. The Speaker may, however, order a member who persists in making a tediously repetitive or irrelevant speech to stop speaking. The time set aside for debate on a particular motion is, however, often limited by informal agreements
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Black Maria in Great Britain. History The game of Hearts probably originated with Reversis, which became popular around 1750 in Spain. In this game, a penalty point was awarded for each trick won, plus additional points for capturing or . A similar game called "Four Jacks" centred around avoiding any trick containing a Jack, which were worth one penalty point, and worth two. Hearts itself emerged in the United States during the 1880s, The Standard Hoyle of 1887 reporting that it had only been played there for "the last five years" and was "probably of German origin". It described Hearts as "a most pleasant game, highly provocative of laughter". It was a no-trump, trick-taking game for four players using a full pack of cards, the aim being to avoid taking any hearts in tricks. The basic format has changed little since. Two scoring variants were mentioned under the name 'Double or Eagle Game'. The first was the precursor to Spot Hearts whereby the cards of the heart suit cost the following in chips: Ace 14, King 13, Queen 12, Jack 11 and pip cards their face value. The second scoring scheme was: Ace 5, King 4, Queen 3, Jack 2 and all pips 1 chip each. In 1909, the was added as the highest penalty card in a variant called either Discard Hearts, after the new feature of passing unwanted cards to other players after the deal, or Black Lady, after the nickname for the . This new variant has since become the standard game of the Hearts group in America where it is often, somewhat confusingly, called "Hearts". To begin with, Black Lady did not have the option of "shooting the moon"; that came later. In the 1920s, the variation (ten positive points) was introduced, and sometime later the scoring was reversed so that penalty points were expressed as positive instead of negative. The slam is known as "shooting the moon" first appeared in Britain in 1939 in a variant of Hearts called Hitting the Moon. Today this feature is a common element of modern Black Lady. Meanwhile, in Britain the game of Black Maria, with its additional penalty cards in the suit of spades, emerged in 1939 and, both it and another offshoot, Omnibus Hearts, are "sufficiently different and popular to justify descriptions as separate games." The game has increased in popularity through Internet gaming sites which, however, usually offer the Black Lady variant while still calling it Hearts, whereas most books maintain the distinction between the two games. Earliest rules (1887) The following rules are based on those published in The Standard Hoyle of 1887. Preliminaries The game is usually played by four players, but three to six can be accommodated (see below). The aim is to avoid taking any cards of the heart suit in tricks. A standard 52-card pack of English pattern cards is used, cards ranking in from Ace (high) down to the two. Players draw a fixed number of chips, typically 25 or 50, which may or may not have a monetary value. The pack is shuffled by the dealer, cut by the player to their right and then dealt clockwise beginning with the player left of the dealer until each player has thirteen cards. There are no trumps. If cards are misdealt, the deal passes to the left. If cards are faced in the pack, the dealer reshuffles, offers it for the cut and re-deals. Playing Eldest hand (left of the dealer) leads to the first trick. Players must follow suit if able; otherwise may discard any card. The trick is won by the highest card of the led suit and the trick winner leads to the next trick. If a player revokes, they lose the trick and pay the pre-agreed penalty in chips. Scoring A player taking all 13 hearts pays 13 chips: four to each opponent and one to the table. Otherwise, the player with the lowest number of hearts wins and the others pay that player in chips the number of hearts they took. So if A has one heart, B two, C four and D six, A will receive 2 chips from B, 4 from C and six from D making 12 in toto. If two or more players have the lowest number of hearts, they divide the spoils, any remainder staying on the table for the next round. So if A and B have two hearts, C has three and D has six, C pays 3 chips, D pays 6 and A and B claim 4 each, leaving the remaining chip on the table. A player who revokes in order to avoid taking 13 chips, pays 8 to each opponent. Variants There are two scoring variants known as the Double Game of Hearts (or Eagle Game of Hearts): The hearts score the following in chips: Ace 14, King 13, Queen 12, Jack 11 and pip cards their face value (e.g. the nine is worth 9 chips) The hearts score the following in chips: Ace 5, King 4, Queen 3, Jack 2 and pip cards their face value. Modern rules (2011) The following rules are based on Arnold (2011). Preliminaries Three to six may play, but four is best. A standard pack is used. For three players, the is removed; for five players the and are removed, for six players the , , and are left out. Players draw cards to determine the first dealer; lowest deals. Deal and play are clockwise. Dealer shuffles and youngest hand (right of dealer) cuts. The dealer then deals all the cards, individually and face down, beginning with the eldest hand (to the left of the dealer). Playing Eldest hand leads to the first trick. Players must follow suit if able; otherwise, they may play any card. The trick is won by the highest card of the suit led and the trick winner leads to the next. Scoring Each heart captured incurs a penalty point, there being thirteen penalty points in toto. The winner is the player with the lowest score after an agreed number of deals. Alternatively, a target score may be agreed (such as 80 for four players) and when the first player reaches the target, the game ends. The player with the lowest score wins. If Hearts is played for stakes, the average score is worked out and those above it pay the difference into a pool, while those below it draw the difference. Variants Auction Hearts The variant of Auction Hearts appears for the first time in the 1897 edition of Foster's Complete Hoyle. It is a game for four players, although five or six may "form a table". Its novel feature is that, after the deal, players may bid in sequence to declare the penalty suit. Eldest hand begins the bidding by stating the number of chips he or she is willing to pay for the privilege of naming the suit; the succeeding players may pass or bid higher. The dealer goes last and there is only one round of bidding. The player who wins the auction pays his or her bid into the pool and leads to the first trick. Black Jack Black Jack appeared at the same time as Black Lady, both as alternative names for the more general name of Discard Hearts. Discard Hearts, as the name suggests, introduced the concept of discarding (also called passing or exchanging) for the first time into Hearts. It is identical with the basic Black Lady game, but with the as the penalty card, worth 10 "hearts" (i.e. points). It is last mentioned by Gibson in 1974, only this time with the same penalty as Black Lady of 13 points. Black Lady Black Lady appeared in 1909, at which time it was also called Discard Hearts, and has since become the most popular variant in the United States, overtaking Hearts itself to become a game in its own right. It is frequently, and confusingly, also called Hearts, not least in computer gaming versions. However, its distinguishing feature is that the , the Black Lady, is an additional penalty card worth 13 points. The first description of the game already included the feature of discarding cards to one's neighbour after the deal. Over time, the game has developed elaborations such as 'shooting the moon' and passing cards in different directions with each deal. Black Maria Black Maria is the British variant of Hearts and features three additional penalty cards – the worth 10 points, the worth 7 points and the Black Maria or worth
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by Black Lady in the United States and Black Maria in Great Britain. History The game of Hearts probably originated with Reversis, which became popular around 1750 in Spain. In this game, a penalty point was awarded for each trick won, plus additional points for capturing or . A similar game called "Four Jacks" centred around avoiding any trick containing a Jack, which were worth one penalty point, and worth two. Hearts itself emerged in the United States during the 1880s, The Standard Hoyle of 1887 reporting that it had only been played there for "the last five years" and was "probably of German origin". It described Hearts as "a most pleasant game, highly provocative of laughter". It was a no-trump, trick-taking game for four players using a full pack of cards, the aim being to avoid taking any hearts in tricks. The basic format has changed little since. Two scoring variants were mentioned under the name 'Double or Eagle Game'. The first was the precursor to Spot Hearts whereby the cards of the heart suit cost the following in chips: Ace 14, King 13, Queen 12, Jack 11 and pip cards their face value. The second scoring scheme was: Ace 5, King 4, Queen 3, Jack 2 and all pips 1 chip each. In 1909, the was added as the highest penalty card in a variant called either Discard Hearts, after the new feature of passing unwanted cards to other players after the deal, or Black Lady, after the nickname for the . This new variant has since become the standard game of the Hearts group in America where it is often, somewhat confusingly, called "Hearts". To begin with, Black Lady did not have the option of "shooting the moon"; that came later. In the 1920s, the variation (ten positive points) was introduced, and sometime later the scoring was reversed so that penalty points were expressed as positive instead of negative. The slam is known as "shooting the moon" first appeared in Britain in 1939 in a variant of Hearts called Hitting the Moon. Today this feature is a common element of modern Black Lady. Meanwhile, in Britain the game of Black Maria, with its additional penalty cards in the suit of spades, emerged in 1939 and, both it and another offshoot, Omnibus Hearts, are "sufficiently different and popular to justify descriptions as separate games." The game has increased in popularity through Internet gaming sites which, however, usually offer the Black Lady variant while still calling it Hearts, whereas most books maintain the distinction between the two games. Earliest rules (1887) The following rules are based on those published in The Standard Hoyle of 1887. Preliminaries The game is usually played by four players, but three to six can be accommodated (see below). The aim is to avoid taking any cards of the heart suit in tricks. A standard 52-card pack of English pattern cards is used, cards ranking in from Ace (high) down to the two. Players draw a fixed number of chips, typically 25 or 50, which may or may not have a monetary value. The pack is shuffled by the dealer, cut by the player to their right and then dealt clockwise beginning with the player left of the dealer until each player has thirteen cards. There are no trumps. If cards are misdealt, the deal passes to the left. If cards are faced in the pack, the dealer reshuffles, offers it for the cut and re-deals. Playing Eldest hand (left of the dealer) leads to the first trick. Players must follow suit if able; otherwise may discard any card. The trick is won by the highest card of the led suit and the trick winner leads to the next trick. If a player revokes, they lose the trick and pay the pre-agreed penalty in chips. Scoring A player taking all 13 hearts pays 13 chips: four to each opponent and one to the table. Otherwise, the player with the lowest number of hearts wins and the others pay that player in chips the number of hearts they took. So if A has one heart, B two, C four and D six, A will receive 2 chips from B, 4 from C and six from D making 12 in toto. If two or more players have the lowest number of hearts, they divide the spoils, any remainder staying on the table for the next round. So if A and B have two hearts, C has three and D has six, C pays 3 chips, D pays 6 and A and B claim 4 each, leaving the remaining chip on the table. A player who revokes in order to avoid taking 13 chips, pays 8 to each opponent. Variants There are two scoring variants known as the Double Game of Hearts (or Eagle Game of Hearts): The hearts score the following in chips: Ace 14, King 13, Queen 12, Jack 11 and pip cards their face value (e.g. the nine is worth 9 chips) The hearts score the following in chips: Ace 5, King 4, Queen 3, Jack 2 and pip cards their face value. Modern rules (2011) The following rules are based on Arnold (2011). Preliminaries Three to six may play, but four is best. A standard pack is used. For three players, the is removed; for five players the and are removed, for six players the , , and are left out. Players draw cards to determine the first dealer; lowest deals. Deal and play are clockwise. Dealer shuffles and youngest hand (right of dealer) cuts. The dealer then deals all the cards, individually and face down, beginning with the eldest hand (to the left of the dealer). Playing Eldest hand leads to the first trick. Players must follow suit if able; otherwise, they may play any card. The trick is won by the highest card of the suit led and the trick winner leads to the next. Scoring Each heart captured incurs a penalty point, there being thirteen penalty points in toto. The
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Members of Parliament (MPs) from the 14th century until 1885, since when it has returned one. Since 1983, it has been part of the parliamentary constituency of Hastings and Rye; the current MP, since December 2019, is Sally-Ann Hart of the Conservative Party. Prior to 1983, the town formed the Hastings parliamentary constituency by itself. Hastings, it is thought, was a Saxon town before the arrival of the Normans: the Domesday Book refers to a new Borough: as a borough, Hastings had a corporation consisting of a "bailiff, jurats, and commonalty". Its importance was such that it also gave its name to one of the six Rapes or administrative districts of Sussex. By a Charter of Elizabeth I in 1589 the bailiff was replaced by a mayor, by which time the town's importance was dwindling. In the Georgian era, patronage of such seaside places (such as nearby Brighton) gave it a new lease of life so that, when the time came with the reform of English local government in 1888, Hastings became a County Borough, responsible for all its local services, independent of the surrounding county, then Sussex (East); less than one hundred years later, in 1974, that status was abolished. Hastings Borough Council is now in the second tier of local government, below East Sussex County Council. The Labour Party has an overall control of the council with 23 seats, whilst the Conservative Party holds 8 seats and one is held by an independent. The Borough is divided into sixteen electoral wards; Ashdown, Baird, Braybrooke, Castle, Central St Leonards, Conquest, Gensing, Hollington, Maze Hill, Old Hastings, Ore, St Helens, Silverhill, Tressell, West St Leonards and Wishing Tree. The council leader is Kim Forward (Labour) . Geography and climate Hastings is situated where the sandstone beds, at the heart of the Weald, known geologically as the Hastings Sands, meet the English Channel, forming tall cliffs to the east of the town. Hastings Old Town is in a sheltered valley between the East Hill and West Hill (on which the remains of the Castle stand). In Victorian times and later the town has spread westwards and northwards, and now forms a single urban centre with the more suburban area of St Leonards-on-Sea to the west. Roads from the Old Town valley lead towards the Victorian area of Clive Vale and the former village of Ore, from which "The Ridge", marking the effective boundary of Hastings, extends north-westwards towards Battle. Beyond Bulverhythe, the western end of Hastings is marked by low-lying land known as Glyne Gap, separating it from Bexhill-on-Sea. The sandstone cliffs have been the subject of considerable erosion in relatively recent times: much of the Castle was lost to the sea before the present sea defences and promenade were built, and a number of cliff-top houses are in danger of disappearing around the nearby village of Fairlight. The beach is mainly shingle, although wide areas of sand are uncovered at low tide. The town is generally built upon a series of low hills rising to above sea level at "The Ridge" before falling back in the river valley further to the north. There are three Sites of Special Scientific Interest within the borough; Marline Valley Woods, Combe Haven and Hastings Cliffs To Pett Beach. Marline Valley Woods lies within the Ashdown ward of Hastings. It is an ancient woodland of Pedunculate oak—hornbeam which is uncommon nationally. Sussex Wildlife Trust own part of the site. Combe Haven is another site of biological interest, with alluvial meadows, and the largest reed bed in the county, providing habitat for breeding birds. It is in the West St Leonards ward, stretching into the parish of Crowhurst. The final SSSI, Hastings Cliffs to Pett Beach, is within the Ore ward of Hastings, extending into the neighbouring Fairlight and Pett parishes. The site runs along the coast and is of both biological and geological interest. The cliffs hold many fossils and the site has many habitats, including ancient woodland and shingle beaches. Climate As with the rest of the British Isles and Southern England, Hastings experiences a maritime climate with cool summers and mild winters. In terms of the local climate, Hastings is on the eastern edge of what is, on average, the sunniest part of the UK, the stretch of coast from the Isle of Wight to the Hastings area. Hastings, tied with Eastbourne, recorded the highest duration of sunshine of any month anywhere in the United Kingdom – 384 hours – in 1911. Temperature extremes since 1960 at Hastings have ranged from in July 2019, down to in January 1987. The Köppen climate classification subtype for this climate is "Cfb" (Marine West Coast Climate/Oceanic climate). Neighbourhoods and areas Some of the areas and suburbs of Hastings are Ore Valley, St Leonards, Silverhill, West St Leonards, and Hollington. Ore, Silverhill and Hollington were once villages that have since become part of the Hastings conurbation area during rapid growth. The original part St Leonards was bought by James Burton and laid out by his son, the architect Decimus Burton, in the early 19th century as a new town: a place of elegant houses designed for the well-off; it also included a central public garden, a hotel, an archery, assembly rooms and a church. Today's St Leonards has extended well beyond that original design, although the original town still exists within it. Demography The population of the town in 2001 was 85,029, by 2009 the estimated population was 86,900. Hastings suffers at a disadvantage insofar as growth is concerned because of its restricted situation, lying as it does with the High Weald Area of Outstanding Natural Beauty to the north. Redevelopment of the area is partly hampered by the split administration of the combined Hastings and Bexhill economic region between Hastings and Rother district councils. There is little space for further large-scale housing and employment growth within the designated boundaries of Hastings, and development on the outskirts is resisted by Rother council whose administrative area surrounds Hastings. Rother has a policy of urban expansion in the area immediately north of Bexhill, but this requires infrastructure improvements by central Governments which have been under discussion for decades. This situation has now become the subject of parliamentary consideration. Ethnicity Ethnicity in 2001 Economy Until the development of tourism, fishing was Hastings' major industry. The fishing fleet, based at the Stade, remains Europe's largest beach-launched fishing fleet and has recently won accreditation for its sustainable methods. The fleet has been based on the same beach, below the cliffs at Hastings, for at least 400, possibly 600, years. Its longevity is attributed to the prolific fishing ground of Rye Bay nearby. Hastings fishing vessels are registered at Rye, and thus bear the letters "RX" (Rye, SusseX). There are now various industrial estates that lie around the town, mostly on the outskirts, which include engineering, catering, motoring and construction; however, most of the jobs within the Borough are concentrated on health, public services, retail and education. 85% of the firms (in 2005) employed fewer than 10 people; as a consequence the unemployment rate was 3.3% (cf. East Sussex 1.7%). However, qualification levels are similar to the national average: 8.2% of the working-age population have no qualifications while 28% hold degree-level qualifications or higher, compared with 11% and 31% respectively across England. Shopping and retail Hastings main shopping centre is Priory Meadow Shopping Centre, which was built on the site of the old Central Recreation Ground which played host to some Sussex CCC first-class fixtures, and cricketing royalty such as Dr. W. G. Grace and Sir Don Bradman. The centre houses 56 stores and covers around 420,000 ft2. Further retail areas in the town centre include Queens Road, Wellington Place and Robertson Street. There are plans to expand the retail area in Hastings, which includes expanding Priory Meadow and creating more retail space as part of the Priory Quarter development. Priory was intended to have a second floor added to part of the retail area, which has not happened yet and so far only office space has been created as part of the Priory Quarter. Regeneration In 2002 the Hastings and Bexhill task force, set up by the South East England Development Agency, was founded to regenerate the local economy, a 10-year programme being set up to tackle the local reliance on public sector employment. The regeneration scheme saw the construction of the University Centre Hastings, (now known as the University of Brighton in Hastings) the new Sussex Coast College campus and construction of the Priory Quarter, which still remains unfinished but now houses Saga offices, bringing 800 new jobs to the area. Culture and community Cadets Hastings has an Army Cadet Force (ACF) detachment which is part of Sussex ACF. This detachment is based in the old Territorial Army Unit Building on Cinque Ports Way, and is affiliated to PWRR. Hastings also has a Royal Air Force Air Cadet Squadron, 304 (Hastings) Squadron of Sussex Wing RAFAC, based in the same building. The town also has a Sea Cadet squadron, T.S. Hastings. This sits adjacent to the Army and Air Cadet building on the seafront. The site features a climbing wall and other training facilities. Events Throughout the year many annual events take place in Hastings, the largest of which being the May Day bank holiday weekend, which features a Jack-in-the-Green festival (revived since 1983) and usually falls around 1-3 May, and the culmination of the Maydayrun—tens of thousands of motorcyclists having ridden the A21 to Hastings. The yearly carnival during Old Town Week takes place every August, which includes a week of events around Hastings Old Town, including a Seaboot race, bike race, street party and pram race. In September, there is a month-long arts festival 'Coastal Currents' and a Seafood and Wine Festival. During Hastings Week held each year around 14 October the Hastings Bonfire Society stages a traditional Sussex Bonfire which includes a torchlight procession through the streets, a beach bonfire and firework display. Hastings Pirate Day takes place in July every year. Hastings, as of November 2017, still holds the Guinness World Record for the most pirates in one place. Other events include the Hastings Beer and Music Festival, held every July in Alexandra Park, the Hastings Musical Festival held every March in the White Rock Theatre, the International Composers Festival split between Hastings and Bexhill during August and the Hastings International Chess Congress. There is also a small Wildman event in late January. Theatre and cinema There are two main theatres in the town, the White Rock Theatre and the Stables Theatre. The White Rock theatre is the venue of the yearly pantomime and throughout the year hosts comedy, dance and music acts. The Stables stages more local productions and acts as an arts exhibition centre. An additional theatre is located in Cambridge Road, the Opus Theatre in a shared space with the His Place church in what used to be the Robertson Street United Reformed Church. There is a small four screen Odeon cinema in the town, located opposite the town hall; however, there are plans to build a new multiplex cinema as part of the Priory Quarter development in the town centre. The town has an independent cinema called the Electric Palace located in the Old Town and a restored cinema in St Leonards called the Kino Teatr. The new luxury 'Sussex Exchange' Cinema, bar and conference venue is situated in st.leonards. Museums and art galleries There are three museums in Hastings; the Hastings Museum and Art Gallery, the Hastings Fishermen's Museum and the Shipwreck Museum. The former two mentioned are open for the whole year while the Shipwreck Museum is open only weekends during the winter, but daily for the rest of the year. The Hastings Museum and Art gallery concentrates mostly on local history and contains exhibits on Grey Owl and John Logie Baird. It also features a Durbar Hall, donated by Lord Brassey; the hall contains displays focusing on the Indian subcontinent and the Brassey Family. The Fishermen's Museum, housed in the former fishermen's church, is dedicated to the fishing industry and maritime history of Hastings. The Shipwreck Museum displays artifacts from wrecks around the area. The Jerwood Gallery located in the Stade area of Hastings Old Town is the home for the Jerwood Collection of 20th and 21st century art and a changing contemporary exhibition programme. The project was opposed by many locals who felt that a new art gallery would have been better located elsewhere in the town. Jerwood Gallery has now been replaced with the Hastings Contemporary. Parks and open spaces There are many parks and open spaces located throughout the town, one of the most popular and largest being Alexandra Park opened in 1882 by the Prince and Princess of Wales. The park contains gardens, open spaces, woods, a bandstand, tennis courts and a cafe. Other open spaces include White Rock Gardens, West Marina Gardens, St Leonards Gardens, Gensing Gardens, Markwick Gardens, Summerfields Woods, Linton Gardens, Hollington woods, Filsham Valley, Warrior Square, Castle Hill, St Helens Woods and Hastings Country Park. Landmarks Hastings Castle was built in 1070 by the Normans, four years after the Norman invasion. It is located on the West Hill, overlooking the town centre and is a Grade I listed building. Little remains of the castle apart from the arch left from the chapel, part of the walls and dungeons. The nearby St. Clements Caves are home to the Smugglers Adventure, which features interactive displays relating
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is generally built upon a series of low hills rising to above sea level at "The Ridge" before falling back in the river valley further to the north. There are three Sites of Special Scientific Interest within the borough; Marline Valley Woods, Combe Haven and Hastings Cliffs To Pett Beach. Marline Valley Woods lies within the Ashdown ward of Hastings. It is an ancient woodland of Pedunculate oak—hornbeam which is uncommon nationally. Sussex Wildlife Trust own part of the site. Combe Haven is another site of biological interest, with alluvial meadows, and the largest reed bed in the county, providing habitat for breeding birds. It is in the West St Leonards ward, stretching into the parish of Crowhurst. The final SSSI, Hastings Cliffs to Pett Beach, is within the Ore ward of Hastings, extending into the neighbouring Fairlight and Pett parishes. The site runs along the coast and is of both biological and geological interest. The cliffs hold many fossils and the site has many habitats, including ancient woodland and shingle beaches. Climate As with the rest of the British Isles and Southern England, Hastings experiences a maritime climate with cool summers and mild winters. In terms of the local climate, Hastings is on the eastern edge of what is, on average, the sunniest part of the UK, the stretch of coast from the Isle of Wight to the Hastings area. Hastings, tied with Eastbourne, recorded the highest duration of sunshine of any month anywhere in the United Kingdom – 384 hours – in 1911. Temperature extremes since 1960 at Hastings have ranged from in July 2019, down to in January 1987. The Köppen climate classification subtype for this climate is "Cfb" (Marine West Coast Climate/Oceanic climate). Neighbourhoods and areas Some of the areas and suburbs of Hastings are Ore Valley, St Leonards, Silverhill, West St Leonards, and Hollington. Ore, Silverhill and Hollington were once villages that have since become part of the Hastings conurbation area during rapid growth. The original part St Leonards was bought by James Burton and laid out by his son, the architect Decimus Burton, in the early 19th century as a new town: a place of elegant houses designed for the well-off; it also included a central public garden, a hotel, an archery, assembly rooms and a church. Today's St Leonards has extended well beyond that original design, although the original town still exists within it. Demography The population of the town in 2001 was 85,029, by 2009 the estimated population was 86,900. Hastings suffers at a disadvantage insofar as growth is concerned because of its restricted situation, lying as it does with the High Weald Area of Outstanding Natural Beauty to the north. Redevelopment of the area is partly hampered by the split administration of the combined Hastings and Bexhill economic region between Hastings and Rother district councils. There is little space for further large-scale housing and employment growth within the designated boundaries of Hastings, and development on the outskirts is resisted by Rother council whose administrative area surrounds Hastings. Rother has a policy of urban expansion in the area immediately north of Bexhill, but this requires infrastructure improvements by central Governments which have been under discussion for decades. This situation has now become the subject of parliamentary consideration. Ethnicity Ethnicity in 2001 Economy Until the development of tourism, fishing was Hastings' major industry. The fishing fleet, based at the Stade, remains Europe's largest beach-launched fishing fleet and has recently won accreditation for its sustainable methods. The fleet has been based on the same beach, below the cliffs at Hastings, for at least 400, possibly 600, years. Its longevity is attributed to the prolific fishing ground of Rye Bay nearby. Hastings fishing vessels are registered at Rye, and thus bear the letters "RX" (Rye, SusseX). There are now various industrial estates that lie around the town, mostly on the outskirts, which include engineering, catering, motoring and construction; however, most of the jobs within the Borough are concentrated on health, public services, retail and education. 85% of the firms (in 2005) employed fewer than 10 people; as a consequence the unemployment rate was 3.3% (cf. East Sussex 1.7%). However, qualification levels are similar to the national average: 8.2% of the working-age population have no qualifications while 28% hold degree-level qualifications or higher, compared with 11% and 31% respectively across England. Shopping and retail Hastings main shopping centre is Priory Meadow Shopping Centre, which was built on the site of the old Central Recreation Ground which played host to some Sussex CCC first-class fixtures, and cricketing royalty such as Dr. W. G. Grace and Sir Don Bradman. The centre houses 56 stores and covers around 420,000 ft2. Further retail areas in the town centre include Queens Road, Wellington Place and Robertson Street. There are plans to expand the retail area in Hastings, which includes expanding Priory Meadow and creating more retail space as part of the Priory Quarter development. Priory was intended to have a second floor added to part of the retail area, which has not happened yet and so far only office space has been created as part of the Priory Quarter. Regeneration In 2002 the Hastings and Bexhill task force, set up by the South East England Development Agency, was founded to regenerate the local economy, a 10-year programme being set up to tackle the local reliance on public sector employment. The regeneration scheme saw the construction of the University Centre Hastings, (now known as the University of Brighton in Hastings) the new Sussex Coast College campus and construction of the Priory Quarter, which still remains unfinished but now houses Saga offices, bringing 800 new jobs to the area. Culture and community Cadets Hastings has an Army Cadet Force (ACF) detachment which is part of Sussex ACF. This detachment is based in the old Territorial Army Unit Building on Cinque Ports Way, and is affiliated to PWRR. Hastings also has a Royal Air Force Air Cadet Squadron, 304 (Hastings) Squadron of Sussex Wing RAFAC, based in the same building. The town also has a Sea Cadet squadron, T.S. Hastings. This sits adjacent to the Army and Air Cadet building on the seafront. The site features a climbing wall and other training facilities. Events Throughout the year many annual events take place in Hastings, the largest of which being the May Day bank holiday weekend, which features a Jack-in-the-Green festival (revived since 1983) and usually falls around 1-3 May, and the culmination of the Maydayrun—tens of thousands of motorcyclists having ridden the A21 to Hastings. The yearly carnival during Old Town Week takes place every August, which includes a week of events around Hastings Old Town, including a Seaboot race, bike race, street party and pram race. In September, there is a month-long arts festival 'Coastal Currents' and a Seafood and Wine Festival. During Hastings Week held each year around 14 October the Hastings Bonfire Society stages a traditional Sussex Bonfire which includes a torchlight procession through the streets, a beach bonfire and firework display. Hastings Pirate Day takes place in July every year. Hastings, as of November 2017, still holds the Guinness World Record for the most pirates in one place. Other events include the Hastings Beer and Music Festival, held every July in Alexandra Park, the Hastings Musical Festival held every March in the White Rock Theatre, the International Composers Festival split between Hastings and Bexhill during August and the Hastings International Chess Congress. There is also a small Wildman event in late January. Theatre and cinema There are two main theatres in the town, the White Rock Theatre and the Stables Theatre. The White Rock theatre is the venue of the yearly pantomime and throughout the year hosts comedy, dance and music acts. The Stables stages more local productions and acts as an arts exhibition centre. An additional theatre is located in Cambridge Road, the Opus Theatre in a shared space with the His Place church in what used to be the Robertson Street United Reformed Church. There is a small four screen Odeon cinema in the town, located opposite the town hall; however, there are plans to build a new multiplex cinema as part of the Priory Quarter development in the town centre. The town has an independent cinema called the Electric Palace located in the Old Town and a restored cinema in St Leonards called the Kino Teatr. The new luxury 'Sussex Exchange' Cinema, bar and conference venue is situated in st.leonards. Museums and art galleries There are three museums in Hastings; the Hastings Museum and Art Gallery, the Hastings Fishermen's Museum and the Shipwreck Museum. The former two mentioned are open for the whole year while the Shipwreck Museum is open only weekends during the winter, but daily for the rest of the year. The Hastings Museum and Art gallery concentrates mostly on local history and contains exhibits on Grey Owl and John Logie Baird. It also features a Durbar Hall, donated by Lord Brassey; the hall contains displays focusing on the Indian subcontinent and the Brassey Family. The Fishermen's Museum, housed in the former fishermen's church, is dedicated to the fishing industry and maritime history of Hastings. The Shipwreck Museum displays artifacts from wrecks around the area. The Jerwood Gallery located in the Stade area of Hastings Old Town is the home for the Jerwood Collection of 20th and 21st century art and a changing contemporary exhibition programme. The project was opposed by many locals who felt that a new art gallery would have been better located elsewhere in the town. Jerwood Gallery has now been replaced with the Hastings Contemporary. Parks and open spaces There are many parks and open spaces located throughout the town, one of the most popular and largest being Alexandra Park opened in 1882 by the Prince and Princess of Wales. The park contains gardens, open spaces, woods, a bandstand, tennis courts and a cafe. Other open spaces include White Rock Gardens, West Marina Gardens, St Leonards Gardens, Gensing Gardens, Markwick Gardens, Summerfields Woods, Linton Gardens, Hollington woods, Filsham Valley, Warrior Square, Castle Hill, St Helens Woods and Hastings Country Park. Landmarks Hastings Castle was built in 1070 by the Normans, four years after the Norman invasion. It is located on the West Hill, overlooking the town centre and is a Grade I listed building. Little remains of the castle apart from the arch left from the chapel, part of the walls and dungeons. The nearby St. Clements Caves are home to the Smugglers Adventure, which features interactive displays relating to the history of smuggling on the south coast of England. Hastings Pier can be seen from any part of the seafront in the town. The old pier was opened in 1872, but closed in 2006 following safety concerns from the council. In October 2010, a serious fire burned down most of the buildings on the pier and caused further damage to the structure. However, the pier reopened on 27 April 2016 in modern architectural forms after a £14.2m refurbishment. It won the Stirling Prize of the Royal Institute of British Architects (RIBA)in 2017. Many church buildings throughout the town are Grade II listed including; Church in the Wood, Blacklands Parish Church, Ebenezer Particular Baptist Chapel, Fishermen's Museum and St Mary Magdalene's Church. On the seafront at St Leonards is Marine Court, a 1938 block of flats in the Art Deco style that was originally called 'The Ship' due to its style being based on the ocean liner RMS Queen Mary. This block of flats can be seen up to away on a clear day, from Holywell, in the Meads area of Eastbourne. An important former landmark was "the Memorial", a clock tower commemorating Albert the Prince Consort which stood for many years at the traffic junction at the town centre, but was demolished following an arson attack in the 1970s. Transport Road Hastings urban area (2011 census: includes Bexhill) is by a sizeable margin the most populous area in Britain to have no direct dual-carriageway link to the national motorway network. There are two major roads in Hastings: the A21 trunk road to London; and the A259 coastal road. Both are beset with traffic problems: although the London road, which has to contend with difficult terrain, has had several sections of widening over the past decades there are still many delays. Long-term plans for a much improved A259 east–west route (including a Hastings bypass) were abandoned in the 1990s. A new Hastings-Bexhill Link Road opened in April 2016 known as the A2690 with the hope of reducing traffic congestion along the A259 Bexhill Road. The new link road travels from Queensway in the North of Hastings and joins up to the A259 in Bexhill. Hastings is also linked to Battle via the A2100, the original London road. The town is served by Stagecoach South East buses on routes that serve the town, and also extend to Bexhill, Eastbourne and Dover as part of The Wave route. Stagecoach also run long distance buses up to Northiam, Hawkhurst, Royal Tunbridge Wells, Ashford and Canterbury. National Express run service 023 to London. National rail Hastings has four rail links: two to London, one to Brighton and one to Ashford. Of the London lines, the shorter is the Hastings Line, the former South Eastern Railway (SER) route to Charing Cross via Battle and Tunbridge Wells, which opened in 1852; and the longer is the East Coastway Line, the former London, Brighton & South Coast Railway (LBSCR) route to Victoria via Bexhill, Eastbourne and Lewes. Trains to Brighton also use the East Coastway Line. The Marshlink Line runs via Rye to Ashford where a connection can be made with Eurostar services, and is unelectrified except for the Hastings to Ore segment. A historic British Rail Class 201 "Thumper" can sometimes be seen on historic runs to and from Hastings. Hastings is served by two rail companies: Southeastern and Southern. Southeastern services run along the Hastings Line, generally terminating at Hastings, with some peak services extending to Ore; the other lines are served by Southern, with services terminating at Ore or Ashford. The town currently has four railway stations: from west to east they are West St Leonards, St Leonards Warrior Square, Hastings and Ore;
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to the treaty. The judgments, termed "views", are not legally binding. The member of the committee meets around three times a year to hold sessions The Committee on Economic, Social and Cultural Rights monitors the ICESCR and makes general comments on ratifying countries performance. It will have the power to receive complaints against the countries that opted into the Optional Protocol once it has come into force. It is important to note that unlike the other treaty bodies, the economic committee is not an autonomous body responsible to the treaty parties, but directly responsible to the Economic and Social Council and ultimately to the General Assembly. This means that the Economic Committee faces particular difficulties at its disposal only relatively "weak" means of implementation in comparison to other treaty bodies. Particular difficulties noted by commentators include: perceived vagueness of the principles of the treaty, relative lack of legal texts and decisions, ambivalence of many states in addressing economic, social and cultural rights, comparatively few non-governmental organisations focused on the area and problems with obtaining relevant and precise information. The Committee on the Elimination of Racial Discrimination monitors the CERD and conducts regular reviews of countries' performance. It can make judgments on complaints against member states allowing it, but these are not legally binding. It issues warnings to attempt to prevent serious contraventions of the convention. The Committee on the Elimination of Discrimination against Women monitors the CEDAW. It receives states' reports on their performance and comments on them, and can make judgments on complaints against countries which have opted into the 1999 Optional Protocol. The Committee Against Torture monitors the CAT and receives states' reports on their performance every four years and comments on them. Its subcommittee may visit and inspect countries which have opted into the Optional Protocol. The Committee on the Rights of the Child monitors the CRC and makes comments on reports submitted by states every five years. It does not have the power to receive complaints. The Committee on Migrant Workers was established in 2004 and monitors the ICRMW and makes comments on reports submitted by states every five years. It will have the power to receive complaints of specific violations only once ten member states allow it. The Committee on the Rights of Persons with Disabilities was established in 2008 to monitor the Convention on the Rights of Persons with Disabilities. It has the power to receive complaints against the countries which have opted into the Optional Protocol to the Convention on the Rights of Persons with Disabilities. The Committee on Enforced Disappearances monitors the ICPPED. All States parties are obliged to submit reports to the committee on how the rights are being implemented. The Committee examines each report and addresses its concerns and recommendations to the State party in the form of "concluding observations". Each treaty body receives secretariat support from the Human Rights Council and Treaties Division of Office of the High Commissioner on Human Rights (OHCHR) in Geneva except CEDAW, which is supported by the Division for the Advancement of Women (DAW). CEDAW formerly held all its sessions at United Nations headquarters in New York but now frequently meets at the United Nations Office in Geneva; the other treaty bodies meet in Geneva. The Human Rights Committee usually holds its March session in New York City. Regional human rights regimes There are many regional agreements and organizations promoting and governing human rights. Africa The African Union (AU) is a supranational union consisting of fifty-five African states. Established in 2001, the AU's purpose is to help secure Africa's democracy, human rights, and a sustainable economy, especially by bringing an end to intra-African conflict and creating an effective common market. The African Commission on Human and Peoples' Rights (ACHPR) is a quasi-judicial organ of the African Union tasked with promoting and protecting human rights and collective (peoples') rights throughout the African continent as well as interpreting the African Charter on Human and Peoples' Rights and considering individual complaints of violations of the Charter. The commission has three broad areas of responsibility: Promoting human and peoples' rights Protecting human and peoples' rights Interpreting the African Charter on Human and Peoples' Rights In pursuit of these goals, the commission is mandated to "collect documents, undertake studies and researches on African problems in the field of human and peoples, rights, organise seminars, symposia and conferences, disseminate information, encourage national and local institutions concerned with human and peoples' rights and, should the case arise, give its views or make recommendations to governments" (Charter, Art. 45). With the creation of the African Court on Human and Peoples' Rights (under a protocol to the Charter which was adopted in 1998 and entered into force in January 2004), the commission will have the additional task of preparing cases for submission to the Court's jurisdiction. In a July 2004 decision, the AU Assembly resolved that the future Court on Human and Peoples' Rights would be integrated with the African Court of Justice. The Court of Justice of the African Union is intended to be the "principal judicial organ of the Union" (Protocol of the Court of Justice of the African Union, Article 2.2). Although it has not yet been established, it is intended to take over the duties of the African Commission on Human and Peoples' Rights, as well as act as the supreme court of the African Union, interpreting all necessary laws and treaties. The Protocol establishing the African Court on Human and Peoples' Rights entered into force in January 2004 but its merging with the Court of Justice has delayed its establishment. The Protocol establishing the Court of Justice will come into force when ratified by 15 countries. There are many countries in Africa accused of human rights violations by the international community and NGOs. Americas The Organization of American States (OAS) is an international organization, headquartered in Washington, D.C., United States. Its members are the thirty-five independent states of the Americas. Over the course of the 1990s, with the end of the Cold War, the return to democracy in Latin America, and the thrust toward globalization, the OAS made major efforts to reinvent itself to fit the new context. Its stated priorities now include the following: Strengthening democracy Working for peace Protecting human rights Combating corruption The rights of Indigenous Peoples Promoting sustainable development The Inter-American Commission on Human Rights (the IACHR) is an autonomous organ of the Organization of American States, also based in Washington, D.C. Along with the Inter-American Court of Human Rights, based in San José, Costa Rica, it is one of the bodies that comprise the inter-American system for the promotion and protection of human rights. The IACHR is a permanent body which meets in regular and special sessions several times a year to examine allegations of human rights violations in the hemisphere. Its human rights duties stem from three documents: the American Convention on Human Rights the American Declaration of the Rights and Duties of Man the Charter of the Organization of American States The Inter-American Court of Human Rights was established in 1979 with the purpose of enforcing and interpreting the provisions of the American Convention on Human Rights. Its two main functions are thus adjudicatory and advisory. Under the former, it hears and rules on the specific cases of human rights violations referred to it. Under the latter, it issues opinions on matters of legal interpretation brought to its attention by other OAS bodies or member states. Asia There are no Asia-wide organisations or conventions to promote or protect human rights. Countries vary widely in their approach to human rights and their record of human rights protection. The Association of Southeast Asian Nations (ASEAN) is a geo-political and economic organization of 10 countries located in Southeast Asia, which was formed in 1967 by Indonesia, Malaysia, the Philippines, Singapore and Thailand. The organisation now also includes Brunei Darussalam, Vietnam, Laos, Myanmar and Cambodia. In October 2009, the ASEAN Intergovernmental Commission on Human Rights was inaugurated, and subsequently, the ASEAN Human Rights Declaration was adopted unanimously by ASEAN members on 18 November 2012. The Arab Charter on Human Rights (ACHR) was adopted by the Council of the League of Arab States on 22 May 2004. Europe The Council of Europe, founded in 1949, is the oldest organisation working for European integration. It is an international organisation with legal personality recognised under public international law and has observer status with the United Nations. The seat of the Council of Europe is in Strasbourg in France. The Council of Europe is responsible for both the European Convention on Human Rights and the European Court of Human Rights. These institutions bind the council's members to a code of human rights which, though strict, are more lenient than those of the United Nations charter on human rights. The council also promotes the European Charter for Regional or Minority Languages and the European Social Charter. Membership is open to all European states which seek European integration, accept the principle of the rule of law and are able and willing to guarantee democracy, fundamental human rights and freedoms. The Council of Europe is an organisation that is not part of the European Union, but the latter is expected to accede to the European Convention and potentially the Council itself. The EU has its own human rights document; the Charter of Fundamental Rights of the European Union. The European Convention on Human Rights defines and guarantees since 1950 human rights and fundamental freedoms in Europe. All 47 member states of the Council of Europe have signed this convention and are therefore under the jurisdiction of the European Court of Human Rights in Strasbourg. In order to prevent torture and inhuman or degrading treatment (Article 3 of the convention), the European Committee for the Prevention of Torture was established. Philosophies of human rights Several theoretical approaches have been advanced to explain how and why human rights become part of social expectations. One of the oldest Western philosophies on human rights is that they are a product of a natural law, stemming from different philosophical or religious grounds. Other theories hold that human rights codify moral behavior which is a human social product developed by a process of biological and social evolution (associated with Hume). Human rights are also described as a sociological pattern of rule setting (as in the sociological theory of law and the work of Weber). These approaches include the notion that individuals in a society accept rules from legitimate authority in exchange for security and economic advantage (as in Rawls) – a social contract. Natural rights Natural law theories base human rights on a "natural" moral, religious or even biological order which is independent of transitory human laws or traditions. Socrates and his philosophic heirs, Plato and Aristotle, posited the existence of natural justice or natural right (, δικαιον φυσικον, Latin ). Of these, Aristotle is often said to be the father of natural law, although evidence for this is due largely to the interpretations of his work by Thomas Aquinas. The development of this tradition of natural justice into one of natural law is usually attributed to the Stoics. Some of the early Church fathers sought to incorporate the until then pagan concept of natural law into Christianity. Natural law theories have featured greatly in the philosophies of Thomas Aquinas, Francisco Suárez, Richard Hooker, Thomas Hobbes, Hugo Grotius, Samuel von Pufendorf, and John Locke. In the Seventeenth Century Thomas Hobbes founded a contractualist theory of legal positivism on what all men could agree upon: what they sought (happiness) was subject to contention, but a broad consensus could form around what they feared (violent death at the hands of another). The natural law was how a rational human being, seeking to survive and prosper, would act. It was discovered by considering humankind's natural rights, whereas previously it could be said that natural rights were discovered by considering the natural law. In Hobbes' opinion, the only way natural law could prevail was for men to submit to the commands of the sovereign. In this lay the foundations of the theory of a social contract between the governed and the governor. Hugo Grotius based his philosophy of international law on natural law. He wrote that "even the will of an omnipotent being cannot change or abrogate" natural law, which "would maintain its objective validity even if we should assume the impossible, that there is no God or that he does not care for human affairs." (De iure belli ac pacis, Prolegomeni XI). This is the famous argument etiamsi daremus (non-esse Deum), that made natural law no longer dependent on theology. John Locke incorporated natural law into many of his theories and philosophy, especially in Two Treatises of Government. Locke turned Hobbes' prescription around, saying that if the ruler went against natural law and failed to protect "life, liberty, and property," people could justifiably overthrow the existing state and create a new one. The Belgian philosopher of law Frank van Dun is one among those who are elaborating a secular conception of natural law in the liberal tradition. There are also emerging and secular forms of natural law theory that define human rights as derivative of the notion of universal human dignity. The term "human rights" has replaced the term "natural rights" in popularity, because the rights are less and less frequently seen as requiring natural law for their existence. Other theories of human rights The philosopher John Finnis argues that human rights are justifiable on the grounds of their instrumental value in creating the necessary conditions for human well-being. Interest theories highlight the duty to respect the rights of other individuals on grounds of self-interest: The biological theory considers the comparative reproductive advantage of human social behavior based on empathy and altruism in the context of natural selection. Concepts in human rights Indivisibility and categorization of rights The most common categorization of human rights is to split them into civil and political rights, and economic, social and cultural rights. Civil and political rights are enshrined in articles 3 to 21 of the Universal Declaration of Human Rights and in the ICCPR. Economic, social and cultural rights are enshrined in articles 22 to 28 of the Universal Declaration of Human Rights and in the ICESCR. The UDHR included both economic, social and cultural rights and civil and political rights because it was based on the principle that the different rights could only successfully exist in combination: This is held to be true because without civil and political rights the public cannot assert their economic, social and cultural rights. Similarly, without livelihoods and a working society, the public cannot assert or make use of civil or political rights (known as the full belly thesis). Although accepted by the signatories to the UDHR, most of them do not in practice give equal weight to the different types of rights. Western cultures have often given priority to civil and political rights, sometimes at the expense of economic and social rights such as the right to work, to education, health and housing. For example, in the United States there is no universal access to healthcare free at the point of use. That is not to say that Western cultures have overlooked these rights entirely (the welfare states that exist in Western Europe are evidence of this). Similarly the ex Soviet bloc countries and Asian countries have tended to give priority to economic, social and cultural rights, but have often failed to provide civil and political rights. Another categorization, offered by Karel Vasak, is that there are three generations of human rights: first-generation civil and political rights (right to life and political participation), second-generation economic, social and cultural rights (right to subsistence) and third-generation solidarity rights (right to peace, right to clean environment). Out of these generations, the third generation is the most debated and lacks both legal and political recognition. This categorisation is at odds with the indivisibility of rights, as it implicitly states that some rights can exist without others. Prioritisation of rights for pragmatic reasons is however a widely accepted necessity. Human rights expert Philip Alston argues: He, and others, urge caution with prioritisation of rights: Some human rights are said to be "inalienable rights". The term inalienable rights (or unalienable rights) refers to "a set of human rights that are fundamental, are not awarded by human power, and cannot be surrendered". The adherence to the principle of indivisibility by the international community was reaffirmed in 1995: This statement was again endorsed at the 2005 World Summit in New York (paragraph 121). Universalism vs cultural relativism The Universal Declaration of Human Rights enshrines, by definition, rights that apply to all humans equally, whichever geographical location, state, race or culture they belong to. Proponents of cultural relativism suggest that human rights are not all universal, and indeed conflict with some cultures and threaten their survival. Rights which are most often contested with relativistic arguments are the rights of women. For example, female genital mutilation occurs in different cultures in Africa, Asia and South America. It is not mandated by any religion, but has become a tradition in many cultures. It is considered a violation of women's and girl's rights by much of the international community, and is outlawed in some countries. Universalism has been described by some as cultural, economic or political imperialism. In particular, the concept of human rights is often claimed to be fundamentally rooted in a politically liberal outlook which, although generally accepted in Europe, Japan or North America, is not necessarily taken as standard elsewhere. For example, in 1981, the Iranian representative to the United Nations, Said Rajaie-Khorassani, articulated the position of his country regarding the UDHR by saying that the UDHR was "a secular understanding of the Judeo-Christian tradition", which could not be implemented by Muslims without trespassing the Islamic law. The former Prime Ministers of Singapore, Lee Kuan Yew, and of Malaysia, Mahathir bin Mohamad both claimed in the 1990s that Asian values were significantly different from western values and included a sense of loyalty and foregoing personal freedoms for the sake of social stability and prosperity, and therefore authoritarian government is more appropriate in Asia than democracy. This view is countered by Mahathir's former deputy: Singapore's opposition leader Chee Soon Juan also states that it is racist to assert that Asians do not want human rights. An appeal is often made to the fact that influential human rights thinkers, such as John Locke and John Stuart Mill, have all been Western and indeed that some were involved in the running of Empires themselves. Relativistic arguments tend to neglect the fact that modern human rights are new to all cultures, dating back no further than the UDHR in 1948. They also do not account for the fact that the UDHR was drafted by people from many different cultures and traditions, including a US Roman Catholic, a Chinese Confucian philosopher, a French Zionist and a representative from the Arab League, amongst others, and drew upon advice from thinkers such as Mahatma Gandhi. Michael Ignatieff has argued that cultural relativism is almost exclusively an argument used by those who wield power in cultures which commit human rights abuses, and that those whose human rights are compromised are the powerless. This reflects the fact that the difficulty in judging universalism versus relativism lies in who is claiming to represent a particular culture. Although the argument between universalism and relativism is far from complete, it is an academic discussion in that all international human rights instruments adhere to the principle that human rights are universally applicable. The 2005 World Summit reaffirmed the international community's adherence to this principle: State and non-state actors Companies, NGOs, political parties, informal groups, and individuals are known as non-State actors. Non-State actors can also commit human rights abuses, but are not subject to human rights law other than International Humanitarian Law, which applies to individuals. Multi-national companies play an increasingly large role in the world, and are responsible for a large number of human rights abuses. Although the legal and moral environment surrounding the actions of governments is reasonably well developed, that surrounding multi-national companies is both controversial and ill-defined. Multi-national companies' primary responsibility is to their shareholders, not to those affected by their actions. Such companies are often larger than the economies of the states in which they operate, and can wield significant economic and political power. No international treaties exist to specifically cover the behavior of companies with regard to human rights, and national legislation is very variable. Jean Ziegler, Special Rapporteur of the UN Commission on Human Rights on the right to food stated in a report in 2003: In August 2003 the Human Rights Commission's Sub-Commission on the Promotion and Protection of Human Rights produced draft Norms on the responsibilities of transnational corporations and other business enterprises with regard to human rights. These were considered by the Human Rights Commission in 2004, but have no binding status on corporations and are not monitored. Additionally, the United Nations Sustainable Development Goal 10 aims to
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include, and because some states declined to ratify any treaties including certain specific interpretations of human rights, and despite the Soviet bloc and a number of developing countries arguing strongly for the inclusion of all rights in a so-called Unity Resolution, the rights enshrined in the UDHR were split into two separate covenants, allowing states to adopt some rights and derogate others. Though this allowed the covenants to be created, it denied the proposed principle that all rights are linked which was central to some interpretations of the UDHR. Although the UDHR is a non-binding resolution, it is now considered to be a central component of international customary law which may be invoked under appropriate circumstances by state judiciaries and other judiciaries. Human Rights Treaties In 1966, the International Covenant on Civil and Political Rights (ICCPR) and the International Covenant on Economic, Social and Cultural Rights (ICESCR) were adopted by the United Nations, between them making the rights contained in the UDHR binding on all states. However, they came into force only in 1976, when they were ratified by a sufficient number of countries (despite achieving the ICCPR, a covenant including no economic or social rights, the US only ratified the ICCPR in 1992). The ICESCR commits 155 state parties to work toward the granting of economic, social, and cultural rights (ESCR) to individuals. Numerous other treaties (pieces of legislation) have been offered at the international level. They are generally known as human rights instruments. Some of the most significant are: Convention on the Prevention and Punishment of the Crime of Genocide (adopted 1948, entry into force: 1951) Convention on the Elimination of All Forms of Racial Discrimination (CERD) (adopted 1966, entry into force: 1969) Convention on the Elimination of All Forms of Discrimination Against Women (CEDAW) (entry into force: 1981) United Nations Convention Against Torture (CAT) (adopted 1984, entry into force: 1984) Convention on the Rights of the Child (CRC) (adopted 1989, entry into force: 1989) International Convention on the Protection of the Rights of All Migrant Workers and Members of their Families (ICRMW) (adopted 1990) Rome Statute of the International Criminal Court (ICC) (entry into force: 2002) International bodies The United Nations The United Nations (UN) is the only multilateral governmental agency with universally accepted international jurisdiction for universal human rights legislation. All UN organs have advisory roles to the United Nations Security Council and the United Nations Human Rights Council, and there are numerous committees within the UN with responsibilities for safeguarding different human rights treaties. The most senior body of the UN with regard to human rights is the Office of the High Commissioner for Human Rights. The United Nations has an international mandate to: Protection at the international level Human Rights Council The UN Human Rights Council, created in 2005, has a mandate to investigate alleged human rights violations. 47 of the 193 UN member states sit on the council, elected by simple majority in a secret ballot of the United Nations General Assembly. Members serve a maximum of six years and may have their membership suspended for gross human rights abuses. The council is based in Geneva, and meets three times a year; with additional meetings to respond to urgent situations. Independent experts (rapporteurs) are retained by the council to investigate alleged human rights abuses and to report to the council. The Human Rights Council may request that the Security Council refer cases to the International Criminal Court (ICC) even if the issue being referred is outside the normal jurisdiction of the ICC. UN treaty bodies In addition to the political bodies whose mandate flows from the UN charter, the UN has set up a number of treaty-based bodies, comprising committees of independent experts who monitor compliance with human rights standards and norms flowing from the core international human rights treaties. They are supported by and are created by the treaty that they monitor, With the exception of the CESCR, which was established under a resolution of the Economic and Social Council to carry out the monitoring functions originally assigned to that body under the Covenant, they are technically autonomous bodies, established by the treaties that they monitor and accountable to the state parties of those treaties – rather than subsidiary to the United Nations, though in practice they are closely intertwined with the United Nations system and are supported by the UN High Commissioner for Human Rights (UNHCHR) and the UN Centre for Human Rights. The Human Rights Committee promotes participation with the standards of the ICCPR. The members of the committee express opinions on member countries and make judgments on individual complaints against countries which have ratified an Optional Protocol to the treaty. The judgments, termed "views", are not legally binding. The member of the committee meets around three times a year to hold sessions The Committee on Economic, Social and Cultural Rights monitors the ICESCR and makes general comments on ratifying countries performance. It will have the power to receive complaints against the countries that opted into the Optional Protocol once it has come into force. It is important to note that unlike the other treaty bodies, the economic committee is not an autonomous body responsible to the treaty parties, but directly responsible to the Economic and Social Council and ultimately to the General Assembly. This means that the Economic Committee faces particular difficulties at its disposal only relatively "weak" means of implementation in comparison to other treaty bodies. Particular difficulties noted by commentators include: perceived vagueness of the principles of the treaty, relative lack of legal texts and decisions, ambivalence of many states in addressing economic, social and cultural rights, comparatively few non-governmental organisations focused on the area and problems with obtaining relevant and precise information. The Committee on the Elimination of Racial Discrimination monitors the CERD and conducts regular reviews of countries' performance. It can make judgments on complaints against member states allowing it, but these are not legally binding. It issues warnings to attempt to prevent serious contraventions of the convention. The Committee on the Elimination of Discrimination against Women monitors the CEDAW. It receives states' reports on their performance and comments on them, and can make judgments on complaints against countries which have opted into the 1999 Optional Protocol. The Committee Against Torture monitors the CAT and receives states' reports on their performance every four years and comments on them. Its subcommittee may visit and inspect countries which have opted into the Optional Protocol. The Committee on the Rights of the Child monitors the CRC and makes comments on reports submitted by states every five years. It does not have the power to receive complaints. The Committee on Migrant Workers was established in 2004 and monitors the ICRMW and makes comments on reports submitted by states every five years. It will have the power to receive complaints of specific violations only once ten member states allow it. The Committee on the Rights of Persons with Disabilities was established in 2008 to monitor the Convention on the Rights of Persons with Disabilities. It has the power to receive complaints against the countries which have opted into the Optional Protocol to the Convention on the Rights of Persons with Disabilities. The Committee on Enforced Disappearances monitors the ICPPED. All States parties are obliged to submit reports to the committee on how the rights are being implemented. The Committee examines each report and addresses its concerns and recommendations to the State party in the form of "concluding observations". Each treaty body receives secretariat support from the Human Rights Council and Treaties Division of Office of the High Commissioner on Human Rights (OHCHR) in Geneva except CEDAW, which is supported by the Division for the Advancement of Women (DAW). CEDAW formerly held all its sessions at United Nations headquarters in New York but now frequently meets at the United Nations Office in Geneva; the other treaty bodies meet in Geneva. The Human Rights Committee usually holds its March session in New York City. Regional human rights regimes There are many regional agreements and organizations promoting and governing human rights. Africa The African Union (AU) is a supranational union consisting of fifty-five African states. Established in 2001, the AU's purpose is to help secure Africa's democracy, human rights, and a sustainable economy, especially by bringing an end to intra-African conflict and creating an effective common market. The African Commission on Human and Peoples' Rights (ACHPR) is a quasi-judicial organ of the African Union tasked with promoting and protecting human rights and collective (peoples') rights throughout the African continent as well as interpreting the African Charter on Human and Peoples' Rights and considering individual complaints of violations of the Charter. The commission has three broad areas of responsibility: Promoting human and peoples' rights Protecting human and peoples' rights Interpreting the African Charter on Human and Peoples' Rights In pursuit of these goals, the commission is mandated to "collect documents, undertake studies and researches on African problems in the field of human and peoples, rights, organise seminars, symposia and conferences, disseminate information, encourage national and local institutions concerned with human and peoples' rights and, should the case arise, give its views or make recommendations to governments" (Charter, Art. 45). With the creation of the African Court on Human and Peoples' Rights (under a protocol to the Charter which was adopted in 1998 and entered into force in January 2004), the commission will have the additional task of preparing cases for submission to the Court's jurisdiction. In a July 2004 decision, the AU Assembly resolved that the future Court on Human and Peoples' Rights would be integrated with the African Court of Justice. The Court of Justice of the African Union is intended to be the "principal judicial organ of the Union" (Protocol of the Court of Justice of the African Union, Article 2.2). Although it has not yet been established, it is intended to take over the duties of the African Commission on Human and Peoples' Rights, as well as act as the supreme court of the African Union, interpreting all necessary laws and treaties. The Protocol establishing the African Court on Human and Peoples' Rights entered into force in January 2004 but its merging with the Court of Justice has delayed its establishment. The Protocol establishing the Court of Justice will come into force when ratified by 15 countries. There are many countries in Africa accused of human rights violations by the international community and NGOs. Americas The Organization of American States (OAS) is an international organization, headquartered in Washington, D.C., United States. Its members are the thirty-five independent states of the Americas. Over the course of the 1990s, with the end of the Cold War, the return to democracy in Latin America, and the thrust toward globalization, the OAS made major efforts to reinvent itself to fit the new context. Its stated priorities now include the following: Strengthening democracy Working for peace Protecting human rights Combating corruption The rights of Indigenous Peoples Promoting sustainable development The Inter-American Commission on Human Rights (the IACHR) is an autonomous organ of the Organization of American States, also based in Washington, D.C. Along with the Inter-American Court of Human Rights, based in San José, Costa Rica, it is one of the bodies that comprise the inter-American system for the promotion and protection of human rights. The IACHR is a permanent body which meets in regular and special sessions several times a year to examine allegations of human rights violations in the hemisphere. Its human rights duties stem from three documents: the American Convention on Human Rights the American Declaration of the Rights and Duties of Man the Charter of the Organization of American States The Inter-American Court of Human Rights was established in 1979 with the purpose of enforcing and interpreting the provisions of the American Convention on Human Rights. Its two main functions are thus adjudicatory and advisory. Under the former, it hears and rules on the specific cases of human rights violations referred to it. Under the latter, it issues opinions on matters of legal interpretation brought to its attention by other OAS bodies or member states. Asia There are no Asia-wide organisations or conventions to promote or protect human rights. Countries vary widely in their approach to human rights and their record of human rights protection. The Association of Southeast Asian Nations (ASEAN) is a geo-political and economic organization of 10 countries located in Southeast Asia, which was formed in 1967 by Indonesia, Malaysia, the Philippines, Singapore and Thailand. The organisation now also includes Brunei Darussalam, Vietnam, Laos, Myanmar and Cambodia. In October 2009, the ASEAN Intergovernmental Commission on Human Rights was inaugurated, and subsequently, the ASEAN Human Rights Declaration was adopted unanimously by ASEAN members on 18 November 2012. The Arab Charter on Human Rights (ACHR) was adopted by the Council of the League of Arab States on 22 May 2004. Europe The Council of Europe, founded in 1949, is the oldest organisation working for European integration. It is an international organisation with legal personality recognised under public international law and has observer status with the United Nations. The seat of the Council of Europe is in Strasbourg in France. The Council of Europe is responsible for both the European Convention on Human Rights and the European Court of Human Rights. These institutions bind the council's members to a code of human rights which, though strict, are more lenient than those of the United Nations charter on human rights. The council also promotes the European Charter for Regional or Minority Languages and the European Social Charter. Membership is open to all European states which seek European integration, accept the principle of the rule of law and are able and willing to guarantee democracy, fundamental human rights and freedoms. The Council of Europe is an organisation that is not part of the European Union, but the latter is expected to accede to the European Convention and potentially the Council itself. The EU has its own human rights document; the Charter of Fundamental Rights of the European Union. The European Convention on Human Rights defines and guarantees since 1950 human rights and fundamental freedoms in Europe. All 47 member states of the Council of Europe have signed this convention and are therefore under the jurisdiction of the European Court of Human Rights in Strasbourg. In order to prevent torture and inhuman or degrading treatment (Article 3 of the convention), the European Committee for the Prevention of Torture was established. Philosophies of human rights Several theoretical approaches have been advanced to explain how and why human rights become part of social expectations. One of the oldest Western philosophies on human rights is that they are a product of a natural law, stemming from different philosophical or religious grounds. Other theories hold that human rights codify moral behavior which is a human social product developed by a process of biological and social evolution (associated with Hume). Human rights are also described as a sociological pattern of rule setting (as in the sociological theory of law and the work of Weber). These approaches include the notion that individuals in a society accept rules from legitimate authority in exchange for security and economic advantage (as in Rawls) – a social contract. Natural rights Natural law theories base human rights on a "natural" moral, religious or even biological order which is independent of transitory human laws or traditions. Socrates and his philosophic heirs, Plato and Aristotle, posited the existence of natural justice or natural right (, δικαιον φυσικον, Latin ). Of these, Aristotle is often said to be the father of natural law, although evidence for this is due largely to the interpretations of his work by Thomas Aquinas. The development of this tradition of natural justice into one of natural law is usually attributed to the Stoics. Some of the early Church fathers sought to incorporate the until then pagan concept of natural law into Christianity. Natural law theories have featured greatly in the philosophies of Thomas Aquinas, Francisco Suárez, Richard Hooker, Thomas Hobbes, Hugo Grotius, Samuel von Pufendorf, and John Locke. In the Seventeenth Century Thomas Hobbes founded a contractualist theory of legal positivism on what all men could agree upon: what they sought (happiness) was subject to contention, but a broad consensus could form around what they feared (violent death at the hands of another). The natural law was how a rational human being, seeking to survive and prosper, would act. It was discovered by considering humankind's natural rights, whereas previously it could be said that natural rights were discovered by considering the natural law. In Hobbes' opinion, the only way natural law could prevail was for men to submit to the commands of the sovereign. In this lay the foundations of the theory of a social contract between the governed and the governor. Hugo Grotius based his philosophy of international law on natural law. He wrote that "even the will of an omnipotent being cannot change or abrogate" natural law, which "would maintain its objective validity even if we should assume the impossible, that there is no God or that he does not care for human affairs." (De iure belli ac pacis, Prolegomeni XI). This is the famous argument etiamsi daremus (non-esse Deum), that made natural law no longer dependent on theology. John Locke incorporated natural law into many of his theories and philosophy, especially in Two Treatises of Government. Locke turned Hobbes' prescription around, saying that if the ruler went against natural law and failed to protect "life, liberty, and property," people could justifiably overthrow the existing state and create a new one. The Belgian philosopher of law Frank van Dun is one among those who are elaborating a secular conception of natural law in the liberal tradition. There are also emerging and secular forms of natural law theory that define human rights as derivative of the notion of universal human dignity. The term "human rights" has replaced the term "natural rights" in popularity, because the rights are less and less frequently seen as requiring natural law for their existence. Other theories of human rights The philosopher John Finnis argues that human rights are justifiable on the grounds of their instrumental value in creating the necessary conditions for human well-being. Interest theories highlight the duty to respect the rights of other individuals on grounds of self-interest: The biological theory considers the comparative reproductive advantage of human social behavior based on empathy and altruism in the context of natural selection. Concepts in human rights Indivisibility and categorization of rights The most common categorization of human rights is to split them into civil and political rights, and economic, social and cultural rights. Civil and political rights are enshrined in articles 3 to 21 of the Universal Declaration of Human Rights and in the ICCPR. Economic, social and cultural rights are enshrined in articles 22 to 28 of the Universal Declaration of Human Rights and in the ICESCR. The UDHR included both economic, social and cultural rights and civil and political rights because it was based on the principle that the different rights could only successfully exist in combination: This is held to be true because without civil and political rights the public cannot assert their economic, social and cultural rights. Similarly, without livelihoods and a working society, the public cannot assert or make use of civil or political rights (known as the full belly thesis). Although accepted by the signatories to the UDHR, most of them do not in practice give equal weight to the different types of rights. Western cultures have often given priority to civil and political rights, sometimes at the expense of economic and social rights such as the right to work, to education, health and housing. For example, in the United States there is no universal access to healthcare free at the point of use. That is not to say that Western cultures have overlooked these rights entirely (the welfare states that exist in Western Europe are evidence of this). Similarly the ex Soviet bloc countries and Asian countries have tended to give priority to economic, social and cultural rights, but have often failed to provide civil and political rights. Another categorization, offered by Karel Vasak, is that there are three generations of human rights: first-generation civil and political rights (right to life and political participation), second-generation economic, social and cultural rights (right to subsistence) and third-generation solidarity rights (right to peace, right to clean environment). Out of these generations, the third generation is the most debated and lacks both legal and political recognition. This categorisation is at odds with the indivisibility of rights, as it implicitly states that some rights can exist without others. Prioritisation of rights for pragmatic reasons is however a widely accepted necessity. Human rights expert Philip Alston argues: He, and others, urge caution with prioritisation of rights: Some human rights are said to be "inalienable rights". The term inalienable rights (or unalienable rights) refers to "a set of human rights that are fundamental, are not awarded by human power, and cannot be surrendered". The adherence to
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time is infinite, the values can be stored in minimum possible memory and a linear search through the array can be used to retrieve the element. In separate chaining, the process involves building a linked list with key-value pair for each search array index. The collided items are chained together through a single linked list, which can be traversed to access the item with a unique search key. Collision resolution through chaining i.e. with a linked list is a common method of implementation. Let and be the hash table and the node respectively, the operation involves as follows: If the keys of the elements are ordered, it's efficient to insert the item by maintaining the order when the key is comparable either numerically or lexically, thus resulting in faster insertions and unsuccessful searches. However, the standard method of using a linked list is not cache-conscious since there is little spatial locality—locality of reference—since the nodes of the list are scattered across the memory, hence doesn't make efficient use of CPU cache. Separate chaining with other structures If the keys are ordered, it could be efficient to use "self-organizing" concepts such as using a self-balancing binary search tree, through which the theoretical worst case could be brought down to , although it introduces additional complexities. In cache-conscious variants, a dynamic array found to be more cache-friendly is used in the place where a linked list or self-balancing binary search trees is usually deployed for collision resolution through separate chaining, since the contiguous allocation pattern of the array could be exploited by hardware-cache prefetchers—such as translation lookaside buffer—resulting in reduced access time and memory consumption. In dynamic perfect hashing, two level hash tables are used to reduce the look-up complexity to be a guaranteed in the worst case. In this technique, the buckets of entries are organized as perfect hash tables with slots providing constant worst-case lookup time, and low amortized time for insertion. A study shows array based separate chaining to be 97% more performant when compared to the standard linked list method under heavy load. Techniques such as using fusion tree for each buckets also result in constant time for all operations with high probability. Open addressing In another strategy, called open addressing, all entry records are stored in the bucket array itself. When a new entry has to be inserted, the buckets are examined, starting with the hashed-to slot and proceeding in some probe sequence, until an unoccupied slot is found. When searching for an entry, the buckets are scanned in the same sequence, until either the target record is found, or an unused array slot is found, which indicates that there is no such key in the table. The name "open addressing" refers to the location ("address") of the item is not determined by its hash value. (This method is also called closed hashing; it should not be confused with "open hashing" or "closed addressing" which usually means separate chaining.) Well-known probe sequences include: Linear probing, in which the interval between probes is fixed (usually 1). Since the slots are located in successive locations, linear probing could lead to better utilization of CPU cache due to locality of references. Quadratic probing, in which the interval between probes is increased by adding the successive outputs of a quadratic polynomial to the starting value given by the original hash computation Double hashing, in which the interval between probes is computed by a second hash function In practice, the performance of open addressing is slower than separate chaining when used in conjunction with an array of buckets for collision resolution, since a longer sequence of array indices may need to be tried to find a given element when the load factor approaches 1. The load factor must be maintained below 1 since if it reaches 1—the case of a completely full table—a search miss would go into an infinite loop through the table. The average cost of linear probing depends on the chosen hash function's ability to distribute the keys uniformly throughout the table to avoid clustering, since formation of clusters would result in increased search time leading to inefficiency. Coalesced hashing Coalesced hashing is a hybrid of both separate chaining and open addressing in which the buckets or nodes link within the table. The algorithm is ideally suited for fixed memory allocation. This method is similar to separate chaining in that it gives a pointer parameter to each bucket that tracks the location of the next collision node, creating a traceable chain of each node that collided at the original index. It also fits under the open addressing umbrella as well since, every element inserted is not particularly located at the index which the hash function initially assigned it to. This is not a trait found in separate chaining. The collision in coalesced hashing is resolved by identifying the largest-indexed empty slot on the hash table, then the colliding value is inserted into that slot. The bucket's pointer is linked to the inserted node's location which contains its colliding hash address. The performance of coalesced hashing is one of the best amongst all the variants. In a comparative study titled "Implementations for Coalesced Hashing", it was found by Jeffrey Scott Vitter that on average, coalesced hashing out performed other methods like linear probing, double hashing, and Separate Chaining especially when the hash table is fuller than 60%. However, the worst case for deletion using coalesced hashing is extremely costly and is it's most notorious con. Besides following a potentially long chain of pointers, once a deletion occurs, the pointers will need to be reassigned to account for the removal of an element from the hash table. This can prove to be an extremely complicated process. Cuckoo hashing Cuckoo hashing is a form of open addressing collision resolution technique which provides guarantees worst-case lookup complexity and constant amortized time for insertions. The collision is resolved through maintaining two hash tables, each having its own hashing function, and collided slot gets replaced with the given item, and the preoccupied element of the slot gets displaced into the other hash table. The process continues until every key has its own spot in the empty buckets of the tables; if the procedure enters into infinite loop—which is identified through maintaining a threshold loop counter—both hash tables get rehashed with newer hash functions and the procedure continues. Hopscotch hashing Hopscotch hashing is an open addressing based algorithm which combines the elements of cuckoo hashing, linear probing and chaining through the notion of a neighbourhood of buckets—the subsequent buckets around any given occupied bucket, also called a "virtual" bucket. The algorithm is designed to deliver better performance when the load factor of the hash table grows beyond 90%; it also provides high throughput in concurrent settings, thus well suited for implementing resizable concurrent hash table. The neighbourhood characteristic of hopscotch hashing guarantees a property that, the cost of finding the desired item from any given buckets within the neighbourhood is very close to the cost of finding it in the bucket itself; the algorithm attempts to be an item into its neighbourhood—with a possible cost involved in displacing other items. Each bucket within the hash table includes an additional "hop-information"—an H-bit bit array for indicating the relative distance of the item which was originally hashed into the current virtual bucket within H-1 entries. Let and be the key to be inserted and bucket to which the key is hashed into respectively; several cases are involved in the insertion procedure such that the neighbourhood property of the algorithm is vowed: if is empty, the element is inserted, and the leftmost bit of bitmap is set to 1; if not empty, linear probing is used for finding an empty slot in the table, the bitmap of the bucket gets updated followed by the insertion; if the empty slot is not within the range of the neighbourhood, i.e. H-1, subsequent swap and hop-info bit array manipulation of each bucket is performed in accordance with its neighbourhood invariant properties. Hopscotch hashing is non-cyclical, meaning it cannot be caught in an infinite loop like in cuckoo hashing. For this reason it works better than cuckoo hashing when the hash table is fuller, or the load factor is smaller. While with cuckoo hashing the success of a insertion after collision is dependent on the hash function, with hopscotch hashing this is not the case. A simple hash function can attain the same results as complex one without major performance differences. Robin Hood hashing Robin hood hashing is an open addressing based collision resolution algorithm; the collisions are resolved through favouring the displacement of the element that is farthest—or longest probe sequence length (PSL)—from its "home location" i.e. the bucket to which the item was hashed into. Although robin hood hashing does not change the theoretical search cost, it significantly affects the variance of the distribution of the items on the buckets, i.e. dealing with cluster formation in the hash table. Each node within the hash table that uses robin hood hashing should be augmented to store an extra PSL value. Let be the key to be inserted, be the (incremental) PSL length of , be the hash table and be the index, the insertion procedure is as follows: If : the iteration goes into the next bucket without attempting an external probe. If : insert the item into the bucket ; swap with —let it be ; continue the probe from the st bucket to insert ; repeat the procedure until every element is inserted. Dynamic resizing Repeated insertions cause the number of entries in a hash table to grow, which consequently increases the load factor; to maintain the amortized performance of the lookup and insertion operations, a hash table is dynamically resized and the items of the tables are rehashed into the buckets of the new hash table, since the items cannot be copied over as varying table sizes results in different hash value due to modulo operation. Resizing may be performed on hash tables with fewer entries compared to its size to avoid excessive memory usage. Resizing by moving all entries Generally, a new hash table with a size double that of the original hash table gets allocated privately and every item in the original hash table gets moved to the newly allocated one by computing the hash values of the items followed by the insertion operation. Rehashing is computationally expensive despite its simplicity. Alternatives to all-at-once rehashing Some hash table implementations, notably in real-time systems, cannot pay the price of enlarging the hash table all at once, because it may interrupt time-critical operations. If one cannot avoid dynamic resizing, a solution is to perform the resizing gradually to avoid storage blip—typically of size 50% of new table's size—during rehashing and to avoid memory fragmentation that triggers heap compaction due to deallocation of large memory blocks caused by the old hash table. In such case, the rehashing operation is done incrementally through extending prior memory block allocated for the old hash table such that the buckets of the hash table remain unaltered. A common approach for amortized rehashing involves maintaining two hash functions and . The process of rehashing a bucket's items in accordance with the new hash function is termed as cleaning, which is implemented through command pattern by encapsulating the operations such as , and through a wrapper such that each element in the bucket gets rehashed and its procedure involve as follows: Clean bucket. Clean bucket. The command gets executed. Linear hashing Linear hashing is an implementation of the hash table which enables dynamic
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since formation of clusters would result in increased search time leading to inefficiency. Coalesced hashing Coalesced hashing is a hybrid of both separate chaining and open addressing in which the buckets or nodes link within the table. The algorithm is ideally suited for fixed memory allocation. This method is similar to separate chaining in that it gives a pointer parameter to each bucket that tracks the location of the next collision node, creating a traceable chain of each node that collided at the original index. It also fits under the open addressing umbrella as well since, every element inserted is not particularly located at the index which the hash function initially assigned it to. This is not a trait found in separate chaining. The collision in coalesced hashing is resolved by identifying the largest-indexed empty slot on the hash table, then the colliding value is inserted into that slot. The bucket's pointer is linked to the inserted node's location which contains its colliding hash address. The performance of coalesced hashing is one of the best amongst all the variants. In a comparative study titled "Implementations for Coalesced Hashing", it was found by Jeffrey Scott Vitter that on average, coalesced hashing out performed other methods like linear probing, double hashing, and Separate Chaining especially when the hash table is fuller than 60%. However, the worst case for deletion using coalesced hashing is extremely costly and is it's most notorious con. Besides following a potentially long chain of pointers, once a deletion occurs, the pointers will need to be reassigned to account for the removal of an element from the hash table. This can prove to be an extremely complicated process. Cuckoo hashing Cuckoo hashing is a form of open addressing collision resolution technique which provides guarantees worst-case lookup complexity and constant amortized time for insertions. The collision is resolved through maintaining two hash tables, each having its own hashing function, and collided slot gets replaced with the given item, and the preoccupied element of the slot gets displaced into the other hash table. The process continues until every key has its own spot in the empty buckets of the tables; if the procedure enters into infinite loop—which is identified through maintaining a threshold loop counter—both hash tables get rehashed with newer hash functions and the procedure continues. Hopscotch hashing Hopscotch hashing is an open addressing based algorithm which combines the elements of cuckoo hashing, linear probing and chaining through the notion of a neighbourhood of buckets—the subsequent buckets around any given occupied bucket, also called a "virtual" bucket. The algorithm is designed to deliver better performance when the load factor of the hash table grows beyond 90%; it also provides high throughput in concurrent settings, thus well suited for implementing resizable concurrent hash table. The neighbourhood characteristic of hopscotch hashing guarantees a property that, the cost of finding the desired item from any given buckets within the neighbourhood is very close to the cost of finding it in the bucket itself; the algorithm attempts to be an item into its neighbourhood—with a possible cost involved in displacing other items. Each bucket within the hash table includes an additional "hop-information"—an H-bit bit array for indicating the relative distance of the item which was originally hashed into the current virtual bucket within H-1 entries. Let and be the key to be inserted and bucket to which the key is hashed into respectively; several cases are involved in the insertion procedure such that the neighbourhood property of the algorithm is vowed: if is empty, the element is inserted, and the leftmost bit of bitmap is set to 1; if not empty, linear probing is used for finding an empty slot in the table, the bitmap of the bucket gets updated followed by the insertion; if the empty slot is not within the range of the neighbourhood, i.e. H-1, subsequent swap and hop-info bit array manipulation of each bucket is performed in accordance with its neighbourhood invariant properties. Hopscotch hashing is non-cyclical, meaning it cannot be caught in an infinite loop like in cuckoo hashing. For this reason it works better than cuckoo hashing when the hash table is fuller, or the load factor is smaller. While with cuckoo hashing the success of a insertion after collision is dependent on the hash function, with hopscotch hashing this is not the case. A simple hash function can attain the same results as complex one without major performance differences. Robin Hood hashing Robin hood hashing is an open addressing based collision resolution algorithm; the collisions are resolved through favouring the displacement of the element that is farthest—or longest probe sequence length (PSL)—from its "home location" i.e. the bucket to which the item was hashed into. Although robin hood hashing does not change the theoretical search cost, it significantly affects the variance of the distribution of the items on the buckets, i.e. dealing with cluster formation in the hash table. Each node within the hash table that uses robin hood hashing should be augmented to store an extra PSL value. Let be the key to be inserted, be the (incremental) PSL length of , be the hash table and be the index, the insertion procedure is as follows: If : the iteration goes into the next bucket without attempting an external probe. If : insert the item into the bucket ; swap with —let it be ; continue the probe from the st bucket to insert ; repeat the procedure until every element is inserted. Dynamic resizing Repeated insertions cause the number of entries in a hash table to grow, which consequently increases the load factor; to maintain the amortized performance of the lookup and insertion operations, a hash table is dynamically resized and the items of the tables are rehashed into the buckets of the new hash table, since the items cannot be copied over as varying table sizes results in different hash value due to modulo operation. Resizing may be performed on hash tables with fewer entries compared to its size to avoid excessive memory usage. Resizing by moving all entries Generally, a new hash table with a size double that of the original hash table gets allocated privately and every item in the original hash table gets moved to the newly allocated one by computing the hash values of the items followed by the insertion operation. Rehashing is computationally expensive despite its simplicity. Alternatives to all-at-once rehashing Some hash table implementations, notably in real-time systems, cannot pay the price of enlarging the hash table all at once, because it may interrupt time-critical operations. If one cannot avoid dynamic resizing, a solution is to perform the resizing gradually to avoid storage blip—typically of size 50% of new table's size—during rehashing and to avoid memory fragmentation that triggers heap compaction due to deallocation of large memory blocks caused by the old hash table. In such case, the rehashing operation is done incrementally through extending prior memory block allocated for the old hash table such that the buckets of the hash table remain unaltered. A common approach for amortized rehashing involves maintaining two hash functions and . The process of rehashing a bucket's items in accordance with the new hash function is termed as cleaning, which is implemented through command pattern by encapsulating the operations such as , and through a wrapper such that each element in the bucket gets rehashed and its procedure involve as follows: Clean bucket. Clean bucket. The command gets executed. Linear hashing Linear hashing is an implementation of the hash table which enables dynamic growths or shrinks of the table one bucket at a time. Hashing for distributed hash tables Another way to decrease the cost of table resizing is to choose a hash function in such a way that the hashes of most values do not change when the table is resized. Such hash functions are prevalent in disk-based and distributed hash tables, where rehashing is prohibitively costly. The problem of designing a hash such that most values do not change when the table is resized is known as the distributed hash table problem. The four most popular approaches are rendezvous hashing, consistent hashing, the content addressable network algorithm, and Kademlia distance. Performance The performance of a hash table is dependent on the hash function's ability in generating quasi-random numbers () for entries in the hash table where , and denotes the key, number of buckets and the hash function such that . If the hash function generates same for distinct keys (), this results in collision, which should be dealt with in several ways. The constant time complexity () of the operation in a hash table is presupposed on the condition that the hash function doesn't generate colliding indices; thus, the performance of the hash table is directly proportional to the chosen hash function ability to disperse the indice. However, construction of such a hash function is practically unfeasible, that being so, implementations depend on case-specific collision resolution techniques in achieving higher performance. Applications Associative arrays Hash tables are commonly used to implement many types of in-memory tables. They are used to implement associative arrays. Database indexing Hash tables may also be used as disk-based data structures and database indices (such as in dbm) although B-trees are more popular in these applications. In multi-node database systems, hash tables are commonly used to distribute rows amongst nodes, reducing network traffic for hash joins. Caches Hash tables can be used to implement caches, auxiliary data tables that are used to speed
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b 'o, w'; c 'orld'; The program also prints on the terminal, including a newline character. The phrase is divided into multiple variables because in B, a character constant is limited to four ASCII characters. The previous example in the tutorial printed on the terminal, and the phrase was introduced as a slightly longer greeting that required several character constants for its expression. The Jargon File claims that "Hello, World!" originated instead with BCPL (1967). This claim is supposedly supported by the archived notes of the inventors of BCPL, Brian Kernighan at Princeton and Martin Richards at Cambridge. The phrase predated by over a decade its usage in computing; as early as the 1950s, it was the catchphrase of radio disc jockey William B. Williams. Variations "Hello, World!" programs vary in complexity between different languages. In some languages, particularly scripting languages, the "Hello, World!" program can be written as a single statement, while in others (particularly many low-level languages) there can be many more statements required. For example, in Python, to print the string followed by a newline, one only needs to write print("Hello, World!"). In contrast, the equivalent code in C++ requires the import of the input/output software library, the manual declaration of an entry point, and the explicit instruction that the output string should be sent to the standard output stream. Generally, programming languages that give the programmer more control over the machine will result in more complex "Hello, World" programs. The phrase "Hello World!" has seen various deviations in punctuation and casing, such as the presence of the comma and exclamation mark, and the capitalization of the leading H and W. Some devices limit the format to specific variations, such as all-capitalized versions on systems that support only capital letters, while some esoteric programming languages may have to print a slightly modified string. For example, the first non-trivial Malbolge program printed "Hello world", this having been determined to be good enough. Other human languages have been used as the output; for example, a tutorial for the Go programming language outputted both English and Chinese or Japanese characters, demonstrating the programming language's built-in Unicode support. Some languages change the functionality of the "Hello, World!" program while maintaining the spirit of demonstrating a simple example. Functional programming languages, such as Lisp, ML, and Haskell, tend to substitute a factorial program for "Hello, World!", as functional programming emphasizes recursive techniques, whereas the original examples emphasize I/O, which violates the spirit of pure functional programming by producing side effects. Languages otherwise capable of printing "Hello, World!" (Assembly, C, VHDL) may also be used in embedded systems, where text output is either difficult (requiring additional components or communication with another computer) or nonexistent. For devices such as microcontrollers, field-programmable gate arrays, and CPLDs, "Hello, World!" may thus be substituted with a blinking LED, which demonstrates timing and interaction between components. The Debian and Ubuntu Linux distributions provide the "Hello, World!" program through their software package manager systems, which can be invoked with the command . It serves as a sanity check and a simple example of installing a software package. For developers, it provides an example of creating a .deb package, either traditionally or using debhelper, and the version of used, GNU Hello, serves as an example of writing a GNU program. Variations of the "Hello, World!" program that produce a graphical output (as opposed to text output) have also been shown. Sun demonstrated a "Hello, World!" program in Java based on scalable vector graphics, and the XL programming language features a spinning Earth "Hello, World!" using 3D computer graphics. Mark Guzdial and Elliot Soloway have suggested that the "hello, world" test message may be outdated now that graphics and sound can be manipulated as easily as text.
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by the archived notes of the inventors of BCPL, Brian Kernighan at Princeton and Martin Richards at Cambridge. The phrase predated by over a decade its usage in computing; as early as the 1950s, it was the catchphrase of radio disc jockey William B. Williams. Variations "Hello, World!" programs vary in complexity between different languages. In some languages, particularly scripting languages, the "Hello, World!" program can be written as a single statement, while in others (particularly many low-level languages) there can be many more statements required. For example, in Python, to print the string followed by a newline, one only needs to write print("Hello, World!"). In contrast, the equivalent code in C++ requires the import of the input/output software library, the manual declaration of an entry point, and the explicit instruction that the output string should be sent to the standard output stream. Generally, programming languages that give the programmer more control over the machine will result in more complex "Hello, World" programs. The phrase "Hello World!" has seen various deviations in punctuation and casing, such as the presence of the comma and exclamation mark, and the capitalization of the leading H and W. Some devices limit the format to specific variations, such as all-capitalized versions on systems that support only capital letters, while some esoteric programming languages may have to print a slightly modified string. For example, the first non-trivial Malbolge program printed "Hello world", this having been determined to be good enough. Other human languages have been used as the output; for example, a tutorial for the Go programming language outputted both English and Chinese or Japanese characters, demonstrating the programming language's built-in Unicode support. Some languages change the functionality of the "Hello, World!" program while maintaining the spirit of demonstrating a simple example. Functional programming languages, such as Lisp, ML, and Haskell, tend to substitute a factorial program for "Hello, World!", as functional programming emphasizes recursive techniques, whereas the original examples emphasize I/O, which violates the spirit of pure functional programming by producing side effects. Languages otherwise capable of printing "Hello, World!" (Assembly, C, VHDL) may also be used in embedded systems, where text output is either difficult (requiring additional components or communication with another computer) or nonexistent. For devices such as microcontrollers, field-programmable gate arrays, and CPLDs, "Hello, World!" may thus be substituted with a blinking LED, which demonstrates timing and interaction between components. The Debian and Ubuntu Linux distributions provide the "Hello, World!" program through their software package manager systems, which can be invoked with the command . It serves as a sanity check and a simple example of installing a software package. For developers,
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element of environmental concern Heavy metal music, a genre of rock music Heavy metal genres Heavy Metal (magazine), an American fantasy comic book magazine People Heavy Metal (wrestler) (Erick Francisco Casas Ruiz, born 1970), Mexican professional wrestler Van Hammer (Mark Hildreth, born 1967), American professional wrestler Fictional characters Heavy Metal (G.I. Joe), a character in the G.I. Joe universe Heavy Metal (Marvel Comics), a group of villains of the Marvel Universe Songs and albums "Heavy Metal (Takin' a Ride)", a 1981 song by Don Felder from the soundtrack of Heavy Metal "Heavy Metal", a 1981 song by Sammy Hagar from the album Standing Hampton, also on the soundtrack of Heavy Metal "Heavy Metal: The Black and Silver", a 1981 song by Blue Öyster Cult from Fire of Unknown Origin "Heavy Metal",
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Ruiz, born 1970), Mexican professional wrestler Van Hammer (Mark Hildreth, born 1967), American professional wrestler Fictional characters Heavy Metal (G.I. Joe), a character in the G.I. Joe universe Heavy Metal (Marvel Comics), a group of villains of the Marvel Universe Songs and albums "Heavy Metal (Takin' a Ride)", a 1981 song by Don Felder from the soundtrack of Heavy Metal "Heavy Metal", a 1981 song by Sammy Hagar from the album Standing Hampton, also on the soundtrack of Heavy Metal "Heavy Metal: The Black and Silver", a 1981 song by Blue Öyster Cult from Fire of Unknown Origin "Heavy Metal", a 1985 song by Helloween from Walls of Jericho "Heavy Metal", a 1988 song by Judas Priest from Ram It Down "Heavy Metal", a 2005 song by Clap Your Hands Say Yeah from Clap Your Hands Say Yeah "Heavy Metal", a 2016 song by Justice from Woman
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shel, as in the previous case. Biblical Hebrew often expresses a pronoun direct object by appending a pronominal suffix directly to the verb, as an alternative to appending it to the preposition that signals a definite direct object. The latter construction is the one generally used in Modern Hebrew. The tense–aspect that is formed by prefixes could denote either the present (especially frequentative) or the future, as well as frequentative past in Biblical Hebrew (some scholars argue that it simply denoted imperfective aspect), while in modern Hebrew it is always future. The suffixed form denotes what is commonly translated as past in both cases, though some scholars argue that it denoted perfective aspect. Biblical Hebrew employs the so-called waw consecutive construction, in which the conjunction "and" seemingly reverses the tense of a verb (though its exact meaning is a matter of debate). This is not typical of Modern Hebrew. The default word order in Biblical Hebrew is VSO, while Modern Hebrew is SVO. However, most Biblical Hebrew constructions are still permissible in Modern Hebrew in formal, literary, archaic or poetic style. See also Grammar and Orthography Biblical Hebrew grammar Modern Hebrew grammar Modern Hebrew verb conjugation Prefixes in Hebrew Suffixes in Hebrew Hebrew spelling Biblical Hebrew orthography Stages of Hebrew Biblical Hebrew – Attested from 10th century BCE to about 70 CE Mishnaic Hebrew – Post Temple Roman Era (1st through 4th Century CE) Medieval Hebrew – From about the 4th century until the revival of Hebrew in the late 19th and early 20th centuries Modern Hebrew – Early 20th century CE to present Other forms of Hebrew Israelian Hebrew – Proposed dialect of Hebrew used by the Northern Israelite tribes in the 1st millennium BCE Samaritan Hebrew – Form of Hebrew used by the Samaritans Pronunciation Variation Sephardi Hebrew pronunciation used by Jews of Spain and Portugal Mizrahi Hebrew used by Jews of the Middle East and North Africa Yemenite Hebrew pronunciation (Temani Hebrew) used by Jews of Yemen Ashkenazi Hebrew pronunciation used by Jews of Germany and by Yiddish-speaking Jews Modern Hebrew phonology Miscellaneous Yiddish
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arisen in Modern Hebrew as a result of non-Semitic substrate influences. In particular: In Biblical Hebrew, possession is normally expressed with status constructus, a construction in which the possessed noun occurs in a phonologically reduced, "construct" form and is followed by the possessor noun in its normal, "absolute" form. Modern Hebrew tends to reserve this construction for phrases where the two components form a unified concept, whereas ordinary possession is more commonly expressed analytically with the preposition shel 'of' (etymologically consisting of the relativizer she- 'that' and the preposition le- 'to'). Possession in pronouns is expressed with pronominal suffixes added to the noun. Modern Hebrew tends to reserve this for a limited number of nouns, but usually prefers to use the preposition shel, as in the previous case. Biblical Hebrew often expresses a pronoun direct object by appending a pronominal suffix directly to the verb, as an alternative to appending it to the preposition that signals a definite direct object. The latter construction is the one generally used in Modern Hebrew. The tense–aspect that is formed by prefixes could denote either the present (especially frequentative) or the future, as well as frequentative past in Biblical Hebrew (some scholars argue that it simply denoted imperfective aspect), while in modern Hebrew it is always future. The suffixed form denotes what is commonly translated as past in both cases, though some scholars argue that it denoted perfective aspect. Biblical Hebrew employs the so-called waw consecutive construction, in which the conjunction "and" seemingly reverses the tense of a verb (though its exact meaning is a matter of debate). This is not typical of Modern Hebrew. The default word order in Biblical Hebrew is VSO, while Modern Hebrew is SVO. However, most Biblical Hebrew constructions are still permissible in Modern Hebrew in formal, literary, archaic or poetic style. See also Grammar and Orthography Biblical Hebrew grammar Modern Hebrew grammar Modern Hebrew verb conjugation Prefixes in Hebrew Suffixes in Hebrew Hebrew spelling Biblical Hebrew orthography Stages of Hebrew Biblical Hebrew – Attested from 10th century BCE to about 70 CE Mishnaic Hebrew – Post Temple Roman Era (1st through 4th Century CE) Medieval Hebrew – From about the 4th century until the revival of Hebrew
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of Arabic in their countries of origin, and pronounced the Hebrew rhotic consonant as an alveolar trill, identical to Arabic , and which followed the conventions of old Hebrew. In modern Ashkenazi, Sephardi, and Mizrahi poetry and folk music, as well as in the standard (or "standardised") Hebrew used in the Israeli media, an alveolar rhotic is sometimes used. Consonants The following table lists the consonant phonemes of Israeli Hebrew in IPA transcription: * Phoneme was introduced through borrowings. † Phoneme is not present in English phonology. 1 In modern Hebrew for ח has merged with that was traditionally only for fricative כ into , though some older Mizrahi speakers still separate these. 2 The glottal consonants are mostly elided in unstressed syllables, and sometimes also in stressed syllables as well, but are pronounced in careful or formal speech. In modern Hebrew for ע has been absorbed by that was traditionally only for , though some speakers (particularly older Mizrahi speakers) still separate these. 3 is usually pronounced as a uvular approximant , and sometimes as a uvular or alveolar trill or alveolar flap , depending on the background of the speaker. Nurit Dekel (2014) gives an additional alternative velar fricative . 4 While the phoneme was introduced through borrowings, it can appear in native words as a sequence of and as in . For many young speakers, obstruents assimilate in voicing. Voiceless obstruents (stops/affricates and fricatives ) become voiced () when they appear immediately before voiced obstruents, and vice versa. For example: > ('to close'), > > ('a right'), > > ('a bill'), > > ('a printer'), > > ('security'), > is pronounced before velar consonants. Illustrative words Historical sound changes Standard Israeli Hebrew (SIH) phonology, based on the Sephardic Hebrew pronunciation tradition, has a number of differences from Biblical Hebrew (BH) and Mishnaic Hebrew (MH) in the form of splits and mergers. BH/MH and merged into SIH . BH/MH and merged into SIH . BH/MH and generally merge into SIH , but the distinction is maintained in the speech of older Sephardim and is reintroduced in the speech of some other speakers. BH/MH had two allophones, and , which split into separate phonemes and in SIH. BH/MH had two allophones, and . The allophone merged with into SIH . A new phoneme was introduced in loanwords (see Hebrew vav as consonant), so SIH has phonemic . BH/MH had two allophones, and . The allophone merged with into SIH , while the allophone merged with into SIH , though a distinction between and is maintained in the speech of older Sephardim. Spirantization The consonant pairs – (archaically ), – (archaically ), and – (archaically ) were historically allophonic, as a consequence of a phenomenon of spirantisation known as begadkefat under the influence of the Aramaic language on BH/MH. In Modern Hebrew, the above six sounds are phonemic. The full inventory of Hebrew consonants which undergo and/or underwent spirantisation are: However, the above-mentioned allophonic alternation of BH/MH –, – and – was lost in Modern Hebrew, with these six allophones merging into simple . These phonemic changes were partly due to the mergers noted above, to the loss of consonant gemination, which had distinguished stops from their fricative allophones in intervocalic position, and the introduction of syllable-initial and non-syllable-initial and in loan words. Spirantization still occurs in verbal and nominal derivation, but now the alternations –, –, and – are phonemic rather than allophonic. Loss of final H consonant In Traditional Hebrew words can end with an H consonant, e.g. when the suffix "-ah" is used, meaning "her" (see Mappiq). The final H sound is hardly ever pronounced in Modern Hebrew. Vowels Modern Hebrew has a simple five-vowel system. Long vowels may occur where two identical vowels were historically separated by a pharyngeal or glottal consonant (this separation is preserved in writing, and is still pronounced by some), and the second was not stressed. (Where the second was stressed, the result is a sequence of two short vowels.) They also often occur when morphology brings two identical vowels together, but they are not predictable in that environment. Any of the five short vowels may be realized as a schwa when far from lexical
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either a trill or a fricative . This was because most native dialects of Yiddish were spoken that way, and the liturgical Hebrew of these speakers carried the Yiddish pronunciation. Some Iraqi Jews also pronounce rêš as a guttural , reflecting Baghdad Jewish Arabic. An apparently unrelated uvular rhotic is believed to have appeared in the Tiberian pronunciation of Hebrew, where it may have coexisted with additional non-guttural articulations of depending on circumstances. Though an Ashkenazi Jew in the Russian Empire, the Zionist Eliezer Ben-Yehuda based his Standard Hebrew on Sephardi Hebrew, originally spoken in Spain, and therefore recommended an alveolar . However, just like him, the first waves of Jews to resettle in the Holy Land were Ashkenazi, and Standard Hebrew would come to be spoken with their native pronunciation. Consequently, by now nearly all Israeli Jews pronounce the consonant rêš as a uvular approximant (), which also exists in Yiddish. Many Jewish immigrants to Israel spoke a variety of Arabic in their countries of origin, and pronounced the Hebrew rhotic consonant as an alveolar trill, identical to Arabic , and which followed the conventions of old Hebrew. In modern Ashkenazi, Sephardi, and Mizrahi poetry and folk music, as well as in the standard (or "standardised") Hebrew used in the Israeli media, an alveolar rhotic is sometimes used. Consonants The following table lists the consonant phonemes of Israeli Hebrew in IPA transcription: * Phoneme was introduced through borrowings. † Phoneme is not present in English phonology. 1 In modern Hebrew for ח has merged with that was traditionally only for fricative כ into , though some older Mizrahi speakers still separate these. 2 The glottal consonants are mostly elided in unstressed syllables, and sometimes also in stressed syllables as well, but are pronounced in careful or formal speech. In modern Hebrew for ע has been absorbed by that was traditionally only for , though some speakers (particularly older Mizrahi speakers) still separate these. 3 is usually pronounced as a uvular approximant , and sometimes as a uvular or alveolar trill or alveolar flap , depending on the background of the speaker. Nurit Dekel (2014) gives an additional alternative velar fricative . 4 While the phoneme was introduced through borrowings, it can appear in native words as a sequence of and as in . For many young speakers, obstruents assimilate in voicing. Voiceless obstruents (stops/affricates and fricatives ) become voiced () when they appear immediately before voiced obstruents, and vice versa. For example: > ('to close'), > > ('a right'), > > ('a bill'), > > ('a printer'), > > ('security'), > is pronounced before velar consonants. Illustrative words Historical sound changes Standard Israeli Hebrew (SIH) phonology, based on the Sephardic Hebrew pronunciation tradition, has a number of differences from Biblical Hebrew (BH) and Mishnaic Hebrew (MH) in the form of splits and mergers. BH/MH and merged into SIH . BH/MH and merged into SIH . BH/MH and generally merge into SIH , but the distinction is maintained in the speech of older Sephardim and is reintroduced in the speech of some other speakers. BH/MH had two allophones, and , which split into separate phonemes and in SIH. BH/MH had two allophones, and . The allophone merged with into SIH . A new phoneme was introduced in loanwords (see Hebrew vav as consonant), so SIH has phonemic . BH/MH had two allophones, and . The allophone merged with into SIH , while the allophone merged with into SIH , though a distinction between and is maintained in the speech of older Sephardim. Spirantization The consonant pairs – (archaically ), – (archaically ), and – (archaically ) were historically allophonic, as a consequence of a phenomenon of spirantisation known as begadkefat under the influence of the Aramaic language on BH/MH. In Modern Hebrew, the above six sounds are phonemic. The full inventory of Hebrew consonants which undergo and/or underwent spirantisation are: However, the above-mentioned allophonic alternation of BH/MH –, – and – was lost in
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was born before 1025 and died in 1061. In 1095, Count Adalbert of Zollern founded the Benedictine monastery of Alpirsbach, situated in the Black Forest. The Zollerns received the Graf title from Emperor Henry V in 1111. As loyal vassals of the Swabian Hohenstaufen dynasty, they were able to significantly enlarge their territory. Count Frederick III (c. 1139 – c. 1200) accompanied Emperor Frederick Barbarossa against Henry the Lion in 1180, and through his marriage was granted the Burgraviate of Nuremberg by Emperor Henry VI in 1192. In about 1185, he married Sophia of Raabs, the daughter of Conrad II, Burgrave of Nuremberg. After the death of Conrad II who left no male heirs, Frederick III was granted Nuremberg as Burgrave Frederick I. In 1218, the burgraviate passed to Frederick's elder son Conrad I, he thereby became the ancestor of the Franconian Hohenzollern branch, which acquired the Electorate of Brandenburg in 1415. Counts of Zollern (1061–1204) until 1061: Burkhard I before 1125: Frederick I between ca. 1125 and 1142: Frederick II, eldest son of Frederick I between ca. 1143 and 1150–1155: Burkhard II, 2nd oldest son of Frederick I between ca. 1150–1155 and 1160: Gotfried of Zimmern, 4th oldest son of Frederick I before 1171 – c. 1200: Frederick III/I (son of Frederick II, also Burgrave of Nuremberg) After Frederick's death, his sons partitioned the family lands between themselves: Conrad I received the county of Zollern and exchanged it for the burgraviate of Nuremberg with his younger brother Frederick IV in 1218, thereby founding the Franconian branch of the House of Hohenzollern. Members of the Franconian line eventually became the Brandenburg-Prussia branch and later converted to Protestantism. Frederick IV received the burgraviate of Nuremberg in 1200 from his father and exchanged it for the county of Zollern in 1218 with his brother, thereby founding the Swabian branch of the House of Hohenzollern, which remains Catholic. Franconian branch The senior Franconian branch of the House of Hohenzollern was founded by Conrad I, Burgrave of Nuremberg (1186–1261). The family supported the Hohenstaufen and Habsburg rulers of the Holy Roman Empire during the 12th to 15th centuries, being rewarded with several territorial grants. Beginning in the 16th century, this branch of the family became Protestant and decided on expansion through marriage and the purchase of surrounding lands. In the first phase, the family gradually added to their lands, at first with many small acquisitions in the Franconian region of Germany: Ansbach in 1331 Kulmbach in 1340 In the second phase, the family expanded their lands further with large acquisitions in the Brandenburg and Prussian regions of Germany and present-day Poland: Margraviate of Brandenburg in 1417 Duchy of Prussia in 1525 These acquisitions eventually transformed the Franconian Hohenzollerns from a minor German princely family into one of the most important dynasties in Europe. From 8 January 1701 the title of Elector of Brandenburg was attached to the title of King in Prussia and, from 13 September 1772, to that of King of Prussia. Burgraves of Nuremberg (1192–1427) 1192–1200/1204: Frederick I (also count of Zollern as Frederick III) 1204–1218: Frederick II (son of, also count of Zollern as Frederick IV) 1218–1261/1262: Conrad I/III (brother of, also count of Zollern) 1262–1297: Frederick III (c. 1220–1297), son of 1297–1300: John I (c. 1279–1300), son of 1300–1332: Frederick IV (1287–1332), brother of 1332–1357: John II (c. 1309–1357), son of 1357–1397: Frederick V (before 1333–1398), son of At Frederick V's death on 21 January 1398, his lands were partitioned between his two sons: 1397–1420: John III/I (son of, also Margrave of Brandenburg-Kulmbach) 1397–1427: Frederick VI/I/I, (brother of, also Elector and Margrave of Brandenburg, also Margrave of Brandenburg-Ansbach and Brandenburg-Kulmbach) After John III/I's death on 11 June 1420, the margraviates of Brandenburg-Ansbach and Brandenburg-Kulmbach were briefly reunited under Frederick VI/I/I. He ruled the Margraviate of Brandenburg-Ansbach after 1398. From 1420, he became Margrave of Brandenburg-Kulmbach. From 1411 Frederick VI became governor of Brandenburg and later Elector and Margrave of Brandenburg as Frederick I. Upon his death on 21 September 1440, his territories were divided among his sons: Frederick II, Elector of Brandenburg Albert III, Elector of Brandenburg and Margrave of Brandenburg-Ansbach John II, Margrave of Brandenburg-Kulmbach In 1427 Frederick, Elector of Brandenburg sold Nuremberg Castle and his rights as burgrave to the Imperial City of Nuremberg. The territories of Brandenburg-Ansbach and Brandenburg-Kulmbach remained possessions of the family, once parts of the Burgraviate of Nuremberg. Margraves of Brandenburg-Ansbach (1398–1791) 1398–1440: Frederick I (also Margrave of Brandenburg-Kulmbach) 1440–1486: Albert I/I/III Achilles (son of, also Margrave of Brandenburg-Kulmbach and Elector of Brandenburg) 1486–1515: Frederick II/II (son of, also Margrave of Brandenburg-Kulmbach) 1515–1543: George I/I the Pious (son of, also Duke of Brandenburg-Jägerndorf) 1543–1603: George Frederick I/I/I/I (son of, also Margrave of Brandenburg-Kulmbach, Duke of Brandenburg-Jägerndorf and Regent of Prussia) 1603–1625: Joachim Ernst (1583–1625), son of John George of Brandenburg 1625–1634: Frederick III (1616–1634), son of 1634–1667: Albert II, brother of 1667–1686: John Frederick (1654–1686), son of 1686–1692: Christian I Albrecht, son of 1692–1703: George Frederick II/II (brother of, later Margrave of Brandenburg-Kulmbach) 1703–1723: William Frederick (before 1686–1723), brother of 1723–1757: Charles William (1712–1757), son of 1757–1791: Christian II Frederick (1736–1806) (son of, also Margrave of Brandenburg-Kulmbach) On 2 December 1791, Christian II Frederick sold the sovereignty of his principalities to King Frederick William II of Prussia. Margraves of Brandenburg-Kulmbach (1398–1604), later Brandenburg-Bayreuth (1604–1791) 1398–1420: John I (c. 1369–1420), son of Frederick V of Nuremberg 1420–1440: Frederick I (also Margrave of Brandenburg-Ansbach) 1440–1457: John II (1406–1464), son of 1457–1486: Albert I/I/III Achilles (also Margrave of Brandenburg-Ansbach and Elector of Brandenburg) 1486–1495: Siegmund (1468–1495), son of 1495–1515: Frederick II/II (also Margrave of Brandenburg-Ansbach) 1515–1527: Casimir (1481–1527), son of 1527–1553: Albert II Alcibiades (1522–1557), son of 1553–1603: George Frederick I/I/I/I (also Margrave of Brandenburg-Ansbach, Duke of Brandenburg-Jägerndorf and Regent of Prussia) 1603–1655: Christian I (1581–1655), son of John George, of Brandenburg 1655–1712: Christian II Ernst (1644–1712), son of Erdmann August 1712–1726: George I William (1678–1726), son of 1726–1735: George Frederick II/II (previously Margrave of Kulmbach) 1735–1763: Frederick IV (1711–1763), son of 1763–1769: Frederick V Christian (1708–1769), son of Christian Heinrich 1769–1791: Charles Alexander (also Margrave of Brandenburg-Ansbach) On 2 December 1791, Charles Alexander sold the sovereignty of his principalities to King Frederick William II of Prussia. Dukes of Jägerndorf (1523–1622) The Duchy of Jägerndorf (Krnov) was purchased in 1523. 1541–1543: George I the Pious (also Margrave of Brandenburg-Ansbach) 1543–1603: George Frederick I (also Margrave of Brandenburg-Ansbach, Margrave of Brandenburg-Kulmbach and Regent of Prussia) 1603–1606: Joachim I (also Regent of Prussia and Elector of Brandenburg) 1606–1621: Johann Georg von Brandenburg The duchy of Jägerndorf was confiscated by Emperor Ferdinand III in 1622. Brandenburg-Prussian branch Margraves of Brandenburg (1415–1619) In 1411, Frederick VI, Burgrave of Nuremberg was appointed governor of Brandenburg in order to restore order and stability. At the Council of Constance in 1415, King Sigismund elevated Frederick to the rank of Elector and Margrave of Brandenburg as Frederick I. Margraves of Brandenburg-Küstrin (1535–1571) The short-lived Margraviate of Brandenburg-Küstrin was set up as a secundogeniture of the House of Hohenzollern. 1535–1571: John the Wise, Margrave of Brandenburg-Küstrin (son of Joachim I Nestor, Elector of Brandenburg). He died without issue. The Margraviate of Brandenburg-Küstrin was absorbed in 1571 into Brandenburg. Margraves of Brandenburg-Schwedt (1688–1788) Although recognized as a branch of the dynasty since 1688, the Margraviate of Brandenburg-Schwedt remained subordinate to the electors, and was never an independent principality. 1688–1711: Philip William, Prince in Prussia, Margrave of Brandenburg-Schwedt (son of Frederick William, Elector of Brandenburg) 1731–1771: Frederick William, Prince in Prussia, Margrave of Brandenburg-Schwedt (son of) 1771–1788: Frederick Henry, Prince in Prussia, Margrave of Brandenburg Schwedt (brother of) Dukes of Prussia (1525–1701) In 1525, the Duchy of Prussia was established as a fief of the King of Poland. Albert of Prussia was the last Grand Master of the Teutonic Knights and the first Duke of Prussia. He belonged to the Ansbach branch of the dynasty. The Duchy of Prussia adopted Protestantism as the official state religion. 1525–1568: Albert I 1568–1618: Albert II Frederick co-heir (son of) 1568–1571: Joachim I/II Hector co-heir (also Elector of Brandenburg) 1578–1603: George Frederick I/I/I/I (Regent, also Margrave of Brandenburg-Ansbach, Margrave of Brandenburg-Kulmbach and Duke of Brandenburg-Jägerndorf) 1603–1608: Joachim I/I/III Frederick (Regent, also Duke of Brandenburg-Jägerndorf and Elector of Brandenburg)
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The senior Franconian branch of the House of Hohenzollern was founded by Conrad I, Burgrave of Nuremberg (1186–1261). The family supported the Hohenstaufen and Habsburg rulers of the Holy Roman Empire during the 12th to 15th centuries, being rewarded with several territorial grants. Beginning in the 16th century, this branch of the family became Protestant and decided on expansion through marriage and the purchase of surrounding lands. In the first phase, the family gradually added to their lands, at first with many small acquisitions in the Franconian region of Germany: Ansbach in 1331 Kulmbach in 1340 In the second phase, the family expanded their lands further with large acquisitions in the Brandenburg and Prussian regions of Germany and present-day Poland: Margraviate of Brandenburg in 1417 Duchy of Prussia in 1525 These acquisitions eventually transformed the Franconian Hohenzollerns from a minor German princely family into one of the most important dynasties in Europe. From 8 January 1701 the title of Elector of Brandenburg was attached to the title of King in Prussia and, from 13 September 1772, to that of King of Prussia. Burgraves of Nuremberg (1192–1427) 1192–1200/1204: Frederick I (also count of Zollern as Frederick III) 1204–1218: Frederick II (son of, also count of Zollern as Frederick IV) 1218–1261/1262: Conrad I/III (brother of, also count of Zollern) 1262–1297: Frederick III (c. 1220–1297), son of 1297–1300: John I (c. 1279–1300), son of 1300–1332: Frederick IV (1287–1332), brother of 1332–1357: John II (c. 1309–1357), son of 1357–1397: Frederick V (before 1333–1398), son of At Frederick V's death on 21 January 1398, his lands were partitioned between his two sons: 1397–1420: John III/I (son of, also Margrave of Brandenburg-Kulmbach) 1397–1427: Frederick VI/I/I, (brother of, also Elector and Margrave of Brandenburg, also Margrave of Brandenburg-Ansbach and Brandenburg-Kulmbach) After John III/I's death on 11 June 1420, the margraviates of Brandenburg-Ansbach and Brandenburg-Kulmbach were briefly reunited under Frederick VI/I/I. He ruled the Margraviate of Brandenburg-Ansbach after 1398. From 1420, he became Margrave of Brandenburg-Kulmbach. From 1411 Frederick VI became governor of Brandenburg and later Elector and Margrave of Brandenburg as Frederick I. Upon his death on 21 September 1440, his territories were divided among his sons: Frederick II, Elector of Brandenburg Albert III, Elector of Brandenburg and Margrave of Brandenburg-Ansbach John II, Margrave of Brandenburg-Kulmbach In 1427 Frederick, Elector of Brandenburg sold Nuremberg Castle and his rights as burgrave to the Imperial City of Nuremberg. The territories of Brandenburg-Ansbach and Brandenburg-Kulmbach remained possessions of the family, once parts of the Burgraviate of Nuremberg. Margraves of Brandenburg-Ansbach (1398–1791) 1398–1440: Frederick I (also Margrave of Brandenburg-Kulmbach) 1440–1486: Albert I/I/III Achilles (son of, also Margrave of Brandenburg-Kulmbach and Elector of Brandenburg) 1486–1515: Frederick II/II (son of, also Margrave of Brandenburg-Kulmbach) 1515–1543: George I/I the Pious (son of, also Duke of Brandenburg-Jägerndorf) 1543–1603: George Frederick I/I/I/I (son of, also Margrave of Brandenburg-Kulmbach, Duke of Brandenburg-Jägerndorf and Regent of Prussia) 1603–1625: Joachim Ernst (1583–1625), son of John George of Brandenburg 1625–1634: Frederick III (1616–1634), son of 1634–1667: Albert II, brother of 1667–1686: John Frederick (1654–1686), son of 1686–1692: Christian I Albrecht, son of 1692–1703: George Frederick II/II (brother of, later Margrave of Brandenburg-Kulmbach) 1703–1723: William Frederick (before 1686–1723), brother of 1723–1757: Charles William (1712–1757), son of 1757–1791: Christian II Frederick (1736–1806) (son of, also Margrave of Brandenburg-Kulmbach) On 2 December 1791, Christian II Frederick sold the sovereignty of his principalities to King Frederick William II of Prussia. Margraves of Brandenburg-Kulmbach (1398–1604), later Brandenburg-Bayreuth (1604–1791) 1398–1420: John I (c. 1369–1420), son of Frederick V of Nuremberg 1420–1440: Frederick I (also Margrave of Brandenburg-Ansbach) 1440–1457: John II (1406–1464), son of 1457–1486: Albert I/I/III Achilles (also Margrave of Brandenburg-Ansbach and Elector of Brandenburg) 1486–1495: Siegmund (1468–1495), son of 1495–1515: Frederick II/II (also Margrave of Brandenburg-Ansbach) 1515–1527: Casimir (1481–1527), son of 1527–1553: Albert II Alcibiades (1522–1557), son of 1553–1603: George Frederick I/I/I/I (also Margrave of Brandenburg-Ansbach, Duke of Brandenburg-Jägerndorf and Regent of Prussia) 1603–1655: Christian I (1581–1655), son of John George, of Brandenburg 1655–1712: Christian II Ernst (1644–1712), son of Erdmann August 1712–1726: George I William (1678–1726), son of 1726–1735: George Frederick II/II (previously Margrave of Kulmbach) 1735–1763: Frederick IV (1711–1763), son of 1763–1769: Frederick V Christian (1708–1769), son of Christian Heinrich 1769–1791: Charles Alexander (also Margrave of Brandenburg-Ansbach) On 2 December 1791, Charles Alexander sold the sovereignty of his principalities to King Frederick William II of Prussia. Dukes of Jägerndorf (1523–1622) The Duchy of Jägerndorf (Krnov) was purchased in 1523. 1541–1543: George I the Pious (also Margrave of Brandenburg-Ansbach) 1543–1603: George Frederick I (also Margrave of Brandenburg-Ansbach, Margrave of Brandenburg-Kulmbach and Regent of Prussia) 1603–1606: Joachim I (also Regent of Prussia and Elector of Brandenburg) 1606–1621: Johann Georg von Brandenburg The duchy of Jägerndorf was confiscated by Emperor Ferdinand III in 1622. Brandenburg-Prussian branch Margraves of Brandenburg (1415–1619) In 1411, Frederick VI, Burgrave of Nuremberg was appointed governor of Brandenburg in order to restore order and stability. At the Council of Constance in 1415, King Sigismund elevated Frederick to the rank of Elector and Margrave of Brandenburg as Frederick I. Margraves of Brandenburg-Küstrin (1535–1571) The short-lived Margraviate of Brandenburg-Küstrin was set up as a secundogeniture of the House of Hohenzollern. 1535–1571: John the Wise, Margrave of Brandenburg-Küstrin (son of Joachim I Nestor, Elector of Brandenburg). He died without issue. The Margraviate of Brandenburg-Küstrin was absorbed in 1571 into Brandenburg. Margraves of Brandenburg-Schwedt (1688–1788) Although recognized as a branch of the dynasty since 1688, the Margraviate of Brandenburg-Schwedt remained subordinate to the electors, and was never an independent principality. 1688–1711: Philip William, Prince in Prussia, Margrave of Brandenburg-Schwedt (son of Frederick William, Elector of Brandenburg) 1731–1771: Frederick William, Prince in Prussia, Margrave of Brandenburg-Schwedt (son of) 1771–1788: Frederick Henry, Prince in Prussia, Margrave of Brandenburg Schwedt (brother of) Dukes of Prussia (1525–1701) In 1525, the Duchy of Prussia was established as a fief of the King of Poland. Albert of Prussia was the last Grand Master of the Teutonic Knights and the first Duke of Prussia. He belonged to the Ansbach branch of the dynasty. The Duchy of Prussia adopted Protestantism as the official state religion. 1525–1568: Albert I 1568–1618: Albert II Frederick co-heir (son of) 1568–1571: Joachim I/II Hector co-heir (also Elector of Brandenburg) 1578–1603: George Frederick I/I/I/I (Regent, also Margrave of Brandenburg-Ansbach, Margrave of Brandenburg-Kulmbach and Duke of Brandenburg-Jägerndorf) 1603–1608: Joachim I/I/III Frederick (Regent, also Duke of Brandenburg-Jägerndorf and Elector of Brandenburg) 1608–1618: John Sigismund (Regent, also Elector of Brandenburg) 1618–1619: John Sigismund (Regent, also Elector of Brandenburg, after 1618 Brandenburg-Prussia) 1619–1640: George William I/I (son of, also Elector of Brandenburg) 1640–1688: Frederick I/III William the Great Elector (son of, also Elector of Brandenburg) 1688–1701: Frederick II/IV/I (also Elector of Brandenburg and King in Prussia) From 1701, the title of Duke of Prussia was attached to the title of King in and of Prussia. Kings in Prussia (1701–1772) In 1701, the title of King in Prussia was granted, without the Duchy of Prussia being elevated to a Kingdom within the Holy Roman Empire. From 1701 onwards the titles of Duke of Prussia and Elector of Brandenburg were always attached to the title of King in Prussia. The Duke of Prussia adopted the title of king as Frederick I, establishing his status as a monarch whose royal territory lay outside the boundaries of the Holy Roman Empire, with the assent of Emperor Leopold I: Frederick could not be "King of Prussia" because part of Prussia's lands were under the suzerainty of the Crown of the Kingdom of Poland. In the age of absolutism, most monarchs were obsessed with the desire to emulate Louis XIV of France with his luxurious palace at Versailles. In 1772, the Duchy of Prussia was elevated to a kingdom. Kings of Prussia (1772–1918) Frederick William's successor, Frederick the Great gained Silesia in the Silesian Wars so that Prussia emerged as a great power. The king was strongly influenced by French culture and civilization and preferred the French language. In 1772, the title King of Prussia was assumed. From 1772 onwards the titles of Duke of Prussia and Elector of Brandenburg were always attached to the title King of Prussia. In 1871, the Kingdom of Prussia became a constituent member of the German Empire, and the King of Prussia gained the additional title of German Emperor. German Emperors (1871–1918) In 1871, the German Empire was proclaimed. With the accession of William I to the newly established imperial German throne, the titles of King of Prussia, Duke of Prussia and Elector of Brandenburg were always attached to the title of German Emperor. Prussia's Minister President Otto von Bismarck convinced William that German Emperor instead of Emperor of Germany would be appropriate. He became primus inter pares among other German sovereigns. William II intended to develop a German navy capable of challenging Britain's Royal Navy. The assassination of Archduke Franz Ferdinand of Austria on 28 June 1914 set off the chain of events that led to World War I. As a result of the war, the German, Russian, Austro-Hungarian and Ottoman empires ceased to exist. In 1918, the German empire was abolished and replaced by the Weimar Republic. After the outbreak of the German revolution in 1918, both Emperor William II and Crown Prince William signed the document of abdication. Brandenburg-Prussian branch since 1918 abdication In June 1926, a referendum on expropriating the formerly ruling princes of Germany without compensation failed and as a consequence, the financial situation of the Hohenzollern family improved considerably. A settlement between the state and the family made Cecilienhof property of the state but granted a right of residence to Crown Prince Wilhelm and his wife Cecilie. The family also kept the ownership of Monbijou Palace in Berlin, Oleśnica Castle in Silesia, Rheinsberg Palace, Schwedt Palace and other property until 1945. Since the abolition of the German monarchy, no Hohenzollern claims to imperial or royal prerogatives are recognized by Germany's Basic Law for the Federal Republic of Germany of 1949, which guarantees a republic. The communist government of the Soviet occupation zone expropriated all landowners and industrialists; the House of Hohenzollern lost almost all of its fortune, retaining a few company shares and Hohenzollern Castle in West Germany. The Polish government appropriated the Silesian property and the Dutch government seized Huis Doorn, the Emperor's seat in exile. After German reunification, however, the family was legally able to reclaim their portable property, namely art collections and parts of the interior of their former palaces. Negotiations on the return of or compensation for these assets are not yet completed. The Berlin Palace, home of the German monarchs, was rebuilt in 2020. The Berlin Palace and the Humboldt Forum are located in the middle of Berlin. Order of succession The head of the house is the titular King of Prussia and German Emperor. He also bears a historical claim to the title of Prince of Orange. Members of this line style themselves princes of Prussia. Georg Friedrich, Prince of Prussia, the current head of the royal Prussian House of Hohenzollern, was married to Princess Sophie of Isenburg on 27 August 2011. On 20 January 2013, she gave birth to twin sons, Carl Friedrich Franz Alexander and Louis Ferdinand Christian Albrecht, in Bremen. Carl Friedrich, the elder of the two, is the heir apparent. Royal House of Hohenzollern table Swabian branch The cadet Swabian branch of the House of Hohenzollern was founded by Frederick IV, Count of Zollern. The family ruled three territories with seats at, respectively, Hechingen, Sigmaringen and Haigerloch. The counts were elevated to princes in 1623. The Swabian branch of the Hohenzollerns is Roman Catholic. Affected by economic problems and internal feuds, the Hohenzollern counts from the 14th century onwards came under pressure by their neighbors, the Counts of Württemberg and the cities of the Swabian League, whose troops besieged and finally destroyed Hohenzollern Castle in 1423. Nevertheless, the Hohenzollerns retained their estates, backed by their Brandenburg cousins and the Imperial House of Habsburg. In 1535, Count Charles I of Hohenzollern (1512–1576) received the counties of
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forms of lift are the polar vortices which the Perlan Project hopes to use to soar to great altitudes. A rare phenomenon known as Morning Glory has also been used by glider pilots in Australia. Performance With each generation of materials and with the improvements in aerodynamics, the performance of hang gliders has increased. One measure of performance is the glide ratio. For example, a ratio of 12:1 means that in smooth air a glider can travel forward 12 metres while only losing 1 metre of altitude. Some performance figures as of 2006: Topless gliders (no kingpost): glide ratio ~17:1, speed range ~, best glide at Rigid wings: glide ratio ~20:1, speed range ~, best glide at ~. . Ballast The extra weight provided by ballast is advantageous if the lift is likely to be strong. Although heavier gliders have a slight disadvantage when climbing in rising air, they achieve a higher speed at any given glide angle. This is an advantage in strong conditions when the gliders spend only little time climbing in thermals. Stability and equilibrium Because hang gliders are most often used for recreational flying, a premium is placed on gentle behaviour especially at the stall and natural pitch stability. The wing loading must be very low in order to allow the pilot to run fast enough to get above stall speed. Unlike a traditional aircraft with an extended fuselage and empennage for maintaining stability, hang gliders rely on the natural stability of their flexible wings to return to equilibrium in yaw and pitch. Roll stability is generally set to be near neutral. In calm air, a properly designed wing will maintain balanced trimmed flight with little pilot input. The flex wing pilot is suspended beneath the wing by a strap attached to his harness. The pilot lies prone (sometimes supine) within a large, triangular, metal control frame. Controlled flight is achieved by the pilot pushing and pulling on this control frame thus shifting his weight fore or aft, and right or left in coordinated maneuvers. Roll Most flexible wings are set up with near neutral roll due to sideslip (anhedral effect). In the roll axis, the pilot shifts his body mass using the wing control bar, applying a rolling moment directly to the wing. The flexible wing is built to flex differentially across the span in response to the pilot applied roll moment. For example, if the pilot shifts his weight to the right, the right wing trailing edge flexes up more than the left, creating dissimilar lift that rolls the glider to the right. Yaw The yaw axis is stabilized through the backward-sweep of the wings. The swept planform, when yawed out of the relative wind, creates more lift on the advancing wing and also more drag, stabilizing the wing in yaw. If one wing advances ahead of the other, it presents more area to the wind and causes more drag on that side. This causes the advancing wing to go slower and to retreat back. The wing is at equilibrium when the aircraft is traveling straight and both wings present the same amount of area to the wind. Pitch The pitch control response is direct and very efficient. It is partially stabilized by the washout combined with the sweep of the wings, which results in a different angle of attack of the rear most lifting surfaces of the glider. The wing centre of gravity is close to the hang point and, at the trim speed, the wing will fly "hands off" and return to trim after being disturbed. The weight-shift control system only works when the wing is positively loaded (right side up). Positive pitching devices such as reflex lines or washout rods are employed to maintain a minimum safe amount of washout when the wing is unloaded or even negatively loaded (upside down). Flying faster than trim speed is accomplished by moving the pilot's weight forward in the control frame; flying slower by shifting the pilot's weight aft (pushing out). Furthermore, the fact that the wing is designed to bend and flex, provides favourable dynamics analogous to a spring suspension. This provides a gentler flying experience than a similarly sized rigid-winged hang glider. Instruments To maximize a pilot's understanding of how the hang glider is flying, most pilots carry flight instruments. The most basic being a variometer and altimeter—often combined. Some more advanced pilots also carry airspeed indicators and radios. When flying in competition or cross country, pilots often also carry maps and/or GPS units. Hang gliders do not have instrument panels as such, so all the instruments are mounted to the control frame of the glider or occasionally strapped to the pilot's forearm. Variometer Gliding pilots are able to sense the acceleration forces when they first hit a thermal, but have difficulty gauging constant motion. Thus it is difficult to detect the difference between constantly rising air and constantly sinking air. A variometer is a very sensitive vertical speed indicator. The variometer indicates climb rate or sink rate with audio signals (beeps) and/or a visual display. These units are generally electronic, vary in sophistication, and often include an altimeter and an airspeed indicator. More advanced units often incorporate a barograph for recording flight data and/or a built-in GPS. The main purpose of a variometer is in helping a pilot find and stay in the 'core' of a thermal to maximize height gain, and conversely indicating when he or she is in sinking air and needs to find rising air. Variometers are sometimes capable of electronic calculations to indicate the optimal speed to fly for given conditions. The MacCready theory answers the question on how fast a pilot should cruise between thermals, given the average lift the pilot expects in the next thermal climb and the amount of lift or sink he encounters in cruise mode. Some electronic variometers make the calculations automatically, allowing for factors such as the glider's theoretical performance (glide ratio), altitude, hook in weight, and wind direction. Radio Pilots sometimes use 2-way radios for training purposes, for communicating with other pilots in the air, and with their ground crew when traveling on cross-country flights. One type of radio used are PTT (push-to-talk) handheld transceivers, operating in VHF FM. Usually a microphone is worn on the head or incorporated in the helmet, and the PTT switch is either fixed to the outside of the helmet, or strapped to a finger. Operating a VHF band radio without an appropriate license is
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attached to an upright tube or a more aerodynamic strut (a "down-tube"), where both extend from the base-tube and are connected to the apex of the control frame/ the keel of the glider. This creates the shape of a triangle or 'A-frame'. In many of these configurations additional wheels or other equipment can be suspended from the bottom bar or rod ends. Images showing a triangle control frame on Otto Lilienthal's 1892 hang glider shows that the technology of such frames has existed since the early design of gliders, but he did not mention it in his patents. A control frame for body weight shift was also shown in Octave Chanute's designs. It was a major part of the now common design of hang gliders by George A. Spratt from 1929. The most simple A-frame that is cable-stayed was demonstrated in a Breslau gliding club hang gliding meet in a battened wing foot-launchable hang glider in the year 1908 by W. Simon; hang glider historian Stephan Nitsch has collected instances also of the U control frame used in the first decade of the 1900s; the U is variant of the A-frame. Training and safety Due to the poor safety record of early hang gliding pioneers, the sport has traditionally been considered unsafe. Advances in pilot training and glider construction have led to a much improved safety record. Modern hang gliders are very sturdy when constructed to Hang Glider Manufacturers Association, BHPA, Deutscher Hängegleiterverband, or other certified standards using modern materials. Although lightweight, they can be easily damaged, either through misuse or by continued operation in unsafe wind and weather conditions. All modern gliders have built-in dive recovery mechanisms such as luff lines in kingposted gliders, or "sprogs" in topless gliders. Pilots fly in harnesses that support their bodies. Several different types of harnesses exist. Pod harnesses are put on like a jacket and the leg portion is behind the pilot during launch. Once in the air the feet are tucked into the bottom of the harness. They are zipped up in the air with a rope and unzipped before landing with a separate rope. A cocoon harness is slipped over the head and lies in front of the legs during launch. After takeoff, the feet are tucked into it and the back is left open. A knee hanger harness is also slipped over the head but the knee part is wrapped around the knees before launch and just pick up the pilots leg automatically after launch. A supine or suprone harness is a seated harness. The shoulder straps are put on before launch and after takeoff the pilot slides back into the seat and flies in a seated position. Pilots carry a parachute enclosed in the harness. In case of serious problems, the parachute is manually deployed (either by hand or with a ballistic assist) and carries both pilot and glider down to earth. Pilots also wear helmets and generally carry other safety items such as knives (for cutting their parachute bridle after impact or cutting their harness lines and straps in case of a tree or water landing), light ropes (for lowering from trees to haul up tools or climbing ropes), radios (for communication with other pilots or ground crew), and first-aid equipment. The accident rate from hang glider flying has been dramatically decreased by pilot training. Early hang glider pilots learned their sport through trial and error and gliders were sometimes home-built. Training programs have been developed for today's pilot with emphasis on flight within safe limits, as well as the discipline to cease flying when weather conditions are unfavorable, for example: excess wind or risk cloud suck. In the UK, a 2011 study reported there is one death per 116,000 flights, a risk comparable to sudden cardiac death from running a marathon or playing tennis. An estimate of worldwide mortality rate is one death per 1,000 active pilots per year. Most pilots learn at recognised courses which lead to the internationally recognised International Pilot Proficiency Information card issued by the FAI. Launch Launch techniques include launching from a hill/cliff/mountain/sand dune/any raised terrain on foot, tow-launching from a ground-based tow system, aerotowing (behind a powered aircraft), powered harnesses, and being towed up by a boat. Modern winch tows typically utilize hydraulic systems designed to regulate line tension, this reduces scenarios for lock out as strong aerodynamic forces will result in additional rope spooling out rather than direct tension on the tow line. Other more exotic launch techniques have also been used successfully, such as hot air balloon drops from very high altitude. When weather conditions are unsuitable to sustain a soaring flight, this results in a top-to-bottom flight and is referred to as a "sled run". In addition to typical launch configurations, a hang glider may be so constructed for alternative launching modes other than being foot launched; one practical avenue for this is for people who physically cannot foot-launch. In 1983 Denis Cummings re-introduced a safe tow system that was designed to tow through the centre of mass and had a gauge that displayed the towing tension, it also integrated a 'weak link' that broke when the safe tow tension was exceeded. After initial testing, in the Hunter Valley, Denis Cummings, pilot, John Clark, (Redtruck), driver and Bob Silver, officianado, began the Flatlands Hang gliding competition at Parkes, NSW. The competition quickly grew, from 16 pilots the first year to hosting a World Championship with 160 pilots towing from several wheat paddocks in western NSW. In 1986 Denis and 'Redtruck' took a group of international pilots to Alice Springs to take advantage of the massive thermals. Using the new system many world records were set. With the growing use of the system, other launch methods were incorporated, static winch and towing behind an ultralight trike or an ultralight airplane. Soaring flight and cross-country flying A glider in flight is continuously descending, so to achieve an extended flight, the pilot must seek air currents rising faster than the sink rate of the glider. Selecting the sources of rising air currents is the skill that has to be mastered if the pilot wants to achieve flying long distances, known as cross-country (XC). Rising air masses derive from the following sources: Thermals The most commonly used source of lift is created by the Sun's energy heating the ground which in turn heats the air above it. This warm air rises in columns known as thermals. Soaring pilots quickly become aware of land features which can generate thermals and their trigger points downwind, because thermals have a surface tension with the ground and roll until hitting a trigger point. When the thermal lifts, the first indicator are the swooping birds feeding on the insects being carried aloft, or dust devils or a change in wind direction as the air is pulled in below the thermal. As the thermal climbs, bigger soaring birds indicate the thermal. The thermal rises until it either forms into a cumulus cloud or hits an inversion layer, which is where the surrounding air is becoming warmer with height, and stops the thermal developing into a cloud. Also, nearly every glider contains an instrument known as a variometer (a very sensitive vertical speed indicator) which shows visually (and often audibly) the presence of lift and sink. Having located a thermal, a glider pilot will circle within the area of rising air to gain height. In the case of a cloud street, thermals can line up with the wind, creating rows of thermals and sinking air. A pilot can use a cloud street to fly long straight-line distances by remaining in the row of rising air. Ridge lift Ridge lift occurs when the wind encounters a mountain, cliff, hill, sand dune, or any other raised terrain. The air is pushed up the windward face of the mountain, creating lift. The area of lift extending from the ridge is called the lift band. Providing the air is rising faster than the gliders sink rate, gliders can soar and climb in the rising air by flying within the lift band and at right angle to the ridge. Ridge soaring is also known as slope soaring. Mountain waves The third main type of lift used by glider pilots is the lee waves that occur near mountains. The obstruction to the airflow can generate standing waves with alternating areas of lift and sink. The top of each wave peak is often marked by lenticular cloud formations. Convergence Another form of lift results from the convergence of air masses, as with a sea-breeze front. More exotic forms of lift are the polar vortices which the Perlan Project hopes to use to soar to great altitudes. A rare phenomenon known as Morning Glory has also been used by glider pilots in Australia. Performance With each generation of materials and with the improvements in aerodynamics, the performance of hang gliders has increased. One measure of performance is the glide ratio. For example, a ratio of 12:1 means that in smooth air a glider can travel forward 12 metres while only losing 1 metre of altitude. Some performance figures as of 2006: Topless gliders (no kingpost): glide ratio ~17:1, speed range ~, best glide at Rigid wings: glide ratio ~20:1, speed range ~, best glide at ~. . Ballast The extra weight provided by ballast is advantageous if the lift is likely to be strong. Although heavier gliders have a slight disadvantage when climbing in rising air, they achieve a higher speed at any given glide angle. This is an advantage in strong conditions when the gliders spend only little time climbing in thermals. Stability and equilibrium Because hang gliders are most often used for recreational flying, a premium is placed on gentle behaviour especially at the stall and natural pitch stability. The wing loading must be very low in order to allow the pilot to run fast enough to get above stall speed. Unlike a traditional aircraft with an extended fuselage and empennage for maintaining stability, hang gliders rely on the natural stability of their flexible wings to return to equilibrium in yaw and pitch. Roll stability is generally set to be near neutral. In calm air, a properly designed wing will maintain balanced trimmed flight with little pilot input. The flex wing pilot is suspended beneath the wing by a strap attached to his harness. The pilot lies prone (sometimes supine) within a large, triangular, metal control frame. Controlled flight is achieved by the pilot pushing and pulling on this control frame thus shifting his weight fore or aft, and right or left in coordinated maneuvers. Roll Most flexible wings are set up with near neutral roll due to sideslip (anhedral effect). In the roll axis, the pilot shifts his body mass using the wing control bar, applying a rolling moment directly to the wing. The flexible wing is built to flex differentially across the span in response to the pilot applied roll moment. For example, if the pilot shifts his weight to the right, the right wing trailing edge flexes up more than the left, creating dissimilar lift that rolls the glider to the right. Yaw The yaw axis is stabilized through the backward-sweep of the wings. The swept planform, when yawed out of the relative wind, creates more lift on the advancing wing and also more drag, stabilizing the wing in yaw. If one wing advances ahead of the other, it presents more area to the wind and causes more drag on that side. This causes the advancing wing to go slower and to retreat back. The wing is at equilibrium when the aircraft is traveling straight and both wings present the same amount of area to the wind. Pitch The pitch control response is direct and very efficient. It is partially stabilized by the washout combined with the sweep of the wings, which results in a different angle of attack of the rear most lifting surfaces of the glider. The wing centre of gravity is close to the hang point and, at the trim speed, the wing will fly "hands off" and return to trim after being disturbed. The weight-shift control system only works when the wing is positively loaded (right side up). Positive pitching devices such as reflex lines or washout rods are employed to maintain a minimum safe amount of washout when the wing is unloaded or even negatively loaded (upside down). Flying faster than trim speed is
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65daysofstatic Hole (Foetus album), 1984 album by Foetus Hole (Merzbow album), 1994 album by Merzbow Hole (One-Eyed Doll album), 2007 album by American band One-Eyed Doll Holes (album), 2004 album by melpo mene Songs "Hole" (song), by Kelly Clarkson on the 2007 album My December "Holes" (Mercury Rev song), from the 1999 album Deserter's Songs "Holes" (Passenger song), a 2013 single from the 2012 album All the Little Lights "Holes", by Pint Shot Riot from the 2008 EP Round One "Holes", by Electric Guest from the 2012 album Mondo "Holes", by Scratch Acid from the 1986 album Just Keep Eating "Holes", by Rascal Flatts from the 2004 album Feels Like Today "Holes", by Jon Oliva's Pain from the 2006 album Maniacal Renderings "Holes", a 1985 single by Specimen "Holes", by Mateo Messina from the soundtrack to the 2015 film Barely Lethal "Holes" (born 1987), by Jetty Rae from the 2008 album Blackberries (2008)|Blackberries "Holes", by Smile Empty Soul from the 2005 album Anxiety "Holes", by Red Plastic Bag Television "Hole" (Bottom), an episode of the British television sitcom Bottom "Holes" (American Horror Story), a 2017 episode of the anthology television series American Horror Story Construction Fox hole, a defensive fighting position Lightening hole a hole made in a structural member, usually of a vehicle, to lighten it Manhole, an opening in the ground to access the sewers or other underground services Murder-hole, or meurtrière, a hole in the ceiling of a gateway or passageway in a fortification through which the defenders could fire, throw, or pour harmful substances or objects down on attackers Porthole, a window on a ship's external hull Spider hole, a type of camouflaged one-man foxhole Prison Black Hole of Calcutta, small prison or dungeon in Fort William Celle Hole (German: Celler Loch), a breach in the outer wall
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from the 2012 album All the Little Lights "Holes", by Pint Shot Riot from the 2008 EP Round One "Holes", by Electric Guest from the 2012 album Mondo "Holes", by Scratch Acid from the 1986 album Just Keep Eating "Holes", by Rascal Flatts from the 2004 album Feels Like Today "Holes", by Jon Oliva's Pain from the 2006 album Maniacal Renderings "Holes", a 1985 single by Specimen "Holes", by Mateo Messina from the soundtrack to the 2015 film Barely Lethal "Holes" (born 1987), by Jetty Rae from the 2008 album Blackberries (2008)|Blackberries "Holes", by Smile Empty Soul from the 2005 album Anxiety "Holes", by Red Plastic Bag Television "Hole" (Bottom), an episode of the British television sitcom Bottom "Holes" (American Horror Story), a 2017 episode of the anthology television series American Horror Story Construction Fox hole, a defensive fighting position Lightening hole a hole made in a structural member, usually of a vehicle, to lighten it Manhole, an opening in the ground to access the sewers or other underground services Murder-hole, or meurtrière, a hole in the ceiling of a gateway or passageway in a fortification through which the defenders could fire, throw, or pour harmful substances or objects down on attackers Porthole, a window on a ship's external hull Spider hole, a type of camouflaged one-man foxhole Prison Black Hole of Calcutta, small prison or dungeon in Fort William Celle Hole (German: Celler Loch), a breach in the outer wall of the prison of Celle, Germany In the hole, prison slang describing when an inmate is separated from the other inmates by the authorities in a separate, isolated unit The hole, prison slang describing the location for solitary confinement Science
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leaders of the Assembly saw such a war as a means to strengthen support for their revolutionary government, and the French people as well as the Assembly thought that they would win a war against Austria and Prussia. On 20 April 1792, France declared war on Austria. Late April 1792, France invaded and conquered the Austrian Netherlands (roughly present-day Belgium and Luxembourg). Nevertheless, in the summer of 1792, all of Paris was against the king, and hoped that the Assembly would depose the king, but the Assembly hesitated. At dawn of 10 August 1792, a large, angry crowd of Parisians and soldiers from all over France marched on the Tuileries Palace where the king resided. Around 8:00am the king decided to leave his palace and seek safety with his wife and children in the Assembly that was gathered in permanent session in Salle du Manège opposite to the Tuileries. After 11:00am, the Assembly 'temporarily relieved the king from his task'. In reaction, on 19 August an army under Prussian general Duke of Brunswick invaded France and besieged Longwy. Late August 1792, elections were held, now under male universal suffrage, for the new National Convention. On 26 August, the Assembly decreed the deportation of refractory priests in the west of France, as "causes of danger to the fatherland", to destinations like French Guiana. In reaction, peasants in the Vendée took over a town, in another step toward civil war. Bloodbath in Paris and the Republic established (September 1792) On 2, 3 and 4 September 1792, some three hundred volunteers and supporters of the revolution, infuriated by Verdun being captured by the Prussian enemy, and rumours that the foreign enemy were conspiring with the incarcerated prisoners in Paris, raided the Parisian prisons. Jean-Paul Marat had called for preemptive action and between 1,200 and 1,400 prisoners were murdered within 20 hours (September Massacres), many of them Catholic nonjuring priests but also aristocrats, forgers and common criminals. In an open letter on 3 September the radical Marat incited the rest of France to follow the Parisian example. Danton and Robespierre kept a low profile in regard to the murder orgy. The Assembly and the city council of Paris (la Commune) seemed inapt and hardly motivated to call a halt to the unleashed bloodshed. On 20 September 1792, the French won a battle against Prussian troops near Valmy and the new National Convention replaced the Legislative Assembly. From the start the Convention suffered from the bitter division between a group around Robespierre, Danton and Marat referred to as 'Montagnards' or 'Jacobins' or 'left' and a group referred to as 'Girondins' or 'right'. But the majority of the representatives, referred to as 'la Plaine', were member of neither of those two antagonistic groups and managed to preserve some speed in the convention's debates. Right away on 21 September the Convention abolished the monarchy, making France the French First Republic. A new French Republican Calendar was introduced to replace the Christian Gregorian calendar, renaming the year 1792 as year 1 of the Republic. War and civil war (November 1792–spring 1793) With wars against Prussia and Austria having started earlier in 1792, in November France also declared war on the Kingdom of Great Britain and the Dutch Republic. Ex-king Louis XVI was tried, convicted, and guillotined in January 1793. Introduction of a nationwide conscription for the army in February 1793 was the spark that in March made the Vendée, already rebellious since 1790 because of the Civil Constitution of the Clergy, ignite into civil war against Paris. Meanwhile, France in March also declared war on Spain. That month, the Vendée rebels won some victories against Paris and the French army was defeated in Belgium by Austria with the French general Dumouriez defecting to the Austrians: the French Republic's survival was now in real danger. On 6 April 1793, to prevent the Convention from losing itself in abstract debate and to streamline government decisions, the Comité de salut public (Committee of Public Safety) was created of nine, later twelve members, as executive government which was accountable to the convention. That month the 'Girondins' group indicted Jean-Paul Marat before the Revolutionary Tribunal for 'attempting to destroy the sovereignty of the people' and 'preaching plunder and massacre', referring to his behaviour during the September 1792 Paris massacres. Marat was quickly acquitted but the incident further acerbated the 'Girondins' versus 'Montagnards' party strife in the convention. In the spring of 1793, Austrian, British, Dutch and Spanish troops invaded France. Showdown in the Convention (May–June 1793) With rivalry, even enmity, in the National Convention and its predecessors between so-called 'Montagnards' and 'Girondins' smouldering ever since late 1791, Jacques Hébert, Convention member leaning to the 'Montagnards' group, on 24 May 1793 called on the sans-culottes—the idealized simple, non-aristocratic, hard-working, upright, patriotic, republican, Paris labourers—to rise in revolt against the "henchmen of Capet [= the killed ex-king] and Dumouriez [= the defected general]". Hébert was arrested immediately by a Convention committee investigating Paris rebelliousness. While that committee consisted only of members from la Plaine and the Girondins, the anger of the sans-culottes was directed towards the Girondins. 25 May, a delegation of la Commune (the Paris city council) protested against Hébert's arrest. The convention's President Isnard, a Girondin, answered them: "Members of la Commune (…) If by your incessant rebellions something befalls to the representatives of the nation, I declare, in the name of France, that Paris will be totally obliterated". On 29 May 1793, in Lyon an uprising overthrew a group of Montagnards ruling the city; Marseille, Toulon and more cities saw similar events. On 2 June 1793, the convention's session in Tuileries Palace—since early May their venue—not for the first time degenerated into chaos and pandemonium. This time crowds of people including 80,000 armed soldiers swarmed in and around the palace. Incessant screaming from the public galleries, always in favour of the Montagnards, suggested that all of Paris was against the Girondins, which was not really the case. Petitions circulated, indicting and condemning 22 Girondins. Barère, member of the Committee of Public Safety, suggested: to end this division which is harming the Republic, the Girondin leaders should lay down their offices voluntarily. A decree was adopted that day by the convention, after much tumultuous debate, expelling 22 leading Girondins from the convention. Late that night, indeed dozens of Girondins had resigned and left the convention. In the course of 1793, the Holy Roman Empire, the kings of Portugal and Naples and the Grand-Duke of Tuscany declared war against France. Counter-revolution subdued (July 1793–April 1794) By the summer of 1793, most French departments in one way or another opposed the central Paris government, and in many cases 'Girondins', fled from Paris after 2 June, led those revolts. In Brittany's countryside, the people rejecting the Civil Constitution of the Clergy of 1790 had taken to a guerrilla warfare known as Chouannerie. But generally, the French opposition against 'Paris' had now evolved into a plain struggle for power over the country against the 'Montagnards' around Robespierre and Marat now dominating Paris. In June–July 1793, Bordeaux, Marseilles, Brittany, Caen and the rest of Normandy gathered armies to march on Paris and against 'the revolution'. In July, Lyon guillotined the deposed 'Montagnard' head of the city council. Barère, member of the Committee of Public Safety, on 1 August incited the convention to tougher measures against the Vendée, at war with Paris since March: "We'll have peace only when no Vendée remains… we'll have to exterminate that rebellious people". In August, Convention troops besieged Lyon. In August–September 1793, militants urged the convention to do more to quell the counter-revolution. A delegation of the Commune (Paris city council) suggested to form revolutionary armies to arrest hoarders and conspirators. Bertrand Barère, member of the Committee of Public Safety—the de facto executive government—ever since April 1793, among others on 5 September reacted favorably, saying: let's "make terror the order of the day!" On 17 September, the National Convention passed the Law of Suspects, a decree ordering the arrest of all declared opponents of the current form of government and suspected "enemies of freedom". This decree was one of the causes for 17,000 death sentences until the end of July 1794, reason for historians to label those 10½ months 'the (Reign of) Terror'. On 19 September the Vendée rebels again defeated a Republican Convention army. On 1 October Barère repeated his plea to subdue the Vendée: "refuge of fanaticism, where priests have raised their altars…". In October the Convention troops captured Lyon and reinstated a Montagnard government there. Criteria for bringing someone before the Revolutionary Tribunal, created March 1793, had always been vast and vague. By August, political disagreement seemed enough to be summoned before the Tribunal; appeal against a Tribunal verdict was impossible. Late August 1793, an army general had been guillotined on the accusation of choosing too timid strategies on the battlefield. Mid-October, the widowed former queen Marie Antoinette was on trial for a long list of charges such as "teaching [her husband] Louis Capet the art of dissimulation" and incest with her son, she too was guillotined. In October, 21 former 'Girondins' Convention members who had not left Paris after June were convicted to death and executed, on the charge of verbally supporting the preparation of an insurrection in Caen by fellow-Girondins. On 17 October 1793, the 'blue' Republican army near Cholet defeated the 'white' Vendéan insubordinate army and all surviving Vendée residents, counting in tens of thousands, fled over the river Loire north into Brittany. A Convention's representative on mission in Nantes commissioned in October to pacify the region did so by simply drowning prisoners in the river Loire: until February 1794 he drowned at least 4,000. By November 1793, the revolts in Normandy, Bordeaux and Lyon were overcome, in December also that in Toulon. Two representatives on mission sent to punish Lyon between November 1793 and April 1794 executed 2,000 people by guillotine or firing-squad. The Vendéan army since October roaming through Brittany on 12 December 1793 again ran up against Republican troops and saw 10,000 of its rebels perish, meaning the end of this once threatening army. Some historians claim that after that defeat Convention Republic armies in 1794 massacred 117,000 Vendéan civilians to obliterate the Vendéan people, but others contest that claim. Some historians consider the civil war to have lasted until 1796 with a toll of 450,000 lives. Death-sentencing politicians (February–July 1794) Maximilien Robespierre, since July 1793 member of the Committee of Public Prosperity, on 5 February 1794 in a speech in the Convention identified Jacques Hébert and his faction as "internal enemies" working toward the triumph of tyranny. After a dubious trial Hébert and some allies were guillotined in March. On 5 April, again at the instigation of Robespierre, Danton and 13 associated politicians were executed. A week later again 19 politicians. This hushed the Convention deputies: if henceforth they disagreed with Robespierre they hardly dared to speak out. A law enacted on 10 June 1794 (22 Prairial II) further streamlined criminal procedures: if the Revolutionary Tribunal saw sufficient proof of someone being an "enemy of the people" a counsel for defence would not be allowed. The frequency of guillotine executions in Paris now rose from on average three a day to an average of 29 a day. Meanwhile, France's external wars were going well, with victories over Austrian and British troops in May and June 1794 opening up Belgium for French conquest. However, cooperation within the Committee of Public Safety, since April 1793 the de facto executive government, started to break down. On 29 June 1794, three colleagues of Robespierre at the Committee called him a dictator in his face — Robespierre baffled left the meeting. This encouraged other Convention members to also defy Robespierre. On 26 July, a long and vague speech of Robespierre was not met with thunderous applause as usual but with hostility; some deputies yelled that Robespierre should have the courage to say which deputies he deemed necessary to be killed next, which Robespierre refused to do. In the Convention session of 27 July 1794, Robespierre and his allies hardly managed to say a word as they were constantly interrupted by a row of critics such as Tallien, Billaud-Varenne, Vadier, Barère and acting president Thuriot. Finally, even Robespierre's own voice failed on him: it faltered at his last attempt to beg permission to speak. A decree was adopted to arrest Robespierre, Saint-Just and Couthon. 28 July, they and 19 others were beheaded. 29 July, again 70 Parisians were guillotined. Subsequently, the Law of 22 Prairial (10 June 1794) was repealed, and the 'Girondins' expelled from the Convention in June 1793, if not dead yet, were reinstated as Convention deputies. Disregarding the working classes (August 1794–October 1795) After July 1794, most civilians henceforth ignored the Republican calendar and returned to the traditional seven-day weeks. The government in a law of 21 February 1795 set steps of return to freedom of religion and reconciliation with the since 1790 refractory Catholic priests, but any religious signs outside churches or private homes, such as crosses, clerical garb, bell ringing, remained prohibited. When the people's enthusiasm for attending church grew to unexpected levels the government backed out and in October 1795 again, like in 1790, required all priests to swear oaths on the Republic. In the very cold winter of 1794–95, with the French army demanding more and more bread, same was getting scarce in Paris as was wood to keep houses warm, and in an echo of the October 1789 March on Versailles, on 1 April 1795 (12 Germinal III) a mostly female crowd marched on the Convention calling for bread. But no Convention member sympathized, they just told the women to return home. Again in May a crowd of 20,000 men and 40,000 women invaded the convention and even killed a deputy in the halls, but again they failed to make the Convention take notice of the needs of the lower classes. Instead, the Convention banned women from all political assemblies, and deputies who had solidarized with this insurrection were sentenced to death: such allegiance between parliament and street fighting was no longer tolerated. Late 1794, France conquered present-day Belgium. In January 1795 they subdued the Dutch Republic with full consent and cooperation of the influential Dutch patriottenbeweging ('patriots' movement'), resulting in the Batavian Republic, a satellite and puppet state of France. In April 1795, France concluded a peace agreement with Prussia, later that year peace was agreed with Spain. Fighting Catholicism and royalism (October 1795–November 1799) In October 1795, the Republic was reorganised, replacing the one-chamber parliament (the National Convention) by a bi-cameral system: the first chamber called the 'Council of 500' initiating the laws, the second the 'Council of Elders' reviewing and approving or not the passed laws. Each year, one-third of the chambers was to be renewed. The executive power lay with five directors — hence the name 'Directory' for this form of government — with a five-year mandate, each year one of them being replaced. The early directors did not much understand the nation they were governing; they especially had an innate inability to see Catholicism as anything else than counter-revolutionary and royalist. Local administrators had a better sense of people's priorities, and one of them wrote to the minister of the interior: "Give back the crosses, the church bells, the Sundays, and everyone will cry: vive la République!" French armies in 1796 advanced into Germany, Austria and Italy. In 1797, France conquered Rhineland, Belgium and much of Italy, and unsuccessfully attacked Wales. Parliamentary elections in the spring of 1797 resulted in considerable gains for the royalists. This frightened the republican directors and they staged a coup d'état on 4 September 1797 (Coup of 18 Fructidor V) to remove two supposedly pro-royalist directors and some prominent royalists from both Councils. The new, 'corrected' government, still strongly convinced that Catholicism and royalism were equally dangerous to the Republic, started a fresh campaign to promote the Republican calendar officially introduced in 1792, with its ten-day week, and tried to hallow the tenth day, décadi, as substitute for the Christian Sunday. Not only citizens opposed and even mocked such decrees, also local government officials refused to enforce such laws. France was still waging wars, in 1798 in Egypt, Switzerland, Rome, Ireland, Belgium and against the U.S.A., in 1799 in Baden-Württemberg. In 1799, when the French armies abroad experienced some setbacks, the newly chosen director Sieyes considered a new overhaul necessary for the Directory's form of government because in his opinion it needed a stronger executive. Together with successful general Napoleon Bonaparte who had just returned to France, Sieyes began preparing another coup d'état, which took place on 9–10 November 1799 (18–19 Brumaire VIII), replacing the five directors now with three "consuls": Napoleon, Sieyes, and Roger Ducos. Napoleonic France (1799–1815) During the War of the First Coalition (1792–97), the Directoire had replaced the National Convention. Five directors then ruled France. As Great Britain was still at war with France, a plan was made to take Egypt from the Ottoman Empire, a British ally. This was Napoleon's idea and the Directoire agreed to the plan in order to send the popular general away from the mainland. Napoleon defeated the Ottoman forces during the Battle of the Pyramids (21 July 1798) and sent hundreds of scientists and linguists out to thoroughly explore modern and ancient Egypt. Only a few weeks later the British fleet under Admiral Horatio Nelson unexpectedly destroyed the French fleet at the Battle of the Nile (1–3 August 1798). Napoleon planned to move into Syria but was defeated at the Siege of Acre and he returned to France without his army, which surrendered. The Directoire was threatened by the Second Coalition (1798–1802). Royalists and their allies still dreamed of restoring the monarchy to power, while the Prussian and Austrian crowns did not accept their territorial losses during the previous war. In 1799, the Russian army expelled the French from Italy in battles such as Cassano, while the Austrian army defeated the French in Switzerland at Stockach and Zurich. Napoleon then seized power through a coup and established the Consulate in 1799. The Austrian army was defeated at the Battle of Marengo (1800) and again at the Battle of Hohenlinden (1800). While at sea the French had some success at Boulogne but Nelson's Royal Navy destroyed an anchored Danish and Norwegian fleet at the Battle of Copenhagen (1801) because the Scandinavian kingdoms were against the British blockade of France. The Second Coalition was beaten and peace was settled in two distinct treaties: the Treaty of Lunéville and the Treaty of Amiens. A brief interlude of peace ensued in 1802–3, during which Napoleon sold French Louisiana to the United States because it was indefensible. In 1801, Napoleon concluded a "Concordat" with Pope Pius VII that opened peaceful relations between church and state in France. The policies of the Revolution were reversed, except the Church did not get its lands back. Bishops and clergy were to receive state salaries, and the government would pay for the building and maintenance of churches. Napoleon reorganized higher learning by dividing the Institut National into four (later five) academies. In 1804, Napoleon was titled Emperor by the senate, thus founding the First French Empire. Napoleon's rule was constitutional, and although autocratic, it was much more advanced than traditional European monarchies of the time. The proclamation of the French Empire was met by the Third Coalition. The French army was renamed La Grande Armée in 1805 and Napoleon used propaganda and nationalism to control the French population. The French army achieved a resounding victory at Ulm (16–19 October 1805), where an entire Austrian army was captured. A Franco-Spanish fleet was defeated at Trafalgar (21 October 1805) and all plans to invade Britain were then made impossible. Despite this naval defeat, it was on the ground that this war would be won; Napoleon inflicted on the Austrian and Russian Empires one of their greatest defeats at Austerlitz (also known as the "Battle of the Three Emperors" on 2 December 1805), destroying the Third Coalition. Peace was settled in the Treaty of Pressburg; the Austrian Empire lost the title of Holy Roman Emperor and the Confederation of the Rhine was created by Napoleon over former Austrian territories. Coalitions formed against Napoleon Prussia joined Britain and Russia, thus forming the Fourth Coalition. Although the Coalition was joined by other allies, the French Empire was also not alone since it now had a complex network of allies and subject states. The largely outnumbered French army crushed the Prussian army at Jena-Auerstedt in 1806; Napoleon captured Berlin and went as far as Eastern Prussia. There the Russian Empire was defeated at the Battle of Friedland (14 June 1807). Peace was dictated in the Treaties of Tilsit, in which Russia had to join the Continental System, and Prussia handed half of its territories to France. The Duchy of Warsaw was formed over these territorial losses, and Polish troops entered the Grande Armée in significant numbers. In order to ruin the British economy, Napoleon set up the Continental System in 1807, and tried to prevent merchants across Europe from trading with British. The large amount of smuggling frustrated Napoleon, and did more harm to his economy than to his enemies. Freed from his obligation in the east, Napoleon then went back to the west, as the French Empire was still at war with Britain. Only two countries remained neutral in the war: Sweden and Portugal, and Napoleon then looked toward the latter. In the Treaty of Fontainebleau (1807), a Franco-Spanish alliance against Portugal was sealed as Spain eyed Portuguese territories. French armies entered Spain in order to attack Portugal, but then seized Spanish fortresses and took over the kingdom by surprise. Joseph Bonaparte, Napoleon's brother, was made King of Spain after Charles IV abdicated. This occupation of the Iberian peninsula fueled local nationalism, and soon the Spanish and Portuguese fought the French using guerilla tactics, defeating the French forces at the Battle of Bailén (June and July 1808). Britain sent a short-lived ground support force to Portugal, and French forces evacuated Portugal as defined in the Convention of Sintra following the Allied victory at Vimeiro (21 August 1808). France only controlled Catalonia and Navarre and could have been definitely expelled from the Iberian peninsula had the Spanish armies attacked again, but the Spanish did not. Another French attack was launched on Spain, led by Napoleon himself, and was described as "an avalanche of fire and steel." However, the French Empire was no longer regarded as invincible by European powers. In 1808, Austria formed the War of the Fifth Coalition in order to break down the French Empire. The Austrian Empire defeated the French at Aspern-Essling, yet was beaten at Wagram while the Polish allies defeated the Austrian Empire at Raszyn (April 1809). Although not as decisive as the previous Austrian defeats, the peace treaty in October 1809 stripped Austria of a large amount of territories, reducing it even more. In 1812, war broke out with Russia, engaging Napoleon in the disastrous French invasion of Russia (1812). Napoleon assembled the largest army Europe had ever seen, including troops from all subject states, to invade Russia, which had just left the continental system and was gathering an army on the Polish frontier. Following an exhausting march and the bloody but inconclusive Battle of Borodino, near Moscow, the Grande Armée entered and captured Moscow, only to find it burning as part of the Russian scorched earth tactics. Although there still were battles, the Napoleonic army left Russia in late 1812 annihilated, most of all by the Russian winter, exhaustion, and scorched earth warfare. On the Spanish front the French troops were defeated at Vitoria (June 1813) and then at the Battle of the Pyrenees (July–August 1813). Since the Spanish guerrillas seemed to be uncontrollable, the French troops eventually evacuated Spain. Since France had been defeated on these two fronts, states that had been conquered and controlled by Napoleon saw a good opportunity to strike back. The Sixth Coalition was formed under British leadership. The German states of the Confederation of the Rhine switched sides, finally opposing Napoleon. Napoleon was largely defeated in the Battle of the Nations outside Leipzig in October 1813, his forces heavily outnumbered by the Allied coalition armies and was overwhelmed by much larger armies during the Six Days Campaign (February 1814), although, the Six Days Campaign is often considered a tactical masterpiece because the allies suffered much higher casualties. Napoleon abdicated on 6 April 1814, and was exiled to Elba. The conservative Congress of Vienna reversed the political changes that had occurred during the wars. Napoleon suddenly returned, seized control of France, raised an army, and marched on his enemies in the Hundred Days. It ended with his final defeat at the Battle of Waterloo in 1815, and his exile to St. Helena, a remote island in the South Atlantic Ocean. The monarchy was subsequently restored and Louis XVIII, Younger brother of Louis XVI became king, and the exiles returned. However many of the Revolutionary and Napoleonic reforms were kept in place. Napoleon's impact on France Napoleon centralized power in Paris, with all the provinces governed by all-powerful prefects whom he selected. They were more powerful than royal intendants of the ancien régime and had a long-term impact in unifying the nation, minimizing regional differences, and shifting all decisions to Paris. Religion had been a major issue during the Revolution, and Napoleon resolved most of the outstanding problems. Thereby he moved the clergy and large numbers of devout Catholics from hostility to the government to support for him. The Catholic system was reestablished by the Concordat of 1801 (signed with Pope Pius VII), so that church life returned to normal; the church lands were not restored, but the Jesuits were allowed back in and the bitter fights between the government and Church ended. Protestant, Jews and atheists were tolerated. The French taxation system had collapsed in the 1780s. In the 1790s the government seized and sold church lands and lands of exiles aristocrats. Napoleon instituted a modern, efficient tax system that guaranteed a steady flow of revenues and made long-term financing possible. Napoleon kept the system of conscription that had been created in the 1790s, so that every young man served in the army, which could be rapidly expanded even as it was based on a core of careerists and talented officers. Before the Revolution the aristocracy formed the officer corps. Now promotion was by merit and achievement—every private carried a marshal's baton, it was said. The modern era of French education began in the 1790s. The Revolution in the 1790s abolished the traditional universities. Napoleon sought to replace them with new institutions, the École Polytechnique, focused on technology. The elementary schools received little attention. Napoleonic Code Of permanent importance was the Napoleonic Code created by eminent jurists under Napoleon's supervision. Praised for its Gallic clarity, it spread rapidly throughout Europe and the world in general, and marked the end of feudalism and the liberation of serfs where it took effect. The Code recognized the principles of civil liberty, equality before the law, and the secular character of the state. It discarded the old right of primogeniture (where only the eldest son inherited) and required that inheritances be divided equally among all the children. The court system was standardized; all judges were appointed by the national government in Paris. Long 19th century, 1815–1914 The century after the fall of Napoleon I was politically unstable: Every head of state from 1814 to 1873 spent part of his life in exile. Every regime was the target of assassination attempts of a frequency that put Spanish and Russian politics in the shade. Even in peaceful times governments changed every few months. In less peaceful times, political deaths, imprisonments and deportations are literally incalculable. France was no longer the dominant power it had been before 1814, but it played a major role in European economics, culture, diplomacy and military affairs. The Bourbons were restored, but left a weak record and one branch was overthrown in 1830 and the other branch in 1848 as Napoleon's nephew was elected president. He made himself emperor as Napoleon III, but was overthrown when he was defeated and captured by Prussians in an 1870 war that humiliated France and made the new nation of Germany dominant in the continent. The Third Republic was established, but the possibility of a return to monarchy remained into the 1880s. The French built up an empire, especially in Africa and Indochina. The economy was strong, with a good railway system. The arrival of the Rothschild banking family of France in 1812 guaranteed the role of Paris alongside London as a major center of international finance. Permanent changes in French society The French Revolution and Napoleonic eras brought a series of major changes to France which the Bourbon restoration did not reverse. First of all, France became highly centralized, with all decisions made in Paris. The political geography was completely reorganized and made uniform. France was divided into 80+ departments, which have endured into the 21st century. Each department had the identical administrative structure, and was tightly controlled by a prefect appointed by Paris. The complex multiple overlapping legal jurisdictions of the old regime had all been abolished, and there was now one standardized legal code, administered by judges appointed by Paris, and supported by police under national control. Education was centralized, with the Grand Master of the University of France controlling every element of the entire educational system from Paris. Newly technical universities were opened in Paris which to this day have a critical role in training the elite. Conservatism was bitterly split into the old aristocracy that returned, and the new elites that arose after 1796. The old aristocracy was eager to regain its land but felt no loyalty to the new regime. The new elite — the "noblesse d'empire" — ridiculed the other group as an outdated remnant of a discredited regime that had led the nation to disaster. Both groups shared a fear of social disorder, but the level of distrust as well as the cultural differences were too great and the monarchy too inconsistent in its policies for political cooperation to be possible. The old aristocracy had returned, and recovered much of the land they owned directly. However they completely lost all their old seigneurial rights to the rest of the farmland, and the peasants no longer were under their control. The old aristocracy had dallied with the ideas of the Enlightenment and rationalism. Now the aristocracy was much more conservative, and much more supportive of the Catholic Church. For the best jobs meritocracy was the new policy, and aristocrats had to compete directly with the growing business and professional class. Anti-clerical sentiment became much stronger than ever before, but was now based in certain elements of the middle class and indeed the peasantry as well. In France, as in most of Europe, the sum total of wealth was concentrated. The richest 10 percent of families owned between 80 and 90 percent of the wealth from 1810 to 1914. Their share then fell to about 60 percent, where it remained into the 21st century. The share of the top one percent of the population grew from 45 percent in 1810 to 60 percent in 1914, then fell steadily to 20 percent in 1970 to the present. The "200 families" controlled much of the nation's wealth after 1815. The "200" is based on the policy that of the 40,000 shareholders of the Bank of France, only 200 were allowed to attend the annual meeting and they cast all the votes. Out of a nation of 27 million people, only 80,000 to 90,000 were allowed to vote in 1820, and the richest one-fourth of them had two votes. The great masses of the French people were peasants in the countryside, or impoverished workers in the cities. They gained new rights, and a new sense of possibilities. Although relieved of many of the old burdens, controls, and taxes, the peasantry was still highly traditional in its social and economic behavior. Many eagerly took on mortgages to buy as much land as possible for their children, so debt was an important factor in their calculations. The working class in the cities was a small element, and had been freed of many restrictions imposed by medieval guilds. However France was very slow to industrialize (in the sense of large factories using modern machinery), and much of the work remained drudgery without machinery or technology to help. This provided a good basis for small-scale expensive luxury crafts that attracted an international upscale market. France was still localized, especially in terms of language, but now there was an emerging French nationalism that showed its national pride in the Army, and foreign affairs. Religion The Catholic Church lost all its lands and buildings during the Revolution, and these were sold off or came under the control of local governments. The bishop still ruled his diocese (which was aligned with the new department boundaries), but could only communicate with the pope through the government in Paris. Bishops, priests, nuns and other religious people were paid salaries by the state. All the old religious rites and ceremonies were retained, and the government maintained the religious buildings. The Church was allowed to operate its own seminaries and to some extent local schools as well, although this became a central political issue into the 20th century. Bishops were much less powerful than before, and had no political voice. However, the Catholic Church reinvented itself and put a new emphasis on personal religiosity that gave it a hold on the psychology of the faithful. France remained basically Catholic. The 1872 census counted 36 million people, of whom 35.4 million were listed as Catholics, 600,000 as Protestants, 50,000 as Jews and 80,000 as freethinkers. The Revolution failed to destroy the Catholic Church, and Napoleon's concordat of 1801 restored its status. The return of the Bourbons in 1814 brought back many rich nobles and landowners who supported the Church, seeing it as a bastion of conservatism and monarchism. However the monasteries with their vast land holdings and political power were gone; much of the land had been sold to urban entrepreneurs who lacked historic connections to the land and the peasants. Few new priests were trained in the 1790–1814 period, and many left the church. The result was that the number of parish clergy plunged from 60,000 in 1790 to 25,000 in 1815, many of them elderly. Entire regions, especially around Paris, were left with few priests. On the other hand, some traditional regions held fast to the faith, led by local nobles and historic families. The comeback was very slow in the larger cities and industrial areas. With systematic missionary work and a new emphasis on liturgy and devotions to the Virgin Mary, plus support from Napoleon III, there was a comeback. In 1870, there were 56,500 priests, representing a much younger and more dynamic force in the villages and towns, with a thick network of schools, charities and lay organizations. Conservative Catholics held control of the national government, 1820–30, but most often played secondary political roles or had to fight the assault from republicans, liberals, socialists and seculars. Economy French economic history since its late-18th century Revolution was tied to three major events and trends: the Napoleonic Era, the competition with Britain and its other neighbors in regards to 'industrialization', and the 'total wars' of the late-19th and early 20th centuries. Quantitative analysis of output data shows the French per capita growth rates were slightly smaller than Britain. However the British population tripled in size, while France grew by only third—so the overall British economy grew much faster. The ups and downs of French per capita economic growth in 1815–1913: 1815–1840: irregular, but sometimes fast growth 1840–1860: fast growth 1860–1882: slowing down 1882–1896: stagnation 1896–1913: fast growth For the 1870–1913 era, the growth rates for 12 similar advanced countries — 10 in Europe plus the United States and Canada — show that in terms of per capita growth, France was about average. However its population growth was very slow, so as far as the growth rate in total size of the economy France was in next to the last place, just ahead of Italy. The 12 countries averaged 2.7% per year in total output, but France only averaged 1.6%. Bourbon restoration: (1814–1830) This period of time is called the Bourbon Restoration and was marked by conflicts between reactionary Ultra-royalists, who wanted to restore the pre-1789 system of absolute monarchy, and liberals, who wanted to strengthen constitutional monarchy. Louis XVIII was the younger brother of Louis XVI, and reigned from 1814 to 1824. On becoming king, Louis issued a constitution known as the Charter which preserved many of the liberties won during the French Revolution and provided for a parliament composed of an elected Chamber of Deputies and a Chamber of Peers that was nominated by the king. Evaluation After two decades of war and revolution, the restoration brought peace and quiet, and general prosperity. "Frenchmen were, on the whole, well governed, prosperous, contented during the 15-year period; one historian even describes the restoration era as 'one of the happiest periods in [France's] history." France had recovered from the strain and disorganization, the wars, the killings, and the horrors of two decades of disruption. It was at peace throughout the period. It paid a large war indemnity to the winners, but managed to finance that without distress; the occupation soldiers left peacefully. Population increased by 3 million, and prosperity was strong from 1815 to 1825, with the depression of 1825 caused by bad harvests. The national credit was strong, there was significant increase in public wealth, and the national budget showed a surplus every year. In the private sector, banking grew dramatically, making Paris a world center for finance, along with London. The Rothschild family was world-famous, with the French branch led by James Mayer de Rothschild (1792–1868). The communication system was improved, as roads were upgraded, canals were lengthened, and steamboat traffic became common. Industrialization was delayed in comparison to Britain and Belgium. The railway system had yet to make an appearance. Industry was heavily protected with tariffs, so there was little demand for entrepreneurship or innovation. Culture flourished with the new romantic impulses. Oratory was highly regarded, and debates were very high standard. Châteaubriand and Madame de Staël (1766–1817) enjoyed Europe-wide reputations for their innovations in romantic literature. She made important contributions to political sociology, and the sociology of literature. History flourished; François Guizot, Benjamin Constant and Madame de Staël drew lessons from the past to guide the future. The paintings of Eugène Delacroix set the standards for romantic art. Music, theater, science, and philosophy all flourished. The higher learning flourished at the Sorbonne. Major new institutions gave France world leadership in numerous advanced fields, as typified by the École Nationale des Chartes (1821) for historiography, the École Centrale des Arts et Manufactures in 1829 for innovative engineering; and the École des Beaux-Arts for the fine arts, reestablished in 1830. Overall, the Bourbon government's handling of foreign affairs was successful. France kept a low profile, and Europe forgot of its animosities. Louis and Charles had little interest in foreign affairs, so France played only minor roles. Its army helped restore the Spanish monarch in 1823. It helped the other powers deal with Greece and Turkey. King Charles X, an ultra reactionary, mistakenly thought that foreign glory would cover domestic frustration, so he made an all-out effort to conquer Algiers in 1830. He sent a massive force of 38,000 soldiers and 4500 horses carried by 103 warships and 469 merchant ships. The expedition was a dramatic military success in only three weeks. The invasion paid for itself with 48 million francs from the captured treasury. The episode launched the second French colonial empire, but it did not provide desperately needed political support for the King at home. Charles X repeatedly exacerbated internal tensions, and tried to neutralize his enemies with repressive measures. He depended too heavily upon his inept chief minister Polignac. Repression failed and a quick sudden revolution forced Charles into exile for the third time. July Monarchy (1830–1848) Protest against the absolute monarchy was in the air. The elections of deputies to 16 May 1830 had gone very badly for King Charles X. In response, he tried repression but that only aggravated the crisis as suppressed deputies, gagged journalists, students from the University and many working men of Paris poured into the streets and erected barricades during the "three glorious days" (French Les Trois Glorieuses) of 26–29 July 1830. Charles X was deposed and replaced by King Louis-Philippe in the July Revolution. It is traditionally regarded as a rising of the bourgeoisie against the absolute monarchy of the Bourbons. Participants in the July Revolution included the Marquis de Lafayette. Working behind the scenes on behalf of the bourgeois propertied interests was Louis Adolphe Thiers. Louis-Philippe's "July Monarchy" (1830–1848) was dominated by the haute bourgeoisie (high bourgeoisie) of bankers, financiers, industrialists and merchants. During the reign of the July Monarchy, the Romantic Era was starting to bloom. Driven by the Romantic Era, an atmosphere of protest and revolt was all around in France. On 22 November 1831 in Lyon (the second largest city in France) the silk workers revolted and took over the town hall in protest of recent salary reductions and working conditions. This was one of the first instances of a workers revolt in the entire world. Because of the constant threats to the throne, the July Monarchy began to rule with a stronger and stronger hand. Soon political meetings were outlawed. However, "banquets" were still legal and all through 1847, there was a nationwide campaign of republican banquets demanding more democracy. The climaxing banquet was scheduled for 22 February 1848 in Paris but the government banned it. In response citizens of all classes poured out onto the streets of Paris in a revolt against the July Monarchy. Demands were made for abdication of "Citizen King" Louis-Philippe and for establishment of a representative democracy in France. The king abdicated, and the French Second Republic was proclaimed. Alphonse Marie Louis de Lamartine, who had been a leader of the moderate republicans in France during the 1840s, became the Minister of Foreign Affairs and in effect the premier in the new Provisional government. In reality Lamartine was the virtual head of government in 1848. Second Republic (1848–1852) Frustration among the laboring classes arose when the Constituent Assembly did not address the concerns of the workers. Strikes and worker demonstrations became more common as the workers gave vent to these frustrations. These demonstrations reached a climax when on 15 May 1848, workers from the secret societies broke out in armed uprising against the anti-labor and anti-democratic policies being pursued by the Constituent Assembly and the Provisional Government. Fearful of a total breakdown of law and order, the Provisional Government invited General Louis Eugene Cavaignac back from Algeria, in June 1848, to put down the workers' armed revolt. From June 1848 until December 1848 General Cavaignac became head of the executive of the Provisional Government. On 10 December 1848, Louis Napoleon Bonaparte was elected president by a landslide. His support came from a wide section of the French public. Various classes of French society voted for Louis Napoleon for very different and often contradictory reasons. Louis Napoleon himself encouraged this contradiction by "being all things to all people." One of his major promises to the peasantry and other groups was that there would be no new taxes. The new National Constituent Assembly was heavily composed of royalist sympathizers of both the Legitimist (Bourbon) wing and the Orleanist (Citizen King Louis Philippe) wing. Because of the ambiguity surrounding Louis Napoleon's political positions, his agenda as president was very much in doubt. For prime minister, he selected Odilon Barrot, an unobjectionable middle-road parliamentarian who had led the "loyal opposition" under Louis Philippe. Other appointees represented various royalist factions. The Pope had been forced out of Rome as part of the Revolutions of 1848, and Louis Napoleon sent a 14,000-man expeditionary force of troops to the Papal State under General Nicolas Charles Victor Oudinot to restore him. In late April 1849, it was defeated and pushed back from Rome by Giuseppe Garibaldi's volunteer corps, but then it recovered and recaptured Rome. In June 1849, demonstrations against the government broke out and were suppressed. The leaders, including prominent politicians, were arrested. The government banned several democratic and socialist newspapers in France; the editors were arrested. Karl Marx was at risk, so in August he moved to London. The government sought ways to balance its budget and reduce its debts. Toward this end, Hippolyte Passy was appointed Finance Minister. When the Legislative Assembly met at the beginning of October 1849, Passy proposed an income tax to help balance the finances of France. The bourgeoisie, who would pay most of the tax, protested. The furor over the income tax caused the resignation of Barrot as prime minister, but a new wine tax also caused protests. The 1850 elections resulted in a conservative body. It passed the Falloux Laws, putting education into the hands of the Catholic clergy. It opened an era of cooperation between Church and state that lasted until the Jules Ferry laws reversed course in 1879. The Falloux Laws provided universal primary schooling in France and expanded opportunities for secondary schooling. In practice, the curricula were similar in Catholic and state schools. Catholic schools were especially useful in schooling for girls, which had long been neglected. Although a new electoral law was passed that respected the principle of universal (male) suffrage, the stricter residential requirement of the new law actually had the effect of disenfranchising 3,000,000 of 10,000,000 voters. Second Empire, 1852–1870 The president rejected the constitution and made himself emperor as Napoleon III. He is known for working to modernize the French economy, the rebuilding of Paris, expanding the overseas empire, and engaging in numerous wars. His effort to build an empire in Mexico was a fiasco. Autocratic at first, he opened the political system somewhat in the 1860s. He lost all his allies and recklessly declared war on a much more powerful Prussia in 1870; he was captured and deposed. As 1851 opened, Louis Napoleon was not allowed by the Constitution of 1848 to seek re-election as President of France. He proclaimed himself Emperor of the French in 1852, with almost dictatorial powers. He made completion of a good railway system a high priority. He consolidated three dozen small, incomplete lines into six major companies using Paris as a hub. Paris grew dramatically in terms of population, industry, finance, commercial activity, and tourism. Napoleon working with Georges-Eugène Haussmann spent lavishly to rebuild the city into a world-class showpiece. The financial soundness for all six companies was solidified by government guarantees. Although France had started late, by 1870 it had an excellent railway system, supported as well by good roads, canals and ports. Despite his promises in 1852 of a peaceful reign, the Emperor could not resist the temptations of glory in foreign affairs. He was visionary, mysterious and secretive; he had a poor staff, and kept running afoul of his domestic supporters. In the end he was incompetent as a diplomat. Napoleon did have some successes: he strengthened French control over Algeria, established bases in Africa, began the takeover of Indochina, and opened trade with China. He facilitated a French company building the Suez Canal, which Britain could not stop. In Europe, however, Napoleon failed again and again. The Crimean war of 1854–56 produced no gains. Napoleon had long been an admirer of Italy and wanted to see it unified, although that might create a rival power. He plotted with Cavour of the Italian kingdom of Piedmont to expel Austria and set up an Italian confederation of four new states headed by the pope. Events in 1859 ran out of his control. Austria was quickly defeated, but instead of four new states a popular uprising united all of Italy under Piedmont. The pope held onto Rome only because Napoleon sent troops to protect him. His reward was the County of Nice (which included the city of Nice and the rugged Alpine territory to its north and east) and the Duchy of Savoy. He angered Catholics when the pope lost most of his domains. Napoleon then reversed himself and angered both the anticlerical liberals at home and his erstwhile Italian allies when he protected the pope in Rome. The British grew annoyed at Napoleon's humanitarian intervention in Syria in 1860–1861. Napoleon lowered the tariffs, which helped in the long run but in the short run angered owners of large estates and the textile and iron industrialists, while leading worried workers to organize. Matters grew worse in the 1860s as Napoleon nearly blundered into war with the United States in 1862, while his takeover of Mexico in 1861–67 was a total disaster. The puppet emperor he put on the Mexican throne was overthrown and executed. Finally in the end he went to war with the Germans in 1870 when it was too late to stop German unification. Napoleon had alienated everyone; after failing to obtain an alliance with Austria and Italy, France had no allies and was bitterly divided at home. It was disastrously defeated on the battlefield, losing Alsace and Lorraine. Historian A. J. P. Taylor was blunt: "he ruined France as a great power." Foreign wars In 1854, The Second Empire joined the Crimean War, which saw France and Britain opposed to the Russian Empire, which was decisively defeated at Sevastopol in 1854–55 and at Inkerman in 1854. In 1856, France joined the Second Opium War on the British side against China; a missionary's murder was used as a pretext to take interests in southwest Asia in the Treaty of Tientsin. When France was negotiating with the Netherlands about purchasing Luxembourg in 1867, the Prussian Kingdom threatened the French government with war. This "Luxembourg Crisis" came as a shock to French diplomats as there had been an agreement between the Prussian and French governments about Luxembourg. Napoleon III suffered stronger and stronger criticism from Republicans like Jules Favre, and his position seemed more fragile with the passage of time. The country interfered in Korea in 1866 taking, once again, missionaries' murders as a pretext. The French finally withdrew from the war with little gain but war's booty. The next year a French expedition to Japan was formed to help the Tokugawa shogunate to modernize its army. However, Tokugawa was defeated during the Boshin War at the Battle of Toba–Fushimi by large Imperial armies. Franco-Prussian War (1870–71) Rising tensions in 1869 about the possible candidacy of Prince Leopold von Hohenzollern-Sigmaringen to the throne of Spain caused a rise in the scale of animosity between France and Germany. Prince Leopold was a part of the Prussian royal family. He had been asked by the Spanish Cortes to accept the vacant throne of Spain. Such an event was more than France could possibly accept. Relations between France and Germany deteriorated, and finally the Franco-Prussian War (1870–71) broke out. German nationalism united the German states, with the exception of Austria, against Napoleon III. The French Empire was defeated decisively at Metz and Sedan. Napoleon III surrendered himself and 100,000 French troops to the German troops at Sedan on 1–2 September 1870. Two days later, on 4 September 1870, Léon Gambetta proclaimed a new republic in France. Later, when Paris was encircled by German troops, Gambetta fled Paris became the virtual dictator of the war effort which was carried on from the rural provinces. Metz remained under siege until 27 October 1870, when 173,000 French troops there finally surrendered. Surrounded, Paris was forced to surrender on 28 January 1871. The Treaty of Frankfurt allowed the newly formed German Empire to annex the provinces of Alsace and Lorraine. Modernisation and railways (1870–1914) The seemingly timeless world of the French peasantry swiftly changed from 1870 to 1914. French peasants had been poor and locked into old traditions until railroads, republican schools, and universal (male) military conscription modernized rural France. The centralized government in Paris had the goal of creating a unified nation-state, so it required all students be taught standardized French. In the process, a new national identity was forged. Railways became a national medium for the modernization of traditionalistic regions, and a leading advocate of this approach was the poet-politician Alphonse de Lamartine. In 1857, an army colonel hoped that railways might improve the lot of "populations two or three centuries behind their fellows" and eliminate "the savage instincts born of isolation and misery." Consequently, France built a centralized system that radiated from Paris (plus in the south some lines that cut east to west). This design was intended to achieve political and cultural goals rather than maximize efficiency. After some consolidation, six companies controlled monopolies of their regions, subject to close control by the government in terms of fares, finances, and even minute technical details. The central government department of Ponts et Chaussées (bridges and roads) brought in British engineers, handled much of the construction work, provided engineering expertise and planning, land acquisition, and construction of permanent infrastructure such as the track bed, bridges and tunnels. It also subsidized militarily necessary lines along the German border. Private operating companies provided management, hired labor, laid the tracks, and built and operated stations. They purchased and maintained the rolling stock—6,000 locomotives were in operation in 1880, which averaged 51,600 passengers a year or 21,200 tons of freight. Much of the equipment was imported from Britain and therefore did not stimulate machinery makers. Although starting the whole system at once was politically expedient, it delayed completion, and forced even more reliance on temporary experts brought in from Britain. Financing was also a problem. The solution was a narrow base of funding through the Rothschilds and the closed circles of the Paris Bourse, so France did not develop the same kind of national stock exchange that flourished in London and New York. The system did help modernize the parts of rural France it reached, but it did not help create local industrial centers. Critics such as Émile Zola complained that it never overcame the corruption of the political system, but rather contributed to it. The railways probably helped the industrial revolution in France by facilitating a national market for raw materials, wines, cheeses, and imported manufactured products. Yet the goals set by the French for their railway system were moralistic, political, and military rather than economic. As a result, the freight trains were shorter and less heavily loaded than those in such rapidly industrializing nations such as Britain, Belgium or Germany. Other infrastructure needs in rural France, such as better roads and canals, were neglected because of the expense of the railways, so it seems likely that there were net negative effects in areas not served by the trains. Third Republic and the Belle Epoque: 1871–1914 Third Republic and the Paris Commune Following the defeat of France in the Franco-Prussian War (1870–71), German Chancellor Otto von Bismarck proposed harsh terms for peace – including the German occupation of the provinces of Alsace and Lorraine. A new French National Assembly was elected to consider the German terms for peace. Elected on 8 February 1871, this new National Assembly was composed of 650 deputies. Sitting in Bordeaux, the French National Assembly established the Third Republic. However, 400 members of the new Assembly were monarchists. (Léon Gambetta was one of the "non-monarchist" Republicans that were elected to the new National Assembly from Paris.) On 16 February 1871, Adolphe Thiers was elected as the chief executive of the new Republic. Because of the revolutionary unrest in Paris, the centre of the Thiers government was located at Versailles. In late 1870 to early 1871, the workers of Paris rose up in premature and unsuccessful small-scale uprisings. The National Guard within Paris had become increasingly restive and defiant of the police, the army chief of staff, and even their own National Guard commanders. Thiers immediately recognized a revolutionary situation and, on 18 March 1871, sent regular army units to take control of artillery that belonged to the National Guard of Paris. Some soldiers of the regular army units fraternized with the rebels and the revolt escalated. The barricades went up just as in 1830 and 1848. The Paris Commune was born. Once again the Hôtel de Ville, or Town Hall, became the center of attention for the people in revolt; this time the Hôtel de Ville became the seat of the revolutionary government. Other cities in France followed the example of the Paris Commune, as in Lyon, Marseille, and Toulouse. All of the Communes outside Paris were promptly crushed by the Thiers government. An election on 26 March 1871 in Paris produced a government based on the working class. Louis Auguste Blanqui was in prison but a majority of delegates were his followers, called "Blanquists." The minority comprised anarchists and followers of Pierre Joseph Proudhon (1809–1855); as anarchists, the "Proudhonists" were supporters of limited or no government and wanted the revolution to follow an ad hoc course with little or no planning. Analysis of arrests records indicate the typical communard was opposed to the military, the clerics, the rural aristocrats. He saw the bourgeoisie as the enemy. After two months the French army moved in to retake Paris, with pitched battles fought in working-class neighbourhoods. Hundreds were executed in front of the Communards' Wall, while thousands of others were marched to Versailles for trials. The number killed during la semaine sanglante (The "Bloody Week" of 21–28 May 1871) was perhaps 30,000, with as many as 50,000 later executed or imprisoned; 7,000 were exiled to New Caledonia; thousands more escaped to exile. The government won approval for its actions in a national referendum with 321,000 in favor and only 54,000 opposed. Political battles The Republican government next had to confront counterrevolutionaries who rejected the legacy of the 1789 Revolution. Both the Legitimists (embodied in the person of Henri, Count of Chambord, grandson of Charles X) and the Orleanist royalists rejected republicanism, which they saw as an extension of modernity and atheism, breaking with France's traditions. This conflict became increasingly sharp in 1873, when Thiers himself was censured by the National Assembly as not being "sufficiently conservative" and resigned to make way for Marshal Patrice MacMahon as the new president. Amidst the rumors of right-wing intrigue and/or coups by the Bonapartists or Bourbons in 1874, the National Assembly set about drawing up a new constitution that would be acceptable to all parties. The new constitution provided for universal male suffrage and called for a bi-cameral legislature, consisting of a Senate and a Chamber of Deputies. The initial republic was in effect led by pro-royalists, but republicans (the "Radicals") and Bonapartists scrambled for power. The first election under this new constitution — held in early 1876 — resulted in a republican victory, with 363 republicans elected as opposed to 180 monarchists. However, 75 of the monarchists elected to the new Chamber of Deputies were Bonapartists. The possibility of a coup d'état was an ever-present factor. Léon Gambetta chose moderate Armand Dufaure as premier but he failed to form a government. MacMahon next chose conservative Jules Simon. He too failed, setting the stage for the 16 May 1877 crisis, which led to the resignation of MacMahon. A restoration of the king now seemed likely, and royalists agreed on Henri, comte de Chambord, the grandson of Charles X. He insisted on an impossible demand and ruined the royalist cause. Its turn never came again as the Orleanist faction rallied themselves to the Republic, behind Adolphe Thiers. The new President of the Republic in 1879 was Jules Grevy. In January 1886, Georges Boulanger became Minister of War. Georges Clemanceau was instrumental in obtaining this appointment for Boulanger. This was the start of the Boulanger era and another time of threats of a coup. The Legitimist (Bourbon) faction mostly left politics but one segment founded L'Action Française in 1898, during the Dreyfus Affair; it became an influential movement throughout the 1930s, in particular among the conservative Catholic intellectuals. Solidarism and Radical Party While liberalism was individualistic and laissez-faire in Britain and the United States, in France liberalism was based instead on a solidaristic conception of society, following the theme of the French Revolution, Liberté, égalité, fraternité ("liberty, equality, fraternity"). In the Third Republic, especially between 1895 and 1914 "Solidarité" ["solidarism"] was the guiding concept of a liberal social policy, whose chief champions were the prime ministers Leon Bourgeois (1895–96) and Pierre Waldeck-Rousseau (1899–1902) The period from 1879 to 1914 saw power mostly in the hands of moderate republicans and "radicals"; they avoided state ownership of industry and had a middle class political base. Their main policies were governmental intervention (financed by a progressive income tax) to provide a social safety net. They opposed church schools. They expanded educational opportunities and promoted consumers' and producers' cooperatives. In terms of foreign policy they supported the League of Nations, compulsory arbitration, controlled disarmament, and economic sanctions to keep the peace. The French welfare state expanded when it tried to followed some of Bismarck's policies, starting with relief for the poor. Foreign policy French foreign policy from 1871 to 1914 showed a dramatic transformation from a humiliated power with no friends and not much of an empire in 1871, to the centerpiece of the European alliance system in 1914, with a flourishing empire that was second in size only to Great Britain. Although religion was a hotly contested matter and domestic politics, the Catholic Church made missionary work and church building a specialty in the colonies. Most Frenchman ignored foreign policy; its issues were a low priority in politics. French foreign policy was based on a fear of Germany—whose larger size and fast-growing economy could not be matched—combined with a revanchism that demanded the return of Alsace and Lorraine. At the same time, in the midst of the Scramble for Africa, French and British interest in Africa came into conflict. The most dangerous episode was the Fashoda Incident of 1898 when French troops tried to claim an area in the Southern Sudan, and a British force purporting to be acting in the interests of the Khedive of Egypt arrived. Under heavy pressure the French withdrew securing Anglo-Egyptian control over the area. The status quo was recognised by an agreement between the two states acknowledging British control over Egypt, while France became the dominant power in Morocco, but France suffered a humiliating defeat overall. The Suez Canal, initially built by the French, became a joint British-French project in 1875, as both saw it as vital to maintaining their influence and empires in Asia. In 1882, ongoing civil disturbances in Egypt prompted Britain to intervene, extending a hand to France. France's leading expansionist Jules Ferry was out of office, and the government allowed Britain to take effective control of Egypt. France had colonies in Asia and looked for alliances and found in Japan a possible ally. During his visit to France, Iwakura Tomomi asked for French assistance in reforming Japan. French military missions were sent to Japan in 1872–1880, in 1884–1889 and the last one much later in 1918–1919 to help modernize the Japanese army. Conflicts between the Chinese Emperor and the French Republic over Indochina climaxed during the Sino-French War (1884–1885). Admiral Courbet destroyed the Chinese fleet anchored at Foochow. The treaty ending the war, put France in a protectorate over northern and central Vietnam, which it divided into Tonkin and Annam. In an effort to isolate Germany, France went to great pains to woo Russia and Great Britain, first by means of the Franco-Russian Alliance of 1894, then the 1904 Entente Cordiale with Great Britain, and finally the Anglo-Russian Entente in 1907, which became the Triple Entente. This alliance with Britain and Russia against Germany and Austria eventually led Russia and Britain to enter World War I as France's Allies. Dreyfus Affair Distrust of Germany, faith in the army, and native French anti-semitism combined to make the Dreyfus Affair (the unjust trial and condemnation of a Jewish military officer for "treason" in 1894) a political scandal of the utmost gravity. For a decade, the nation was divided between "dreyfusards" and "anti-dreyfusards", and far-right Catholic agitators inflamed the situation even when proofs of Dreyfus's innocence came to light. The writer Émile Zola published an impassioned editorial on the injustice (J'Accuse…!) and was himself condemned by the government for libel. Dreyfus was finally pardoned in 1906. The upshot was a weakening of the conservative element in politics. Moderates were deeply divided over the Dreyfus Affair, and this allowed the Radicals to hold power from 1899 until World War I. During this period, crises like the threatened "Boulangist" coup d'état (1889) showed the fragility of the republic. Religion 1870–1924 Throughout the lifetime of the Third Republic there were battles over the status of the Catholic Church. The French clergy and bishops were closely associated with the Monarchists and many of its hierarchy were from noble families. Republicans were based in the anticlerical middle class who saw the Church's alliance with the monarchists as a political threat to republicanism, and a threat to the modern spirit of progress. The Republicans detested the church for its political and class affiliations; for them, the church represented outmoded traditions, superstition and monarchism. The Republicans were strengthened by Protestant and Jewish support. Numerous laws were passed to weaken the Catholic Church. In 1879, priests were excluded from the administrative committees of hospitals and of boards of charity. In 1880, new measures were directed against the religious congregations. From 1880 to 1890 came the substitution of lay women for nuns in many hospitals. Napoleon's 1801 Concordat continued in operation but in 1881, the government cut off salaries to priests it disliked. The 1882 school laws of Republican Jules Ferry set up a national system of public schools that taught strict puritanical morality but no religion. For a while privately funded Catholic schools were tolerated. Civil marriage became compulsory, divorce was introduced and chaplains were removed from the army. When Leo XIII became pope in 1878 he tried to calm Church-State relations. In 1884, he told French bishops not to act in a hostile manner to the State. In 1892, he issued an encyclical advising French Catholics to rally to the Republic and defend the Church by participating in Republican politics. This attempt at improving the relationship failed. Deep-rooted suspicions remained on both sides and were inflamed by the Dreyfus Affair. Catholics were for the most part anti-dreyfusard. The Assumptionists published anti-Semitic and anti-republican articles in their journal La Croix. This infuriated Republican politicians, who were eager to take revenge. Often they worked in alliance with Masonic lodges. The Waldeck-Rousseau Ministry (1899–1902) and the Combes Ministry (1902–05) fought with the Vatican over the appointment of bishops. Chaplains were removed from naval and military hospitals (1903–04), and soldiers were ordered not to frequent Catholic clubs (1904). Combes as Prime Minister in 1902, was determined to thoroughly defeat Catholicism. He closed down all parochial schools in France. Then he had parliament reject authorisation of all religious orders. This meant that all fifty four orders were dissolved and about 20,000 members immediately left France, many for Spain. In 1905 the 1801 Concordat was abrogated; Church and State were separated. All Church property was confiscated. Public worship was given over to associations of Catholic laymen who controlled access to churches. In practice, Masses and rituals continued. The Church was badly hurt and lost half its priests. In the long run, however, it gained autonomy—for the State no longer had a voice in choosing bishops and Gallicanism was dead. Conservative Catholics regained control of Parliament in 1919 and reversed most of the penalties imposed on the Church, and gave bishops back control of church lands and buildings. The new pope was eager to assist the changes, and diplomatic relations were restored with the Vatican. However, the long-term secularization of French society continued, as most people only attended ceremonies for such major events as birth, marriage and funerals. Belle époque The end of the 19th and the beginning of the 20th century was the Belle Époque because of peace, prosperity and the cultural innovations of Monet, Bernhardt, and Debussy, and popular amusements — cabaret, can-can, the cinema, new art forms such as Impressionism and Art Nouveau. In 1889, the Exposition Universelle showed off newly modernised Paris to the world, which could look over it all from atop the new Eiffel Tower. Meant to last only a few decades, the tower was never removed and became France's most iconic landmark. France was nevertheless a nation divided internally on notions of ideology, religion, class, regionalisms, and money. On the international front, France came repeatedly to the brink of war with the other imperial powers, such as the 1898 Fashoda Incident with Great Britain over East Africa. Colonial empire The second colonial empire constituted the overseas colonies, protectorates and mandate territories that came under French rule from the 16th century onward. A distinction is generally made between the "first colonial empire", that existed until 1814, by which time most of it had been lost, and the "second colonial empire", which began with the conquest of Algiers in 1830. The second colonial empire came to an end after the loss in later wars of Vietnam (1954) and Algeria (1962), and relatively peaceful decolonizations elsewhere after 1960. France lost wars to Britain that stripped away nearly all of its colonies by 1765. France rebuilt a new empire mostly after 1850, concentrating chiefly in Africa as well as Indochina and the South Pacific. Republicans, at first hostile to empire, only became supportive when Germany after 1880 started to build their own colonial empire. As it developed, the new empire took on roles of trade with France, especially supplying raw materials and purchasing manufactured items as well as lending prestige to the motherland and spreading French civilization and language and the Catholic religion. It also provided manpower in the World Wars. It became a moral mission to lift the world up to French standards by bringing Christianity and French culture. In 1884, the leading proponent of colonialism, Jules Ferry, declared; "The higher races have a right over the lower races, they have a duty to civilize the inferior races." Full citizenship rights — assimilation — were offered. In reality the French settlers were given full rights and the natives given very limited rights. Apart from Algeria few settlers permanently settled
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oath as 'non-juring' or 'refractory' clergy. Making a constitutional monarchy (June–September 1791) In June 1791, the royal family secretly fled Paris in disguise for Varennes near France's northeastern border in order to seek royalist support the king believed he could trust, but they were soon discovered en route. They were brought back to Paris, after which they were essentially kept under house arrest at the Tuileries. In August 1791, Emperor Leopold II of Austria and King Frederick William II of Prussia in the Declaration of Pillnitz declared their intention to bring the French king in a position "to consolidate the basis of a monarchical government", and that they were preparing their own troops for action. Instead of cowing the French, this infuriated them, and they militarised the borders. With most of the Assembly still favoring a constitutional monarchy rather than a republic, the various groups reached a compromise. Under the Constitution of 3 September 1791, France would function as a constitutional monarchy with Louis XVI as little more than a figurehead. The King had to share power with the elected Legislative Assembly, although he still retained his royal veto and the ability to select ministers. He had perforce to swear an oath to the constitution, and a decree declared that retracting the oath, heading an army for the purpose of making war upon the nation or permitting anyone to do so in his name would amount to de facto abdication. War and internal uprisings (October 1791–August 1792) On 1 October 1791, the Legislative Assembly was formed, elected by those 4 million men — out of a population of 25 million — who paid a certain minimum amount of taxes. A group of Assembly members who propagated war against Austria and Prussia was, after a remark by politician Maximilien Robespierre, henceforth designated the 'Girondins', although not all of them really came from the southern province of Gironde. A group around Robespierre — later called 'Montagnards' or 'Jacobins' — pleaded against war; this opposition between those groups would harden and become bitter in the next 1½ years. In response to the threat of war of August 1791 from Austria and Prussia, leaders of the Assembly saw such a war as a means to strengthen support for their revolutionary government, and the French people as well as the Assembly thought that they would win a war against Austria and Prussia. On 20 April 1792, France declared war on Austria. Late April 1792, France invaded and conquered the Austrian Netherlands (roughly present-day Belgium and Luxembourg). Nevertheless, in the summer of 1792, all of Paris was against the king, and hoped that the Assembly would depose the king, but the Assembly hesitated. At dawn of 10 August 1792, a large, angry crowd of Parisians and soldiers from all over France marched on the Tuileries Palace where the king resided. Around 8:00am the king decided to leave his palace and seek safety with his wife and children in the Assembly that was gathered in permanent session in Salle du Manège opposite to the Tuileries. After 11:00am, the Assembly 'temporarily relieved the king from his task'. In reaction, on 19 August an army under Prussian general Duke of Brunswick invaded France and besieged Longwy. Late August 1792, elections were held, now under male universal suffrage, for the new National Convention. On 26 August, the Assembly decreed the deportation of refractory priests in the west of France, as "causes of danger to the fatherland", to destinations like French Guiana. In reaction, peasants in the Vendée took over a town, in another step toward civil war. Bloodbath in Paris and the Republic established (September 1792) On 2, 3 and 4 September 1792, some three hundred volunteers and supporters of the revolution, infuriated by Verdun being captured by the Prussian enemy, and rumours that the foreign enemy were conspiring with the incarcerated prisoners in Paris, raided the Parisian prisons. Jean-Paul Marat had called for preemptive action and between 1,200 and 1,400 prisoners were murdered within 20 hours (September Massacres), many of them Catholic nonjuring priests but also aristocrats, forgers and common criminals. In an open letter on 3 September the radical Marat incited the rest of France to follow the Parisian example. Danton and Robespierre kept a low profile in regard to the murder orgy. The Assembly and the city council of Paris (la Commune) seemed inapt and hardly motivated to call a halt to the unleashed bloodshed. On 20 September 1792, the French won a battle against Prussian troops near Valmy and the new National Convention replaced the Legislative Assembly. From the start the Convention suffered from the bitter division between a group around Robespierre, Danton and Marat referred to as 'Montagnards' or 'Jacobins' or 'left' and a group referred to as 'Girondins' or 'right'. But the majority of the representatives, referred to as 'la Plaine', were member of neither of those two antagonistic groups and managed to preserve some speed in the convention's debates. Right away on 21 September the Convention abolished the monarchy, making France the French First Republic. A new French Republican Calendar was introduced to replace the Christian Gregorian calendar, renaming the year 1792 as year 1 of the Republic. War and civil war (November 1792–spring 1793) With wars against Prussia and Austria having started earlier in 1792, in November France also declared war on the Kingdom of Great Britain and the Dutch Republic. Ex-king Louis XVI was tried, convicted, and guillotined in January 1793. Introduction of a nationwide conscription for the army in February 1793 was the spark that in March made the Vendée, already rebellious since 1790 because of the Civil Constitution of the Clergy, ignite into civil war against Paris. Meanwhile, France in March also declared war on Spain. That month, the Vendée rebels won some victories against Paris and the French army was defeated in Belgium by Austria with the French general Dumouriez defecting to the Austrians: the French Republic's survival was now in real danger. On 6 April 1793, to prevent the Convention from losing itself in abstract debate and to streamline government decisions, the Comité de salut public (Committee of Public Safety) was created of nine, later twelve members, as executive government which was accountable to the convention. That month the 'Girondins' group indicted Jean-Paul Marat before the Revolutionary Tribunal for 'attempting to destroy the sovereignty of the people' and 'preaching plunder and massacre', referring to his behaviour during the September 1792 Paris massacres. Marat was quickly acquitted but the incident further acerbated the 'Girondins' versus 'Montagnards' party strife in the convention. In the spring of 1793, Austrian, British, Dutch and Spanish troops invaded France. Showdown in the Convention (May–June 1793) With rivalry, even enmity, in the National Convention and its predecessors between so-called 'Montagnards' and 'Girondins' smouldering ever since late 1791, Jacques Hébert, Convention member leaning to the 'Montagnards' group, on 24 May 1793 called on the sans-culottes—the idealized simple, non-aristocratic, hard-working, upright, patriotic, republican, Paris labourers—to rise in revolt against the "henchmen of Capet [= the killed ex-king] and Dumouriez [= the defected general]". Hébert was arrested immediately by a Convention committee investigating Paris rebelliousness. While that committee consisted only of members from la Plaine and the Girondins, the anger of the sans-culottes was directed towards the Girondins. 25 May, a delegation of la Commune (the Paris city council) protested against Hébert's arrest. The convention's President Isnard, a Girondin, answered them: "Members of la Commune (…) If by your incessant rebellions something befalls to the representatives of the nation, I declare, in the name of France, that Paris will be totally obliterated". On 29 May 1793, in Lyon an uprising overthrew a group of Montagnards ruling the city; Marseille, Toulon and more cities saw similar events. On 2 June 1793, the convention's session in Tuileries Palace—since early May their venue—not for the first time degenerated into chaos and pandemonium. This time crowds of people including 80,000 armed soldiers swarmed in and around the palace. Incessant screaming from the public galleries, always in favour of the Montagnards, suggested that all of Paris was against the Girondins, which was not really the case. Petitions circulated, indicting and condemning 22 Girondins. Barère, member of the Committee of Public Safety, suggested: to end this division which is harming the Republic, the Girondin leaders should lay down their offices voluntarily. A decree was adopted that day by the convention, after much tumultuous debate, expelling 22 leading Girondins from the convention. Late that night, indeed dozens of Girondins had resigned and left the convention. In the course of 1793, the Holy Roman Empire, the kings of Portugal and Naples and the Grand-Duke of Tuscany declared war against France. Counter-revolution subdued (July 1793–April 1794) By the summer of 1793, most French departments in one way or another opposed the central Paris government, and in many cases 'Girondins', fled from Paris after 2 June, led those revolts. In Brittany's countryside, the people rejecting the Civil Constitution of the Clergy of 1790 had taken to a guerrilla warfare known as Chouannerie. But generally, the French opposition against 'Paris' had now evolved into a plain struggle for power over the country against the 'Montagnards' around Robespierre and Marat now dominating Paris. In June–July 1793, Bordeaux, Marseilles, Brittany, Caen and the rest of Normandy gathered armies to march on Paris and against 'the revolution'. In July, Lyon guillotined the deposed 'Montagnard' head of the city council. Barère, member of the Committee of Public Safety, on 1 August incited the convention to tougher measures against the Vendée, at war with Paris since March: "We'll have peace only when no Vendée remains… we'll have to exterminate that rebellious people". In August, Convention troops besieged Lyon. In August–September 1793, militants urged the convention to do more to quell the counter-revolution. A delegation of the Commune (Paris city council) suggested to form revolutionary armies to arrest hoarders and conspirators. Bertrand Barère, member of the Committee of Public Safety—the de facto executive government—ever since April 1793, among others on 5 September reacted favorably, saying: let's "make terror the order of the day!" On 17 September, the National Convention passed the Law of Suspects, a decree ordering the arrest of all declared opponents of the current form of government and suspected "enemies of freedom". This decree was one of the causes for 17,000 death sentences until the end of July 1794, reason for historians to label those 10½ months 'the (Reign of) Terror'. On 19 September the Vendée rebels again defeated a Republican Convention army. On 1 October Barère repeated his plea to subdue the Vendée: "refuge of fanaticism, where priests have raised their altars…". In October the Convention troops captured Lyon and reinstated a Montagnard government there. Criteria for bringing someone before the Revolutionary Tribunal, created March 1793, had always been vast and vague. By August, political disagreement seemed enough to be summoned before the Tribunal; appeal against a Tribunal verdict was impossible. Late August 1793, an army general had been guillotined on the accusation of choosing too timid strategies on the battlefield. Mid-October, the widowed former queen Marie Antoinette was on trial for a long list of charges such as "teaching [her husband] Louis Capet the art of dissimulation" and incest with her son, she too was guillotined. In October, 21 former 'Girondins' Convention members who had not left Paris after June were convicted to death and executed, on the charge of verbally supporting the preparation of an insurrection in Caen by fellow-Girondins. On 17 October 1793, the 'blue' Republican army near Cholet defeated the 'white' Vendéan insubordinate army and all surviving Vendée residents, counting in tens of thousands, fled over the river Loire north into Brittany. A Convention's representative on mission in Nantes commissioned in October to pacify the region did so by simply drowning prisoners in the river Loire: until February 1794 he drowned at least 4,000. By November 1793, the revolts in Normandy, Bordeaux and Lyon were overcome, in December also that in Toulon. Two representatives on mission sent to punish Lyon between November 1793 and April 1794 executed 2,000 people by guillotine or firing-squad. The Vendéan army since October roaming through Brittany on 12 December 1793 again ran up against Republican troops and saw 10,000 of its rebels perish, meaning the end of this once threatening army. Some historians claim that after that defeat Convention Republic armies in 1794 massacred 117,000 Vendéan civilians to obliterate the Vendéan people, but others contest that claim. Some historians consider the civil war to have lasted until 1796 with a toll of 450,000 lives. Death-sentencing politicians (February–July 1794) Maximilien Robespierre, since July 1793 member of the Committee of Public Prosperity, on 5 February 1794 in a speech in the Convention identified Jacques Hébert and his faction as "internal enemies" working toward the triumph of tyranny. After a dubious trial Hébert and some allies were guillotined in March. On 5 April, again at the instigation of Robespierre, Danton and 13 associated politicians were executed. A week later again 19 politicians. This hushed the Convention deputies: if henceforth they disagreed with Robespierre they hardly dared to speak out. A law enacted on 10 June 1794 (22 Prairial II) further streamlined criminal procedures: if the Revolutionary Tribunal saw sufficient proof of someone being an "enemy of the people" a counsel for defence would not be allowed. The frequency of guillotine executions in Paris now rose from on average three a day to an average of 29 a day. Meanwhile, France's external wars were going well, with victories over Austrian and British troops in May and June 1794 opening up Belgium for French conquest. However, cooperation within the Committee of Public Safety, since April 1793 the de facto executive government, started to break down. On 29 June 1794, three colleagues of Robespierre at the Committee called him a dictator in his face — Robespierre baffled left the meeting. This encouraged other Convention members to also defy Robespierre. On 26 July, a long and vague speech of Robespierre was not met with thunderous applause as usual but with hostility; some deputies yelled that Robespierre should have the courage to say which deputies he deemed necessary to be killed next, which Robespierre refused to do. In the Convention session of 27 July 1794, Robespierre and his allies hardly managed to say a word as they were constantly interrupted by a row of critics such as Tallien, Billaud-Varenne, Vadier, Barère and acting president Thuriot. Finally, even Robespierre's own voice failed on him: it faltered at his last attempt to beg permission to speak. A decree was adopted to arrest Robespierre, Saint-Just and Couthon. 28 July, they and 19 others were beheaded. 29 July, again 70 Parisians were guillotined. Subsequently, the Law of 22 Prairial (10 June 1794) was repealed, and the 'Girondins' expelled from the Convention in June 1793, if not dead yet, were reinstated as Convention deputies. Disregarding the working classes (August 1794–October 1795) After July 1794, most civilians henceforth ignored the Republican calendar and returned to the traditional seven-day weeks. The government in a law of 21 February 1795 set steps of return to freedom of religion and reconciliation with the since 1790 refractory Catholic priests, but any religious signs outside churches or private homes, such as crosses, clerical garb, bell ringing, remained prohibited. When the people's enthusiasm for attending church grew to unexpected levels the government backed out and in October 1795 again, like in 1790, required all priests to swear oaths on the Republic. In the very cold winter of 1794–95, with the French army demanding more and more bread, same was getting scarce in Paris as was wood to keep houses warm, and in an echo of the October 1789 March on Versailles, on 1 April 1795 (12 Germinal III) a mostly female crowd marched on the Convention calling for bread. But no Convention member sympathized, they just told the women to return home. Again in May a crowd of 20,000 men and 40,000 women invaded the convention and even killed a deputy in the halls, but again they failed to make the Convention take notice of the needs of the lower classes. Instead, the Convention banned women from all political assemblies, and deputies who had solidarized with this insurrection were sentenced to death: such allegiance between parliament and street fighting was no longer tolerated. Late 1794, France conquered present-day Belgium. In January 1795 they subdued the Dutch Republic with full consent and cooperation of the influential Dutch patriottenbeweging ('patriots' movement'), resulting in the Batavian Republic, a satellite and puppet state of France. In April 1795, France concluded a peace agreement with Prussia, later that year peace was agreed with Spain. Fighting Catholicism and royalism (October 1795–November 1799) In October 1795, the Republic was reorganised, replacing the one-chamber parliament (the National Convention) by a bi-cameral system: the first chamber called the 'Council of 500' initiating the laws, the second the 'Council of Elders' reviewing and approving or not the passed laws. Each year, one-third of the chambers was to be renewed. The executive power lay with five directors — hence the name 'Directory' for this form of government — with a five-year mandate, each year one of them being replaced. The early directors did not much understand the nation they were governing; they especially had an innate inability to see Catholicism as anything else than counter-revolutionary and royalist. Local administrators had a better sense of people's priorities, and one of them wrote to the minister of the interior: "Give back the crosses, the church bells, the Sundays, and everyone will cry: vive la République!" French armies in 1796 advanced into Germany, Austria and Italy. In 1797, France conquered Rhineland, Belgium and much of Italy, and unsuccessfully attacked Wales. Parliamentary elections in the spring of 1797 resulted in considerable gains for the royalists. This frightened the republican directors and they staged a coup d'état on 4 September 1797 (Coup of 18 Fructidor V) to remove two supposedly pro-royalist directors and some prominent royalists from both Councils. The new, 'corrected' government, still strongly convinced that Catholicism and royalism were equally dangerous to the Republic, started a fresh campaign to promote the Republican calendar officially introduced in 1792, with its ten-day week, and tried to hallow the tenth day, décadi, as substitute for the Christian Sunday. Not only citizens opposed and even mocked such decrees, also local government officials refused to enforce such laws. France was still waging wars, in 1798 in Egypt, Switzerland, Rome, Ireland, Belgium and against the U.S.A., in 1799 in Baden-Württemberg. In 1799, when the French armies abroad experienced some setbacks, the newly chosen director Sieyes considered a new overhaul necessary for the Directory's form of government because in his opinion it needed a stronger executive. Together with successful general Napoleon Bonaparte who had just returned to France, Sieyes began preparing another coup d'état, which took place on 9–10 November 1799 (18–19 Brumaire VIII), replacing the five directors now with three "consuls": Napoleon, Sieyes, and Roger Ducos. Napoleonic France (1799–1815) During the War of the First Coalition (1792–97), the Directoire had replaced the National Convention. Five directors then ruled France. As Great Britain was still at war with France, a plan was made to take Egypt from the Ottoman Empire, a British ally. This was Napoleon's idea and the Directoire agreed to the plan in order to send the popular general away from the mainland. Napoleon defeated the Ottoman forces during the Battle of the Pyramids (21 July 1798) and sent hundreds of scientists and linguists out to thoroughly explore modern and ancient Egypt. Only a few weeks later the British fleet under Admiral Horatio Nelson unexpectedly destroyed the French fleet at the Battle of the Nile (1–3 August 1798). Napoleon planned to move into Syria but was defeated at the Siege of Acre and he returned to France without his army, which surrendered. The Directoire was threatened by the Second Coalition (1798–1802). Royalists and their allies still dreamed of restoring the monarchy to power, while the Prussian and Austrian crowns did not accept their territorial losses during the previous war. In 1799, the Russian army expelled the French from Italy in battles such as Cassano, while the Austrian army defeated the French in Switzerland at Stockach and Zurich. Napoleon then seized power through a coup and established the Consulate in 1799. The Austrian army was defeated at the Battle of Marengo (1800) and again at the Battle of Hohenlinden (1800). While at sea the French had some success at Boulogne but Nelson's Royal Navy destroyed an anchored Danish and Norwegian fleet at the Battle of Copenhagen (1801) because the Scandinavian kingdoms were against the British blockade of France. The Second Coalition was beaten and peace was settled in two distinct treaties: the Treaty of Lunéville and the Treaty of Amiens. A brief interlude of peace ensued in 1802–3, during which Napoleon sold French Louisiana to the United States because it was indefensible. In 1801, Napoleon concluded a "Concordat" with Pope Pius VII that opened peaceful relations between church and state in France. The policies of the Revolution were reversed, except the Church did not get its lands back. Bishops and clergy were to receive state salaries, and the government would pay for the building and maintenance of churches. Napoleon reorganized higher learning by dividing the Institut National into four (later five) academies. In 1804, Napoleon was titled Emperor by the senate, thus founding the First French Empire. Napoleon's rule was constitutional, and although autocratic, it was much more advanced than traditional European monarchies of the time. The proclamation of the French Empire was met by the Third Coalition. The French army was renamed La Grande Armée in 1805 and Napoleon used propaganda and nationalism to control the French population. The French army achieved a resounding victory at Ulm (16–19 October 1805), where an entire Austrian army was captured. A Franco-Spanish fleet was defeated at Trafalgar (21 October 1805) and all plans to invade Britain were then made impossible. Despite this naval defeat, it was on the ground that this war would be won; Napoleon inflicted on the Austrian and Russian Empires one of their greatest defeats at Austerlitz (also known as the "Battle of the Three Emperors" on 2 December 1805), destroying the Third Coalition. Peace was settled in the Treaty of Pressburg; the Austrian Empire lost the title of Holy Roman Emperor and the Confederation of the Rhine was created by Napoleon over former Austrian territories. Coalitions formed against Napoleon Prussia joined Britain and Russia, thus forming the Fourth Coalition. Although the Coalition was joined by other allies, the French Empire was also not alone since it now had a complex network of allies and subject states. The largely outnumbered French army crushed the Prussian army at Jena-Auerstedt in 1806; Napoleon captured Berlin and went as far as Eastern Prussia. There the Russian Empire was defeated at the Battle of Friedland (14 June 1807). Peace was dictated in the Treaties of Tilsit, in which Russia had to join the Continental System, and Prussia handed half of its territories to France. The Duchy of Warsaw was formed over these territorial losses, and Polish troops entered the Grande Armée in significant numbers. In order to ruin the British economy, Napoleon set up the Continental System in 1807, and tried to prevent merchants across Europe from trading with British. The large amount of smuggling frustrated Napoleon, and did more harm to his economy than to his enemies. Freed from his obligation in the east, Napoleon then went back to the west, as the French Empire was still at war with Britain. Only two countries remained neutral in the war: Sweden and Portugal, and Napoleon then looked toward the latter. In the Treaty of Fontainebleau (1807), a Franco-Spanish alliance against Portugal was sealed as Spain eyed Portuguese territories. French armies entered Spain in order to attack Portugal, but then seized Spanish fortresses and took over the kingdom by surprise. Joseph Bonaparte, Napoleon's brother, was made King of Spain after Charles IV abdicated. This occupation of the Iberian peninsula fueled local nationalism, and soon the Spanish and Portuguese fought the French using guerilla tactics, defeating the French forces at the Battle of Bailén (June and July 1808). Britain sent a short-lived ground support force to Portugal, and French forces evacuated Portugal as defined in the Convention of Sintra following the Allied victory at Vimeiro (21 August 1808). France only controlled Catalonia and Navarre and could have been definitely expelled from the Iberian peninsula had the Spanish armies attacked again, but the Spanish did not. Another French attack was launched on Spain, led by Napoleon himself, and was described as "an avalanche of fire and steel." However, the French Empire was no longer regarded as invincible by European powers. In 1808, Austria formed the War of the Fifth Coalition in order to break down the French Empire. The Austrian Empire defeated the French at Aspern-Essling, yet was beaten at Wagram while the Polish allies defeated the Austrian Empire at Raszyn (April 1809). Although not as decisive as the previous Austrian defeats, the peace treaty in October 1809 stripped Austria of a large amount of territories, reducing it even more. In 1812, war broke out with Russia, engaging Napoleon in the disastrous French invasion of Russia (1812). Napoleon assembled the largest army Europe had ever seen, including troops from all subject states, to invade Russia, which had just left the continental system and was gathering an army on the Polish frontier. Following an exhausting march and the bloody but inconclusive Battle of Borodino, near Moscow, the Grande Armée entered and captured Moscow, only to find it burning as part of the Russian scorched earth tactics. Although there still were battles, the Napoleonic army left Russia in late 1812 annihilated, most of all by the Russian winter, exhaustion, and scorched earth warfare. On the Spanish front the French troops were defeated at Vitoria (June 1813) and then at the Battle of the Pyrenees (July–August 1813). Since the Spanish guerrillas seemed to be uncontrollable, the French troops eventually evacuated Spain. Since France had been defeated on these two fronts, states that had been conquered and controlled by Napoleon saw a good opportunity to strike back. The Sixth Coalition was formed under British leadership. The German states of the Confederation of the Rhine switched sides, finally opposing Napoleon. Napoleon was largely defeated in the Battle of the Nations outside Leipzig in October 1813, his forces heavily outnumbered by the Allied coalition armies and was overwhelmed by much larger armies during the Six Days Campaign (February 1814), although, the Six Days Campaign is often considered a tactical masterpiece because the allies suffered much higher casualties. Napoleon abdicated on 6 April 1814, and was exiled to Elba. The conservative Congress of Vienna reversed the political changes that had occurred during the wars. Napoleon suddenly returned, seized control of France, raised an army, and marched on his enemies in the Hundred Days. It ended with his final defeat at the Battle of Waterloo in 1815, and his exile to St. Helena, a remote island in the South Atlantic Ocean. The monarchy was subsequently restored and Louis XVIII, Younger brother of Louis XVI became king, and the exiles returned. However many of the Revolutionary and Napoleonic reforms were kept in place. Napoleon's impact on France Napoleon centralized power in Paris, with all the provinces governed by all-powerful prefects whom he selected. They were more powerful than royal intendants of the ancien régime and had a long-term impact in unifying the nation, minimizing regional differences, and shifting all decisions to Paris. Religion had been a major issue during the Revolution, and Napoleon resolved most of the outstanding problems. Thereby he moved the clergy and large numbers of devout Catholics from hostility to the government to support for him. The Catholic system was reestablished by the Concordat of 1801 (signed with Pope Pius VII), so that church life returned to normal; the church lands were not restored, but the Jesuits were allowed back in and the bitter fights between the government and Church ended. Protestant, Jews and atheists were tolerated. The French taxation system had collapsed in the 1780s. In the 1790s the government seized and sold church lands and lands of exiles aristocrats. Napoleon instituted a modern, efficient tax system that guaranteed a steady flow of revenues and made long-term financing possible. Napoleon kept the system of conscription that had been created in the 1790s, so that every young man served in the army, which could be rapidly expanded even as it was based on a core of careerists and talented officers. Before the Revolution the aristocracy formed the officer corps. Now promotion was by merit and achievement—every private carried a marshal's baton, it was said. The modern era of French education began in the 1790s. The Revolution in the 1790s abolished the traditional universities. Napoleon sought to replace them with new institutions, the École Polytechnique, focused on technology. The elementary schools received little attention. Napoleonic Code Of permanent importance was the Napoleonic Code created by eminent jurists under Napoleon's supervision. Praised for its Gallic clarity, it spread rapidly throughout Europe and the world in general, and marked the end of feudalism and the liberation of serfs where it took effect. The Code recognized the principles of civil liberty, equality before the law, and the secular character of the state. It discarded the old right of primogeniture (where only the eldest son inherited) and required that inheritances be divided equally among all the children. The court system was standardized; all judges were appointed by the national government in Paris. Long 19th century, 1815–1914 The century after the fall of Napoleon I was politically unstable: Every head of state from 1814 to 1873 spent part of his life in exile. Every regime was the target of assassination attempts of a frequency that put Spanish and Russian politics in the shade. Even in peaceful times governments changed every few months. In less peaceful times, political deaths, imprisonments and deportations are literally incalculable. France was no longer the dominant power it had been before 1814, but it played a major role in European economics, culture, diplomacy and military affairs. The Bourbons were restored, but left a weak record and one branch was overthrown in 1830 and the other branch in 1848 as Napoleon's nephew was elected president. He made himself emperor as Napoleon III, but was overthrown when he was defeated and captured by Prussians in an 1870 war that humiliated France and made the new nation of Germany dominant in the continent. The Third Republic was established, but the possibility of a return to monarchy remained into the 1880s. The French built up an empire, especially in Africa and Indochina. The economy was strong, with a good railway system. The arrival of the Rothschild banking family of France in 1812 guaranteed the role of Paris alongside London as a major center of international finance. Permanent changes in French society The French Revolution and Napoleonic eras brought a series of major changes to France which the Bourbon restoration did not reverse. First of all, France became highly centralized, with all decisions made in Paris. The political geography was completely reorganized and made uniform. France was divided into 80+ departments, which have endured into the 21st century. Each department had the identical administrative structure, and was tightly controlled by a prefect appointed by Paris. The complex multiple overlapping legal jurisdictions of the old regime had all been abolished, and there was now one standardized legal code, administered by judges appointed by Paris, and supported by police under national control. Education was centralized, with the Grand Master of the University of France controlling every element of the entire educational system from Paris. Newly technical universities were opened in Paris which to this day have a critical role in training the elite. Conservatism was bitterly split into the old aristocracy that returned, and the new elites that arose after 1796. The old aristocracy was eager to regain its land but felt no loyalty to the new regime. The new elite — the "noblesse d'empire" — ridiculed the other group as an outdated remnant of a discredited regime that had led the nation to disaster. Both groups shared a fear of social disorder, but the level of distrust as well as the cultural differences were too great and the monarchy too inconsistent in its policies for political cooperation to be possible. The old aristocracy had returned, and recovered much of the land they owned directly. However they completely lost all their old seigneurial rights to the rest of the farmland, and the peasants no longer were under their control. The old aristocracy had dallied with the ideas of the Enlightenment and rationalism. Now the aristocracy was much more conservative, and much more supportive of the Catholic Church. For the best jobs meritocracy was the new policy, and aristocrats had to compete directly with the growing business and professional class. Anti-clerical sentiment became much stronger than ever before, but was now based in certain elements of the middle class and indeed the peasantry as well. In France, as in most of Europe, the sum total of wealth was concentrated. The richest 10 percent of families owned between 80 and 90 percent of the wealth from 1810 to 1914. Their share then fell to about 60 percent, where it remained into the 21st century. The share of the top one percent of the population grew from 45 percent in 1810 to 60 percent in 1914, then fell steadily to 20 percent in 1970 to the present. The "200 families" controlled much of the nation's wealth after 1815. The "200" is based on the policy that of the 40,000 shareholders of the Bank of France, only 200 were allowed to attend the annual meeting and they cast all the votes. Out of a nation of 27 million people, only 80,000 to 90,000 were allowed to vote in 1820, and the richest one-fourth of them had two votes. The great masses of the French people were peasants in the countryside, or impoverished workers in the cities. They gained new rights, and a new sense of possibilities. Although relieved of many of the old burdens, controls, and taxes, the peasantry was still highly traditional in its social and economic behavior. Many eagerly took on mortgages to buy as much land as possible for their children, so debt was an important factor in their calculations. The working class in the cities was a small element, and had been freed of many restrictions imposed by medieval guilds. However France was very slow to industrialize (in the sense of large factories using modern machinery), and much of the work remained drudgery without machinery or technology to help. This provided a good basis for small-scale expensive luxury crafts that attracted an international upscale market. France was still localized, especially in terms of language, but now there was an emerging French nationalism that showed its national pride in the Army, and foreign affairs. Religion The Catholic Church lost all its lands and buildings during the Revolution, and these were sold off or came under the control of local governments. The bishop still ruled his diocese (which was aligned with the new department boundaries), but could only communicate with the pope through the government in Paris. Bishops, priests, nuns and other religious people were paid salaries by the state. All the old religious rites and ceremonies were retained, and the government maintained the religious buildings. The Church was allowed to operate its own seminaries and to some extent local schools as well, although this became a central political issue into the 20th century. Bishops were much less powerful than before, and had no political voice. However, the Catholic Church reinvented itself and put a new emphasis on personal religiosity that gave it a hold on the psychology of the faithful. France remained basically Catholic. The 1872 census counted 36 million people, of whom 35.4 million were listed as Catholics, 600,000 as Protestants, 50,000 as Jews and 80,000 as freethinkers. The Revolution failed to destroy the Catholic Church, and Napoleon's concordat of 1801 restored its status. The return of the Bourbons in 1814 brought back many rich nobles and landowners who supported the Church, seeing it as a bastion of conservatism and monarchism. However the monasteries with their vast land holdings and political power were gone; much of the land had been sold to urban entrepreneurs who lacked historic connections to the land and the peasants. Few new priests were trained in the 1790–1814 period, and many left the church. The result was that the number of parish clergy plunged from 60,000 in 1790 to 25,000 in 1815, many of them elderly. Entire regions, especially around Paris, were left with few priests. On the other hand, some traditional regions held fast to the faith, led by local nobles and historic families. The comeback was very slow in the larger cities and industrial areas. With systematic missionary work and a new emphasis on liturgy and devotions to the Virgin Mary, plus support from Napoleon III, there was a comeback. In 1870, there were 56,500 priests, representing a much younger and more dynamic force in the villages and towns, with a thick network of schools, charities and lay organizations. Conservative Catholics held control of the national government, 1820–30, but most often played secondary political roles or had to fight the assault from republicans, liberals, socialists and seculars. Economy French economic history since its late-18th century Revolution was tied to three major events and trends: the Napoleonic Era, the competition with Britain and its other neighbors in regards to 'industrialization', and the 'total wars' of the late-19th and early 20th centuries. Quantitative analysis of output data shows the French per capita growth rates were slightly smaller than Britain. However the British population tripled in size, while France grew by only third—so the overall British economy grew much faster. The ups and downs of French per capita economic growth in 1815–1913: 1815–1840: irregular, but sometimes fast growth 1840–1860: fast growth 1860–1882: slowing down 1882–1896: stagnation 1896–1913: fast growth For the 1870–1913 era, the growth rates for 12 similar advanced countries — 10 in Europe plus the United States and Canada — show that in terms of per capita growth, France was about average. However its population growth was very slow, so as far as the growth rate in total size of the economy France was in next to the last place, just ahead of Italy. The 12 countries averaged 2.7% per year in total output, but France only averaged 1.6%. Bourbon restoration: (1814–1830) This period of time is called the Bourbon Restoration and was marked by conflicts between reactionary Ultra-royalists, who wanted to restore the pre-1789 system of absolute monarchy, and liberals, who wanted to strengthen constitutional monarchy. Louis XVIII was the younger brother of Louis XVI, and reigned from 1814 to 1824. On becoming king, Louis issued a constitution known as the Charter which preserved many of the liberties won during the French Revolution and provided for a parliament composed of an elected Chamber of Deputies and a Chamber of Peers that was nominated by the king. Evaluation After two decades of war and revolution, the restoration brought peace and quiet, and general prosperity. "Frenchmen were, on the whole, well governed, prosperous, contented during the 15-year period; one historian even describes the restoration era as 'one of the happiest periods in [France's] history." France had recovered from the strain and disorganization, the wars, the killings, and the horrors of two decades of disruption. It was at peace throughout the period. It paid a large war indemnity to the winners, but managed to finance that without distress; the occupation soldiers left peacefully. Population increased by 3 million, and prosperity was strong from 1815 to 1825, with the depression of 1825 caused by bad harvests. The national credit was strong, there was significant increase in public wealth, and the national budget showed a surplus every year. In the private sector, banking grew dramatically, making Paris a world center for finance, along with London. The Rothschild family was world-famous, with the French branch led by James Mayer de Rothschild (1792–1868). The communication system was improved, as roads were upgraded, canals were lengthened, and steamboat traffic became common. Industrialization was delayed in comparison to Britain and Belgium. The railway system had yet to make an appearance. Industry was heavily protected with tariffs, so there was little demand for entrepreneurship or innovation. Culture flourished with the new romantic impulses. Oratory was highly regarded, and debates were very high standard. Châteaubriand and Madame de Staël (1766–1817) enjoyed Europe-wide reputations for their innovations in romantic literature. She made important contributions to political sociology, and the sociology of literature. History flourished; François Guizot, Benjamin Constant and Madame de Staël drew lessons from the past to guide the future. The paintings of Eugène Delacroix set the standards for romantic art. Music, theater, science, and philosophy all flourished. The higher learning flourished at the Sorbonne. Major new institutions gave France world leadership in numerous advanced fields, as typified by the École Nationale des Chartes (1821) for historiography, the École Centrale des Arts et Manufactures in 1829 for innovative engineering; and the École des Beaux-Arts for the fine arts, reestablished in 1830. Overall, the Bourbon government's handling of foreign affairs was successful. France kept a low profile, and Europe forgot of its animosities. Louis and Charles had little interest in foreign affairs, so France played only minor roles. Its army helped restore the Spanish monarch in 1823. It helped the other powers deal with Greece and Turkey. King Charles X, an ultra reactionary, mistakenly thought that foreign glory would cover domestic frustration, so he made an all-out effort to conquer Algiers in 1830. He sent a massive force of 38,000 soldiers and 4500 horses carried by 103 warships and 469 merchant ships. The expedition was a dramatic military success in only three weeks. The invasion paid for itself with 48 million francs from the captured treasury. The episode launched the second French colonial empire, but it did not provide desperately needed political support for the King at home. Charles X repeatedly exacerbated internal tensions, and tried to neutralize his enemies with repressive measures. He depended too heavily upon his inept chief minister Polignac. Repression failed and a quick sudden revolution forced Charles into exile for the third time. July Monarchy (1830–1848) Protest against the absolute monarchy was in the air. The elections of deputies to 16 May 1830 had gone very badly for King Charles X. In response, he tried repression but that only aggravated the crisis as suppressed deputies, gagged journalists, students from the University and many working men of Paris poured into the streets and erected barricades during the "three glorious days" (French Les Trois Glorieuses) of 26–29 July 1830. Charles X was deposed and replaced by King Louis-Philippe in the July Revolution. It is traditionally regarded as a rising of the bourgeoisie against the absolute monarchy of the Bourbons. Participants in the July Revolution included the Marquis de Lafayette. Working behind the scenes on behalf of the bourgeois propertied interests was Louis Adolphe Thiers. Louis-Philippe's "July Monarchy" (1830–1848) was dominated by the haute bourgeoisie (high bourgeoisie) of bankers, financiers, industrialists and merchants. During the reign of the July Monarchy, the Romantic Era was starting to bloom. Driven by the Romantic Era, an atmosphere of protest and revolt was all around in France. On 22 November 1831 in Lyon (the second largest city in France) the silk workers revolted and took over the town hall in protest of recent salary reductions and working conditions. This was one of the first instances of a workers revolt in the entire world. Because of the constant threats to the throne, the July Monarchy began to rule with a stronger and stronger hand. Soon political meetings were outlawed. However, "banquets" were still legal and all through 1847, there was a nationwide campaign of republican banquets demanding more democracy. The climaxing banquet was scheduled for 22 February 1848 in Paris but the government banned it. In response citizens of all classes poured out onto the streets of Paris in a revolt against the July Monarchy. Demands were made for abdication of "Citizen King" Louis-Philippe and for establishment of a representative democracy in France. The king abdicated, and the French Second Republic was proclaimed. Alphonse Marie Louis de Lamartine, who had been a leader of the moderate republicans in France during the 1840s, became the Minister of Foreign Affairs and in effect the premier in the new Provisional government. In reality Lamartine was the virtual head of government in 1848. Second Republic (1848–1852) Frustration among the laboring classes arose when the Constituent Assembly did not address the concerns of the workers. Strikes and worker demonstrations became more common as the workers gave vent to these frustrations. These demonstrations reached a climax when on 15 May 1848, workers from the secret societies broke out in armed uprising against the anti-labor and anti-democratic policies being pursued by the Constituent Assembly and the Provisional Government. Fearful of a total breakdown of law and order, the Provisional Government invited General Louis Eugene Cavaignac back from Algeria, in June 1848, to put down the workers' armed revolt. From June 1848 until December 1848 General Cavaignac became head of the executive of the Provisional Government. On 10 December 1848, Louis Napoleon Bonaparte was elected president by a landslide. His support came from a wide section of the French public. Various classes of French society voted for Louis Napoleon for very different and often contradictory reasons. Louis Napoleon himself encouraged this contradiction by "being all things to all people." One of his major promises to the peasantry and other groups was that there would be no new taxes. The new National Constituent Assembly was heavily composed of royalist sympathizers of both the Legitimist (Bourbon) wing and the Orleanist (Citizen King Louis Philippe) wing. Because of the ambiguity surrounding Louis Napoleon's political positions, his agenda as president was very much in doubt. For prime minister, he selected Odilon Barrot, an unobjectionable middle-road parliamentarian who had led the "loyal opposition" under Louis Philippe. Other appointees represented various royalist factions. The Pope had been forced out of Rome as part of the Revolutions of 1848, and Louis Napoleon sent a 14,000-man expeditionary force of troops to the Papal State under General Nicolas Charles Victor Oudinot to restore him. In late April 1849, it was defeated and pushed back from Rome by Giuseppe Garibaldi's volunteer corps, but then it recovered and recaptured Rome. In June 1849, demonstrations against the government broke out and were suppressed. The leaders, including prominent politicians, were arrested. The government banned several democratic and socialist newspapers in France; the editors were arrested. Karl Marx was at risk, so in August he moved to London. The government sought ways to balance its budget and reduce its debts. Toward this end, Hippolyte Passy was appointed Finance Minister. When the Legislative Assembly met at the beginning of October 1849, Passy proposed an income tax to help balance the finances of France. The bourgeoisie, who would pay most of the tax, protested. The furor over the income tax caused the resignation of Barrot as prime minister, but a new wine tax also caused protests. The 1850 elections resulted in a conservative body. It passed the Falloux Laws, putting education into the hands of the Catholic clergy. It opened an era of cooperation between Church and state that lasted until the Jules Ferry laws reversed course in 1879. The Falloux Laws provided universal primary schooling in France and expanded opportunities for secondary schooling. In practice, the curricula were similar in Catholic and state schools. Catholic schools were especially useful in schooling for girls, which had long been neglected. Although a new electoral law was passed that respected the principle of universal (male) suffrage, the stricter residential requirement of the new law actually had the effect of disenfranchising 3,000,000 of 10,000,000 voters. Second Empire, 1852–1870 The president rejected the constitution and made himself emperor as Napoleon III. He is known for working to modernize the French economy, the rebuilding of Paris, expanding the overseas empire, and engaging in numerous wars. His effort to build an empire in Mexico was a fiasco. Autocratic at first, he opened the political system somewhat in the 1860s. He lost all his allies and recklessly declared war on a much more powerful Prussia in 1870; he was captured and deposed. As 1851 opened, Louis Napoleon was not allowed by the Constitution of 1848 to seek re-election as President of France. He proclaimed himself Emperor of the French in 1852, with almost dictatorial powers. He made completion of a good railway system a high priority. He consolidated three dozen small, incomplete lines into six major companies using Paris as a hub. Paris grew dramatically in terms of population, industry, finance, commercial activity, and tourism. Napoleon working with Georges-Eugène Haussmann spent lavishly to rebuild the city into a world-class showpiece. The financial soundness for all six companies was solidified by government guarantees. Although France had started late, by 1870 it had an excellent railway system, supported as well by good roads, canals and ports. Despite his promises in 1852 of a peaceful reign, the Emperor could not resist the temptations of glory in foreign affairs. He was visionary, mysterious and secretive; he had a poor staff, and kept running afoul of his domestic supporters. In the end he was incompetent as a diplomat. Napoleon did have some successes: he strengthened French control over Algeria, established bases in Africa, began the takeover of Indochina, and opened trade with China. He facilitated a French company building the Suez Canal, which Britain could not stop. In Europe, however, Napoleon failed again and again. The Crimean war of 1854–56 produced no gains. Napoleon had long been an admirer of Italy and wanted to see it unified, although that might create a rival power. He plotted with Cavour of the Italian kingdom of Piedmont to expel Austria and set up an Italian confederation of four new states headed by the pope. Events in 1859 ran out of his control. Austria was quickly defeated, but instead of four new states a popular uprising united all of Italy under Piedmont. The pope held onto Rome only because Napoleon sent troops to protect him. His reward was the County of Nice (which included the city of Nice and the rugged Alpine territory to its north and east) and the Duchy of Savoy. He angered Catholics when the pope lost most of his domains. Napoleon then reversed himself and angered both the anticlerical liberals at home and his erstwhile Italian allies when he protected the pope in Rome. The British grew annoyed at Napoleon's humanitarian intervention in Syria in 1860–1861. Napoleon lowered the tariffs, which helped in the long run but in the short run angered owners of large estates and the textile and iron industrialists, while leading worried workers to organize. Matters grew worse in the 1860s as Napoleon nearly blundered into war with the United States in 1862, while his takeover of Mexico in 1861–67 was a total disaster. The puppet emperor he put on the Mexican throne was overthrown and executed. Finally in the end he went to war with the Germans in 1870 when it was too late to stop German unification. Napoleon had alienated everyone; after failing to obtain an alliance with Austria and Italy, France had no allies and was bitterly divided at home. It was disastrously defeated on the battlefield, losing Alsace and Lorraine. Historian A. J. P. Taylor was blunt: "he ruined France as a great power." Foreign wars In 1854, The Second Empire joined the Crimean War, which saw France and Britain opposed to the Russian Empire, which was decisively defeated at Sevastopol in 1854–55 and at Inkerman in 1854. In 1856, France joined the Second Opium War on the British side against China; a missionary's murder was used as a pretext to take interests in southwest Asia in the Treaty of Tientsin. When France was negotiating with the Netherlands about purchasing Luxembourg in 1867, the Prussian Kingdom threatened the French government with war. This "Luxembourg Crisis" came as a shock to French diplomats as there had been an agreement between the Prussian and French governments about Luxembourg. Napoleon III suffered stronger and stronger criticism from Republicans like Jules Favre, and his position seemed more fragile with the passage of time. The country interfered in Korea in 1866 taking, once again, missionaries' murders as a pretext. The French finally withdrew from the war with little gain but war's booty. The next year a French expedition to Japan was formed to help the Tokugawa shogunate to modernize its army. However, Tokugawa was defeated during the Boshin War at the Battle of Toba–Fushimi by large Imperial armies. Franco-Prussian War (1870–71) Rising tensions in 1869 about the possible candidacy of Prince Leopold von Hohenzollern-Sigmaringen to the throne of Spain caused a rise in the scale of animosity between France and Germany. Prince Leopold was a part of the Prussian royal family. He had been asked by the Spanish Cortes to accept the vacant throne of Spain. Such an event was more than France could possibly accept. Relations between France and Germany deteriorated, and finally the Franco-Prussian War (1870–71) broke out. German nationalism united the German states, with the exception of Austria, against Napoleon III. The French Empire was defeated decisively at Metz and Sedan. Napoleon III surrendered himself and 100,000 French troops to the German troops at Sedan on 1–2 September 1870. Two days later, on 4 September 1870, Léon Gambetta proclaimed a new republic in France. Later, when Paris was encircled by German troops, Gambetta fled Paris became the virtual dictator of the war effort which was carried on from the rural provinces. Metz remained under siege until 27 October 1870, when 173,000 French troops there finally surrendered. Surrounded, Paris was forced to surrender on 28 January 1871. The Treaty of Frankfurt allowed the newly formed German Empire to annex the provinces of Alsace and Lorraine. Modernisation and railways (1870–1914) The seemingly timeless world of the French peasantry swiftly changed from 1870 to 1914. French peasants had been poor and locked into old traditions until railroads, republican schools, and universal (male) military conscription modernized rural France. The centralized government in Paris had the goal of creating a unified nation-state, so it required all students be taught standardized French. In the process, a new national identity was forged. Railways became a national medium for the modernization of traditionalistic regions, and a leading advocate of this approach was the poet-politician Alphonse de Lamartine. In 1857, an army colonel hoped that railways might improve the lot of "populations two or three centuries behind their fellows" and eliminate "the savage instincts born of isolation and misery." Consequently, France built a centralized system that radiated from Paris (plus in the south some lines that cut east to west). This design was intended to achieve political and cultural goals rather than maximize efficiency. After some consolidation, six companies controlled monopolies of their regions, subject to close control by the government in terms of fares, finances, and even minute technical details. The central government department of Ponts et Chaussées (bridges and roads) brought in British engineers, handled much of the construction work, provided engineering expertise and planning, land acquisition, and construction of permanent infrastructure such as the track bed, bridges and tunnels. It also subsidized militarily necessary lines along the German border. Private operating companies provided management, hired labor, laid the tracks, and built and operated stations. They purchased and maintained the rolling stock—6,000 locomotives were in operation in 1880, which averaged 51,600 passengers a year or 21,200 tons of freight. Much of the equipment was imported from Britain and therefore did not stimulate machinery makers. Although starting the whole system at once was politically expedient, it delayed completion, and forced even more reliance on temporary experts brought in from Britain. Financing was also a problem. The solution was a narrow base of funding through the Rothschilds and the closed circles of the Paris Bourse, so France did not develop the same kind of national stock exchange that flourished in London and New York. The system did help modernize the parts of rural France it reached, but it did not help create local industrial centers. Critics such as Émile Zola complained that it never overcame the corruption of the political system, but rather contributed to it. The railways probably helped the industrial revolution in France by facilitating a national market for raw materials, wines, cheeses, and imported manufactured products. Yet the goals set by the French for their railway system were moralistic, political, and military rather than economic. As a result, the freight trains were shorter and less heavily loaded than those in such rapidly industrializing nations such as Britain, Belgium or Germany. Other infrastructure needs in rural France, such as better roads and canals, were neglected because of the expense of the railways, so it seems likely that there were net negative effects in areas not served by the trains. Third Republic and the Belle Epoque: 1871–1914 Third Republic and the Paris Commune Following the defeat of France in the Franco-Prussian War (1870–71), German Chancellor Otto von Bismarck proposed harsh terms for peace – including the German occupation of the provinces of Alsace and Lorraine. A new French National Assembly was elected to consider the German terms for peace. Elected on 8 February 1871, this new National Assembly was composed of 650 deputies. Sitting in Bordeaux, the French National Assembly established the Third Republic. However, 400 members of the new Assembly were monarchists. (Léon Gambetta was one of the "non-monarchist" Republicans that were elected to the new National Assembly from Paris.) On 16 February 1871, Adolphe Thiers was elected as the chief executive of the new Republic. Because of the revolutionary unrest in Paris, the centre of the Thiers government was located at Versailles. In late 1870 to early 1871, the workers of Paris rose up in premature and unsuccessful small-scale uprisings. The National Guard within Paris had become increasingly restive and defiant of the police, the army chief of staff, and even their own National Guard commanders. Thiers immediately recognized a revolutionary situation and, on 18 March 1871, sent regular army units to take control of artillery that belonged to the National Guard of Paris. Some soldiers of the regular army units fraternized with the rebels and the revolt escalated. The barricades went up just as in 1830 and 1848. The Paris Commune was born. Once again the Hôtel de Ville, or Town Hall, became the center of attention for the people in revolt; this time the Hôtel de Ville became the seat of the revolutionary government. Other cities in France followed the example of the Paris Commune, as in Lyon, Marseille, and Toulouse. All of the Communes outside Paris were promptly crushed by the Thiers government. An election on 26 March 1871 in Paris produced a government based on the working class. Louis Auguste Blanqui was in prison but a majority of delegates were his followers, called "Blanquists." The minority comprised anarchists and followers of Pierre Joseph Proudhon (1809–1855); as anarchists, the "Proudhonists" were supporters of limited or no government and wanted the revolution to follow an ad hoc course with little or no planning. Analysis of arrests records indicate the typical communard was opposed to the military, the clerics, the rural aristocrats. He saw the bourgeoisie as the enemy. After two months the French army moved in to retake Paris, with pitched battles fought in working-class neighbourhoods. Hundreds were executed in front of the Communards' Wall, while thousands of others were marched to Versailles for trials. The number killed during la semaine sanglante (The "Bloody Week" of 21–28 May 1871) was perhaps 30,000, with as many as 50,000 later executed or imprisoned; 7,000 were exiled to New Caledonia; thousands more escaped to exile. The government won approval for its actions in a national referendum with 321,000 in favor and only 54,000 opposed. Political battles The Republican government next had to confront counterrevolutionaries who rejected the legacy of the 1789 Revolution. Both the Legitimists (embodied in the person of Henri, Count of Chambord, grandson of Charles X) and the Orleanist royalists rejected republicanism, which they saw as an extension of modernity and atheism, breaking with France's traditions. This conflict became increasingly sharp in 1873, when Thiers himself was censured by the National Assembly as not being "sufficiently conservative" and resigned to make way for Marshal Patrice MacMahon as the new president. Amidst the rumors of right-wing intrigue and/or coups by the Bonapartists or Bourbons in 1874, the National Assembly set about drawing up a new constitution that would be acceptable to all parties. The new constitution provided for universal male suffrage and called for a bi-cameral legislature, consisting of a Senate and a Chamber of Deputies. The initial republic was in effect led by pro-royalists, but republicans (the "Radicals") and Bonapartists scrambled for power. The first election under this new constitution — held in early 1876 — resulted in a republican victory, with 363 republicans elected as opposed to 180 monarchists. However, 75 of the monarchists elected to the new Chamber of Deputies were Bonapartists. The possibility of a coup d'état was an ever-present factor. Léon Gambetta chose moderate Armand Dufaure as premier but he failed to form a government. MacMahon next chose conservative Jules Simon. He too failed, setting the stage for the 16 May 1877 crisis, which led to the resignation of MacMahon. A restoration of the king now seemed likely, and royalists agreed on Henri, comte de Chambord, the grandson of Charles X. He insisted on an impossible demand and ruined the royalist cause. Its turn never came again as the Orleanist faction rallied themselves to the Republic, behind Adolphe Thiers. The new President of the Republic in 1879 was Jules Grevy. In January 1886, Georges Boulanger became Minister of War. Georges Clemanceau was instrumental in obtaining this appointment for Boulanger. This was the start of the Boulanger era and another time of threats of a coup. The Legitimist (Bourbon) faction mostly left politics but one segment founded L'Action Française in 1898, during the Dreyfus Affair; it became an influential movement throughout the 1930s, in particular among the conservative Catholic intellectuals. Solidarism and Radical Party While liberalism was individualistic and laissez-faire in Britain and the United States, in France liberalism was based instead on a solidaristic conception of society, following the theme of the French Revolution, Liberté, égalité, fraternité ("liberty, equality, fraternity"). In the Third Republic, especially between 1895 and 1914 "Solidarité" ["solidarism"] was the guiding concept of a liberal social policy, whose chief champions were the prime ministers Leon Bourgeois (1895–96) and Pierre Waldeck-Rousseau (1899–1902) The period from 1879 to 1914 saw power mostly in the hands of moderate republicans and "radicals"; they avoided state ownership of industry and had a middle class political base. Their main policies were governmental intervention (financed by a progressive income tax) to provide a social safety net. They opposed church schools. They expanded educational opportunities and promoted consumers' and producers' cooperatives. In terms of foreign policy they supported the League of Nations, compulsory arbitration, controlled disarmament, and economic sanctions to keep the peace. The French welfare state expanded when it tried to followed some of Bismarck's policies, starting with relief for the poor. Foreign policy French foreign policy from 1871 to 1914 showed a dramatic transformation from a humiliated power with no friends and not much of an empire in 1871, to the centerpiece of the European alliance system in 1914, with a flourishing empire that was second in size only to Great Britain. Although religion was a hotly contested matter and domestic politics, the Catholic Church made missionary work and church building a specialty in the colonies. Most Frenchman ignored foreign policy; its issues were a low priority in politics. French foreign policy was based on a fear of Germany—whose larger size and fast-growing economy could not be matched—combined with a revanchism that demanded the return of Alsace and Lorraine. At the same time, in the midst of the Scramble for Africa, French and British interest in Africa came into conflict. The most dangerous episode was the Fashoda Incident of 1898 when French troops tried to claim an area in the Southern Sudan, and a British force purporting to be acting in the interests of the Khedive of Egypt arrived. Under heavy pressure the French withdrew securing Anglo-Egyptian control over the area. The status quo was recognised by an agreement between the two states acknowledging British control over Egypt, while France became the dominant power in Morocco, but France suffered a humiliating defeat overall. The Suez Canal, initially built by the French, became a joint British-French project in 1875, as both saw it as vital to maintaining their influence and empires in Asia. In 1882, ongoing civil disturbances in Egypt prompted Britain to intervene, extending a hand to France. France's leading expansionist Jules Ferry was out of office, and the government allowed Britain to take effective control of Egypt. France had colonies in Asia and looked for alliances and found in Japan a possible ally. During his visit to France, Iwakura Tomomi asked for French assistance in reforming Japan. French military missions were sent to Japan in 1872–1880, in 1884–1889 and the last one much later in 1918–1919 to help modernize the Japanese army. Conflicts between the Chinese Emperor and the French Republic over Indochina climaxed during the Sino-French War (1884–1885). Admiral Courbet destroyed the Chinese fleet anchored at Foochow. The treaty ending the war, put France in a protectorate over northern and central Vietnam, which it divided into Tonkin and Annam. In an effort to isolate Germany, France went to great pains to woo Russia and Great Britain, first by means of the Franco-Russian Alliance of 1894, then the 1904 Entente Cordiale with Great Britain, and finally the Anglo-Russian Entente in 1907, which became the Triple Entente. This alliance with Britain and Russia against Germany and Austria eventually led Russia and Britain to enter World War I as France's Allies. Dreyfus Affair Distrust of Germany, faith in the army, and native French anti-semitism combined to make the Dreyfus Affair (the unjust trial and condemnation of a Jewish military officer for "treason" in 1894) a political scandal of the utmost gravity. For a decade, the nation was divided between "dreyfusards" and "anti-dreyfusards", and far-right Catholic agitators inflamed the situation even when proofs of Dreyfus's innocence came to light. The writer Émile Zola published an impassioned editorial on the injustice (J'Accuse…!) and was himself condemned by the government for libel. Dreyfus was finally pardoned in 1906. The upshot was a weakening of the conservative element in politics. Moderates were deeply divided over the Dreyfus Affair, and this allowed the Radicals to hold power from 1899 until World War I. During this period, crises like the threatened "Boulangist" coup d'état (1889) showed the fragility of the republic. Religion 1870–1924 Throughout the lifetime of the Third Republic there were battles over the status of the Catholic Church. The French clergy and bishops were closely associated with the Monarchists and many of its hierarchy were from noble families. Republicans were based in the anticlerical middle class who saw the Church's alliance with the monarchists as a political threat to republicanism, and a threat to the modern spirit of progress. The Republicans detested the church for its political and class affiliations; for them, the church represented outmoded traditions, superstition and monarchism. The Republicans were strengthened by Protestant and Jewish support. Numerous laws were passed to weaken the Catholic Church. In 1879, priests were excluded from the administrative committees of hospitals and of boards of charity. In 1880, new measures were directed against the religious congregations. From 1880 to 1890 came the substitution of lay women for nuns in many hospitals. Napoleon's 1801 Concordat continued in operation but in 1881, the government cut off salaries to priests it disliked. The 1882 school laws of Republican Jules Ferry set up a national system of public schools that taught strict puritanical morality but no religion. For a while privately funded Catholic schools were tolerated. Civil marriage became compulsory, divorce was introduced and chaplains were removed from the army. When Leo XIII became pope in 1878 he tried to calm Church-State relations. In 1884, he told French bishops not to act in a hostile manner to the State. In 1892, he issued an encyclical advising French Catholics to rally to the Republic and defend the Church by participating in Republican politics. This attempt at improving the relationship failed. Deep-rooted suspicions remained on both sides and were inflamed by the Dreyfus Affair. Catholics were for the most part anti-dreyfusard. The Assumptionists published anti-Semitic and anti-republican articles in their journal La Croix. This infuriated Republican politicians, who were eager to take revenge. Often they worked in alliance with Masonic lodges. The Waldeck-Rousseau Ministry (1899–1902) and the Combes Ministry (1902–05) fought with the Vatican over the appointment of bishops. Chaplains were removed from naval and military hospitals (1903–04), and soldiers were ordered not to frequent Catholic clubs (1904). Combes as Prime Minister in 1902, was determined to thoroughly defeat Catholicism. He closed down all parochial schools in France. Then he had parliament reject authorisation of all religious orders. This meant that all fifty four orders were dissolved and about 20,000 members immediately left France, many for Spain. In 1905 the 1801 Concordat was abrogated; Church and State were separated. All Church property was confiscated. Public worship was given over to associations of Catholic laymen who controlled access to churches. In practice, Masses and rituals continued. The Church was badly hurt and lost half its priests. In the long run, however, it gained autonomy—for the State no longer had a voice in choosing bishops and Gallicanism was dead. Conservative Catholics regained control of Parliament in 1919 and reversed most of the penalties imposed on the Church, and gave bishops back control of church lands and buildings. The new pope was eager to assist the changes, and diplomatic relations were restored with the Vatican. However, the long-term secularization of French society continued, as most people only attended ceremonies for such major events as birth, marriage and funerals. Belle époque The end of the 19th and the beginning of the 20th century was the Belle Époque because of peace, prosperity and the cultural innovations of Monet, Bernhardt, and Debussy, and popular amusements — cabaret, can-can, the cinema, new art forms such as Impressionism and Art Nouveau. In 1889, the Exposition Universelle showed off newly modernised Paris to the world, which could look over it all from atop the new Eiffel Tower. Meant to last only a few decades, the tower was never removed and became France's most iconic landmark. France was nevertheless a nation divided internally on notions of ideology, religion, class, regionalisms, and money. On the international front, France came repeatedly to the brink of war with the other imperial powers, such as the 1898 Fashoda Incident with Great Britain over East Africa. Colonial empire The second colonial empire constituted the overseas colonies, protectorates and mandate territories that came under French rule from the 16th century onward. A distinction is generally made between the "first colonial empire", that existed until 1814, by which time most of it had been lost, and the "second colonial empire", which began with the conquest of Algiers in 1830. The second colonial empire came to an end after the loss in later wars of Vietnam (1954) and Algeria (1962), and relatively peaceful decolonizations elsewhere after 1960. France lost wars to Britain that stripped away nearly all of its colonies by 1765. France rebuilt a new empire mostly after 1850, concentrating chiefly in Africa as well as Indochina and the South Pacific. Republicans, at first hostile to empire, only became supportive when Germany after 1880 started to build their own colonial empire. As it developed, the new empire took on roles of trade with France, especially supplying raw materials and purchasing manufactured items as well as lending prestige to the motherland and spreading French civilization and language and the Catholic religion. It also provided manpower in the World Wars. It became a moral mission to lift the world up to French standards by bringing Christianity and French culture. In 1884, the leading proponent of colonialism, Jules Ferry, declared; "The higher races have a right over the lower races, they have a duty to civilize the inferior races." Full citizenship rights — assimilation — were offered. In reality the French settlers were given full rights and the natives given very limited rights. Apart from Algeria few settlers permanently settled in its colonies. Even in Algeria, the "Pied-Noir" (French settlers) always remained a small minority. At its apex, it was one of the largest empires in history. Including metropolitan France, the total amount of land under French sovereignty reached in 1920, with a population of 110 million people in 1939. In World War II, the Free French used the overseas colonies as bases from which they fought to liberate France. "In an effort to restore its world-power status after the humiliation of defeat and occupation, France was eager to maintain its overseas empire at the end of the Second World War." However, after 1945 anti-colonial movements successfully challenged European authority. The French Constitution of 27 October 1946 (Fourth Republic), established the French Union which endured until 1958. Newer remnants of the colonial empire were integrated into France as overseas departments and territories within the French Republic. These now total about 1% of the pre-1939 colonial area, with 2.7 million people living in them in 2013. By the 1970s, the last "vestiges of empire held little interest for the French. … Except for the traumatic decolonization of Algeria, however, what is remarkable is how few long-lasting effects on France the giving up of empire entailed." 1914–1945 Population trends The population held steady from 40.7 million in 1911, to 41.5 million in 1936. The sense that the population was too small, especially in
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those of children's literature, movies, scripture, and job roles. Trunk-or-treating has grown in popularity due to its perception as being more safe than going door to door, a point that resonates well with parents, as well as the fact that it "solves the rural conundrum in which homes [are] built a half-mile apart". Costumes Halloween costumes were traditionally modeled after figures such as vampires, ghosts, skeletons, scary looking witches, and devils. Over time, the costume selection extended to include popular characters from fiction, celebrities, and generic archetypes such as ninjas and princesses. Dressing up in costumes and going "guising" was prevalent in Scotland and Ireland at Halloween by the late 19th century. A Scottish term, the tradition is called "guising" because of the disguises or costumes worn by the children. In Ireland the masks are known as 'false faces'. Costuming became popular for Halloween parties in the US in the early 20th century, as often for adults as for children, and when trick-or-treating was becoming popular in Canada and the US in the 1920s and 1930s. Eddie J. Smith, in his book Halloween, Hallowed is Thy Name, offers a religious perspective to the wearing of costumes on All Hallows' Eve, suggesting that by dressing up as creatures "who at one time caused us to fear and tremble", people are able to poke fun at Satan "whose kingdom has been plundered by our Saviour". Images of skeletons and the dead are traditional decorations used as memento mori. "Trick-or-Treat for UNICEF" is a fundraising program to support UNICEF, a United Nations Programme that provides humanitarian aid to children in developing countries. Started as a local event in a Northeast Philadelphia neighborhood in 1950 and expanded nationally in 1952, the program involves the distribution of small boxes by schools (or in modern times, corporate sponsors like Hallmark, at their licensed stores) to trick-or-treaters, in which they can solicit small-change donations from the houses they visit. It is estimated that children have collected more than $118 million for UNICEF since its inception. In Canada, in 2006, UNICEF decided to discontinue their Halloween collection boxes, citing safety and administrative concerns; after consultation with schools, they instead redesigned the program. The yearly New York's Village Halloween Parade was begun in 1974; it is the world's largest Halloween parade and America's only major nighttime parade, attracting more than 60,000 costumed participants, two million spectators, and a worldwide television audience. Since the late 2010s, ethnic stereotypes as costumes have increasingly come under scrutiny in the United States. Such and other potentially offensive costumes have been met with increasing public disapproval. Pet costumes According to a 2018 report from the National Retail Federation, 30 million Americans will spend an estimated $480 million on Halloween costumes for their pets in 2018. This is up from an estimated $200 million in 2010. The most popular costumes for pets are the pumpkin, followed by the hot dog, and the bumblebee in third place. Games and other activities There are several games traditionally associated with Halloween. Some of these games originated as divination rituals or ways of foretelling one's future, especially regarding death, marriage and children. During the Middle Ages, these rituals were done by a "rare few" in rural communities as they were considered to be "deadly serious" practices. In recent centuries, these divination games have been "a common feature of the household festivities" in Ireland and Britain. They often involve apples and hazelnuts. In Celtic mythology, apples were strongly associated with the Otherworld and immortality, while hazelnuts were associated with divine wisdom. Some also suggest that they derive from Roman practices in celebration of Pomona. The following activities were a common feature of Halloween in Ireland and Britain during the 17th–20th centuries. Some have become more widespread and continue to be popular today. One common game is apple bobbing or dunking (which may be called "dooking" in Scotland) in which apples float in a tub or a large basin of water and the participants must use only their teeth to remove an apple from the basin. A variant of dunking involves kneeling on a chair, holding a fork between the teeth and trying to drive the fork into an apple. Another common game involves hanging up treacle or syrup-coated scones by strings; these must be eaten without using hands while they remain attached to the string, an activity that inevitably leads to a sticky face. Another once-popular game involves hanging a small wooden rod from the ceiling at head height, with a lit candle on one end and an apple hanging from the other. The rod is spun round and everyone takes turns to try to catch the apple with their teeth. Several of the traditional activities from Ireland and Britain involve foretelling one's future partner or spouse. An apple would be peeled in one long strip, then the peel tossed over the shoulder. The peel is believed to land in the shape of the first letter of the future spouse's name. Two hazelnuts would be roasted near a fire; one named for the person roasting them and the other for the person they desire. If the nuts jump away from the heat, it is a bad sign, but if the nuts roast quietly it foretells a good match. A salty oatmeal bannock would be baked; the person would eat it in three bites and then go to bed in silence without anything to drink. This is said to result in a dream in which their future spouse offers them a drink to quench their thirst. Unmarried women were told that if they sat in a darkened room and gazed into a mirror on Halloween night, the face of their future husband would appear in the mirror. However, if they were destined to die before marriage, a skull would appear. The custom was widespread enough to be commemorated on greeting cards from the late 19th century and early 20th century. Another popular Irish game was known as púicíní ("blindfolds"); a person would be blindfolded and then would choose between several saucers. The item in the saucer would provide a hint as to their future: a ring would mean that they would marry soon; clay, that they would die soon, perhaps within the year; water, that they would emigrate; rosary beads, that they would take Holy Orders (become a nun, priest, monk, etc.); a coin, that they would become rich; a bean, that they would be poor. The game features prominently in the James Joyce short story "Clay" (1914). In Ireland and Scotland, items would be hidden in food – usually a cake, barmbrack, cranachan, champ or colcannon – and portions of it served out at random. A person's future would be foretold by the item they happened to find; for example, a ring meant marriage and a coin meant wealth. Up until the 19th century, the Halloween bonfires were also used for divination in parts of Scotland, Wales and Brittany. When the fire died down, a ring of stones would be laid in the ashes, one for each person. In the morning, if any stone was mislaid it was said that the person it represented would not live out the year. Telling ghost stories, listening to Halloween-themed songs and watching horror films are common fixtures of Halloween parties. Episodes of television series and Halloween-themed specials (with the specials usually aimed at children) are commonly aired on or before Halloween, while new horror films are often released before Halloween to take advantage of the holiday. Haunted attractions Haunted attractions are entertainment venues designed to thrill and scare patrons. Most attractions are seasonal Halloween businesses that may include haunted houses, corn mazes, and hayrides, and the level of sophistication of the effects has risen as the industry has grown. The first recorded purpose-built haunted attraction was the Orton and Spooner Ghost House, which opened in 1915 in Liphook, England. This attraction actually most closely resembles a carnival fun house, powered by steam. The House still exists, in the Hollycombe Steam Collection. It was during the 1930s, about the same time as trick-or-treating, that Halloween-themed haunted houses first began to appear in America. It was in the late 1950s that haunted houses as a major attraction began to appear, focusing first on California. Sponsored by the Children's Health Home Junior Auxiliary, the San Mateo Haunted House opened in 1957. The San Bernardino Assistance League Haunted House opened in 1958. Home haunts began appearing across the country during 1962 and 1963. In 1964, the San Manteo Haunted House opened, as well as the Children's Museum Haunted House in Indianapolis. The haunted house as an American cultural icon can be attributed to the opening of the Haunted Mansion in Disneyland on 12 August 1969. Knott's Berry Farm began hosting its own Halloween night attraction, Knott's Scary Farm, which opened in 1973. Evangelical Christians adopted a form of these attractions by opening one of the first "hell houses" in 1972. The first Halloween haunted house run by a nonprofit organization was produced in 1970 by the Sycamore-Deer Park Jaycees in Clifton, Ohio. It was cosponsored by WSAI, an AM radio station broadcasting out of Cincinnati, Ohio. It was last produced in 1982. Other Jaycees followed suit with their own versions after the success of the Ohio house. The March of Dimes copyrighted a "Mini haunted house for the March of Dimes" in 1976 and began fundraising through their local chapters by conducting haunted houses soon after. Although they apparently quit supporting this type of event nationally sometime in the 1980s, some March of Dimes haunted houses have persisted until today. On the evening of 11 May 1984, in Jackson Township, New Jersey, the Haunted Castle (Six Flags Great Adventure) caught fire. As a result of the fire, eight teenagers perished. The backlash to the tragedy was a tightening of regulations relating to safety, building codes and the frequency of inspections of attractions nationwide. The smaller venues, especially the nonprofit attractions, were unable to compete financially, and the better funded commercial enterprises filled the vacuum. Facilities that were once able to avoid regulation because they were considered to be temporary installations now had to adhere to the stricter codes required of permanent attractions. In the late 1980s and early 1990s, theme parks entered the business seriously. Six Flags Fright Fest began in 1986 and Universal Studios Florida began Halloween Horror Nights in 1991. Knott's Scary Farm experienced a surge in attendance in the 1990s as a result of America's obsession with Halloween as a cultural event. Theme parks have played a major role in globalizing the holiday. Universal Studios Singapore and Universal Studios Japan both participate, while Disney now mounts Mickey's Not-So-Scary Halloween Party events at its parks in Paris, Hong Kong and Tokyo, as well as in the United States. The theme park haunts are by far the largest, both in scale and attendance. Food On All Hallows' Eve, many Western Christian denominations encourage abstinence from meat, giving rise to a variety of vegetarian foods associated with this day. Because in the Northern Hemisphere Halloween comes in the wake of the yearly apple harvest, candy apples (known as toffee apples outside North America), caramel apples or taffy apples are common Halloween treats made by rolling whole apples in a sticky sugar syrup, sometimes followed by rolling them in nuts. At one time, candy apples were commonly given to trick-or-treating children, but the practice rapidly waned in the wake of widespread rumors that some individuals were embedding items like pins and razor blades in the apples in the United States. While there is evidence of such incidents, relative to the degree of reporting of such cases, actual cases involving malicious acts are extremely rare and have never resulted in serious injury. Nonetheless, many parents assumed that such heinous practices were rampant because of the mass media. At the peak of the hysteria, some hospitals offered free X-rays of children's Halloween hauls in order to find evidence of tampering. Virtually all of the few known candy poisoning incidents involved parents who poisoned their own children's candy. One custom that persists in modern-day Ireland is the baking (or more often nowadays, the purchase) of a barmbrack (), which is a light fruitcake, into which a plain ring, a coin, and other charms are placed before baking. It is considered fortunate to be the lucky one who finds it. It has also been said that those who get a ring will find their true love in the ensuing year. This is similar to the tradition of king cake at the festival of Epiphany. List of foods associated with Halloween: Barmbrack (Ireland) Bonfire toffee (Great Britain) Candy apples/toffee apples (Great Britain and Ireland) Candy apples, candy corn, candy pumpkins (North America) Chocolate Monkey nuts (peanuts in their shells) (Ireland and Scotland) Caramel apples Caramel corn Colcannon (Ireland; see below) Halloween cake Sweets/candy Novelty candy shaped like skulls, pumpkins, bats, worms, etc. Roasted pumpkin seeds Roasted sweet corn Soul cakes Pumpkin Pie Christian religious observances On Hallowe'en (All Hallows' Eve), in Poland, believers were once taught to pray out loud as they walk through the forests in order that the souls of the dead might find comfort; in Spain, Christian priests in tiny villages toll their church bells in order to remind their congregants to remember the dead on All Hallows' Eve. In Ireland, and among immigrants in Canada, a custom includes the Christian practice of abstinence, keeping All Hallows' Eve as a meat-free day and serving pancakes or colcannon instead. In Mexico children make an altar to invite the return of the spirits of dead children (angelitos). The Christian Church traditionally observed Hallowe'en through a vigil. Worshippers prepared themselves for feasting on the following All Saints' Day with prayers and fasting. This church service is known as the Vigil of All Hallows or the Vigil of All Saints; an initiative known as Night of Light seeks to further spread the Vigil of All Hallows throughout Christendom. After the service, "suitable festivities and entertainments" often follow, as well as a visit to the graveyard or cemetery, where flowers and candles are often placed in preparation for All Hallows' Day. In Finland, because so many people visit the cemeteries on All Hallows' Eve to light votive candles there, they "are
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claimed that in the Middle Ages, churches that were too poor to display relics of martyred saints at Allhallowtide let parishioners dress up as saints instead. Some Christians observe this custom at Halloween today. Lesley Bannatyne believes this could have been a Christianization of an earlier pagan custom. Many Christians in mainland Europe, especially in France, believed "that once a year, on Hallowe'en, the dead of the churchyards rose for one wild, hideous carnival" known as the danse macabre, which was often depicted in church decoration. Christopher Allmand and Rosamond McKitterick write in The New Cambridge Medieval History that the danse macabre urged Christians "not to forget the end of all earthly things". The danse macabre was sometimes enacted at village pageants and court masques, with people "dressing up as corpses from various strata of society", and this may be the origin of Halloween costume parties. In Britain, these customs came under attack during the Reformation, as Protestants berated purgatory as a "popish" doctrine incompatible with the Calvinist doctrine of predestination. State-sanctioned ceremonies associated with the intercession of saints and prayer for souls in purgatory were abolished during the Elizabethan reform, though All Hallow's Day remained in the English liturgical calendar to "commemorate saints as godly human beings". For some Nonconformist Protestants, the theology of All Hallows' Eve was redefined; "souls cannot be journeying from Purgatory on their way to Heaven, as Catholics frequently believe and assert. Instead, the so-called ghosts are thought to be in actuality evil spirits". Other Protestants believed in an intermediate state known as Hades (Bosom of Abraham). In some localities, Catholics and Protestants continued souling, candlelit processions, or ringing church bells for the dead; the Anglican church eventually suppressed this bell-ringing. Mark Donnelly, a professor of medieval archaeology, and historian Daniel Diehl write that "barns and homes were blessed to protect people and livestock from the effect of witches, who were believed to accompany the malignant spirits as they traveled the earth". After 1605, Hallowtide was eclipsed in England by Guy Fawkes Night (5 November), which appropriated some of its customs. In England, the ending of official ceremonies related to the intercession of saints led to the development of new, unofficial Hallowtide customs. In 18th–19th century rural Lancashire, Catholic families gathered on hills on the night of All Hallows' Eve. One held a bunch of burning straw on a pitchfork while the rest knelt around him, praying for the souls of relatives and friends until the flames went out. This was known as teen'lay. There was a similar custom in Hertfordshire, and the lighting of 'tindle' fires in Derbyshire. Some suggested these 'tindles' were originally lit to "guide the poor souls back to earth". In Scotland and Ireland, old Allhallowtide customs that were at odds with Reformed teaching were not suppressed as they "were important to the life cycle and rites of passage of local communities" and curbing them would have been difficult. In parts of Italy until the 15th century, families left a meal out for the ghosts of relatives, before leaving for church services. In 19th-century Italy, churches staged "theatrical re-enactments of scenes from the lives of the saints" on All Hallow's Day, with "participants represented by realistic wax figures". In 1823, the graveyard of Holy Spirit Hospital in Rome presented a scene in which bodies of those who recently died were arrayed around a wax statue of an angel who pointed upward towards heaven. In the same country, "parish priests went house-to-house, asking for small gifts of food which they shared among themselves throughout that night". In Spain, they continue to bake special pastries called "bones of the holy" () and set them on graves. At cemeteries in Spain and France, as well as in Latin America, priests lead Christian processions and services during Allhallowtide, after which people keep an all night vigil. In 19th-century San Sebastián, there was a procession to the city cemetery at Allhallowtide, an event that drew beggars who "appeal[ed] to the tender recollectons of one's deceased relations and friends" for sympathy. Gaelic folk influence Today's Halloween customs are thought to have been influenced by folk customs and beliefs from the Celtic-speaking countries, some of which are believed to have pagan roots. Jack Santino, a folklorist, writes that "there was throughout Ireland an uneasy truce existing between customs and beliefs associated with Christianity and those associated with religions that were Irish before Christianity arrived". The origins of Halloween customs are typically linked to the Gaelic festival Samhain. Samhain was one of the quarter days in the medieval Gaelic calendar and was celebrated on 31 October – 1 November in Ireland, Scotland and the Isle of Man. A kindred festival was held by the Brittonic Celts, called Calan Gaeaf in Wales, Kalan Gwav in Cornwall and Kalan Goañv in Brittany; a name meaning "first day of winter". For the Celts, the day ended and began at sunset; thus the festival began the evening before 1 November by modern reckoning. Samhain is mentioned in some of the earliest Irish literature. The names have been used by historians to refer to Celtic Halloween customs up until the 19th century, and are still the Gaelic and Welsh names for Halloween. Samhain marked the end of the harvest season and beginning of winter or the 'darker half' of the year. It was seen as a liminal time, when the boundary between this world and the Otherworld thinned. This meant the Aos Sí, the 'spirits' or 'fairies', could more easily come into this world and were particularly active. Most scholars see them as "degraded versions of ancient gods [...] whose power remained active in the people's minds even after they had been officially replaced by later religious beliefs". They were both respected and feared, with individuals often invoking the protection of God when approaching their dwellings. At Samhain, the Aos Sí were appeased to ensure the people and livestock survived the winter. Offerings of food and drink, or portions of the crops, were left outside for them. The souls of the dead were also said to revisit their homes seeking hospitality. Places were set at the dinner table and by the fire to welcome them. The belief that the souls of the dead return home on one night of the year and must be appeased seems to have ancient origins and is found in many cultures. In 19th century Ireland, "candles would be lit and prayers formally offered for the souls of the dead. After this the eating, drinking, and games would begin". Throughout Ireland and Britain, especially in the Celtic-speaking regions, the household festivities included divination rituals and games intended to foretell one's future, especially regarding death and marriage. Apples and nuts were often used, and customs included apple bobbing, nut roasting, scrying or mirror-gazing, pouring molten lead or egg whites into water, dream interpretation, and others. Special bonfires were lit and there were rituals involving them. Their flames, smoke and ashes were deemed to have protective and cleansing powers. In some places, torches lit from the bonfire were carried sunwise around homes and fields to protect them. It is suggested the fires were a kind of imitative or sympathetic magic – they mimicked the Sun and held back the decay and darkness of winter. They were also used for divination and to ward off evil spirits. In Scotland, these bonfires and divination games were banned by the church elders in some parishes. In Wales, bonfires were also lit to "prevent the souls of the dead from falling to earth". Later, these bonfires "kept away the devil". From at least the 16th century, the festival included mumming and guising in Ireland, Scotland, the Isle of Man and Wales. This involved people going house-to-house in costume (or in disguise), usually reciting verses or songs in exchange for food. It may have originally been a tradition whereby people impersonated the Aos Sí, or the souls of the dead, and received offerings on their behalf, similar to 'souling'. Impersonating these beings, or wearing a disguise, was also believed to protect oneself from them. In parts of southern Ireland, the guisers included a hobby horse. A man dressed as a Láir Bhán (white mare) led youths house-to-house reciting verses – some of which had pagan overtones – in exchange for food. If the household donated food it could expect good fortune from the 'Muck Olla'; not doing so would bring misfortune. In Scotland, youths went house-to-house with masked, painted or blackened faces, often threatening to do mischief if they were not welcomed. F. Marian McNeill suggests the ancient festival included people in costume representing the spirits, and that faces were marked or blackened with ashes from the sacred bonfire. In parts of Wales, men went about dressed as fearsome beings called gwrachod. In the late 19th and early 20th century, young people in Glamorgan and Orkney cross-dressed. Elsewhere in Europe, mumming was part of other festivals, but in the Celtic-speaking regions, it was "particularly appropriate to a night upon which supernatural beings were said to be abroad and could be imitated or warded off by human wanderers". From at least the 18th century, "imitating malignant spirits" led to playing pranks in Ireland and the Scottish Highlands. Wearing costumes and playing pranks at Halloween did not spread to England until the 20th century. Pranksters used hollowed-out turnips or mangel wurzels as lanterns, often carved with grotesque faces. By those who made them, the lanterns were variously said to represent the spirits, or used to ward off evil spirits. They were common in parts of Ireland and the Scottish Highlands in the 19th century, as well as in Somerset (see Punkie Night). In the 20th century they spread to other parts of Britain and became generally known as jack-o'-lanterns. Spread to North America Lesley Bannatyne and Cindy Ott write that Anglican colonists in the southern United States and Catholic colonists in Maryland "recognized All Hallow's Eve in their church calendars", although the Puritans of New England strongly opposed the holiday, along with other traditional celebrations of the established Church, including Christmas. Almanacs of the late 18th and early 19th century give no indication that Halloween was widely celebrated in North America. It was not until after mass Irish and Scottish immigration in the 19th century that Halloween became a major holiday in America. Most American Halloween traditions were inherited from the Irish and Scots, though "In Cajun areas, a nocturnal Mass was said in cemeteries on Halloween night. Candles that had been blessed were placed on graves, and families sometimes spent the entire night at the graveside". Originally confined to these immigrant communities, it was gradually assimilated into mainstream society and was celebrated coast to coast by people of all social, racial, and religious backgrounds by the early 20th century. Then, through American influence, these Halloween traditions spread to many other countries by the late 20th and early 21st century, including to mainland Europe. Symbols Development of artifacts and symbols associated with Halloween formed over time. Jack-o'-lanterns are traditionally carried by guisers on All Hallows' Eve in order to frighten evil spirits. There is a popular Irish Christian folktale associated with the jack-o'-lantern, which in folklore is said to represent a "soul who has been denied entry into both heaven and hell": In Ireland and Scotland, the turnip has traditionally been carved during Halloween, but immigrants to North America used the native pumpkin, which is both much softer and much larger, making it easier to carve than a turnip. The American tradition of carving pumpkins is recorded in 1837 and was originally associated with harvest time in general, not becoming specifically associated with Halloween until the mid-to-late 19th century. The modern imagery of Halloween comes from many sources, including Christian eschatology, national customs, works of Gothic and horror literature (such as the novels Frankenstein; or, The Modern Prometheus and Dracula) and classic horror films such as Frankenstein (1931) and The Mummy (1932). Imagery of the skull, a reference to Golgotha in the Christian tradition, serves as "a reminder of death and the transitory quality of human life" and is consequently found in memento mori and vanitas compositions; skulls have therefore been commonplace in Halloween, which touches on this theme. Traditionally, the back walls of churches are "decorated with a depiction of the Last Judgment, complete with graves opening and the dead rising, with a heaven filled with angels and a hell filled with devils", a motif that has permeated the observance of this triduum. One of the earliest works on the subject of Halloween is from Scottish poet John Mayne, who, in 1780, made note of pranks at Halloween; "What fearfu' pranks ensue!", as well as the supernatural associated with the night, "Bogies" (ghosts), influencing Robert Burns' "Halloween" (1785). Elements of the autumn season, such as pumpkins, corn husks, and scarecrows, are also prevalent. Homes are often decorated with these types of symbols around Halloween. Halloween imagery includes themes of death, evil, and mythical monsters. Black cats, which have been long associated with witches, are also a common symbol of Halloween. Black, orange, and sometimes purple are Halloween's traditional colors. Trick-or-treating and guising Trick-or-treating is a customary celebration for children on Halloween. Children go in costume from house to house, asking for treats such as candy or sometimes money, with the question, "Trick or treat?" The word "trick" implies a "threat" to perform mischief on the homeowners or their property if no treat is given. The practice is said to have roots in the medieval practice of mumming, which is closely related to souling. John Pymm wrote that "many of the feast days associated with the presentation of mumming plays were celebrated by the Christian Church." These feast days included All Hallows' Eve, Christmas, Twelfth Night and Shrove Tuesday. Mumming practiced in Germany, Scandinavia and other parts of Europe, involved masked persons in fancy dress who "paraded the streets and entered houses to dance or play dice in silence". In England, from the medieval period, up until the 1930s, people practiced the Christian custom of souling on Halloween, which involved groups of soulers, both Protestant and Catholic, going from parish to parish, begging the rich for soul cakes, in exchange for praying for the souls of the givers and their friends. In the Philippines, the practice of souling is called Pangangaluwa and is practiced on All Hallow's Eve among children in rural areas. People drape themselves in white cloths to represent souls and then visit houses, where they sing in return for prayers and sweets. In Scotland and Ireland, guising – children disguised in costume going from door to door for food or coins – is a traditional Halloween custom. It is recorded in Scotland at Halloween in 1895 where masqueraders in
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Head and the more recently built St Andrew's in South Hayling. Transport Hayling Ferry links Portsmouth and Hayling Island. The ferry is busy in summer in good weather, bringing tourists and cyclists to Hayling. In winter, there was a significant reduction of use. The ferry service to and from Portsea Island was subsidised by the local authorities, leaving it under constant threat of closure due to limited resources. The ferry service ceased when the company running the ferry went into administration in March 2015. It was reopened in August 2016 by Baker Trayte Marine Ltd. During the ferry's closure, the only public connection between Hayling Island and the mainland was the single carriageway road linking Northney to Langstone Havant. In summer, in particular, this road can become very congested, rendering the journey between the bridge and South Hayling (the most populated area) anything from 30 minutes to an hour. A proposed Millennium project to create a new shared pedestrian and cycle bridge was unsuccessful. A railway to the island was active in the 19th and 20th centuries. It opened on 17 July 1867, coinciding with the local races. Terrier steam locomotives pulled carriages along the Hayling Billy Line from Havant Station on the mainland to a station which was located at the northern end of Staunton Avenue, passing through Langstone where there was a Halt. The railway was popular with tourists throughout the summer, though it saw little service in winter, and at peak times ran up to 24 services per day. Despite its popularity, the line was marked for closure in the Beeching Report owing to the prohibitive cost of replacing Langstone Bridge, which connected the island to the mainland, estimated at up to £400,000 to repair. Services ended on 3 November 1963, and the bridge was demolished in 1966. The remaining railway buildings are a goods shed, which has now been converted into a theatre run by HIADS, and a station, opposite the Ship Inn over the bridge. A railway gatehouse, located opposite Mill Lane, was burned down on 15 November 2018; no other building is believed to survive. A tourist attraction – the East Hayling Light Railway – is a gauge railway which runs for just over from Beachlands Station to Eastoke Corner with aspirations to extend the route to Ferry Point within the next few years. The nearest railway station to Hayling Island is Havant, just on to the mainland off Hayling Island. Alternatively, Portsmouth & Southsea is another railway station, used for connections to Bristol Temple Meads and Cardiff. Notable people Peter Chilvers, inventor of the windsurfer Stephanie Lawrence, "a musical actress of rare glamour", dancer and star of West End Musicals such as Evita and Starlight Express lived during her childhood on Hayling Island, where her parents ran Broadview House School on Beach Road. Gary Mehigan, British-born chef and judge on MasterChef Australia, was born and raised on Hayling Island. Herbert Arnould Olivier, a portrait and landscape painter, and uncle of Laurence Olivier, died on Hayling Island in 1952. William Padwick 1791–1861, purchased the manor and large estates from the Duke of Norfolk inheriting title and rights of 'Lord of the Manor'. Considerable involvement in the developing transport links to the island. Nevil Shute (Nevil Shute Norway), the Ealing-born aeronautical engineer and novelist, lived at Pond Head on Hayling Island during World War II. His novels include A Town Like Alice and On the Beach. William Thomas Stead, notable political and social campaigner and journalist, had a home on Hayling Island – Hollybush House. He died with the sinking of the Titanic. Martin White (1779–1846), Hydrologist responsible for maritime mapping of areas including Jersey, English Channel, Bristol Channel and Irish Sea Princess Catherine Yurievskaya, the youngest daughter of Alexander II of Russia, lived on Hayling Island for many years and was buried at St Peter's church in 1959. Robert Thomas Brudenell-Bruce, was a British Commodore of the Royal Navy, inherited Deene Park in Northamptonshire. Before inheriting Deene Park the family lived on Hayling Island. The west window of St Mary's
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Island Amateur Dramatics Society, Hayling Musical Society, musical events and films throughout the year. The island has several churches of different denominations including 3 Anglican churches; St Peter's at Northney, St Mary's at Gable Head and the more recently built St Andrew's in South Hayling. Transport Hayling Ferry links Portsmouth and Hayling Island. The ferry is busy in summer in good weather, bringing tourists and cyclists to Hayling. In winter, there was a significant reduction of use. The ferry service to and from Portsea Island was subsidised by the local authorities, leaving it under constant threat of closure due to limited resources. The ferry service ceased when the company running the ferry went into administration in March 2015. It was reopened in August 2016 by Baker Trayte Marine Ltd. During the ferry's closure, the only public connection between Hayling Island and the mainland was the single carriageway road linking Northney to Langstone Havant. In summer, in particular, this road can become very congested, rendering the journey between the bridge and South Hayling (the most populated area) anything from 30 minutes to an hour. A proposed Millennium project to create a new shared pedestrian and cycle bridge was unsuccessful. A railway to the island was active in the 19th and 20th centuries. It opened on 17 July 1867, coinciding with the local races. Terrier steam locomotives pulled carriages along the Hayling Billy Line from Havant Station on the mainland to a station which was located at the northern end of Staunton Avenue, passing through Langstone where there was a Halt. The railway was popular with tourists throughout the summer, though it saw little service in winter, and at peak times ran up to 24 services per day. Despite its popularity, the line was marked for closure in the Beeching Report owing to the prohibitive cost of replacing Langstone Bridge, which connected the island to the mainland, estimated at up to £400,000 to repair. Services ended on 3 November 1963, and the bridge was demolished in 1966. The remaining railway buildings are a goods shed, which has now been converted into a theatre run by HIADS, and a station, opposite the Ship Inn over the bridge. A railway gatehouse, located opposite Mill Lane, was burned down on 15 November 2018; no other building is believed to survive. A tourist attraction – the East Hayling Light Railway – is a gauge railway which runs for just over from Beachlands Station to Eastoke Corner with aspirations to extend the route to Ferry Point within the next few years. The nearest railway station to Hayling Island is Havant, just on to the mainland off Hayling Island. Alternatively, Portsmouth & Southsea is another railway station, used for connections to Bristol Temple Meads and Cardiff. Notable people Peter Chilvers, inventor of the windsurfer Stephanie Lawrence, "a musical actress of rare glamour", dancer and star of West End Musicals such as Evita and Starlight Express lived during her childhood on Hayling Island, where her parents ran Broadview House School on Beach Road. Gary Mehigan, British-born chef and judge on MasterChef Australia, was born and raised on Hayling Island. Herbert Arnould Olivier, a portrait and landscape painter, and uncle of Laurence Olivier, died on Hayling Island in 1952. William Padwick 1791–1861, purchased the manor and large estates from the Duke of Norfolk inheriting title and rights of 'Lord of the Manor'. Considerable involvement in the developing transport links to the island. Nevil Shute (Nevil Shute Norway), the Ealing-born aeronautical engineer and novelist, lived at Pond Head on Hayling Island during World War II. His novels include A Town Like Alice and On the Beach. William Thomas Stead, notable political and social campaigner and journalist, had a home on Hayling Island – Hollybush House. He died with the sinking of the Titanic. Martin White (1779–1846), Hydrologist responsible for maritime mapping of areas including Jersey, English Channel, Bristol Channel and Irish Sea Princess Catherine Yurievskaya, the youngest daughter of Alexander II of Russia, lived on Hayling Island for many years and was buried at St Peter's church in 1959. Robert Thomas Brudenell-Bruce, was a British Commodore of the Royal Navy, inherited Deene Park in Northamptonshire. Before inheriting Deene Park the family lived on Hayling Island. The west window of St Mary's Church, Hayling Island was installed to his memory Maurice Wilks, a British automotive and aeronautical engineer was born at Eastoke, Hayling Island on 19 August 1904. He became Chairman of the Rover Car Company, and was involved in the development of the Land Rover. He also led Rover's involvement in the development of the jet engine during World War 2. Hayling oysterbeds Oysters have been fished on the Hayling oysterbeds, at the northwest corner of the island, from as long ago as Roman times, documented in town records since 1615. The oysters were actively farmed between as early as 1819 until the 1970s. Oysters became a delicacy that was exported throughout the country under the classification of "Emsworth Oysters". Large complexes consisting of several pens separated by a series of bund walls and sluice gates were built to contain the oysters at varying stages of growth. Although large sections of the walls have since collapsed into the harbour, much of shape and scale of the beds can still be seen today. In 1996, the oyster beds on the north west coast of Hayling Island were restored by the Havant Borough Council, creating a wildlife haven which has become an important seabird breeding site. The Design Council awarded this project 'Millennium Product' status for the renovation. Paris To Hayling Charity Cycle Ride The island is the home of the Hayling Charity Cycle Ride which organises an annual charity cycle ride most often from Hayling Island to Paris and back . This event, run entirely by local unpaid volunteers, was started in 1986 by local cyclist Peter McQuade and has been run every year since. Up to 2018, over £1,700,000 had been collected for more than 500 good causes. Entrants have come from 15 different countries on five continents. Population In the mid- to late twentieth century, Hayling Island's population was known to double during the summer months, due to a large influx of holiday makers and the associated
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English, a linear functional is dominated by a seminorm if and only if its real part is dominated above by Continuity A linear functional on a topological vector space is continuous if and only if this is true of its real part if the domain is a normed space then (where one side is infinite if and only if the other side is infinite). Assume is a topological vector space and is sublinear function. If is a continuous sublinear function that dominates a linear functional then is necessarily continuous. Moreover, a linear functional is continuous if and only if its absolute value (which is a seminorm that dominates ) is continuous. In particular, a linear functional is continuous if and only if it is dominated by some continuous sublinear function. Proof The Hahn–Banach theorem for real vector spaces ultimately follows from Helly's initial result for the special case where the linear functional is extended from to a larger vector space in which has codimension The lemma above is the key step in deducing the dominated extension theorem from Zorn's lemma. This lemma remains true if is merely a convex function instead of a sublinear function. The Mizar project has completely formalized and automatically checked the proof of the Hahn–Banach theorem in the HAHNBAN file. In locally convex spaces In the above form, the functional to be extended must already be bounded by a sublinear function. In some applications, this might close to begging the question. However, in locally convex spaces, any continuous functional is already bounded by the norm, which is sublinear. One thus hasIn category-theoretic terms, the field is an injective object in the category of locally convex vector spaces. Geometric Hahn–Banach (the Hahn–Banach separation theorems) The key element of the Hahn–Banach theorem is fundamentally a result about the separation of two convex sets: and This sort of argument appears widely in convex geometry, optimization theory, and economics. Lemmas to this end derived from the original Hahn–Banach theorem are known as the Hahn–Banach separation theorems. When the convex sets have additional properties, such as being open or compact for example, then the conclusion can be substantially strengthened: Then following important corollary is known as the Geometric Hahn–Banach theorem or Mazur's theorem. It follows from the first bullet above and the convexity of Mazur's theorem clarifies that vector subspaces (even those that are not closed) can be characterized by linear functionals. Supporting hyperplanes Since points are trivially convex, geometric Hahn-Banach implies that functionals can detect the boundary of a set. In particular, let be a real topological vector space and be convex with If then there is a functional that is vanishing at but supported on the interior of Call a normed space smooth if at each point in its unit ball there exists a unique closed hyperplane to the unit ball at Köthe showed in 1983 that a normed space is smooth at a point if and only if the norm is Gateaux differentiable at that point. Balanced or disked neighborhoods Let be a convex balanced neighborhood of the origin in a locally convex topological vector space and suppose is not an element of Then there exists a continuous linear functional on such that Applications The Hahn–Banach theorem is the first sign of an important philosophy in functional analysis: to understand a space, one should understand its continuous functionals. For example, linear subspaces are characterized by functionals: if is a normed vector space with linear subspace (not necessarily closed) and if is an element of not in the closure of , then there exists a continuous linear map with for all and (To see this, note that is a sublinear function.) Moreover, if is an element of , then there exists a continuous linear map such that and This implies that the natural injection from a normed space into its double dual is isometric. That last result also suggests that the Hahn–Banach theorem can often be used to locate a "nicer" topology in which to work. For example, many results in functional analysis assume that a space is Hausdorff or locally convex. However, suppose is a topological vector space, not necessarily Hausdorff or locally convex, but with a nonempty, proper, convex, open set . Then geometric Hahn-Banach implies that there is a hyperplane separating from any other point. In particular, there must exist a nonzero functional on — that is, the continuous dual space is non-trivial. Considering with the weak topology induced by then becomes locally convex; by the second bullet of geometric Hahn-Banach, the weak topology on this new space separates points. Thus with this weak topology becomes Hausdorff. This sometimes allows some results from locally convex topological vector spaces to be applied to non-Hausdorff and non-locally convex spaces. Partial differential equations The Hahn–Banach theorem is often useful when one wishes to apply the method of a priori estimates. Suppose that we wish to solve the linear differential equation for with given in some Banach space . If we have control on the size of in terms of and we can think of as a bounded linear functional on some suitable space of test functions then we can view as a
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theorem in 1912. In 1910, Riesz solved the functional problem for some specific spaces and in 1912, Helly solved it for a more general class of spaces. It wasn't until 1932 that Banach, in one of the first important applications of the Hahn–Banach theorem, solved the general functional problem. The following theorem states the general functional problem and characterizes its solution. The Hahn–Banach theorem can be deduced from the above theorem. If is reflexive then this theorem solves the vector problem. Hahn–Banach theorem A real-valued function defined on a subset of is said to be a function if for every Hence the reason why the following version of the Hahn-Banach theorem is called . The theorem remains true if the requirements on are relaxed to require only that be a convex function: Every sublinear function is a convex function. If is linear then if and only if which is the (equivalent) conclusion that some authors write instead of It follows that if is also , meaning that holds for all then if and only Every norm is a seminorm and both are symmetric sublinear functions. On a real vector space (although not on a complex vector space), a sublinear function is a seminorm if and only if it is symmetric. The identity function on is an example of a sublinear function that is not a seminorm. For complex or real vector spaces The dominated extension theorem for real linear functionals implies the following alternative statement of the Hahn–Banach theorem that can be applied to linear functionals on real or complex vector spaces. The theorem remains true if the requirements on are relaxed to require only that for all and all scalars and satisfying A complex-valued functional is said to be if for all in the domain of With this terminology, the above statements of the Hahn–Banach theorem can be restated more succinctly: Hahn–Banach: If is a seminorm defined on a real or complex vector space then every dominated linear functional defined on a vector subspace of has a dominated linear extension to all of In the case where is a real vector space and is merely a convex or sublinear function, this conclusion will remain true if "dominated" (meaning ) is weakened to instead mean "dominated " (meaning ). Proof The following observations allow the Hahn–Banach theorem for real vector spaces to be applied to (complex-valued) linear functionals on complex vector spaces. Every linear functional on a complex vector space is completely determined by its real part through the formula and moreover, if is a norm on then their operator norms are equal: In particular, a linear functional on extends another one defined on if and only if their real parts are equal on If is a linear functional on a (complex or real) vector space and if is a seminorm then Stated in plain English, a linear functional is dominated by a seminorm if and only if its real part is dominated above by Continuity A linear functional on a topological vector space is continuous if and only if this is true of its real part if the domain is a normed space then (where one side is infinite if and only if the other side is infinite). Assume is a topological vector space and is sublinear function. If is a continuous sublinear function that dominates a linear functional then is necessarily continuous. Moreover, a linear functional is continuous if and only if its absolute value (which is a seminorm that dominates ) is continuous. In particular, a linear functional is continuous if and only if it is dominated by some continuous sublinear function. Proof The Hahn–Banach theorem for real vector spaces ultimately follows from Helly's initial result for the special case where the linear functional is extended from to a larger vector space in which has codimension The lemma above is the key step in deducing the dominated extension theorem from Zorn's lemma. This lemma remains true if is merely a convex function instead of a sublinear function. The Mizar project has completely formalized and automatically checked the proof of the Hahn–Banach theorem in the HAHNBAN file. In locally convex spaces In the above form, the functional to be extended must already be bounded by a sublinear function. In some applications, this might close to begging the question. However, in locally convex spaces, any continuous functional is already bounded by the norm, which is sublinear. One thus hasIn category-theoretic terms, the field is an injective object in the category of locally convex vector spaces. Geometric Hahn–Banach (the Hahn–Banach separation theorems) The key element of the Hahn–Banach theorem is fundamentally a result about the separation of two convex sets: and This sort of argument appears widely in convex geometry, optimization theory, and economics. Lemmas to this end derived from the original Hahn–Banach theorem are known as the Hahn–Banach separation theorems. When the convex sets have additional properties, such as being open or compact for example, then the conclusion can be substantially strengthened: Then following important corollary is known as the Geometric Hahn–Banach theorem or Mazur's theorem. It follows from the first bullet above and the convexity of Mazur's theorem clarifies that vector subspaces (even those that are not closed) can be characterized by linear functionals. Supporting hyperplanes Since points are trivially convex, geometric Hahn-Banach implies that functionals can detect the boundary of a set. In particular, let be a real topological vector space and be convex with If then there is a functional that is vanishing
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largest county in South East England and remains the third largest shire county in the United Kingdom despite losing more land than any other English county in all contemporary boundary changes. At its greatest size in 1890, Hampshire was the fifth-largest county in England. It now has an overall area of , and measures about east–west and north–south. Geology Hampshire's geology falls into two categories. In the south, along the coast is the "Hampshire Basin", an area of relatively non-resistant Eocene and Oligocene clays and gravels which are protected from sea erosion by the Isle of Purbeck, Dorset, and the Isle of Wight. These low, flat lands support heathland and woodland habitats, a large area of which forms part of the New Forest. The New Forest has a mosaic of heathland, grassland, coniferous and deciduous woodland habitats that host diverse wildlife. The forest is protected as a national park, limiting development and agricultural use to protect the landscape and wildlife. Large areas of the New Forest are open common lands kept as a grassland plagioclimax by grazing animals, including domesticated cattle, pigs and horses, and several wild deer species. Erosion of the weak rock and sea level change flooding the low land has carved several large estuaries and rias, notably the long Southampton Water and the large convoluted Portsmouth Harbour. The Isle of Wight lies off the coast of Hampshire where the non-resistant rock has been eroded away, forming the Solent. A 2014 study found that Hampshire shares significant reserves of shale oil with other neighbouring counties, totalling 4.4 billion barrels of oil, which then Business and Energy Minister Michael Fallon said "will bring jobs and business opportunities" and significantly help with UK energy self-sufficiency. Fracking in the area is required to achieve these objectives, which has been opposed by environmental groups. Natural regions Natural England identifies a number of national character areas that lie wholly or partially in Hampshire: the Hampshire Downs, New Forest, South Hampshire Lowlands, South Coast Plain, South Downs, Low Weald and Thames Basin Heaths Green belt Hampshire contains all its green belt in the New Forest district, in the southwest of the county, from the boundary with Dorset along the coastline to Lymington and northwards to Ringwood. Its boundary is contiguous with the New Forest National Park. The Hampshire portion was first created in 1958. Its function is to control expansion in the South East Dorset conurbation and outlying towns and villages. Hills The highest point in Hampshire is Pilot Hill at , in the northwest corner of the county, bordering Berkshire, and there are some 20 other hills exceeding . Butser Hill, at , where the A3 crosses the South Downs, is probably the best known. In the north and centre of the county the substrate is the rocks of the Chalk Group, which form the Hampshire Downs and the South Downs. These are high hills with steep slopes where they border the clays to the south. The hills dip steeply forming a scarp onto the Thames valley to the north, and dip gently to the south. The highest village in Hampshire at about above sea level is Ashmansworth, located between Andover and Newbury. Rivers The Itchen and Test are trout rivers that flow from the chalk through wooded valleys into Southampton Water. Other important watercourses are the Hamble, Meon, Beaulieu and Lymington rivers. The Hampshire Avon, which links Stonehenge to the sea, passes through Fordingbridge and Ringwood and then forms the modern border between Hampshire and Dorset. The northern branch of the River Wey has its source near Alton and flows east past Bentley. The River Loddon rises at West Ham Farm and flows north through Basingstoke. Wildlife Hampshire's downland supports a calcareous grassland habitat, important for wild flowers and insects. A large area of the downs is now protected from further agricultural damage by the East Hampshire Area of Outstanding Natural Beauty. The River Test has a growing number of otters as, increasingly, does the Itchen, although other areas of the county have quite low numbers. There are wild boar kept for meat in the New Forest, which is known for its ponies and herds of fallow deer, red deer, roe deer, and sika deer as well as a small number of muntjac deer. The deer had been hunted for some 900 years until 1997. An unwelcome relative newcomer is the mink population, descended from animals that escaped or were deliberately released from fur farms since the 1950s, which cause havoc amongst native wildlife. Farlington Marshes, of flower-rich grazing marsh and saline lagoon at the north end of Langstone Harbour, is a nature reserve and an internationally important over-wintering site for wildfowl. In a valley on the downs is Selborne; the countryside surrounding the village was the location of Gilbert White's pioneering observations on natural history. Hampshire's county flower is the Dog Rose. Hampshire contains two national parks; the New Forest is wholly within the county, and the South Downs National Park embraces parts of Hampshire, West Sussex and East Sussex; they are each overseen by a national park authority. Climate Hampshire has a milder climate than most areas of the British Isles, being in the far south with the climate stabilising effect of the sea, but protected against the more extreme weather of the Atlantic coast. Hampshire has a higher average annual temperature than the UK average at , average rainfall at per year, and holds higher than average sunshine totals of around 1,750 hours of sunshine per year. Settlements For the complete list of settlements see List of places in Hampshire and List of settlements in Hampshire by population. Hampshire's county town is Winchester, a historic city that was once the capital of the ancient kingdom of Wessex and of England until the Norman conquest of England. The port cities of Southampton and Portsmouth were split off as independent unitary authorities in 1997, although they are still included in Hampshire for ceremonial purposes. Fareham, Gosport and Havant have grown into a conurbation that stretches along the coast between the two main cities. The three cities are all university cities, Southampton being home to the University of Southampton and Southampton Solent University (formerly Southampton Institute), Portsmouth to the University of Portsmouth, and Winchester to the University of Winchester (formerly known as University College Winchester; King Alfred's College). The northeast of the county houses the Blackwater Valley conurbation, which includes the towns of Farnborough, Aldershot, Blackwater and Yateley and borders both Berkshire and Surrey. Hampshire lies outside the green belt area of restricted development around London, but has good railway and motorway links to the capital, and in common with the rest of the south-east has seen the growth of dormitory towns since the 1960s. Basingstoke, in the northern part of the county, has grown from a country town into a business and financial centre. Aldershot, Portsmouth, and Farnborough have strong military associations with the Army, Royal Navy, and Royal Air Force respectively. The county also includes several market towns: Alresford, Alton, Andover, Bishop's Waltham, Lymington, New Milton, Petersfield, Ringwood, Romsey and Whitchurch. Demographics Population At the 2001 census the ceremonial county recorded a population of 1,644,249, of which 1,240,103 were in the administrative county, 217,445 were in the unitary authority of Southampton, and 186,701 were in Portsmouth. The population of the administrative county grew 5.6 per cent from the 1991 census and Southampton grew 6.2 per cent (Portsmouth remained unchanged), compared with 2.6 per cent for England and Wales as a whole. Eastleigh and Winchester grew fastest at 9 per cent each. Southampton and Portsmouth are the main settlements within the South Hampshire conurbation, which is home to about half of the ceremonial county's population. The larger South Hampshire metropolitan area has a population of 1,547,000. Cities and towns by population size: (2001 census) Southampton – 244,224 Portsmouth – 207,100 Basingstoke – 90,171 (town), 152,573 (borough) Gosport – 69,348 (town), 77,000 (borough) Andover – 64,000 Waterlooville – 63,558 Aldershot – 58,120 Farnborough – 57,147 Fareham/Portchester – 56,010 (town), 109,619 (borough) Eastleigh – 52,894 (town), 116,177 (borough) Havant – 45,435 (town), 115,300 (borough) Winchester – 41,420 (city), 116,600 (district) Fleet – 32,726 Petersfield-14,974 (town) The table below shows the population change up to the 2011 census, contrasting the previous census. It also shows the proportion of residents in each district reliant upon lowest income and/or joblessness benefits, the national average proportion of which was 4.5 per cent (August 2012). The most populous district of Hampshire is New Forest District. Ethnicity and religion At the 2011 census, about 89 per cent of residents were white British, falling to 85.87 per cent in Southampton. The significant ethnic minorities were Asian at 2.6 per cent and mixed race at 1.4 per cent; 10 per cent of residents were born outside the UK. 59.7 per cent stated their religion as Christian and 29.5 per cent as not religious. Significant minority religions were Islam (1.46 per cent) and Hinduism (0.73 per cent). The Church of England Diocese of Winchester was founded in 676AD and covers about two thirds of Hampshire and extends into Dorset. Smaller parts of Hampshire are covered by the dioceses of Portsmouth, Guildford and Oxford. The Roman Catholic Diocese of Portsmouth covers Hampshire as well as the Isle of Wight and the Channel Islands. Politics With the exceptions of the unitary authorities of Portsmouth and Southampton, Hampshire is governed by Hampshire County Council based at Castle Hill in Winchester, with eleven non-metropolitan districts beneath it and, for the majority of the county, parish councils or town councils at the local level. In the 2016 United Kingdom European Union membership referendum, nearly 55% of Hampshire (including the Isle of Wight) voted in favour of Brexit. Gosport was the area that voted to Leave with the highest majority (64%), while Winchester was the area that voted to Remain with the highest majority (59%). Hart and East Hampshire also voted to Remain. Parliament Hampshire elects eighteen Members of Parliament. As of the 2019 General Election, sixteen MPs are Conservative and two MPs are Labour. In the 2019 General Election there were no seat changes, with the 16 Conservative constituencies and 2 Labour constituencies holding on to the same seats won or held in 2017. This is despite the Liberal Democrats gaining 57,876 more votes (an increase of 50.4%) compared to 2017, and Labour losing 72,278 votes (29.9%) compared to 2017. At the 2017 General Election, the Conservatives won 16 seats, continuing their dominance in the county. Labour took two seats, Southampton Test and Portsmouth South. In the 2015 general election, every Hampshire seat except Southampton Test (Labour) was won by the Conservatives. In 2010, 14 constituencies were represented by Conservative Members of Parliament (MPs), two by the Liberal Democrats, and two by Labour. Labour represented the largest urban centre, holding both Southampton constituencies (Test and Itchen). The Liberal Democrats held Portsmouth South and Eastleigh. The Conservatives represent a mix of rural and urban areas: Aldershot, Basingstoke, East Hampshire, Fareham, Gosport, Havant, Meon Valley, North East Hampshire, North West Hampshire, New Forest East, New Forest West, Portsmouth North, Romsey and Southampton North and Winchester. At the 2013 local elections for Hampshire County Council, the Conservative Party had a 37.51 per cent share of the votes, the Liberal Democrats 21.71 per cent, the UK Independence Party 24.61 per cent and Labour 10 per cent. As a result, 45 Conservatives, 17 Liberal Democrats, 10 UKIP, four Labour and one Community Campaign councillor sit on the County Council. Southampton City Council, which is a separate Unitary Authority, has 28 Labour, 16 Conservative, 2 Councillors Against the Cuts and 2 Liberal Democrat councillors. Portsmouth City Council, also a UA, has 25 Liberal Democrat, 12 Conservative and 5 Labour councillors. Hampshire has its own County Youth Council (HCYC) and is an independent youth-run organisation. It meets once a month around Hampshire and aims to give the young people of Hampshire a voice. It also has numerous district and borough youth councils including Basingstoke's "Basingstoke & Deane Youth Council". Emergency services Hampshire Fire and Rescue Service South Central Ambulance Service South East Coast Ambulance Service Hampshire & Isle of Wight Air Ambulance Hampshire Constabulary British Transport Police HM Coastguard Economy Hampshire is one of the most affluent counties in the country, with a gross domestic product (GDP) of £29 billion, excluding Southampton and Portsmouth. In 2018, Hampshire had a GDP per capita of £22,100, comparable with the UK as a whole. Portsmouth and Winchester have the highest job densities in the county; 38 per cent of workplace workers in Portsmouth commuted into the city in 2011. Southampton has the highest number of total jobs and commuting both into and out of the city is high. The county has a lower level of unemployment than the national average, at 1.3 per cent when the national rate is 2.1 per cent, as of February 2018. About one third are employed by large firms. Hampshire has a considerably higher than national average employment in high-tech industries, but average levels in knowledge-based industry. About 25 per cent of the population work in the public sector. Tourism accounts for some 60,000 jobs in the county, around 9 per cent of the total. One of the principal companies in the high tech sector is IBM which has its research and development laboratories at Hursley and its UK headquarters at Cosham. Many rural areas of Hampshire have traditionally been reliant on agriculture, particularly dairy farming, although the significance of agriculture as a rural employer and rural wealth creator has declined since the first half of the 20th century and agriculture currently employs 1.32 per cent of the rural population. The extractive industries deal principally with sand, gravel, clay and hydrocarbons. There are three active oilfields in Hampshire with one being also used as a natural gas store. These are in the west of the county in the Wessex Basin. The Weald Basin to the east has potential as a source of shale oil but is not currently exploited. The New Forest area is a national park, and tourism is a significant economic segment in this area, with 7.5 million visitors in 1992. The South Downs and the cities of Portsmouth, Southampton, and Winchester also attract tourists to the county. Southampton Boat Show is one of the biggest annual events held in the county, and attracts visitors from throughout the country. In 2003, the county had a total of 31 million day visits, and 4.2 million longer stays. The cities of Southampton and Portsmouth are both significant ports, with Southampton Docks handling a large proportion of the national container freight traffic as well as being a major base for cruise liners, and Portsmouth Harbour accommodating one of the Royal Navy's main bases and a terminal for cross-channel ferries to France and Spain. The docks have traditionally been large employers in these cities, though mechanisation of cargo handling has led to a reduction in manpower needed. The Marine Accident Investigation Branch has its principal offices in Southampton, while the Air Accidents Investigation Branch has its head office in Farnborough in Rushmoor District . The Rail Accident Investigation Branch has one of its two offices at Farnborough. Transport Air Southampton Airport, with an accompanying main line railway station, is an international airport situated in the Borough of Eastleigh, close to Swaythling in the city of Southampton. The Farnborough International Airshow is a week-long event that combines a major trade exhibition for the aerospace and defence industries with a public airshow. The event is held in mid-July in even-numbered years at Farnborough Airport. The first five days (Monday to Friday) are dedicated to trade, with the final two days open to the public. Sea Cross-channel and cross-Solent ferries from Southampton, Portsmouth and Lymington link the county to the Isle of Wight, the Channel Islands and continental Europe. Rail The South West Main Line (operated by South Western Railway) from London to Weymouth runs through Winchester and Southampton, and the Wessex Main Line from Bristol to Portsmouth also runs through the county as does the Portsmouth Direct Line. Road The M3 motorway bisects the county from the southwest, at the edge of the New Forest near Southampton, to the northeast on its way to connect with the M25 London orbital motorway. At its southern end it links with the M27 south coast motorway. The construction of the Twyford Down cutting near Winchester caused major controversy by cutting through a series of ancient trackways and other features of archaeological significance. The M27 serves as a bypass for the major conurbations and as a link to other settlements on the south coast. Other important roads include the A27, A3, A31, A34, A36 and A303. The county has a high level of car ownership, with only 15.7 per cent having no access to a private car compared with 26.8 per cent for England and Wales. The county has a lower than average use of trains (3.2 compared with 4.1 per cent for commuting) and buses (3.2 to 7.4 per cent), but a higher than average use of bicycles (3.5 to 2.7 per cent) and cars (63.5 to 55.3 per cent). Inland waterways Hampshire formerly had several canals, but most of these have been abandoned and their routes built over. The Basingstoke Canal has been extensively restored, and is now navigable for most of its route, but the Salisbury and Southampton Canal, Andover Canal and Portsmouth and Arundel Canal have all disappeared. Restoration of the Itchen Navigation, linking Southampton and Winchester, primarily as a wildlife corridor, began in 2008. Education The school system in Hampshire (including Southampton and Portsmouth) is comprehensive. Geographically inside the Hampshire LEA are 24 independent schools, Southampton has three and Portsmouth has four. Few Hampshire schools have sixth forms, which varies by district council. There are 14 further education colleges within the Hampshire LEA, including six graded as 'outstanding' by Ofsted: Alton College, Barton Peveril Sixth Form College, Brockenhurst College, Farnborough College of Technology, Farnborough Sixth Form College, Peter Symonds College, Queen Mary's College,
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administrative links now exist between the Isle of Wight and Hampshire, though many organisations still combine Hampshire and the Isle of Wight. In the 1970s, local government reorganisation led to a reduction in Hampshire's size; in 1974, the towns of Bournemouth and Christchurch were transferred to Dorset. Geography Hampshire is bordered by Dorset to the west, Wiltshire to the north-west, Berkshire to the north, Surrey to the north-east, and West Sussex to the east. The southern boundary is the coastline of the English Channel and the Solent, facing the Isle of Wight. It is the largest county in South East England and remains the third largest shire county in the United Kingdom despite losing more land than any other English county in all contemporary boundary changes. At its greatest size in 1890, Hampshire was the fifth-largest county in England. It now has an overall area of , and measures about east–west and north–south. Geology Hampshire's geology falls into two categories. In the south, along the coast is the "Hampshire Basin", an area of relatively non-resistant Eocene and Oligocene clays and gravels which are protected from sea erosion by the Isle of Purbeck, Dorset, and the Isle of Wight. These low, flat lands support heathland and woodland habitats, a large area of which forms part of the New Forest. The New Forest has a mosaic of heathland, grassland, coniferous and deciduous woodland habitats that host diverse wildlife. The forest is protected as a national park, limiting development and agricultural use to protect the landscape and wildlife. Large areas of the New Forest are open common lands kept as a grassland plagioclimax by grazing animals, including domesticated cattle, pigs and horses, and several wild deer species. Erosion of the weak rock and sea level change flooding the low land has carved several large estuaries and rias, notably the long Southampton Water and the large convoluted Portsmouth Harbour. The Isle of Wight lies off the coast of Hampshire where the non-resistant rock has been eroded away, forming the Solent. A 2014 study found that Hampshire shares significant reserves of shale oil with other neighbouring counties, totalling 4.4 billion barrels of oil, which then Business and Energy Minister Michael Fallon said "will bring jobs and business opportunities" and significantly help with UK energy self-sufficiency. Fracking in the area is required to achieve these objectives, which has been opposed by environmental groups. Natural regions Natural England identifies a number of national character areas that lie wholly or partially in Hampshire: the Hampshire Downs, New Forest, South Hampshire Lowlands, South Coast Plain, South Downs, Low Weald and Thames Basin Heaths Green belt Hampshire contains all its green belt in the New Forest district, in the southwest of the county, from the boundary with Dorset along the coastline to Lymington and northwards to Ringwood. Its boundary is contiguous with the New Forest National Park. The Hampshire portion was first created in 1958. Its function is to control expansion in the South East Dorset conurbation and outlying towns and villages. Hills The highest point in Hampshire is Pilot Hill at , in the northwest corner of the county, bordering Berkshire, and there are some 20 other hills exceeding . Butser Hill, at , where the A3 crosses the South Downs, is probably the best known. In the north and centre of the county the substrate is the rocks of the Chalk Group, which form the Hampshire Downs and the South Downs. These are high hills with steep slopes where they border the clays to the south. The hills dip steeply forming a scarp onto the Thames valley to the north, and dip gently to the south. The highest village in Hampshire at about above sea level is Ashmansworth, located between Andover and Newbury. Rivers The Itchen and Test are trout rivers that flow from the chalk through wooded valleys into Southampton Water. Other important watercourses are the Hamble, Meon, Beaulieu and Lymington rivers. The Hampshire Avon, which links Stonehenge to the sea, passes through Fordingbridge and Ringwood and then forms the modern border between Hampshire and Dorset. The northern branch of the River Wey has its source near Alton and flows east past Bentley. The River Loddon rises at West Ham Farm and flows north through Basingstoke. Wildlife Hampshire's downland supports a calcareous grassland habitat, important for wild flowers and insects. A large area of the downs is now protected from further agricultural damage by the East Hampshire Area of Outstanding Natural Beauty. The River Test has a growing number of otters as, increasingly, does the Itchen, although other areas of the county have quite low numbers. There are wild boar kept for meat in the New Forest, which is known for its ponies and herds of fallow deer, red deer, roe deer, and sika deer as well as a small number of muntjac deer. The deer had been hunted for some 900 years until 1997. An unwelcome relative newcomer is the mink population, descended from animals that escaped or were deliberately released from fur farms since the 1950s, which cause havoc amongst native wildlife. Farlington Marshes, of flower-rich grazing marsh and saline lagoon at the north end of Langstone Harbour, is a nature reserve and an internationally important over-wintering site for wildfowl. In a valley on the downs is Selborne; the countryside surrounding the village was the location of Gilbert White's pioneering observations on natural history. Hampshire's county flower is the Dog Rose. Hampshire contains two national parks; the New Forest is wholly within the county, and the South Downs National Park embraces parts of Hampshire, West Sussex and East Sussex; they are each overseen by a national park authority. Climate Hampshire has a milder climate than most areas of the British Isles, being in the far south with the climate stabilising effect of the sea, but protected against the more extreme weather of the Atlantic coast. Hampshire has a higher average annual temperature than the UK average at , average rainfall at per year, and holds higher than average sunshine totals of around 1,750 hours of sunshine per year. Settlements For the complete list of settlements see List of places in Hampshire and List of settlements in Hampshire by population. Hampshire's county town is Winchester, a historic city that was once the capital of the ancient kingdom of Wessex and of England until the Norman conquest of England. The port cities of Southampton and Portsmouth were split off as independent unitary authorities in 1997, although they are still included in Hampshire for ceremonial purposes. Fareham, Gosport and Havant have grown into a conurbation that stretches along the coast between the two main cities. The three cities are all university cities, Southampton being home to the University of Southampton and Southampton Solent University (formerly Southampton Institute), Portsmouth to the University of Portsmouth, and Winchester to the University of Winchester (formerly known as University College Winchester; King Alfred's College). The northeast of the county houses the Blackwater Valley conurbation, which includes the towns of Farnborough, Aldershot, Blackwater and Yateley and borders both Berkshire and Surrey. Hampshire lies outside the green belt area of restricted development around London, but has good railway and motorway links to the capital, and in common with the rest of the south-east has seen the growth of dormitory towns since the 1960s. Basingstoke, in the northern part of the county, has grown from a country town into a business and financial centre. Aldershot, Portsmouth, and Farnborough have strong military associations with the Army, Royal Navy, and Royal Air Force respectively. The county also includes several market towns: Alresford, Alton, Andover, Bishop's Waltham, Lymington, New Milton, Petersfield, Ringwood, Romsey and Whitchurch. Demographics Population At the 2001 census the ceremonial county recorded a population of 1,644,249, of which 1,240,103 were in the administrative county, 217,445 were in the unitary authority of Southampton, and 186,701 were in Portsmouth. The population of the administrative county grew 5.6 per cent from the 1991 census and Southampton grew 6.2 per cent (Portsmouth remained unchanged), compared with 2.6 per cent for England and Wales as a whole. Eastleigh and Winchester grew fastest at 9 per cent each. Southampton and Portsmouth are the main settlements within the South Hampshire conurbation, which is home to about half of the ceremonial county's population. The larger South Hampshire metropolitan area has a population of 1,547,000. Cities and towns by population size: (2001 census) Southampton – 244,224 Portsmouth – 207,100 Basingstoke – 90,171 (town), 152,573 (borough) Gosport – 69,348 (town), 77,000 (borough) Andover – 64,000 Waterlooville – 63,558 Aldershot – 58,120 Farnborough – 57,147 Fareham/Portchester – 56,010 (town), 109,619 (borough) Eastleigh – 52,894 (town), 116,177 (borough) Havant – 45,435 (town), 115,300 (borough) Winchester – 41,420 (city), 116,600 (district) Fleet – 32,726 Petersfield-14,974 (town) The table below shows the population change up to the 2011 census, contrasting the previous census. It also shows the proportion of residents in each district reliant upon lowest income and/or joblessness benefits, the national average proportion of which was 4.5 per cent (August 2012). The most populous district of Hampshire is New Forest District. Ethnicity and religion At the 2011 census, about 89 per cent of residents were white British, falling to 85.87 per cent in Southampton. The significant ethnic minorities were Asian at 2.6 per cent and mixed race at 1.4 per cent; 10 per cent of residents were born outside the UK. 59.7 per cent stated their religion as Christian and 29.5 per cent as not religious. Significant minority religions were Islam (1.46 per cent) and Hinduism (0.73 per cent). The Church of England Diocese of Winchester was founded in 676AD and covers about two thirds of Hampshire and extends into Dorset. Smaller parts of Hampshire are covered by the dioceses of Portsmouth, Guildford and Oxford. The Roman Catholic Diocese of Portsmouth covers Hampshire as well as the Isle of Wight and the Channel Islands. Politics With the exceptions of the unitary authorities of Portsmouth and Southampton, Hampshire is governed by Hampshire County Council based at Castle Hill in Winchester, with eleven non-metropolitan districts beneath it and, for the majority of the county, parish councils or town councils at the local level. In the 2016 United Kingdom European Union membership referendum, nearly 55% of Hampshire (including the Isle of Wight) voted in favour of Brexit. Gosport was the area that voted to Leave with the highest majority (64%), while Winchester was the area that voted to Remain with the highest majority (59%). Hart and East Hampshire also voted to Remain. Parliament Hampshire elects eighteen Members of Parliament. As of the 2019 General Election, sixteen MPs are Conservative and two MPs are Labour. In the 2019 General Election there were no seat changes, with the 16 Conservative constituencies and 2 Labour constituencies holding on to the same seats won or held in 2017. This is despite the Liberal Democrats gaining 57,876 more votes (an increase of 50.4%) compared to 2017, and Labour losing 72,278 votes (29.9%) compared to 2017. At the 2017 General Election, the Conservatives won 16 seats, continuing their dominance in the county. Labour took two seats, Southampton Test and Portsmouth South. In the 2015 general election, every Hampshire seat except Southampton Test (Labour) was won by the Conservatives. In 2010, 14 constituencies were represented by Conservative Members of Parliament (MPs), two by the Liberal Democrats, and two by Labour. Labour represented the largest urban centre, holding both Southampton constituencies (Test and Itchen). The Liberal Democrats held Portsmouth South and Eastleigh. The Conservatives represent a mix of rural and urban areas: Aldershot, Basingstoke, East Hampshire, Fareham, Gosport, Havant, Meon Valley, North East Hampshire, North West Hampshire, New Forest East, New Forest West, Portsmouth North, Romsey and Southampton North and Winchester. At the 2013 local elections for Hampshire County Council, the Conservative Party had a 37.51 per cent share of the votes, the Liberal Democrats 21.71 per cent, the UK Independence Party 24.61 per cent and Labour 10 per cent. As a result, 45 Conservatives, 17 Liberal Democrats, 10 UKIP, four Labour and one Community Campaign councillor sit on the County Council. Southampton City Council, which is a separate Unitary Authority, has 28 Labour, 16 Conservative, 2 Councillors Against the Cuts and 2 Liberal Democrat councillors. Portsmouth City Council, also a UA, has 25 Liberal Democrat, 12 Conservative and 5 Labour councillors. Hampshire has its own County Youth Council (HCYC) and is an independent youth-run organisation. It meets once a month around Hampshire and aims to give the young people of Hampshire a voice. It also has numerous district and borough youth councils including Basingstoke's "Basingstoke & Deane Youth Council". Emergency services Hampshire Fire and Rescue Service South Central Ambulance Service South East Coast Ambulance Service Hampshire & Isle of Wight Air Ambulance Hampshire Constabulary British Transport Police HM Coastguard Economy Hampshire is one of the most affluent counties in the country, with a gross domestic product (GDP) of £29 billion, excluding Southampton and Portsmouth. In 2018, Hampshire had a GDP per capita of £22,100, comparable with the UK as a whole. Portsmouth and Winchester have the highest job densities in the county; 38 per cent of workplace workers in Portsmouth commuted into the city in 2011. Southampton has the highest number of total jobs and commuting both into and out of the city is high. The county has a lower level of unemployment than the national average, at 1.3 per cent when the national rate is 2.1 per cent, as of February 2018. About one third are employed by large firms. Hampshire has a considerably higher than national average employment in high-tech industries, but average levels in knowledge-based industry. About 25 per cent of the population work in the public sector. Tourism accounts for some 60,000 jobs in the county, around 9 per cent of the total. One of the principal companies in the high tech sector is IBM which has its research and development laboratories at Hursley and its UK headquarters at Cosham. Many rural areas of Hampshire have traditionally been reliant on agriculture, particularly dairy farming, although the significance of agriculture as a rural employer and rural wealth creator has declined since the first half of the 20th century and agriculture currently employs 1.32 per cent of the rural population. The extractive industries deal principally with sand, gravel, clay and hydrocarbons. There are three active oilfields in Hampshire with one being also used as a natural gas store. These are in the west of the county in the Wessex Basin. The Weald Basin to the east has potential as a source of shale oil but is not currently exploited. The New Forest area is a national park, and tourism is a significant economic segment in this area, with 7.5 million visitors in 1992. The South Downs and the cities of Portsmouth, Southampton, and Winchester also attract tourists to the county. Southampton Boat Show is one of the biggest annual events held in the county, and attracts visitors from throughout the country. In 2003, the county had a total of 31 million day visits, and 4.2 million longer stays. The cities of Southampton and Portsmouth are both significant ports, with Southampton Docks handling a large proportion of the national container freight traffic as well as being a major base for cruise liners, and Portsmouth Harbour accommodating one of the Royal Navy's main bases and a terminal for cross-channel ferries to France and Spain. The docks have traditionally been large employers in these cities, though mechanisation of cargo handling has led to a reduction in manpower needed. The Marine Accident Investigation Branch has its principal offices in Southampton, while the Air Accidents Investigation Branch has its head office in Farnborough in Rushmoor District . The Rail Accident Investigation Branch has one of its two offices at Farnborough. Transport Air Southampton Airport, with an accompanying main line railway station, is an international airport situated in the Borough of Eastleigh, close to Swaythling in the city of Southampton. The Farnborough International Airshow is a week-long event that combines a major trade exhibition for the aerospace and defence industries with a public airshow. The event is held in mid-July in even-numbered years at Farnborough Airport. The first five days (Monday to Friday) are dedicated to trade, with the final two days open to the public. Sea Cross-channel and cross-Solent ferries from Southampton, Portsmouth and Lymington link the county to the Isle of Wight, the Channel Islands and continental Europe. Rail The South West Main Line (operated by South Western Railway) from London to Weymouth runs through Winchester and Southampton, and the Wessex Main Line from Bristol to Portsmouth also runs through the county as does the Portsmouth Direct Line. Road The M3 motorway bisects the county from the southwest, at the edge of the New Forest near Southampton, to the northeast on its way to connect with the M25 London
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element, the existence of deep pockets of "moondust" in lunar craters, is now known to be incorrect. There is a degree of flexibility in how far from "real science" a story can stray before it leaves the realm of hard SF. Hard science fiction authors only include more controversial devices, when the ideas draw from well known scientific and mathematical principles. In contrast, authors writing softer SF use such devices without a scientific basis (sometimes referred to as "enabling devices", since they allow the story to take place). Readers of "hard SF" often try to find inaccuracies in stories. For example, a group at MIT concluded that the planet Mesklin in Hal Clement's 1953 novel Mission of Gravity would have had a sharp edge at the equator, and a Florida high-school class calculated that in Larry Niven's 1970 novel Ringworld the topsoil would have slid into the seas in a few thousand years. Niven fixed these errors in his sequel The Ringworld Engineers, and noted them in the foreword. Films set in outer space that aspire to the hard SF label try to minimize the artistic liberties taken for the sake of practicality of effect. Factors include: How the film accounts for weightlessness in space. How the film depicts sound despite the vacuum of space. Whether telecommunications are instant or are limited by the speed of light. Representative works Arranged chronologically by publication year. Anthologies David G. Hartwell and Kathryn Cramer (eds.), The Ascent of Wonder: The Evolution of Hard SF (1994) David G. Hartwell and Kathryn Cramer (eds.), The Hard SF Renaissance: An Anthology (2002) Ben Bova and Eric Choi (eds.), Carbide-Tipped Pens: Seventeen Tales of Hard Science Fiction (2014) Wade Roush (ed.) Twelve Tomorrows (MIT Press 2018) Short stories Robert Heinlein, The Past Through Tomorrow collection of stories (1939–1962) James Blish, "Surface Tension" (1952) (Book 3 of The Seedling Stars (1957) Tom Godwin, "The Cold Equations" (1954) Poul Anderson, "Kyrie" (1968) Frederik Pohl, "Day Million" (1971) Larry Niven, "Inconstant Moon" (1971) and "The Hole Man" (1974) and "Neutron Star" (1966) Greg Bear, "Tangents" (1986) Geoffrey A. Landis, "A Walk in the Sun" (1991) Vernor Vinge, "Fast Times at Fairmont High" (2001) Novels Aldous Huxley, Brave New World (1932) Hal Clement, Mission of Gravity (1953) Fred Hoyle, The Black Cloud (1957) James Blish, A Case of Conscience (1958) Jack Vance, The Languages of Pao (1958) Arthur C. Clarke, A Fall of Moondust (1961) John Brunner, Stand on Zanzibar (1968), The Jagged Orbit (1969), The Sheep Look Up (1972), The Shockwave Rider (1975) Michael Crichton, The Andromeda Strain (1969), Jurassic Park (1990) Larry Niven, Ringworld (1970) Poul Anderson, Tau Zero (1970) James Gunn, The Listeners (1972) Bob Shaw, Orbitsville (1975) James P. Hogan, The Two Faces of Tomorrow (1979) Robert L. Forward, Dragon's Egg (1980) and its sequel Starquake (1985) Steven Barnes and Larry Niven, The Descent of Anansi (1982) Kim Stanley Robinson, The Mars trilogy (Red Mars (1992), Green Mars (1993), Blue Mars (1996)), Nancy Kress, Beggars in Spain (1993) Charles Sheffield, Georgia on My Mind, and Other Places (1995) Greg Egan, Schild's Ladder (2002) Alastair Reynolds, Pushing Ice (2005) Cixin Liu, The Three-Body Problem (2008) Clyde Desouza, Memories with Maya (2013) Films 2001: A Space Odyssey (1968) Colossus: The Forbin Project (1970) Silent Running (1972) Blade Runner (1982) Contact (1997) Gattaca (1997) Moon (2009) Europa Report (2013) Her (2013) Ex Machina (2014) The Martian (2015) Anime / manga Patlabor (1988–present) Ghost in the Shell (1989–present) Planetes (1999, 2004) Visual novels Snatcher (1988) Policenauts (1994) YU-NO: A Girl Who Chants Love at the Bound of this World (1996) Infinity (2000–2008) Planetarian: The Reverie of a Little Planet (2004) Muv-Luv Alternative (2006–2013) Baldr Sky (2009) Full Metal Daemon: Muramasa (2009) Zero Escape (2009–2012) Root Double: Before Crime * After Days (2012) See also Hard fantasy Hypothetical technology Mundane science fiction Notes References Further reading On Hard Science Fiction: A Bibliography, originally published in Science Fiction Studies #60 (July 1993). David G. Hartwell, "Hard Science Fiction,", Introduction to The Ascent of Wonder: The Evolution of Hard Science Fiction, 1994, Kathryn Cramer's chapter on hard science fiction in The Cambridge Companion to SF, ed. Farah
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scenarios and situations that are practically or theoretically possible. For example, the development of concrete proposals for spaceships, space stations, space missions, and a US space program in the 1950s and 1960s influenced a widespread proliferation of "hard" space stories. Later discoveries do not necessarily invalidate the label of hard SF, as evidenced by P. Schuyler Miller, who called Arthur C. Clarke's 1961 novel A Fall of Moondust hard SF, and the designation remains valid even though a crucial plot element, the existence of deep pockets of "moondust" in lunar craters, is now known to be incorrect. There is a degree of flexibility in how far from "real science" a story can stray before it leaves the realm of hard SF. Hard science fiction authors only include more controversial devices, when the ideas draw from well known scientific and mathematical principles. In contrast, authors writing softer SF use such devices without a scientific basis (sometimes referred to as "enabling devices", since they allow the story to take place). Readers of "hard SF" often try to find inaccuracies in stories. For example, a group at MIT concluded that the planet Mesklin in Hal Clement's 1953 novel Mission of Gravity would have had a sharp edge at the equator, and a Florida high-school class calculated that in Larry Niven's 1970 novel Ringworld the topsoil would have slid into the seas in a few thousand years. Niven fixed these errors in his sequel The Ringworld Engineers, and noted them in the foreword. Films set in outer space that aspire to the hard SF label try to minimize the artistic liberties taken for the sake of practicality of effect. Factors include: How the film accounts for weightlessness in space. How the film depicts sound despite the vacuum of space. Whether telecommunications are instant or are limited by the speed of light. Representative works Arranged chronologically by publication year. Anthologies David G. Hartwell and Kathryn Cramer (eds.), The Ascent of Wonder: The Evolution of Hard SF (1994) David G. Hartwell and Kathryn Cramer (eds.), The Hard SF Renaissance: An Anthology (2002) Ben Bova and Eric Choi (eds.), Carbide-Tipped Pens: Seventeen Tales of Hard Science Fiction (2014) Wade Roush (ed.) Twelve Tomorrows (MIT Press 2018) Short stories Robert Heinlein, The Past Through Tomorrow collection of stories (1939–1962) James Blish, "Surface Tension" (1952) (Book 3 of The Seedling Stars (1957) Tom Godwin, "The Cold Equations" (1954) Poul Anderson, "Kyrie"
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deactivated first—either firing the primed case in the appropriate firearm, or soaking in penetrating oil, which penetrates the water resistant coatings in the primer. Components pulled from loaded cartridges should be reused with care. Unknown or potentially contaminated powders, contaminated primers, and bullets that are damaged or incorrectly sized can all cause dangerous conditions upon firing. Case trimmer Cases, especially bottleneck cases, will stretch upon firing. How much a case will stretch depends upon load pressure, cartridge design, chamber size, functional cartridge headspace (usually the most important factor), and other variables. Periodically cases need to be trimmed to bring them back into proper specifications. Most reloading manuals list both a trim size and a max length. Long cases can create a safety hazard through improper headspace and possible increased pressure. Several kinds of case trimmers are available. Die-based trimmers have an open top, and allow the case to be trimmed with a file during the loading process. Manual trimmers usually have a base that has a shellholder at one end and a cutting bit at the opposite end, with a locking mechanism to hold the case tight and in alignment with the axis of the cutter, similar to a small lathe. Typically the device is cranked by hand, but sometimes they have attachments to allow the use of a drill or powered screwdriver. Powered case trimmers are also available. They usually consist of a motor (electric drills are sometimes used) and special dies or fittings that hold the case to be trimmed at the appropriate length, letting the motor do the work of trimming. Primer pocket tools Primer pocket cleaning tools are used to remove residual combustion debris remaining in the primer pocket; both brush designs and single blade designs are commonly used. Dirty primer pockets can prevent setting primers at, or below, the cartridge head. Primer pocket reamers or swagers are used to remove military crimps in primer pockets. Primer pocket uniformer tools are used to achieve a uniform primer pocket depth. These are small endmills with a fixed depth-spacing ring attached, and are mounted either in a handle for use as a handtool, or are sometimes mounted in a battery-operated screwdriver. Some commercial cartridges (notably Sellier & Bellot) use large rifle primers that are thinner than the SAAMI standards common in the United States, and will not permit seating a Boxer primer manufactured to U.S. standards; the use of a primer pocket uniformer tool on such brass avoids setting Boxer primers high when reloading, which would be a safety issue. Two sizes of primer pocket uniformer tools exist, the larger one is for large rifle (0.130-inch nominal depth) primer pockets and the smaller one is used for uniforming small rifle/pistol primer pockets. Flash hole uniforming tools are used to remove any burrs, which are residual brass remaining from the manufacturing punching operation used in creating flash holes. These tools resemble primer pocket uniformer tools, except being thinner, and commonly include deburring, chamfering, and uniforming functions. The purpose of these tools is to achieve a more equal distribution of flame from the primer to ignite the powder charge, resulting in consistent ignition from case to case. Headspace gauges and modified case gauges Bottleneck rifle cartridges are particularly prone to encounter incipient head separations if they are full-length re-sized and re-trimmed to their maximum permitted case lengths each time they are reloaded. In some such cartridges, such as the .303 British when used in Enfield rifles, as few as 1 or 2 reloadings can be the limit, before the head of the cartridge will physically separate from the body of the cartridge when fired. The solution to this problem, of avoiding overstretching of the brass case, and thereby avoiding the excessive thinning of the wall thickness of the brass case due to case stretching, is to use what is called a "headspace gauge". Contrary to its name, it does not actually measure a rifle's headspace. Rather, it measures the distance from the head of the cartridge to the middle of the shoulder of the bottleneck cartridge case. For semi-automatic and automatic rifles, customary practice is to move the midpoint of this shoulder back by no more than 0.005 inches, for reliable operation, when resizing the case. For bolt-action rifles, with their additional camming action, customary practice is to move this shoulder back by only 0.001 to 0.002 inches when resizing the case. In contrast to full-length resizing of bottleneck rifle cartridges, which can rapidly thin out the wall thickness of bottleneck rifle cartridges due to case stretching that occurs each time when fired, partial length re-sizing of the bottleneck case that pushes shoulders back only a few thousandths of an inch will often permit a case to be safely reloaded 5 times or more, even up to 10 times, or more for very light loads. Similarly, by using modified case gauges, it is possible to measure precisely the distance from a bullet ogive to the start of rifling in a particular rifle for a given bottleneck cartridge. Maximum accuracy for a rifle is often found to occur for only one particular fixed distance from the start of rifling in a bore to a datum line on a bullet ogive. Measuring the overall cartridge length does not permit setting such fixed distances accurately, as different bullets from different manufacturers will often have a different ogive shape. It is only by measuring from a fixed diameter point on a bullet ogive to the start of a bore's rifling that a proper spacing can be determined to maximize accuracy. A modified case gauge can provide the means by which to achieve an improvement in accuracy with precision handloads. Such head space gauges and modified case gauges can, respectively, permit greatly increasing the number of times a rifle bottleneck case can be reloaded safely, as well as to improve greatly the accuracy of such handloads. Unlike the situation with using expensive factory ammunition, handloaded match ammunition can be made that is vastly more accurate, and, through reloading, that can be much more affordable than anything that can be purchased, being customized for a particular rifle. Materials required The following materials are needed for handloading ammunition: Cases or shotshell hulls. For shotshells, plastic or paper cases can be reloaded, though plastic is more durable. Steel and aluminum cases do not have the correct qualities for reloading, so a brass case is essential (although nickel-plated brass cases, while not as reformable as plain brass, can also be reloaded) Propellant of an appropriate type. Generally, handgun cartridges (due to shorter barrels) and shotshells (due to heavier projectile weights) use faster burning smokeless powders, and rifle cartridges use slower burning powder. Powder is generally of the "smokeless" type in modern cartridges, although on occasion the older black powder more commonly known as "gunpowder" may be used. Projectiles, such as bullets for handguns and rifles, or shot and wads for shotguns. Centerfire primers, most commonly a Boxer-type. Case lubrication may also be needed depending on the dies used. Carbide pistol dies do not require case lubricant. For this reason, they are preferred by many, being inherently less messy in operation. In contrast, all dies for bottleneck cartridges, whether made of high strength steel or carbide, and steel dies for pistol do require the use of a case lubricant to prevent having a case become stuck in a die. (In the event that a case does ever become stuck in a die, there are stuck case remover tools that are available to remove a stuck case from the die, albeit at the loss of the particular case that became stuck.) Reloading process Pistol/Rifle cartridges The operations performed when handloading cartridges are: Depriming — the removal of any old, expended primers from previously fired cases. Usually done with a thin rod that is inserted into the flash hole via the case mouth and push out the primer from inside. Case cleaning — removal of foulings and tarnishes from the cases, optional but recommended for reused rifle or pistol cases. Cleaning can be done with an ultrasonic cleaner, or more commonly with a mass finishing device known as a "case tumbler". Tumblers use abrasive granules known as tumbling media (which can be stone or ceramic granules, fragments of corncob or walnut/coconut shells, or small segments of stainless steel wire often called "pins") to burnish the cases, and can be either a vibratory type ("dry tumbling") or a water/detergent-based rotary type ("wet tumbling"). In either type, when the cleaning is completed, a "media separator" is needed to sieve out and remove the abrasive media. In the "wet" rotary tumbling, a food dehydrator-like convection dryer is sometimes used to eliminate moisture retention that might later interfere with handloading. Case inspection — looking for cracks or other defects, and discard visibly imperfect cases. The interior may be inspected by a wire-feeler or feeler gage to detect emerging interior cracks. Bent case mouths may be repaired during resizing. Case lubrication — spraying surface lubricant on the exterior surface of the cases to prevent them getting stuck inside the die (carbide dies do not require lubrication). Resizing — modifying the shape of the case neck/shoulder and/or removing any dents and deformities. Reaming or swage crimping the primer pocket (reloading military cases only), or milling the primer pocket depth using a primer pocket uniformer tool Gauging and trimming — measuring the case length and remove excess length from the case neck (as needed; rarely required with handgun cases) Deburring and reaming — smoothing the case mouth edge (optional, as-needed; only trimmed cases need to be deburred); some benchrest shooters also do exterior neck turning at this stage in order to make the cartridge case have uniform thickness, so the bullet will be crimped and released with the most uniformity. Primer pocket cleaning and flash hole uniforming (optional) — the primer pockets and flash holes will have deposits from previous primer combustion, as well as occasional deformation, that need fixing; generally only benchrest shooters perform these. Expanding or chamfering the case mouth — to allow easier, smoother seating of the bullet before pressing (not required for boat-tailed bullets) Cleaning the lubricant off the cases Priming — seating a new primer into the case (primer pockets often become loose after multiple loadings; a lack of effort being required to seat new primers indicates a loose primer pocket; cases with loose primer pockets are usually discarded, after crushing the case to prevent its reuse) Powder charging — adding a measured amount of propellant powder into the case. This is a critical step, as incorrect powder charges are extremely dangerous, both undercharged (which can lead to a squib load) as well as overcharged (which can cause the gun to explode). Bullet seating — positioning the bullet in the case mouth for the correct cartridge overall length (OAL) and for aligning bullet cannelure (if present) with case mouth Crimping — Pressing and tightening the case mouth to fix the bullet in place; some may hold the bullet with neck tension alone. Final cartridge inspection When previously fired cases are used, they must be inspected before loading. Cases that are dirty or tarnished are often polished in a tumbler to remove oxidation and allow easier inspection of the case. Cleaning in a tumbler will also clean the interior of cases, which is often considered important for handloading high-precision target rounds. Cracked necks, non-reloadable cases (steel, aluminum, or Berdan primed cases), and signs of head separation are all reasons to reject a case. Cases are measured for length, and any that are over the recommended length are trimmed down to the minimum length. Competition shooters will also sort cases by brand and weight to ensure consistency. Removal of the primer, called decapping or depriming, is usually done with a die containing a steel pin that punches out the primer from inside the case. Berdan primed cases require a different technique, either a hydraulic ram or a hook that punctures the case and levers it out from the bottom. Military cases often have crimped-in primers, and decapping them leaves a slightly indented ring (most common) or, for some military cartridges, a set of stabbed ridges located on the edge of the primer pocket opening that inhibits or prevents seating a new primer into a decapped case. A reamer or a swage is used to remove both these styles of crimp, whether ring crimps or stab crimps. The purpose of all such primer crimps is to make military ammunition more reliable under more extreme environmental conditions. Some military cartridges also have sealants placed around primers, in addition to crimps, to provide additional protection against moisture intrusion that could deactivate the primer for any ammunition exposed to water under battlefield conditions. Decapping dies, though, easily overcome the additional resistance of sealed primers, with no significant difficulty beyond that encountered when removing non-sealed primers. When a cartridge is fired, the internal pressure expands the case to fit the chamber in a process called obturation. To allow ease of chambering the cartridge when it is reloaded, the case is swaged back to size. Competition shooters, using bolt-action rifles that are capable of camming a tight case into place, often resize only the neck of the cartridge, called neck sizing, as opposed to the normal full-length resizing process. Neck sizing is only useful for cartridges to be re-fired in the same firearm, as the brass may be slightly oversized in some dimensions for other chambers, but the precise fit of case to chamber will allow greater consistency and therefore greater potential accuracy. Some believe that neck sizing will permit a larger number of reloads with a given case in contrast to full size resizing, although this is controversial. Semi-automatic rifles and rifles with SAAMI minimum chamber dimensions often require a special small base resizing die, that sizes further down the case than normal dies, and allows for more reliable feeding. Once the case is sized down, the inside of the neck of the case will actually be slightly smaller than the bullet diameter. To allow the bullet to be seated, the end of the neck is slightly expanded to allow the bullet to start into the case. Boattailed bullets need very little expansion, while unjacketed lead bullets require more expansion to prevent shaving of lead when the bullet is seated. Priming the case is the most dangerous step of the loading process, since the primers are pressure-sensitive. The use of safety glasses or goggles during priming operations can provide valuable protection in the rare event that an accidental detonation takes place. Seating a Boxer primer not only places the primer in the case, it also seats the anvil of the primer down onto the priming compound, in effect arming the primer. A correctly seated primer will sit slightly below the surface of the case. A primer that protrudes from the case may cause a number of problems, including what is known as a slam fire, which is the firing of a case before the action is properly locked when chambering a round. This may either damage the gun, and/or injure the shooter. A protruding primer will also tend to hang when feeding, and the anvil will not be seated correctly so the primer may not fire when hit by the firing pin. Primer pockets may need to be cleaned with a primer pocket brush to remove deposits that prevent the primer from being properly seated. Berdan primers must also be seated carefully, and since the anvil is part of the case, the anvil must be inspected before the primer is seated. For reloading cartridges intended for use in military-surplus firearms, rifles especially, "hard" primers are most commonly used instead of commercial "soft" primers. The use of "hard" primers avoids slamfires when loading finished cartridges in the military-surplus firearm. Such primers are available to handloaders commercially. The quantity of gunpowder is specified by weight, but almost always measured by volume, especially in larger scale operations. A powder scale is needed to determine the correct mass thrown by the powder measure, as loads are specified with a precision of 0.10 grain (6.5 mg). One grain is 1/7000 of a pound. Competition shooters will generally throw a slightly underweight charge, and use a powder trickler to add few granules of powder at a time to the charge to bring it to the exact weight desired for maximum consistency. Special care is needed when charging large capacity cases with fast burning, low volume powders. In this instance, it is possible to put two charges of powder in a case without overflowing the case, which can lead to dangerously high pressures and a significant chance of bursting the chamber of the firearm. Non-magnum revolver cartridges are the easiest to do this with, as they generally have relatively large cases, and tend to perform well with small charges of fast powders. Some powders meter (measure by volume) better than others due to the shape of each granule. When using volume to meter each charge, it is important to regularly check the charge weight on a scale throughout the process. Competition shooters also often sort bullets by weight, often down to 0.10 grain (6.5 mg) increments. The bullet is placed in the case mouth by hand, and then seated with the press. At this point, the expanded case mouth is also sized back down. A crimp can optionally be added, either by the seating die or with a separate die. Taper crimps are used for cases that are held in the chamber by the case mouth, while roll crimps may be used for cases that headspace on a rim or on the cartridge neck. Roll crimps hold the bullet far more securely, and are preferred in situations, such as magnum revolvers, where recoil velocities are significant. A tight crimp also helps to delay the start of the bullet's motion, which can increase chamber pressures, and help develop full power from slower burning powders (see internal ballistics). Shotgun shells Unlike the presses used for reloading metallic cartridges, the presses used for reloading shotgun shells have become standardized to contain 5 stations, with the exact configuration of these 5 stations arranged either in a circle or in a straight row. Nonetheless, the operations performed using the industry-standard 5 station shotshell presses when handloading shotshells with birdshot, although slightly different, are very similar as to when reloading metallic cartridges: Selecting an appropriate charge bar and powder bushing, or charge bar with shot bushing and powder bushing, or a universal charge bar (if used) for measuring shot and powder, for the shotshell press. Verifying that all components are properly selected (hull, primer, powder, wad, and shot). (No substitutions are allowed in components, nor in charge weights of shot and powder. The only substitution allowed is in the brand of shot and the size of the shot (#8, #9, etc. Also, no substitutions are allowed in the shot material itself (whether it is lead shot, hevi-shot, steel shot, etc.), as the malleability of lead shot is noticeably different than steel.) Loading shot and powder in press, and verifying that the as-dropped weights are per an established, published, loading recipe using a calibrated scale. (Typically, 5 to 10 trials of shot and powder drops, each, are recommended by shotshell press or universal charge bar user manuals.) Adjusting bushings or universal charge bar settings to account for small differences in densities due to lot-to-lot variations in both powder and shot. Inspecting each hull. (Examining for cracks or other hull defects, and discarding any visibly imperfect hulls. Also, turning each hull upside down to remove any foreign object debris before depriming.) Removing the fired primer and sizing/resizing the brass outer diameter at the base of the hull (Station 1). Inserting a primer in the well of the press, and sizing/resizing the inner diameter of the hull while inserting a new primer (Station 2). Verifying primer is fully seated, not raised. If primer is not fully seated, re-running operation at Station 2 until primer is fully seated. Positioning primed hull (at Station 3), pulling handle down, toggling charge bar to drop measured amount of powder, raising handle, inserting wad, dropping handle again to seat wad, toggling charge bar to drop measured amount of shot, raising handle. Pre-crimping of shell (Station 4). Final crimping of shell (Station 5). Inspecting crimping on shell. If crimp is not fully flat, re-crimping (Station 5). Inspecting bottles of shot and powder on the shotshell press, adding more as needed before it runs out. Cutting open 4 or 5 shells randomly selected from a large lot of handloaded shells, respectively, and verifying that the as-thrown weights of powder and shot are both within desired tolerances of the published recipe that was followed. (Optional, but recommended.) The exact details for accomplishing these steps on particular shotshell presses vary depending on the brand of press, although the presence of 5 stations is standard among all modern presses. The use of safety glasses or goggles while reloading shotshells can provide valuable protection in the rare event that an accidental detonation takes place during priming operations. The quantities of both gunpowder and shot are specified by weight when loading shotshells, but almost always measured solely by volume. A powder scale is therefore needed to determine the correct mass thrown by the powder measure, and by the shot measure, as powder loads are specified with a precision of 0.10 grain (6.5 mg), but are usually thrown with a tolerance of 0.2 to 0.3 grains in most shot shell presses. Similarly, shot payloads in shells are generally held to within a tolerance of plus or minus 3-5 grains. One grain is 1/7000 of a pound. Shotshell reloading for specialty purposes, such as for buckshot or slugs, or other specialty rounds, is often practiced, but varies significantly from the process steps discussed previously for handloading birdshot shotshells. The primary difference is that large shot cannot be metered in a charge bar, and so must be manually dropped, a ball at a time, in a specific configuration. Likewise, the need for specialty wads or extra wads, in order to achieve the desired stackup distance to achieve a full and proper crimp for a fixed shell length, say 2-3/4", causes the steps to differ slightly when handloading such shells. Modern shotshells are all uniformly sized for Type 209 primers. However, reloaders should be aware that older shotshells were sometimes primed with a Type 57 or Type 69 primer (now obsolete), meaning that shotgun shell reloading tends to be done only with modern (or recently produced) components. Being essentially "published recipe" dependent, antique shotshell reloading is not widely practiced, being more of a specialty, or niche, activity. Of course, when reloading for very old shotguns, such as those with Damascus barrels, special shotshell recipes that limit pressures to less than 4500 psi are still available, and these "recipes" are reloaded by some shotgunning enthusiasts. Typical shotshell pressures for handloads intended for modern shotguns range from approximately 4700 psi to 10,000 psi. Brass shotshells are also reloaded, occasionally, but typically these are reloaded using standard rifle/pistol reloading presses with specialty dies, rather than with modern shotshell presses. Rather than plastic wads, traditional felt and paperboard wads are also generally used (both over powder and over shot) when reloading brass shotgun shells. Reloading brass shotshells is not widely practiced. Shotguns, in general, operate at much lower pressures than pistols and rifles, typically operating at pressures of 10,000 psi, or less, for 12 gauge shells, whereas rifles and pistols routinely are operated at pressures in excess of 35,000 psi, and sometimes upwards of 50,000 psi. The SAAMI maximum permitted pressure limit is only 11,500 psi for 12 gauge 2-3/4 inch shells, so the typical operating pressures for many shotgun shells are only slightly below the maximum permitted pressures allowed for safe ammunition. Because of this small difference in typical operating vs. maximum industry allowed pressures, and the fact that even small changes in components can cause pressure variances in excess of 4,000 psi, the components used in shotshell reloading must not be varied from published recipes, as the margin of safety relative to operating pressures for shotguns is much lower than for pistols and rifles. This lower operating pressure for shotguns and shells is also the reason why shotgun barrels have noticeably thinner walls than rifle and pistol barrels. Legal aspects Since many countries heavily restrict the civilian possession of ammunition and ammunition components, including primers and smokeless powder, handloading may be explicitly or implicitly illegal in certain countries. Even without specific restrictions on powder and primers, they may be covered under other laws governing explosive materials. Handloading may require study and passing an exam to acquire a handloading permit prior to being allowed to handload ammunition in some jurisdictions. This is done to avoid catastrophic accidents caused by lack of knowledge/skill as much as possible, and also allows the government to maintain information on who reloads their own cartridges. The standards organization C.I.P. rules that the products of handloaders that do not comply with the C.I.P. ammunition approval rules for commercial ammunition manufacturers cannot be legally sold in C.I.P. member states. Many firearms manufacturers explicitly advise against the use of handloaded ammunition. Generally, this means that the maker's warranty is void and the manufacturer not liable for any damage to the gun or personal injury if handloaded ammunition is used which exceeded established limits for a particular arm. This arises because firearm manufacturers point out that while they have some influence and scope for redress with ammunition manufacturers, they have no such influence over the actions of incompetent or overly ambitious individuals who assemble ammunition. United States In the United States, handloading is not only legal and requires no permit, but is also quite popular. Experts point to potential legal liabilities (depending on the jurisdiction) that the shooter may incur if using handloaded ammunition for defense, such as an implied malice on the part of the shooter, as the use of handloaded ammunition may give the impression that "regular bullets weren't deadly enough". Additionally, forensic reconstruction of a shooting relies on using identical ammunition from the manufacturer, where handloaded ammunition cannot be guaranteed identical to the ammunition used in the shooting, since "the defendant literally manufactured the evidence". In particular, powder residue patterning is used by law enforcement to validate the distance between the firearm and the person shot using known facts from the manufacturer about powder type, content, and other factors. Canada Handloading is legal in Canada. The Explosives Act places limits on the amount of powder (either smokeless or black) that may be stored in a building, on the manner in which it is stored, and on how much powder may be available for use at any time. The Act is the responsibility of Natural Resources Canada. If the quantity of powder stored for personal use exceeds 75 kg, then a Propellant Magazine Licence (Type P) is required. There is no limit on the number of primers that may be stored for non-commercial use. Germany As an example for a European country, handloading in Germany requires a course, terminated in an exam, in handloading and handling of explosive propellants; often, this is offered in combination with a course and exam in muzzle-loading and black powder-shooting. The State's Ministry of the Interior conducts the exam. When passed and the reloader can provide a reason for his will to reload ("Bedürfnisprüfung"), he can apply for a permit to a quota of propellant for five years (after which time he has to extend the permit). Every propellant is recorded into the permit. Primers, cartridges, bullets and reloading equipment are available without permit. As German law gives maximum pressures for every commercial caliber, the handloader is allowed to non-commercially give away his ammunition. He is liable for incorrect loading. His references are data-books by propellant manufacturers (like RWS), bullet manufacturers (like Speer), reloading tool manufacturers (like Lyman) or neutral manufacturers institutions like the DEVA. Firearms manufacturers give guarantee as long as the handloaded ammunition is within the correct parameters. The relevant rules for non commercial application can be found in §27 of the Explosives Act ("Sprengstoffgesetz"). In order to investigate gun destruction – material fault or incorrectly loaded ammunition – , and for handloaders to get data for new loads, gun and/or handloaded cartridges can be sent to the DEVA institute (German institute for testing and examining of hunting and sporting guns); the DEVA returns a pressure diagram and a report whether this load is within legal range for this ammunition. South Africa Hand loading or reloading is allowed in South Africa as long as you are in possession of a competency certificate to possess a firearm as well as a license to possess such a firearm. Sport shooters load to make the shooting sports more affordable and hunters load to obtain greater accuracy. Powder and primers are strictly controlled by law and can not exceed for 2 kg for powder and 2400 primers. The amount of ammunition you may have in your possession is also limited to 200 rounds per chambering. If you are a registered dedicated sportsman, the quantities are unlimited. Although the powder's quantity is unlimited if you are a dedicated sportsman, storage of excess amounts of powder is dangerous due to the potential of fire occurring from accidental ignition. A manual from a South African powder manufacturer Rheinmetall Denel Munition (previously Somchem) is available for reloaders with adequate information and guidelines. Atypical handloading Berdan primers, with their off-center flash holes and lack of self-contained anvil, are more difficult to work with than the easily removed Boxer primers. The primers may be punctured and pried out from the rear, or extracted with hydraulic pressure. Primers must be selected carefully, as there are more sizes of Berdan primers than the standard large and small pistol, large and small rifle of Boxer primers. The case must also be inspected carefully to make sure the anvil has not been damaged, because this could result in a failure to fire. Rimfire cartridges (e.g. 22 Long Rifle) are not generally hand-loaded in modern times, although there are some shooters that unload commercial rimfire cartridges, and use the primed case to make their own loads, or to generate special rimfire wildcat cartridges. These cartridges are highly labor-intensive to produce. Historically, liquid priming material was available for reloading rimfire ammunition, but the extreme explosive hazard of bulk primer compound and complexity of the process (including "ironing out" the firing pin strike) caused the practice to decline. Some shooters desiring to reload for obsolete rimfire cartridges alter the firearm in question to function as a centerfire, which allows them to reload. Often it is possible to reform cases from similarly sized ammunition which is in production, and this is the most economical way of obtaining brass for obscure or out of production calibers. Even if custom brass must be manufactured, this is often far less expensive than purchasing rare, out of production ammunition. Cartridges like the 56-50 Spencer, for example, are not readily obtainable in rimfire form, but can be made from shortened 50-70 cartridges or even purchased in loaded form from specialty dealers. An unusual solution to the problem of obtaining ammunition for the very old pinfire cartridges is even available. This solution uses specialized cartridges that use a removable pin and anvil which hold a percussion cap of the type use in caplock firearms. To reload a fired case, the pin is removed, allowing the anvil to slide out; a percussion cap is placed in the anvil, it is re-inserted, and the pin serves to lock the anvil in place, as well as to ignite the percussion cap. Shotshell reloading is sometimes done for scatter shot loads, consisting of multiple wads separating groups of shot, which are intended for use at short distance hunting of birds. Similarly, shotshell reloading for buck shot loads and non-lethal "bean bag" loads are sometimes handloaded. These types of shotshells are rarely handloaded. Accuracy considerations Precision and consistency are key to developing accurate ammunition. Various methods are used to ensure that ammunition components are as consistent as possible. Since the firearm is also a variable in the accuracy equation, careful tuning of the load to a particular firearm can yield significant accuracy improvements. Cases The internal volume of the cartridge case, or case capacity, significantly affects the pressure developed during ignition, which significantly affects the velocity of the bullet. Cases from different manufacturers can vary in wall thickness, and as cases are repeatedly fired and reloaded the brass flows up to the neck and is trimmed off, increasing capacity as well as weakening the case. The first step to ensuring consistent case capacity is sorting the cases by headstamp, so each lot of cases is from the same manufacturer and/or year. A further step would be to then weigh these cases, and sort
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excessive thinning of the wall thickness of the brass case due to case stretching, is to use what is called a "headspace gauge". Contrary to its name, it does not actually measure a rifle's headspace. Rather, it measures the distance from the head of the cartridge to the middle of the shoulder of the bottleneck cartridge case. For semi-automatic and automatic rifles, customary practice is to move the midpoint of this shoulder back by no more than 0.005 inches, for reliable operation, when resizing the case. For bolt-action rifles, with their additional camming action, customary practice is to move this shoulder back by only 0.001 to 0.002 inches when resizing the case. In contrast to full-length resizing of bottleneck rifle cartridges, which can rapidly thin out the wall thickness of bottleneck rifle cartridges due to case stretching that occurs each time when fired, partial length re-sizing of the bottleneck case that pushes shoulders back only a few thousandths of an inch will often permit a case to be safely reloaded 5 times or more, even up to 10 times, or more for very light loads. Similarly, by using modified case gauges, it is possible to measure precisely the distance from a bullet ogive to the start of rifling in a particular rifle for a given bottleneck cartridge. Maximum accuracy for a rifle is often found to occur for only one particular fixed distance from the start of rifling in a bore to a datum line on a bullet ogive. Measuring the overall cartridge length does not permit setting such fixed distances accurately, as different bullets from different manufacturers will often have a different ogive shape. It is only by measuring from a fixed diameter point on a bullet ogive to the start of a bore's rifling that a proper spacing can be determined to maximize accuracy. A modified case gauge can provide the means by which to achieve an improvement in accuracy with precision handloads. Such head space gauges and modified case gauges can, respectively, permit greatly increasing the number of times a rifle bottleneck case can be reloaded safely, as well as to improve greatly the accuracy of such handloads. Unlike the situation with using expensive factory ammunition, handloaded match ammunition can be made that is vastly more accurate, and, through reloading, that can be much more affordable than anything that can be purchased, being customized for a particular rifle. Materials required The following materials are needed for handloading ammunition: Cases or shotshell hulls. For shotshells, plastic or paper cases can be reloaded, though plastic is more durable. Steel and aluminum cases do not have the correct qualities for reloading, so a brass case is essential (although nickel-plated brass cases, while not as reformable as plain brass, can also be reloaded) Propellant of an appropriate type. Generally, handgun cartridges (due to shorter barrels) and shotshells (due to heavier projectile weights) use faster burning smokeless powders, and rifle cartridges use slower burning powder. Powder is generally of the "smokeless" type in modern cartridges, although on occasion the older black powder more commonly known as "gunpowder" may be used. Projectiles, such as bullets for handguns and rifles, or shot and wads for shotguns. Centerfire primers, most commonly a Boxer-type. Case lubrication may also be needed depending on the dies used. Carbide pistol dies do not require case lubricant. For this reason, they are preferred by many, being inherently less messy in operation. In contrast, all dies for bottleneck cartridges, whether made of high strength steel or carbide, and steel dies for pistol do require the use of a case lubricant to prevent having a case become stuck in a die. (In the event that a case does ever become stuck in a die, there are stuck case remover tools that are available to remove a stuck case from the die, albeit at the loss of the particular case that became stuck.) Reloading process Pistol/Rifle cartridges The operations performed when handloading cartridges are: Depriming — the removal of any old, expended primers from previously fired cases. Usually done with a thin rod that is inserted into the flash hole via the case mouth and push out the primer from inside. Case cleaning — removal of foulings and tarnishes from the cases, optional but recommended for reused rifle or pistol cases. Cleaning can be done with an ultrasonic cleaner, or more commonly with a mass finishing device known as a "case tumbler". Tumblers use abrasive granules known as tumbling media (which can be stone or ceramic granules, fragments of corncob or walnut/coconut shells, or small segments of stainless steel wire often called "pins") to burnish the cases, and can be either a vibratory type ("dry tumbling") or a water/detergent-based rotary type ("wet tumbling"). In either type, when the cleaning is completed, a "media separator" is needed to sieve out and remove the abrasive media. In the "wet" rotary tumbling, a food dehydrator-like convection dryer is sometimes used to eliminate moisture retention that might later interfere with handloading. Case inspection — looking for cracks or other defects, and discard visibly imperfect cases. The interior may be inspected by a wire-feeler or feeler gage to detect emerging interior cracks. Bent case mouths may be repaired during resizing. Case lubrication — spraying surface lubricant on the exterior surface of the cases to prevent them getting stuck inside the die (carbide dies do not require lubrication). Resizing — modifying the shape of the case neck/shoulder and/or removing any dents and deformities. Reaming or swage crimping the primer pocket (reloading military cases only), or milling the primer pocket depth using a primer pocket uniformer tool Gauging and trimming — measuring the case length and remove excess length from the case neck (as needed; rarely required with handgun cases) Deburring and reaming — smoothing the case mouth edge (optional, as-needed; only trimmed cases need to be deburred); some benchrest shooters also do exterior neck turning at this stage in order to make the cartridge case have uniform thickness, so the bullet will be crimped and released with the most uniformity. Primer pocket cleaning and flash hole uniforming (optional) — the primer pockets and flash holes will have deposits from previous primer combustion, as well as occasional deformation, that need fixing; generally only benchrest shooters perform these. Expanding or chamfering the case mouth — to allow easier, smoother seating of the bullet before pressing (not required for boat-tailed bullets) Cleaning the lubricant off the cases Priming — seating a new primer into the case (primer pockets often become loose after multiple loadings; a lack of effort being required to seat new primers indicates a loose primer pocket; cases with loose primer pockets are usually discarded, after crushing the case to prevent its reuse) Powder charging — adding a measured amount of propellant powder into the case. This is a critical step, as incorrect powder charges are extremely dangerous, both undercharged (which can lead to a squib load) as well as overcharged (which can cause the gun to explode). Bullet seating — positioning the bullet in the case mouth for the correct cartridge overall length (OAL) and for aligning bullet cannelure (if present) with case mouth Crimping — Pressing and tightening the case mouth to fix the bullet in place; some may hold the bullet with neck tension alone. Final cartridge inspection When previously fired cases are used, they must be inspected before loading. Cases that are dirty or tarnished are often polished in a tumbler to remove oxidation and allow easier inspection of the case. Cleaning in a tumbler will also clean the interior of cases, which is often considered important for handloading high-precision target rounds. Cracked necks, non-reloadable cases (steel, aluminum, or Berdan primed cases), and signs of head separation are all reasons to reject a case. Cases are measured for length, and any that are over the recommended length are trimmed down to the minimum length. Competition shooters will also sort cases by brand and weight to ensure consistency. Removal of the primer, called decapping or depriming, is usually done with a die containing a steel pin that punches out the primer from inside the case. Berdan primed cases require a different technique, either a hydraulic ram or a hook that punctures the case and levers it out from the bottom. Military cases often have crimped-in primers, and decapping them leaves a slightly indented ring (most common) or, for some military cartridges, a set of stabbed ridges located on the edge of the primer pocket opening that inhibits or prevents seating a new primer into a decapped case. A reamer or a swage is used to remove both these styles of crimp, whether ring crimps or stab crimps. The purpose of all such primer crimps is to make military ammunition more reliable under more extreme environmental conditions. Some military cartridges also have sealants placed around primers, in addition to crimps, to provide additional protection against moisture intrusion that could deactivate the primer for any ammunition exposed to water under battlefield conditions. Decapping dies, though, easily overcome the additional resistance of sealed primers, with no significant difficulty beyond that encountered when removing non-sealed primers. When a cartridge is fired, the internal pressure expands the case to fit the chamber in a process called obturation. To allow ease of chambering the cartridge when it is reloaded, the case is swaged back to size. Competition shooters, using bolt-action rifles that are capable of camming a tight case into place, often resize only the neck of the cartridge, called neck sizing, as opposed to the normal full-length resizing process. Neck sizing is only useful for cartridges to be re-fired in the same firearm, as the brass may be slightly oversized in some dimensions for other chambers, but the precise fit of case to chamber will allow greater consistency and therefore greater potential accuracy. Some believe that neck sizing will permit a larger number of reloads with a given case in contrast to full size resizing, although this is controversial. Semi-automatic rifles and rifles with SAAMI minimum chamber dimensions often require a special small base resizing die, that sizes further down the case than normal dies, and allows for more reliable feeding. Once the case is sized down, the inside of the neck of the case will actually be slightly smaller than the bullet diameter. To allow the bullet to be seated, the end of the neck is slightly expanded to allow the bullet to start into the case. Boattailed bullets need very little expansion, while unjacketed lead bullets require more expansion to prevent shaving of lead when the bullet is seated. Priming the case is the most dangerous step of the loading process, since the primers are pressure-sensitive. The use of safety glasses or goggles during priming operations can provide valuable protection in the rare event that an accidental detonation takes place. Seating a Boxer primer not only places the primer in the case, it also seats the anvil of the primer down onto the priming compound, in effect arming the primer. A correctly seated primer will sit slightly below the surface of the case. A primer that protrudes from the case may cause a number of problems, including what is known as a slam fire, which is the firing of a case before the action is properly locked when chambering a round. This may either damage the gun, and/or injure the shooter. A protruding primer will also tend to hang when feeding, and the anvil will not be seated correctly so the primer may not fire when hit by the firing pin. Primer pockets may need to be cleaned with a primer pocket brush to remove deposits that prevent the primer from being properly seated. Berdan primers must also be seated carefully, and since the anvil is part of the case, the anvil must be inspected before the primer is seated. For reloading cartridges intended for use in military-surplus firearms, rifles especially, "hard" primers are most commonly used instead of commercial "soft" primers. The use of "hard" primers avoids slamfires when loading finished cartridges in the military-surplus firearm. Such primers are available to handloaders commercially. The quantity of gunpowder is specified by weight, but almost always measured by volume, especially in larger scale operations. A powder scale is needed to determine the correct mass thrown by the powder measure, as loads are specified with a precision of 0.10 grain (6.5 mg). One grain is 1/7000 of a pound. Competition shooters will generally throw a slightly underweight charge, and use a powder trickler to add few granules of powder at a time to the charge to bring it to the exact weight desired for maximum consistency. Special care is needed when charging large capacity cases with fast burning, low volume powders. In this instance, it is possible to put two charges of powder in a case without overflowing the case, which can lead to dangerously high pressures and a significant chance of bursting the chamber of the firearm. Non-magnum revolver cartridges are the easiest to do this with, as they generally have relatively large cases, and tend to perform well with small charges of fast powders. Some powders meter (measure by volume) better than others due to the shape of each granule. When using volume to meter each charge, it is important to regularly check the charge weight on a scale throughout the process. Competition shooters also often sort bullets by weight, often down to 0.10 grain (6.5 mg) increments. The bullet is placed in the case mouth by hand, and then seated with the press. At this point, the expanded case mouth is also sized back down. A crimp can optionally be added, either by the seating die or with a separate die. Taper crimps are used for cases that are held in the chamber by the case mouth, while roll crimps may be used for cases that headspace on a rim or on the cartridge neck. Roll crimps hold the bullet far more securely, and are preferred in situations, such as magnum revolvers, where recoil velocities are significant. A tight crimp also helps to delay the start of the bullet's motion, which can increase chamber pressures, and help develop full power from slower burning powders (see internal ballistics). Shotgun shells Unlike the presses used for reloading metallic cartridges, the presses used for reloading shotgun shells have become standardized to contain 5 stations, with the exact configuration of these 5 stations arranged either in a circle or in a straight row. Nonetheless, the operations performed using the industry-standard 5 station shotshell presses when handloading shotshells with birdshot, although slightly different, are very similar as to when reloading metallic cartridges: Selecting an appropriate charge bar and powder bushing, or charge bar with shot bushing and powder bushing, or a universal charge bar (if used) for measuring shot and powder, for the shotshell press. Verifying that all components are properly selected (hull, primer, powder, wad, and shot). (No substitutions are allowed in components, nor in charge weights of shot and powder. The only substitution allowed is in the brand of shot and the size of the shot (#8, #9, etc. Also, no substitutions are allowed in the shot material itself (whether it is lead shot, hevi-shot, steel shot, etc.), as the malleability of lead shot is noticeably different than steel.) Loading shot and powder in press, and verifying that the as-dropped weights are per an established, published, loading recipe using a calibrated scale. (Typically, 5 to 10 trials of shot and powder drops, each, are recommended by shotshell press or universal charge bar user manuals.) Adjusting bushings or universal charge bar settings to account for small differences in densities due to lot-to-lot variations in both powder and shot. Inspecting each hull. (Examining for cracks or other hull defects, and discarding any visibly imperfect hulls. Also, turning each hull upside down to remove any foreign object debris before depriming.) Removing the fired primer and sizing/resizing the brass outer diameter at the base of the hull (Station 1). Inserting a primer in the well of the press, and sizing/resizing the inner diameter of the hull while inserting a new primer (Station 2). Verifying primer is fully seated, not raised. If primer is not fully seated, re-running operation at Station 2 until primer is fully seated. Positioning primed hull (at Station 3), pulling handle down, toggling charge bar to drop measured amount of powder, raising handle, inserting wad, dropping handle again to seat wad, toggling charge bar to drop measured amount of shot, raising handle. Pre-crimping of shell (Station 4). Final crimping of shell (Station 5). Inspecting crimping on shell. If crimp is not fully flat, re-crimping (Station 5). Inspecting bottles of shot and powder on the shotshell press, adding more as needed before it runs out. Cutting open 4 or 5 shells randomly selected from a large lot of handloaded shells, respectively, and verifying that the as-thrown weights of powder and shot are both within desired tolerances of the published recipe that was followed. (Optional, but recommended.) The exact details for accomplishing these steps on particular shotshell presses vary depending on the brand of press, although the presence of 5 stations is standard among all modern presses. The use of safety glasses or goggles while reloading shotshells can provide valuable protection in the rare event that an accidental detonation takes place during priming operations. The quantities of both gunpowder and shot are specified by weight when loading shotshells, but almost always measured solely by volume. A powder scale is therefore needed to determine the correct mass thrown by the powder measure, and by the shot measure, as powder loads are specified with a precision of 0.10 grain (6.5 mg), but are usually thrown with a tolerance of 0.2 to 0.3 grains in most shot shell presses. Similarly, shot payloads in shells are generally held to within a tolerance of plus or minus 3-5 grains. One grain is 1/7000 of a pound. Shotshell reloading for specialty purposes, such as for buckshot or slugs, or other specialty rounds, is often practiced, but varies significantly from the process steps discussed previously for handloading birdshot shotshells. The primary difference is that large shot cannot be metered in a charge bar, and so must be manually dropped, a ball at a time, in a specific configuration. Likewise, the need for specialty wads or extra wads, in order to achieve the desired stackup distance to achieve a full and proper crimp for a fixed shell length, say 2-3/4", causes the steps to differ slightly when handloading such shells. Modern shotshells are all uniformly sized for Type 209 primers. However, reloaders should be aware that older shotshells were sometimes primed with a Type 57 or Type 69 primer (now obsolete), meaning that shotgun shell reloading tends to be done only with modern (or recently produced) components. Being essentially "published recipe" dependent, antique shotshell reloading is not widely practiced, being more of a specialty, or niche, activity. Of course, when reloading for very old shotguns, such as those with Damascus barrels, special shotshell recipes that limit pressures to less than 4500 psi are still available, and these "recipes" are reloaded by some shotgunning enthusiasts. Typical shotshell pressures for handloads intended for modern shotguns range from approximately 4700 psi to 10,000 psi. Brass shotshells are also reloaded, occasionally, but typically these are reloaded using standard rifle/pistol reloading presses with specialty dies, rather than with modern shotshell presses. Rather than plastic wads, traditional felt and paperboard wads are also generally used (both over powder and over shot) when reloading brass shotgun shells. Reloading brass shotshells is not widely practiced. Shotguns, in general, operate at much lower pressures than pistols and rifles, typically operating at pressures of 10,000 psi, or less, for 12 gauge shells, whereas rifles and pistols routinely are operated at pressures in excess of 35,000 psi, and sometimes upwards of 50,000 psi. The SAAMI maximum permitted pressure limit is only 11,500 psi for 12 gauge 2-3/4 inch shells, so the typical operating pressures for many shotgun shells are only slightly below the maximum permitted pressures allowed for safe ammunition. Because of this small difference in typical operating vs. maximum industry allowed pressures, and the fact that even small changes in components can cause pressure variances in excess of 4,000 psi, the components used in shotshell reloading must not be varied from published recipes, as the margin of safety relative to operating pressures for shotguns is much lower than for pistols and rifles. This lower operating pressure for shotguns and shells is also the reason why shotgun barrels have noticeably thinner walls than rifle and pistol barrels. Legal aspects Since many countries heavily restrict the civilian possession of ammunition and ammunition components, including primers and smokeless powder, handloading may be explicitly or implicitly illegal in certain countries. Even without specific restrictions on powder and primers, they may be covered under other laws governing explosive materials. Handloading may require study and passing an exam to acquire a handloading permit prior to being allowed to handload ammunition in some jurisdictions. This is done to
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consequentially fired following a disappointing loss to the Minnesota Vikings in Week 4. Romeo Crennel, who was the head coach of the Cleveland Browns from 2005 to 2008 and of the Kansas City Chiefs in 2011-12, was named the interim head coach for the remainder of the season. Crennel managed to win more than half of his first 7 games as Houston's head coach, giving Houston a record of 4-7. However, the Texans ended the season on a 5-game losing streak. With a final record of 4-12, the Texans were unable to make the playoffs. On January 27, 2021, the Texans hired David Culley as the team's head coach. Culley most recently worked as the Baltimore Ravens assistant head coach, wide receivers coach and passing game coordinator. On February 12, 2021, the Texans released all-pro defensive end J.J. Watt. It was confirmed that Watt personally requested owner Cal McNair for his release. On January 13, 2022, the Texans fired David Culley as the team's head coach On February 7, 2022, the Texans promoted defensive coordinator Lovie Smith as the team's 5th Head coach. Team identity Team Name On March 2, 2000, Houston NFL 2002 announced that the team name search had been narrowed down to five choices: Apollos, Bobcats, Stallions, Texans, and Wildcatters. The list of names was determined after several months of research conducted jointly by Houston NFL 2002 and NFL Properties. An online survey regarding the name generated more than 65,000 responses in just seven days. On September 6, 2000, the NFL's 32nd franchise was officially christened the Houston Texans before thousands at a downtown rally in Houston. McNair explained that the name and logo were chosen to "embody the pride, strength, independence and achievement that make the people of Houston and our area special." The name "Texans" had been used by several now-defunct football teams, including the Canadian Football League franchise in San Antonio; the World Football League franchise in Houston, which moved to Louisiana to become the Shreveport Steamer; the Dallas Texans of the NFL which played in only the 1952 season; and by the precursor of the present-day Kansas City Chiefs, when they were the second incarnation of the Dallas Texans in the American Football League (AFL). Owner Bob McNair received permission from Chiefs' owner Lamar Hunt to use the Texans name for his new team. Logo and uniforms Along with the team name, McNair unveiled the team logo, an abstract depiction of a bull's head, split in such a way to resemble the flag of Texas and the state of Texas, including a lone star to stand for the eye, the five points of which representing pride, courage, strength, tradition and independence. McNair described the colors as "Deep Steel Blue", "Battle Red" and "Liberty White". A year later the Texans unveiled their uniforms during another downtown rally. The Texans' helmet is dark blue with the Texans bull logo. The helmet was initially white when the team name and logo were unveiled, but was later changed to dark blue. The uniform design consists of red trim and either dark blue or white jerseys. The team typically wears white pants with its blue jerseys and blue pants with its white jerseys. Starting with the 2006 season, the Texans wore all-white for their home opener, and the team began to wear an all-blue combination for home games vs. the Indianapolis Colts. In 2003, the Texans introduced an alternative red jersey with blue trim; they wear this jersey at one home game each year, usually against a division rival. In 2007, the Texans introduced red pants for the first time, pairing them with the red jerseys for an all-red look. (This uniform combination was not well-received and has since been retired). In October 2008 the Texans paired blue socks (instead of the traditional red) with their blue pants and white jerseys. In 2016, the Texans unveiled a new uniform combo against the Jacksonville Jaguars, pairing the red jersey with blue pants and red socks. In 2017, the Texans wear the color rush uniform with all-navy blue. In 2002, the team wore a patch commemorating their inaugural season. Also, they celebrated 10 years as a franchise by wearing an anniversary patch throughout 2012. From 2018 to 2019, the Texans wore a memorial patch to honor the late Bob McNair. Mascots and cheerleaders The team's official mascot is Toro, an anthropomorphic blue bull. The team also has a cheerleading squad simply named the Houston Texans Cheerleaders. Rivalries The Texans are the youngest expansion team in the NFL, having only been competing in the NFL since 2002. For that reason, they have not had the history or the reputation on which to build classic rivalries like the ones that often exist between older franchises. Despite this, the team has developed some rivalries. Its natural rivals are its fellow AFC South teams such as the Tennessee Titans, Jacksonville Jaguars, and Indianapolis Colts. Tennessee Titans The Tennessee Titans, who were formerly the Houston Oilers before their relocation in 1996, are viewed by many Houston fans as the Texans' chief rival as members of the AFC South. Indianapolis Colts The Texans also have an AFC South Division rivalry with the Indianapolis Colts, whom the Texans had never defeated in Indianapolis until the 2015 season. More recently, Houston has increased bitterness with the Indianapolis Colts due to their young Houston-native quarterback Andrew Luck having been drafted by the Colts in 2012 and the franchise's first ever sweep of the Colts against Luck in 2016. In 2018 the two teams met in the AFC Wild Card Playoffs, with the Colts winning 21–7. Dallas Cowboys The Texans also have an intrastate/interconference rivalry with the Dallas Cowboys, with whom they contest the so-called Governor's Cup every year (a tradition started between the cities prior to the Oilers relocating) either in the preseason or the regular season for bragging rights in the state of Texas. In 2017, the destruction and flooding caused during Hurricane Harvey a few days before their Week 4 pre-season match up time scheduled caused the game to be relocated to AT&T Stadium in Arlington, Texas. However, out of concern for the safety of the fans and the condition of the player's families & communities, the game was canceled. Players of note Current roster NFL Draft history First-round draft picks by year Awards and honors Ring of Honor On November 19, 2017, Andre Johnson was the first-ever inductee into the Texans Ring of Honor. On October 6, 2019, Bob McNair was posthumously the second inductee into the Texans Ring of Honor. Pro Football Hall of Famers Head coaches Current staff Traditions Battle Red Day – On Battle Red Day the team wears the red alternate jerseys and fans are encouraged to wear red to the game. Starting in 2007 and including 2008, this included the Texans wearing red pants along with the red jerseys. Bull Pen – The sections behind the north end zone of NRG/Reliant Stadium are known as the Bull Pen. Some of the most avid Texans fans attend games in the Bull Pen and regular members have helped create and implement fan traditions, songs and chants, such as: Holding up giant Texans jerseys while the visiting team's players are announced Turning their backs on the opposing team after they score Tailgating in the purple lot, the parking zone with the most barbecue for sale by fans and vendors Gathering as a group for tailgating in the NW corner of the Platinum Lot of Reliant Stadium at the "Blue Crew" tailgate and conducting the Bull Pen Toast every game approximately an hour and a half prior to kickoff Walking in the HEB Holiday Parade on Thanksgiving Day Visiting the Bull Pen Pub for TORO Wraps, cheerleader autographs and to listen and dance with
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Culley as the team's head coach. Culley most recently worked as the Baltimore Ravens assistant head coach, wide receivers coach and passing game coordinator. On February 12, 2021, the Texans released all-pro defensive end J.J. Watt. It was confirmed that Watt personally requested owner Cal McNair for his release. On January 13, 2022, the Texans fired David Culley as the team's head coach On February 7, 2022, the Texans promoted defensive coordinator Lovie Smith as the team's 5th Head coach. Team identity Team Name On March 2, 2000, Houston NFL 2002 announced that the team name search had been narrowed down to five choices: Apollos, Bobcats, Stallions, Texans, and Wildcatters. The list of names was determined after several months of research conducted jointly by Houston NFL 2002 and NFL Properties. An online survey regarding the name generated more than 65,000 responses in just seven days. On September 6, 2000, the NFL's 32nd franchise was officially christened the Houston Texans before thousands at a downtown rally in Houston. McNair explained that the name and logo were chosen to "embody the pride, strength, independence and achievement that make the people of Houston and our area special." The name "Texans" had been used by several now-defunct football teams, including the Canadian Football League franchise in San Antonio; the World Football League franchise in Houston, which moved to Louisiana to become the Shreveport Steamer; the Dallas Texans of the NFL which played in only the 1952 season; and by the precursor of the present-day Kansas City Chiefs, when they were the second incarnation of the Dallas Texans in the American Football League (AFL). Owner Bob McNair received permission from Chiefs' owner Lamar Hunt to use the Texans name for his new team. Logo and uniforms Along with the team name, McNair unveiled the team logo, an abstract depiction of a bull's head, split in such a way to resemble the flag of Texas and the state of Texas, including a lone star to stand for the eye, the five points of which representing pride, courage, strength, tradition and independence. McNair described the colors as "Deep Steel Blue", "Battle Red" and "Liberty White". A year later the Texans unveiled their uniforms during another downtown rally. The Texans' helmet is dark blue with the Texans bull logo. The helmet was initially white when the team name and logo were unveiled, but was later changed to dark blue. The uniform design consists of red trim and either dark blue or white jerseys. The team typically wears white pants with its blue jerseys and blue pants with its white jerseys. Starting with the 2006 season, the Texans wore all-white for their home opener, and the team began to wear an all-blue combination for home games vs. the Indianapolis Colts. In 2003, the Texans introduced an alternative red jersey with blue trim; they wear this jersey at one home game each year, usually against a division rival. In 2007, the Texans introduced red pants for the first time, pairing them with the red jerseys for an all-red look. (This uniform combination was not well-received and has since been retired). In October 2008 the Texans paired blue socks (instead of the traditional red) with their blue pants and white jerseys. In 2016, the Texans unveiled a new uniform combo against the Jacksonville Jaguars, pairing the red jersey with blue pants and red socks. In 2017, the Texans wear the color rush uniform with all-navy blue. In 2002, the team wore a patch commemorating their inaugural season. Also, they celebrated 10 years as a franchise by wearing an anniversary patch throughout 2012. From 2018 to 2019, the Texans wore a memorial patch to honor the late Bob McNair. Mascots and cheerleaders The team's official mascot is Toro, an anthropomorphic blue bull. The team also has a cheerleading squad simply named the Houston Texans Cheerleaders. Rivalries The Texans are the youngest expansion team in the NFL, having only been competing in the NFL since 2002. For that reason, they have not had the history or the reputation on which to build classic rivalries like the ones that often exist between older franchises. Despite this, the team has developed some rivalries. Its natural rivals are its fellow AFC South teams such as the Tennessee Titans, Jacksonville Jaguars, and Indianapolis Colts. Tennessee Titans The Tennessee Titans, who were formerly the Houston Oilers before their relocation in 1996, are viewed by many Houston fans as the Texans' chief rival as members of the AFC South. Indianapolis Colts The Texans also have an AFC South Division rivalry with the Indianapolis Colts, whom the Texans had never defeated in Indianapolis until the 2015 season. More recently, Houston has increased bitterness with the Indianapolis Colts due to their young Houston-native quarterback Andrew Luck having been drafted by the Colts in 2012 and the franchise's first ever sweep of the Colts against Luck in 2016. In 2018 the two teams met in the AFC Wild Card Playoffs, with the Colts winning 21–7. Dallas Cowboys The Texans also have an intrastate/interconference rivalry with the Dallas Cowboys, with whom they contest the so-called Governor's Cup every year (a tradition started between the cities prior to the Oilers relocating) either in the preseason or the regular season for bragging rights in the state of Texas. In 2017, the destruction and flooding caused during Hurricane Harvey a few days before their Week 4 pre-season match up time scheduled caused the game to be relocated to AT&T Stadium in Arlington, Texas. However, out of concern for the safety of the fans and the condition of the player's families & communities, the game was canceled. Players of note Current roster NFL Draft history First-round draft picks by year Awards and honors Ring of Honor On November 19, 2017, Andre Johnson was the first-ever inductee into the Texans Ring of Honor. On October 6, 2019, Bob McNair was posthumously the second inductee into the Texans Ring of Honor. Pro Football Hall of Famers Head coaches Current staff Traditions Battle Red Day – On Battle Red Day the team wears the red alternate jerseys and fans are encouraged to wear red to the game. Starting in 2007 and including 2008, this included the Texans wearing red pants along with the red jerseys. Bull Pen – The sections behind the north end zone of NRG/Reliant Stadium are known as the Bull Pen. Some of the most avid Texans fans attend games in the Bull Pen and regular members have helped create and implement fan traditions, songs and chants, such as: Holding up giant Texans jerseys while the visiting team's players are announced Turning their backs on the opposing team after they score Tailgating in the purple lot, the parking zone with the most barbecue for sale by fans and vendors Gathering as a group for tailgating in the NW corner of the Platinum Lot of Reliant Stadium at the "Blue Crew" tailgate and conducting the Bull Pen Toast every game approximately an hour and a half prior to kickoff Walking in the HEB Holiday Parade on Thanksgiving Day Visiting the Bull Pen Pub for TORO Wraps, cheerleader autographs and to listen and dance with the Bull Pen Pep Band Bull Pen Pep Band – 45-member musical group that performs at all Houston Texans home games. Pre-Kickoff Tradition – Before each kickoff at a home game, the Texans will run a short clip of a raging bull thrashing the opponent of the week. The video is paired with the AC/DC song "Thunderstruck". Player Introduction – When the players are introduced before the game,
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1759; and the Battle of Quiberon Bay on 20 November 1759. The last battle foiled a French invasion project planned by the Duc de Choiseul to defeat Britain during the Seven Years' War, hence the reference in the song to 'flat-bottom' invasion barges. These victories were followed a few months later by the Battle of Wandiwash in India on 22 January 1760. Britain's continued success in the war boosted the song's popularity. The oak in the song's title refers to the wood from which British warships were generally made during the age of sail. The "Heart of oak" is the strongest central wood of the tree. The reference to "freemen not slaves" echoes the refrain ("Britons never will be slaves!") of Rule, Britannia!, written and composed two decades earlier. Lyrics Original The song was written for the London stage in 1759 by William Boyce with words by David Garrick: Come cheer up, my lads! 'tis to glory we steer, To add something more to this wonderful year; To honour we call you, not press you like slaves, For who are so free as the sons of the waves? Chorus: Heart of oak are our ships, heart of oak are our men; We always are ready, steady, boys, steady! We'll fight and we'll conquer again and again. Amended words Come, cheer up, my lads, 'tis to glory we steer, To add something new to this wonderful year; To honour we call you, as freemen not slaves, For who are so free as the sons of the waves? Chorus: Heart of Oak are our ships, Jolly Tars are our men, We always are ready: Steady, boys, Steady! We'll fight and we'll conquer again and again. We ne'er see our foes but we wish them to stay, They never see us but they wish us away; If they run, why we follow, and run them ashore, For if they won't fight us, what can we do more? (Chorus) They say they'll invade us, these terrible foes, They frighten our women, our children, our beaus, But if they in their flat-bottoms, in darkness set oar, Still Britons they'll find to receive them on shore. (Chorus) We still make them fear and we still make them flee, And drub them ashore as we drub them at sea, Then cheer up me lads with one heart let us sing, Our soldiers and sailors, our statesmen and king. (Chorus) Alternative first verse: Come, cheer up, my lads, 'tis to glory we steer, With heads carried high, we will banish all fear; To honour we call you, as freemen not slaves, For who are so free as the sons of the waves? Alternative last
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William Boyce with words by David Garrick: Come cheer up, my lads! 'tis to glory we steer, To add something more to this wonderful year; To honour we call you, not press you like slaves, For who are so free as the sons of the waves? Chorus: Heart of oak are our ships, heart of oak are our men; We always are ready, steady, boys, steady! We'll fight and we'll conquer again and again. Amended words Come, cheer up, my lads, 'tis to glory we steer, To add something new to this wonderful year; To honour we call you, as freemen not slaves, For who are so free as the sons of the waves? Chorus: Heart of Oak are our ships, Jolly Tars are our men, We always are ready: Steady, boys, Steady! We'll fight and we'll conquer again and again. We ne'er see our foes but we wish them to stay, They never see us but they wish us away; If they run, why we follow, and run them ashore, For if they won't fight us, what can we do more? (Chorus) They say they'll invade us, these terrible foes, They frighten our women, our children, our beaus, But if they in their flat-bottoms, in darkness set oar, Still Britons they'll find to receive them on shore. (Chorus) We still make them fear and we still make them flee, And drub them ashore as we drub them at sea, Then cheer up me lads with one heart let us sing, Our soldiers and sailors, our statesmen and king. (Chorus) Alternative first verse: Come, cheer up, my lads, 'tis to glory we steer, With heads carried high, we will banish all fear; To honour we call you, as freemen not slaves, For who are so free as the sons of the waves? Alternative last verse: Britannia triumphant her ships rule the seas, Her watchword is 'Justice' her password is 'Free', So come cheer up my lads, with one heart let us sing, Our soldiers, our sailors, our statesmen, our King [Queen]. The first verse and chorus of this version of the song is heard in Star Trek: The Next Generation (Season 3, Episode 18 "Allegiance"), sung in Ten Forward by Patrick Stewart, in-character as an alien doppelgänger of Captain Jean-Luc Picard. New lyrics A new version was presented on 16 April 1809 and published by Reverend Rylance. When Alfred, our King, drove the Dane from this land,
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cinema operators. He was first elected to the House of Representatives at the age of 27, becoming a member of parliament (MP) for the division of Fawkner at a by-election in 1935. A member of the United Australia Party (UAP), Holt was made a minister without portfolio in 1939, when his mentor Robert Menzies became prime minister. His tenure in the ministry was interrupted by a brief stint in the Australian Army, which ended when he was recalled to cabinet following the deaths of three ministers in the 1940 Canberra air disaster. The government was defeated in 1941, sending the UAP into opposition, and he joined the new Liberal Party upon its creation in 1945. When the Liberals came to office in 1949, Holt became a senior figure in the new government. As Minister for Immigration (1949–1956), he expanded the post-war immigration scheme and relaxed the White Australia policy for the first time. He was also influential as Minister for Labour and National Service (1949–1958), where he handled several industrial relations disputes. Holt was elected deputy leader of the Liberal Party in 1956, and after the 1958 election replaced Arthur Fadden as Treasurer. He oversaw the creation of the Reserve Bank of Australia and the decimal Australian dollar, but was blamed for a credit crunch that almost cost the Coalition the 1961 election. However, the economy soon rebounded and Holt retained his place as Menzies' heir apparent. Holt became prime minister in January 1966, elected unopposed as Liberal leader following Menzies' retirement. He fought a general election later that year, winning a landslide victory. The Holt Government continued the dismantling of the White Australia policy, amended the constitution to give the federal government responsibility for indigenous affairs, and took Australia out of the sterling area. Holt promoted greater engagement with Asia and the Pacific, and made visits to a number of East Asian countries. His government expanded Australia's involvement in the Vietnam War, and maintained close ties with the United States under President Lyndon B. Johnson. While visiting the White House, Holt proclaimed that he was "all the way with LBJ", a remark which was poorly received at home. In December 1967, Holt disappeared while swimming in rough conditions at Cheviot Beach, Victoria. He was presumed dead, although his body was never recovered; his disappearance spawned a number of conspiracy theories. Holt was the third Australian prime minister to die in office. He was succeeded by Country Party leader John McEwen on an interim basis and then by John Gorton. His death was commemorated in a number of ways, among them by the establishment of the Harold Holt Memorial Swimming Centre in Melbourne. Early life Birth and family background Holt was born on 5 August 1908 at his parents' home in Stanmore, New South Wales, a suburb of Sydney. He was the first of two sons born to Olive May (née Williams; formerly Pearce) and Thomas James Holt; his younger brother Clifford was born in 1910. His parents had married seven months before his birth, in January 1908. On his father's side, Holt was descended from James Holt, a cobbler from Birmingham, England, who arrived in New South Wales in 1829. His paternal grandfather, Thomas Holt Sr., owned a large farming property in Nubba, and was twice elected mayor of nearby Wallendbeen. Holt's father trained as a schoolteacher in Sydney and when Harold was born, worked as a physical education teacher at the Cleveland Street School in Surry Hills. Holt's mother was born in Eudunda, South Australia, and had Cornish, English, German, and Irish ancestry; her sister was the actress Vera Pearce. Education In 1914, Holt's parents moved to Adelaide, where his father became the licensee of a hotel in Payneham. He and his brother stayed behind in Sydney, living with an uncle and attending Randwick Public School. In late 1916, Holt was sent to live with grandparents in the country, where he briefly attended the Nubba State School. He returned to Sydney the following year, and for three years was enrolled at Abbotsholme College, a private school in Killara; his parents separated around that time. In 1920, Holt began boarding at Wesley College, Melbourne. He was a popular and talented student, winning a scholarship in his final year and graduating second in his class. Holt generally spent school holidays with his relatives in Nubba or with schoolmates, rather than with his parents – his father had begun working as a talent agent, touring the country on the Tivoli circuit, while his mother died in 1925. He was 16 at the time, and was unable to attend the funeral. In 1927, Holt began studying law at the University of Melbourne, living at Queen's College on a scholarship. He represented the university in cricket and football, and was also active in various student organisations, serving as president of the Law Students' Society and of the Queen's College social club. Holt won prizes for oratory and essay-writing, and was a member of the inter-university debating team. He graduated with a Bachelor of Laws degree in 1930. Holt's father – living in London – invited to him to continue his studies in England, but he declined the offer. Legal career Holt served his articles of clerkship with the firm of Fink, Best, & Miller. He was admitted to the Victorian Bar in late 1932, and opened his own legal practice the following year. However, clients during the Depression were scarce and frequently underpaid, so Holt lived in a boardinghouse and often relied upon the hospitality of friends. Drawing on his family connections in show business, he eventually accepted an offer to become secretary of the Victorian Cinematograph Exhibitors' Association, a film industry lobby group. In this capacity he appeared several times before the Commonwealth Court of Conciliation and Arbitration. This had a positive effect on his own practice, and he eventually took on two partners, first Jack Graham and later James Newman. The firm of Holt, Graham, & Newman was dissolved in 1963, following a financial dispute and subsequently reconstituted as Holt, Newman, & Holt, with Holt's son Sam as the new addition. Holt's involvement in the practice declined once he entered politics and ceased altogether in 1949, although he did not formally retire until assuming the prime ministership. Early political career In 1933, Holt joined the Young Nationalists, the youth wing of the United Australia Party. He cultivated a friendship with Mabel Brookes, and through Brookes became acquainted with senior members of the influential Australian Women's National League (AWNL). He also secured the patronage of Robert Menzies, with whom he shared a similar background and political views. At the 1934 federal election, Holt stood for the UAP in the Division of Yarra. It was a safe seat for the Labor Party, held by the party's leader (and former prime minister) James Scullin. Holt lost heavily, as was expected, but was praised for his campaigning. Early the following year, he contested Clifton Hill – another safe Labor seat – at the Victorian state election, losing to Bert Cremean. Holt was eventually elected to parliament on his third attempt, winning a federal by-election for the seat of Fawkner in August 1935; his predecessor, George Maxwell, had died in office. He won UAP preselection against five other candidates, a victory which Smith's Weekly attributed to his "political godmothers" in the AWNL. His new seat was centred on Melbourne's wealthy inner-eastern suburbs. Holt was twenty-seven years old when he entered parliament, making him its youngest member. He kept a relatively low profile in his first few years, but spoke on a wide range of topics. When Robert Menzies became prime minister in April 1939, he made Holt one of four ministers without portfolio. His inclusion was made possible by the collapse of the coalition with the Country Party – previously a certain number of positions had been reserved for Country MPs, but the new ministry was composed solely of UAP members. Although Holt officially had no portfolio, he effectively served as an assistant minister to Richard Casey, who headed the Department of Supply and Development. He was given responsibility for the Council for Scientific and Industrial Research (CSIR), and also acted for periods as Minister for Trade and Customs and Minister for Civil Aviation and Air while the incumbents were overseas. Holt's first stint as a government minister came to an end in March 1940, when the coalition with the Country Party was reinstituted. His replacement was Arthur Fadden, another future prime minister. World War II Holt enlisted in the Militia in February 1939, joining a part-time artillery unit for businessmen and professionals. He was given indefinite leave during his ministerial service. In May 1940, without resigning his seat, Holt enlisted in the Australian Imperial Force with the intent of becoming a full-time soldier. Several of his parliamentary colleagues did likewise at various points in the war. Holt was posted to the 2/4th Field Regiment, holding the rank of gunner. He had been offered a commission as an officer in the Royal Australian Air Force, but declined due to his lack of experience. In a press statement, Holt said "as the youngest member of the House, I could not feel happy in my position if I were not prepared to make some sacrifice and take an active part". He was sent to Puckapunyal for training, and expected to be posted to North Africa or Palestine. Holt's brief military career came to an end as a result of the Canberra air disaster on 13 August, which killed three senior government ministers. Menzies called an early general election for 21 September, which resulted in a hung parliament and a UAP–Country minority government. Holt was given leave from the army to campaign, and won re-election with a large majority. Menzies subsequently asked him to return to cabinet, to which he agreed. Holt was sworn in as Minister for Labour and National Service on 28 October, and formally resigned from the army the same day. He was placed in charge of the new Department of Labour and National Service, which took over most of the responsibilities of the previous Department of Industry. He also became a member of the bipartisan Advisory War Council, although he personally favoured the establishment of a national unity government with the Labor Party. As labour minister, Holt's foremost task was to prevent industrial disputes from disrupting the war effort. He met with union leaders and employer groups, and secured their agreement to a streamlining of the arbitration process while the war was underway. He had also been made Minister in charge of Scientific and Industrial Research, which gave him responsibility for the CSIR and its wartime efforts. In April 1941, Holt sponsored and oversaw the passage of the Child Endowment Act, which introduced a universal child endowment scheme; newspapers labelled him "the godfather to a million Australian children". When leadership troubles hit the Coalition later in the year, Holt initially supported Menzies. However, he and five cabinet colleagues eventually transferred their allegiance to Arthur Fadden, the leader of the Country Party, believing this way the only to ensure stable government. Menzies felt he had been betrayed, but forgave Holt and accepted his assurances that he had been acting in the best interests of the country. Holt retained his portfolios in the Fadden Government, which lasted only 40 days before being defeated on a confidence motion in October 1941. After going into opposition, he kept a reasonably low profile for the remainder of the war, except for his membership of the Joint Committee on War Expenditure. He was criticised by some for not re-joining the army, and at the 1943 election was opposed by Brigadier William Cremor, whose campaign was funded by Sydney businessmen (including Keith Murdoch). He lost a significant portion of his primary vote, but suffered only a small swing on the two-party-preferred count. Menzies returned as leader of the UAP in September 1943, and Holt was initially a candidate for the deputy leadership; he withdrew once former prime minister Billy Hughes entered the race. Holt was in favour of the creation of the Liberal Party, but played little role in the practical aspects of its establishment. He became an official member of the new party in February 1945. Postwar ministerial career After eight years in opposition, the Coalition won the federal election of December 1949 and Menzies began his record-setting second period as Prime Minister. In a redistribution held ahead of that election, Holt's majority in Fawkner nearly disappeared. He transferred to Higgins, one of several new seats created in the 1949 redistribution. The seat was created as a safe Liberal seat; it had been carved out of the wealthier portions of Fawkner. Holt won it easily. He was appointed to the prestigious portfolios of Minister for Labour and National Service (1949–1958; he had previously served in this portfolio 1940–41) and Minister for Immigration (1949–1956), by which time he was being touted in the press as a "certain successor to Menzies and a potential Prime Minister". In Immigration, Holt continued and expanded the massive immigration programme initiated by his ALP predecessor, Arthur Calwell. However, he displayed a more flexible and caring attitude than Calwell, who was a strong advocate of the White Australia policy. One of his first acts was to intervene in the case of Lorenzo Gamboa, a Filipino man with an Australian wife and children who had been denied entry by Calwell due to his race. Holt reversed the decision, allowing Gamboa to settle in Australia permanently. Holt excelled in the Labour portfolio and has been described as one of the best Labour ministers since Federation. Although the conditions were ripe for industrial unrest—Communist influence in the union movement was then at its peak, and the right-wing faction in Cabinet was openly agitating for a showdown with the unions—the combination of strong economic growth and Holt's enlightened approach to industrial relations saw the number of working hours lost to strikes fall dramatically, from over two million in 1949 to just 439,000 in 1958. He also had ministerial responsibility for the Melbourne Olympics in 1956. Holt fostered greater collaboration between the government, the courts, employers and trade unions. He enjoyed good relationships with union leaders like Albert Monk, President of the Australian Council of Trade Unions; and Jim Healy, leader of the radical Waterside Workers Federation;and he gained a reputation for tolerance, restraint and a willingness to compromise, although his controversial decision to use troops to take control of cargo facilities during a waterside dispute in Bowen, Queensland in September 1953 provoked bitter criticism. Holt's personal profile and political standing grew throughout the 1950s. He served on numerous committees and overseas delegations, he was appointed a Privy Counsellor in 1953, and in 1954 he was named one of Australia's six best-dressed men. In 1956, he was elected Deputy Leader of the Liberal Party and became Leader of the House, and from this point on, he was generally acknowledged as Menzies' heir apparent. Treasurer (1958–1966) In December 1958, following the retirement of Arthur Fadden, Holt succeeded him as Treasurer. Holt had little knowledge or interest in economics, but the job cemented his position as Menzies' likely successor. As Treasurer, Holt relied strongly on the advice of Treasury secretary Roland Wilson. His achievements included major reforms to the banking system (originated by Fadden)including the establishment of the Reserve Bank of Australiaand the planning and preparation for the introduction of decimal currency. It was Holt who convinced Cabinet to call the new currency the "dollar" rather than the "royal". The economy Holt inherited was growing strongly, aided by the opening of new iron ore mines. However, in 1959, inflation was running at 4.5% and Treasury was alarmed. Holt was reluctant to act, but in November 1960 introduced a deflationary package of tax changes. He also reluctantly agreed to an interest rate rise by the Reserve Bank. The credit squeeze was nicknamed the "Holt jolt". The economy went into recession, and unemployment rose to three percent, which was considered high for the time and contrary to the government's policy of full employment. The credit squeeze brought the Coalition dangerously close to losing the 1961 election, with the Coalition being returned with a precarious one-seat majority. There were calls for Holt to be sacked, but he retained Menzies' support. He later described 1960–61 as "my most difficult year in public life". Most of the deflationary measures were reversed in 1962, and unemployment dropped down to 1.5 percent by August 1963. In later budgets, Holt retreated to his Queensland holiday home while it was being prepared. He said that the 1965 budget "has had the best reception yet of any in the series I have presented". Prime Minister (1966–1967) Holt was sworn in as prime minister on 26 January 1966, following the retirement of Robert Menzies six days earlier. He won the leadership election unopposed, with William McMahon elected as his deputy. His swearing in was delayed by the death of Defence Minister Shane Paltridge; he and Menzies both served as pallbearers at Paltridge's state funeral on 25 January. Holt was the first Australian prime minister born in the 20th century and the first born after federation. He was almost fourteen years younger than his predecessor, but, at the age of 57, was still the fourth-oldest man to assume the office. He had been an MP for over 30 years before becoming prime minister, still the longest wait for any non-caretaker Prime Minister. The only person who had a longer wait was his caretaker successor John McEwen, who had served 33 years before ascending to the post. Stylistically, Holt was more informal and contemporary than Menzies, and his wife accompanied him into the political spotlight. He gave the media an unprecedented level of access, and was the first prime minister to conduct regular press conferences and grant regular television interviews. His press secretary, Tony Eggleton, accompanied him virtually every time he travelled. Holt's initial cabinet was virtually unchanged from that of his predecessor. John Gorton and Les Bury were promoted to replace Menzies and Paltridge, but there were no other changes in composition. There were also no major changes in portfolio, outside of McMahon's promotion to Treasurer in place of Holt. A notable addition to the outer ministry was Senator Annabelle Rankin as Minister for Housing – the first woman to hold a ministerial portfolio. A minor reshuffle occurred after the 1966 election, with Doug Anthony and Ian Sinclair added to cabinet and Charles Barnes demoted to the outer ministry. The only new government department created during Holt's tenure was the Department of Education and Science, established in December 1966, which was the first federal department specific to either of those areas. Elections On 26 November 1966, Holt fought his first and only general election as prime minister, winning a somewhat unexpected landslide victory. The Coalition secured 56.9 percent of the two-party-preferred vote, gaining 10 seats and bringing its total number of seats in the House of Representatives to 82 out of 124; the Liberal Party was only two seats away from forming majority government in its own right. It was a higher margin victory of victory than Menzies had achieved in eight elections as Liberal leader, and was the Labor Party's worst electoral defeat in 31 years. Holt received little credit for the Coalition's election victory, even from within his own party. It was generally held that the Labor Party's poor campaign had been the major factor in its defeat. Arthur Calwell, the Leader of the Opposition, was 70 years old and had limited personal popularity – a Gallup poll before the election placed his personal approval rating at 24 percent, compared with Holt's 60 percent. Calwell had suffered a damaging rift with his deputy Gough Whitlam earlier in the year, and the general public still perceived the party as divided. In an election where the Vietnam War was a major campaign issue, he and Whitlam publicly contradicted each other on major policy decisions. Labor ran on an anti-war platform, but struggled to appeal to voters concerned about national security; combined with Calwell's dedication to the White Australia policy, this allowed the party to be portrayed as isolationist and naive about external affairs. Calwell was far less telegenic than his opponent, and was seen as gruff and antagonistic where Holt was suave and easy-going. At a rally in Adelaide a week before the election, Calwell accused Holt of having "chickened out of World War II – just as his three stepsons are chickening out of the war in Vietnam today". His attack on Holt's family – which he refused to withdraw – was viewed as desperate and undignified, and it was pointed out that, unlike Holt, Calwell had performed no military service in World War II. In early 1967, Arthur Calwell retired as ALP leader and Gough Whitlam succeeded him. Whitlam proved a far more effective opponent, both in the media and in parliament, and Labor soon began to recover from its losses and gain ground, with Whitlam repeatedly besting Holt in Parliament. By this time, the long-suppressed tensions between the Coalition partners over economic and trade policies were also beginning to emerge. Throughout his reign as Liberal leader, Menzies had enforced strict party
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the residency requirement for naturalisation was changed to a uniform five years; it had previously been 15 years for non-whites. Discriminatory provisions relating to family reunification were also removed. As a result, in the two years after March 1966 around 3,000 Asian immigrants were granted Australian citizenship, compared with 4,100 in the preceding two decades. Additionally, Immigration Minister Hubert Opperman announced that potential immigrants to Australia would be assessed solely "on the basis of their suitability as settlers, their ability to integrate readily, and their possession of qualifications which are in fact positively useful to Australia"; non-whites had previously had to demonstrate that they were "highly qualified and distinguished" to gain entry. Keith Wilson believed that the Holt Government's reforms ensured that "from now on there will not be in any of our laws or in any of our regulations anything that discriminates against migrants on the grounds of colour or race". However, there would not be a practical change in the composition of Australia's immigration intake for many more years. Holt maintained that "every country reserves to itself the right to decide what the composition of its people shall be", and promised "a community life free from serious minority and racial problems". He was careful to frame his changes as simply a modification of existing policy, in order to avoid alienating organised labour (historically the greatest supporters of restricting non-white immigration). The Labor Party had only removed "White Australia" from its platform in 1965, and Opposition Leader Arthur Calwell stated he was "determined to continue to oppose, for many obvious reasons, any attempt to create a multi-racial society in our midst". However, Holt was less circumspect outside Australia, telling British journalists that no White Australia policy existed and ordering Australian embassies to promote the changes to Asian governments and media outlets. Constitutional reform In 1967, the Holt Government amended the constitution to alter section 51 (xxvi) and remove section 127. This gave the federal government the power to legislate specifically for Indigenous Australians, and also allowed indigenous people to be enumerated in the census. The constitutional amendments required a referendum before they could be enacted, which passed with over 90 percent of the vote; it remains the largest referendum majority in Australian history. Holt personally considered the amendments unnecessary and mostly symbolic, but thought they would be well received by the international community (particularly Asia). According to Barrie Dexter, he was privately shocked by the referendum result, having been uncertain whether it would even pass. Holt came to regard the referendum as indicative of a shift in the national mood. In the following months, he toured Aboriginal communities and consulted with indigenous leaders, including Charles Perkins and Kath Walker. Despite opposition from state governments, he created a new Office of Aboriginal Affairs within the Prime Minister's Department, as well as a new advisory body called the Council of Aboriginal Affairs (chaired by H. C. Coombs). According to Coombs and Paul Hasluck, Holt had little interest in indigenous affairs before becoming prime minister. Despite this, he brought about a fundamental shift in the way policy was handled, paving the way for the federal government to assume many of the powers and responsibilities that had previously been the preserve of the states. Indigenous academic Gary Foley has said that Holt's death was a setback for Aboriginal people, as his successors did not show the same commitment to the framework that he established. The Holt Government also unsuccessfully attempted to remove section 24 of the constitution (the so-called "nexus clause"), which requires the number of members in the House of Representatives to be "as nearly as practicable, twice the number of senators". The resulting referendum did not come close to passing, with only 40 percent voting in favour nationwide and only one state (New South Wales) recording a majority. All three major-party leaders campaigned for the "Yes" vote, while opposition came mainly from Coalition backbenchers and Democratic Labor Party senators. Supporters of the "No" vote successfully argued that section 24 protected the influence of the Senate, and thus the interests of less populous states and rural areas. Holt did make one other significant legal reform, albeit one that did not require a constitutional amendment. In September 1967, he announced that his government would use section 74 of the constitution to remove the potential for High Court cases to be appealed to the Judicial Committee of the Privy Council. The necessary legislation was not passed until after his death. The arts In November 1967, in one of his last major policy statements, Holt announced the establishment of the National Gallery of Australia and the Australia Council for the Arts. The National Gallery, which did not open until 1982, was the first arts-related major infrastructure project to be funded by the federal government; previous projects had been funded by state governments or by private subscription. Holt said it would "add significantly to the cultural life of Australia and the national capital". The other element of his announcement, the Australia Council for the Arts, was the first national arts council, intended to provide arms-length advice to the Prime Minister's Department on arts funding. Rupert Myer has suggested that "Holt's legacy ought to be a core belief in, and broad public demand for, the sustained support of cultural activity from all three tiers of government". Foreign policy Holt believed it was his responsibility as prime minister "to reflect the modern Australia to my fellow countrymen, to our allies and the outside world at large". His approach to national security emphasised opposition to international communism and the need to engage more with Asia. Holt said that the "great central fact of modern history" was "the tremendous power conflict between the communist world and the free world". He was a strong believer in the domino theory and containment, holding that communism had to be fought wherever it occurred in order to prevent it spreading to neighbouring countries. In April 1967, Holt told parliament that "geographically we are part of Asia, and increasingly we have become aware of our involvement in the affairs of Asia – our greatest dangers and our highest hopes are centred in Asia's tomorrows". Gough Whitlam said that Holt "made Australia better known in Asia and he made Australians more aware of Asia than ever before [...] this I believe was his most important contribution to our future". Personal diplomacy was Holt's strong point – he believed diplomatic ties could be strengthened by making intimate connections with other world leaders. This approach was disliked by his external affairs minister, Paul Hasluck, who in his memoirs accused him of believing in "instant diplomacy" and crediting his personal charms for advances made by diplomatic officials. As prime minister, Holt's first overseas trip was to South-East Asia in April 1966, where he visited Malaysia, Singapore, South Vietnam, and Thailand. He toured Cambodia, Laos, South Korea, and Taiwan in March and April 1967, and had planned to visit Burma, India, Indonesia, Japan, and Pakistan in 1968. Most of those countries had never before been visited by an Australian prime minister. There were also a number of reciprocal visits from East Asian leaders, including Eisaku Satō of Japan, Souvanna Phouma of Laos, and Thanom Kittikachorn of Thailand. The most controversial of those occurred in January 1967, when Prime Minister Nguyễn Cao Kỳ of South Vietnam visited on Holt's personal invitation – issued without consulting cabinet. Public sentiment was beginning to turn against the war, and Ky's visit was met with large demonstrations; opposition leader Arthur Calwell issued a statement calling him a "miserable little butcher". Ky nonetheless handled himself well, and The Bulletin called his visit a "personal triumph". Vietnam War The Vietnam War was the dominant foreign policy issue during Holt's term in office. He was a strong supporter of Australian involvement in the war, which had begun in 1962, and accused its critics of adopting a "Lotus Land" attitude. As well as citing Australia's SEATO obligations to South Vietnam, Holt justified the war on the grounds that Australia was morally obligated to "resist communist subversion and aggression" and "defend the right of every people to choose their own social and economic order". He held that "unless there is security for all small nations, there cannot be security for any small nation". In March 1966, Holt announced that the 1st Battalion, Royal Australian Regiment, would be withdrawn and replaced by the 1st Australian Task Force, a self-contained brigade-sized unit based at Nui Dat. This effectively tripled the number of Australian troops in Vietnam to around 4,500, and also included 1,500 national servicemen – the first conscripts to serve in the conflict. By the final months of Holt's prime ministership, Australia had over 8,000 personnel stationed in South Vietnam, drawn from all three branches of the Australian Defence Force; the final troop increase was announced in October 1967. Holt "never deviated from his whole-hearted support for American bombing of North Vietnam and the hope that steadily increasing the number of foreign troops deployed to South Vietnam would lead to military victory and a solution to the crisis". John Gorton later said it was "ironical that, being a man of peace, he should have presided over one of the greatest build-ups of military power that Australia has found itself engaged in". The government's handling of the war initially enjoyed broad public support, and was considered a key contributor to the landslide election victory in 1966 – referred to by some as a "khaki election". By the end of the following year, however, opinion polls were showing that public sentiment had turned against the war, and previously supportive media outlets had begun to criticised Holt's decision-making. He did not live long enough to see the mass demonstrations experienced by his successors. Political opposition to the war was initially led by Opposition Leader Arthur Calwell, who promised a total withdrawal from the conflict and labelled it a "cruel, unwinnable civil war". His replacement, Gough Whitlam, adopted a more pragmatic approach, focusing on policy specifics (particularly the government's apparent lack of an exit strategy) rather than the validity of the war itself. "All the way with LBJ" Holt cultivated a close relationship with the United States under President Lyndon B. Johnson. He believed that "without the American shield most of us who live in Asia and the South Pacific would have a continuing sense of insecurity". Cooperation between the two countries extended beyond the Vietnam War. Holt approved the construction of several Earth stations for use by NASA and American intelligence agencies, including Pine Gap, Honeysuckle Creek, and Tidbinbilla. This made Australia "the most substantial centre for American missile and space operations outside the continental United States". Holt and Johnson developed a personal friendship. They were the same age, and had first met in 1942, when Johnson visited Melbourne as a naval officer; afterwards they shared a similar career trajectory. Holt visited the U.S. twice while in office, in June and July 1966, and on the latter visit was invited to stay at Camp David. He and Johnson reportedly played tennis, lounged by the pool, and watched movies together. In October 1966, Johnson made the first visit to Australia by an incumbent American president; Vice President Hubert Humphrey had visited in February of that year. He toured five cities, and was greeted by large crowds as well as a number of anti-war demonstrators, who disrupted the presidential motorcade. The opposition criticised the visit as a publicity stunt. Johnson later returned to Australia for Holt's memorial service, and invited his widow Zara to stay with him when she visited the United States in 1969. On his first visit to the U.S., Holt made what was widely viewed as a faux pas while delivering a ceremonial address at the White House. Departing from his prepared remarks, he said: "And so, sir, in the lonelier and perhaps even more disheartening moments which come to any national leader, I hope there will be a corner of your mind and heart which takes cheer from the fact that you have an admiring friend, a staunch friend that will be all the way with LBJ." Holt had meant it to be a "light-hearted gesture of goodwill towards a generous host", referencing the slogan used in Johnson's 1964 presidential campaign. It was interpreted as such by his immediate audience, but once it was reported back in Australia it came to be viewed as a "foolish, sycophantic and dangerous statement" that was indicative of Australian subservience. Bill Hayden said Holt's remarks "shocked and insulted many Australians [...] its seeming servility was an embarrassment and a worry". Newspaper editorials generally agreed with Holt's assertion that he had been misinterpreted, but still criticised him for making an error in judgment. His comments intensified anti-war sentiments among those who were already opposed to the war, but had little electoral impact. Nonetheless, "all the way with LBJ" is still remembered as Holt's "best-known utterance". Britain and the Commonwealth Holt was a strong supporter of the Commonwealth of Nations, and believed its member states had moral obligations to one another – particularly Britain, as the former "mother country". However, his relationship with Harold Wilson, the British prime minister, was somewhat frosty. He repeatedly lobbied Wilson to maintain a strong British presence "East of Suez", in order to complement American efforts, and in early 1967 received assurances that no reduction was being contemplated. However, by the middle of the year Wilson had announced that Britain intended to close all of its bases in Asia by the early 1970s (except for Hong Kong). In response to Holt's concerns, it was suggested by Wilson that a British naval base could be established in Cockburn Sound. Holt rejected this outright, and felt that Wilson had deliberately misled him as to his intentions. Controversies Holt's popularity and political standing was damaged by his perceived poor handling of a series of controversies that emerged during 1967. In April, the ABC's new nightly current affairs program This Day Tonight ran a story which criticised the government's decision not to reappoint the Chair of the ABC Board, Sir James Darling. Holt responded rashly, questioning the impartiality of the ABC and implying political bias on the part of journalist Mike Willesee (whose father Don Willesee was an ALP Senator and future Whitlam government minister), and his statement drew strong protests from both Willesee and the Australian Journalists' Association. In May, increasing pressure from the media and within the Liberal Party forced Holt to announce a parliamentary debate on the question of a second inquiry into the 1964 sinking of to be held on 16 May. The debate included the maiden speech by newly elected NSW Liberal MP Edward St John QC, who used the opportunity to criticize the government's attitude to new evidence about the disaster. An enraged Holt interrupted St John's speech, in defiance of the parliamentary convention that maiden speeches are heard in silence; his blunder embarrassed the government and further undermined Holt's support in the Liberal Party. A few days later, Holt announced a new Royal Commission into the disaster. In October the government became embroiled in another embarrassing controversy over the alleged misuse of VIP aircraft, which came to a head when John Gorton (Government Leader in the Senate) tabled documents that showed that Holt had unintentionally misled Parliament in his earlier answers on the matter. Support for his leadership was eroded even further by his refusal to sack the Minister for Air, Peter Howson, in order to defuse the scandal, fuelling criticism from within the party that Holt was "weak" and lacked Menzies' ruthlessness. Much of the blame for the episode within the Public Service was visited upon Sir John Bunting, Secretary of the Prime Minister's Department, although other figures such as the Deputy Secretary Peter Lawler were able to protect themselves. One of John Gorton's first acts upon becoming Prime Minister in January 1968 was to sideline Bunting by creating a separate Department of the Cabinet Office with Bunting as its head, and replaced him with Lenox Hewitt. In November 1967, the government suffered a serious setback in the senate election, winning just 42.8 per cent of the vote against Labor's 45 per cent. The coalition also lost the seats of Corio and Dawson to Labor in by-elections. Alan Reid says that, within the party, the reversal was blamed on Holt's mishandling of the V.I.P. planes scandal. Disquiet was growing about his leadership style and possible health problems. Disappearance Holt loved the ocean, particularly spearfishing, and had holiday homes at Portsea, Victoria, and Bingil Bay, Queensland. On 17 December 1967, while Holt was spending the weekend at Portsea, he and four companions decided to drive to Point Nepean to watch sailor Alec Rose pass through The Rip on his solo circumnavigation attempt. On their way back to Portsea, Holt convinced the group to stop at remote Cheviot Beach for a swim before lunch – he had spearfished there on many previous occasions, and claimed to "know this beach like the back of my hand". Because of the rough conditions, only one other person, Alan Stewart, joined Holt in the water. Stewart kept close to shore, but Holt swam out into deeper water and was seemingly caught up in a rip, eventually disappearing from view. One of the witnesses, Marjorie Gillespie, described it as "like a leaf being taken out [...] so quick and final." Holt's disappearance sparked "one of the largest search operations in Australian history", but no trace of his body was ever found. At 10 p.m. on 18 December, Governor-General Lord Casey announced he had terminated Holt's commission as prime minister upon his presumed death. A police report released in early 1968 made no definitive findings about Holt's death, while a coronial inquest in 2005 returned a verdict of accidental drowning. It is generally accepted that Holt overestimated his swimming ability. Some have alleged that Holt committed suicide, but those close to him rejected this as uncharacteristic of his personality. Conspiracy theories have included suggestions that Holt faked his own death, was assassinated by the CIA, or was collected by a submarine so that he could defect to China. A memorial service for Holt was held at St Paul's Cathedral, Melbourne, on 22 December, and attended by numerous world leaders. Aged 59 at the time of his death, Holt became the third Australian prime minister to die in office, after Joseph Lyons (1939) and John Curtin (1945). John McEwen, the leader of the Country Party, was sworn in as caretaker prime minister on 19 December. The Liberal Party held a leadership election on 9 January 1968, in which John Gorton defeated Paul Hasluck, Billy Snedden, and Les Bury. Gorton was a member of the Senate, and in line with constitutional convention transferred to the House of Representatives at the by-election caused by Holt's death. Personal life Relationships While at university, Holt met Zara Dickins, the daughter of a Melbourne businessman; there was an "instant mutual attraction". They made plans to marry once Holt had graduated, but after a financial dispute chose to separate. Zara went on a trip to Britain, where she was introduced to James Fell, a British Indian Army officer. She accompanied Fell to India, and then in early 1935 returned to Australia where Holt again proposed marriage. She declined his offer, and married Fell a short time later, going to live with him in Jabalpur. Holt had entered parliament by that time, and was soon being profiled as "the most eligible bachelor in parliament". He briefly dated Lola Thring, the daughter of his father's business partner, F. W. Thring, but his widowed father Tom was also interested in her (to his son's "disgust"). Tom Holt married Lola in 1936, and their daughter Frances (Harold's half-sister) was born in 1940; Tom Holt died in 1945. In 1937, Zara returned to Australia to give birth to her first child, Nicholas. She had two more children, twins Sam and Andrew, in 1939. Her marriage with Fell broke down a short time later, and in late 1940 she returned to Australia permanently and resumed a relationship with Holt. Their relationship did not become public for some time, in order to avoid Holt's being implicated in Zara's divorce proceedings. They eventually married on 8 October 1946, at Zara's parents' home on St Georges Road, Toorak. They initially lived on nearby Washington Street, but in 1954 bought the St Georges Road house. Holt legally adopted Zara's three children, and as young men they changed their surname to his. According to biographer Tom Frame, it was an "open secret" that Holt was the biological father of the twins, as they shared his physical appearance and had been conceived at a time when Zara was known to have been in Melbourne. Zara Holt was a successful businesswoman, owning a chain of dress shops, and out-earned her husband even as prime minister. It was her success that allowed the couple to purchase two holiday homes, one at Portsea, Victoria, and the other at Bingil Bay, Queensland. She nonetheless made sacrifices for her husband's political career, accompanying him on all but one of his overseas trips, which could last for weeks. After her husband's death, Zara remarried in 1969 to one of his Liberal Party colleagues, Jeff Bate. She was widowed a second time in 1984, and died in 1989. In a 1988 interview with The Sydney Morning Herald, Zara stated that her husband Harold had carried on "dozens" of extramarital affairs. In his biography of Holt, Tom Frame wrote: "I have not included the names of women with whom Holt allegedly had a sexual relationship because I was unable to confirm or deny that most of these relationships took place […] by their very nature they were always illicit and Holt was very discreet." Personality Holt was the first Australian Prime Minister born in the twentieth century. He was an enthusiastic sportsman and avid swimmer, in stark contrast to Menzies and the majority of his predecessors and colleagues. Like later successor Bob Hawke, this resonated with positive effect within the electorate. His oratory skills were vastly superior to that of Arthur Calwell, whom Holt resoundingly beat in 1966. Holt's rhetoric was, however, considered a match to that of new Labor
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mid-1960s. American blues music was a major influence on the early British rockers of the era. Bands like The Rolling Stones and The Yardbirds developed blues rock by recording covers of classic blues songs, often speeding up the tempos. As they experimented with the music, the UK blues-based bands—and the U.S. acts they influenced in turn—developed what would become the hallmarks of heavy metal; in particular, the loud, distorted guitar sound. The Kinks played a major role in popularising this sound with their 1964 hit "You Really Got Me". In addition to The Kinks' Dave Davies, other guitarists such as The Who's Pete Townshend and The Yardbirds' Jeff Beck were experimenting with feedback. Where the blues rock drumming style started out largely as simple shuffle beats on small kits, drummers began using a more muscular, complex, and amplified approach to match and be heard against the increasingly loud guitar. Vocalists similarly modified their technique and increased their reliance on amplification, often becoming more stylized and dramatic. In terms of sheer volume, especially in live performance, The Who's "bigger-louder-wall-of-Marshalls" approach was seminal to the development of the later heavy metal sound. The combination of loud and heavy blues rock with psychedelic rock and acid rock formed much of the original basis for heavy metal. The variant or subgenre of psychedelic rock often known as "acid rock" was particularly influential on heavy metal; acid rock is often defined as a heavier, louder, or harder variant of psychedelic rock, or the more extreme side of the psychedelic rock genre, frequently containing a loud, improvised, and heavily distorted guitar-centered sound. Acid rock has been described as psychedelic rock at its "rawest and most intense," emphasizing the heavier qualities associated with both the positive and negative extremes of the psychedelic experience rather than only the idyllic side of psychedelia. In contrast to more idyllic or whimsical pop psychedelic rock, American acid rock garage bands such as the 13th Floor Elevators epitomized the frenetic, heavier, darker and more psychotic psychedelic rock sound known as acid rock, a sound characterized by droning guitar riffs, amplified feedback, and guitar distortion, while the 13th Floor Elevators' sound in particular featured yelping vocals and "occasionally demented" lyrics. Frank Hoffman notes that: "[Psychedelic rock] was sometimes referred to as 'acid rock'. The latter label was applied to a pounding, hard rock variant that evolved out of the mid-1960s garage-punk movement. ... When rock began turning back to softer, roots-oriented sounds in late 1968, acid-rock bands mutated into heavy metal acts." One of the most influential bands in forging the merger of psychedelic rock and acid rock with the blues rock genre was the British power trio Cream, who derived a massive, heavy sound from unison riffing between guitarist Eric Clapton and bassist Jack Bruce, as well as Ginger Baker's double bass drumming. Their first two LPs, Fresh Cream (1966) and Disraeli Gears (1967), are regarded as essential prototypes for the future style of heavy metal. The Jimi Hendrix Experience's debut album, Are You Experienced (1967), was also highly influential. Hendrix's virtuosic technique would be emulated by many metal guitarists and the album's most successful single, "Purple Haze", is identified by some as the first heavy metal hit. Vanilla Fudge, whose first album also came out in 1967, has been called "one of the few American links between psychedelia and what soon became heavy metal", and the band has been cited as an early American heavy metal group. On their self-titled debut album, Vanilla Fudge created "loud, heavy, slowed-down arrangements" of contemporary hit songs, blowing these songs up to "epic proportions" and "bathing them in a trippy, distorted haze." During the late 1960s, many psychedelic singers, such as Arthur Brown, began to create outlandish, theatrical and often macabre performances that influenced many metal acts. The American psychedelic rock band Coven, who opened for early heavy metal influencers such as Vanilla Fudge and the Yardbirds, portrayed themselves as practitioners of witchcraft or black magic, using dark—Satanic or occult—imagery in their lyrics, album art, and live performances. Live shows consisted of elaborate, theatrical "Satanic rites". Coven's 1969 debut album, Witchcraft Destroys Minds & Reaps Souls, featured imagery of skulls, black masses, inverted crosses, and Satan worship, and both the album artwork and the band's live performances marked the first appearances in rock music of the sign of the horns, which would later become an important gesture in heavy metal culture. At the same time in England, the band Black Widow were also among the first psychedelic rock bands to use occult and Satanic imagery and lyrics, though both Black Widow and Coven's lyrical and thematic influences on heavy metal were quickly overshadowed by the darker and heavier sounds of Black Sabbath. Origins: late 1960s and early 1970s Critics disagree over who can be thought of as the first heavy metal band. Most credit either Led Zeppelin or Black Sabbath, with American commentators tending to favour Led Zeppelin and British commentators tending to favour Black Sabbath, though many give equal credit to both. Deep Purple, the third band in what is sometimes considered the "unholy trinity" of heavy metal (Black Sabbath, Led Zeppelin, and Deep Purple), fluctuated between many rock styles until late 1969 when they took a heavy metal direction. A few commentators—mainly American—argue for other groups including Iron Butterfly, Steppenwolf or Blue Cheer as the first to play heavy metal. In 1968, the sound that would become known as heavy metal began to coalesce. That January, the San Francisco band Blue Cheer released a cover of Eddie Cochran's classic "Summertime Blues", from their debut album Vincebus Eruptum, that many consider the first true heavy metal recording. The same month, Steppenwolf released its self-titled debut album, including "Born to Be Wild", which refers to "heavy metal thunder" in describing a motorcycle. In July, the Jeff Beck Group, whose leader had preceded Page as The Yardbirds' guitarist, released its debut record: Truth featured some of the "most molten, barbed, downright funny noises of all time," breaking ground for generations of metal ax-slingers. In September, Page's new band, Led Zeppelin, made its live debut in Denmark (billed as The New Yardbirds). The Beatles' self-titled double album, released in November, included "Helter Skelter", then one of the heaviest-sounding songs ever released by a major band. The Pretty Things' rock opera S.F. Sorrow, released in December, featured "proto heavy metal" songs such as "Old Man Going" and "I See You". Iron Butterfly's 1968 song "In-A-Gadda-Da-Vida" is sometimes described as an example of the transition between acid rock and heavy metal or the turning point in which acid rock became "heavy metal", and both Iron Butterfly's 1968 album In-A-Gadda-Da-Vida and Blue Cheer's 1968 album Vincebus Eruptum have been described as laying the foundation of heavy metal and greatly influential in the transformation of acid rock into heavy metal. In this counterculture period MC5, who began as part of the Detroit garage rock scene, developed a raw distorted style that has been seen as a major influence on the future sound of both heavy metal and later punk music. The Stooges also began to establish and influence a heavy metal and later punk sound, with songs such as "I Wanna Be Your Dog", featuring pounding and distorted heavy guitar power chord riffs. Pink Floyd released two of their heaviest and loudest songs to date; "Ibiza Bar" and "The Nile Song", which was regarded as "one of the heaviest songs the band recorded". King Crimson's debut album started with "21st Century Schizoid Man", which was considered heavy metal by several critics. In January 1969, Led Zeppelin's self-titled debut album was released and reached number 10 on the Billboard album chart. In July, Zeppelin and a power trio with a Cream-inspired, but cruder sound, Grand Funk Railroad, played the Atlanta Pop Festival. That same month, another Cream-rooted trio led by Leslie West released Mountain, an album filled with heavy blues rock guitar and roaring vocals. In August, the group—now itself dubbed Mountain—played an hour-long set at the Woodstock Festival, exposing the crowd of 300,000 people to the emerging sound of heavy metal. Mountain's proto-metal or early heavy metal hit song "Mississippi Queen" from the album Climbing! is especially credited with paving the way for heavy metal and was one of the first heavy guitar songs to receive regular play on radio. In September 1969, the Beatles released the album Abbey Road containing the track "I Want You (She's So Heavy)" which has been credited as an early example of or influence on heavy metal or doom metal. In October 1969, British band High Tide debuted with the heavy, proto-metal album Sea Shanties. Led Zeppelin defined central aspects of the emerging genre, with Page's highly distorted guitar style and singer Robert Plant's dramatic, wailing vocals. Other bands, with a more consistently heavy, "purely" metal sound, would prove equally important in codifying the genre. The 1970 releases by Black Sabbath (Black Sabbathgenerally accepted as the first heavy metal album and Paranoid) and Deep Purple (Deep Purple in Rock) were crucial in this regard. Birmingham's Black Sabbath had developed a particularly heavy sound in part due to an industrial accident guitarist Tony Iommi suffered before cofounding the band. Unable to play normally, Iommi had to tune his guitar down for easier fretting and rely on power chords with their relatively simple fingering. The bleak, industrial, working class environment of Birmingham, a manufacturing city full of noisy factories and metalworking, has itself been credited with influencing Black Sabbath's heavy, chugging, metallic sound and the sound of heavy metal in general. Deep Purple had fluctuated between styles in its early years, but by 1969 vocalist Ian Gillan and guitarist Ritchie Blackmore had led the band toward the developing heavy metal style. In 1970, Black Sabbath and Deep Purple scored major UK chart hits with "Paranoid" and "Black Night", respectively. That same year, two other British bands released debut albums in a heavy metal mode: Uriah Heep with ...Very 'Eavy ...Very 'Umble and UFO with UFO 1. Bloodrock released their self-titled debut album, a collection of heavy guitar riffs, gruff style vocals and sadistic and macabre lyrics. The influential Budgie brought the new metal sound into a power trio context, creating some of the heaviest music of the time. The occult lyrics and imagery employed by Black Sabbath and Uriah Heep would prove particularly influential; Led Zeppelin also began foregrounding such elements with its fourth album, released in 1971. In 1973, Deep Purple released the song "Smoke on the Water", with the iconic riff that's usually considered as the most recognizable one in "heavy rock" history, as a single of the classic live album Made in Japan. On the other side of the Atlantic, the trend-setting group was Grand Funk Railroad, described as "the most commercially successful American heavy-metal band from 1970 until they disbanded in 1976, [they] established the Seventies success formula: continuous touring". Other influential bands identified with metal emerged in the U.S., such as Sir Lord Baltimore (Kingdom Come, 1970), Blue Öyster Cult (Blue Öyster Cult, 1972), Aerosmith (Aerosmith, 1973) and Kiss (Kiss, 1974). Sir Lord Baltimore's 1970 debut album and both Humble Pie's debut and self-titled third album were among the first albums to be described in print as "heavy metal", with As Safe As Yesterday Is referred to by the term "heavy metal" in a 1970 review in Rolling Stone magazine. Various smaller bands from the U.S., U.K, and Continental Europe, including Bang, Josefus, Leaf Hound, Primeval, Hard Stuff, Truth and Janey, Dust, JPT Scare Band, Frijid Pink, Cactus, May Blitz, Captain Beyond, Toad, Granicus, Iron Claw, and Yesterday's Children, though lesser known outside of their respective scenes, proved to be greatly influential on the emerging metal movement. In Germany, Scorpions debuted with Lonesome Crow in 1972. Blackmore, who had emerged as a virtuoso soloist with Deep Purple's highly influential album Machine Head (1972), left the band in 1975 to form Rainbow with Ronnie James Dio, singer and bassist for blues rock band Elf and future vocalist for Black Sabbath and heavy metal band Dio. Rainbow with Ronnie James Dio would expand on the mystical and fantasy-based lyrics and themes sometimes found in heavy metal, pioneering both power metal and neoclassical metal. These bands also built audiences via constant touring and increasingly elaborate stage shows. There are arguments about whether these and other early bands truly qualify as "heavy metal" or simply as "hard rock". Those closer to the music's blues roots or placing greater emphasis on melody are now commonly ascribed the latter label. AC/DC, which debuted with High Voltage in 1975, is a prime example. The 1983 Rolling Stone encyclopedia entry begins, "Australian heavy-metal band AC/DC". Rock historian Clinton Walker writes, "Calling AC/DC a heavy metal band in the seventies was as inaccurate as it is today. ... [They] were a rock 'n' roll band that just happened to be heavy enough for metal". The issue is not only one of shifting definitions, but also a persistent distinction between musical style and audience identification: Ian Christe describes how the band "became the stepping-stone that led huge numbers of hard rock fans into heavy metal perdition". In certain cases, there is little debate. After Black Sabbath, the next major example is Britain's Judas Priest, which debuted with Rocka Rolla in 1974. In Christe's description, Black Sabbath's audience was ... left to scavenge for sounds with similar impact. By the mid-1970s, heavy metal aesthetic could be spotted, like a mythical beast, in the moody bass and complex dual guitars of Thin Lizzy, in the stagecraft of Alice Cooper, in the sizzling guitar and showy vocals of Queen, and in the thundering medieval questions of Rainbow. ... Judas Priest arrived to unify and amplify these diverse highlights from hard rock's sonic palette. For the first time, heavy metal became a true genre unto itself. Though Judas Priest did not have a top 40 album in the United States until 1980, for many it was the definitive post-Sabbath heavy metal band; its twin-guitar attack, featuring rapid tempos and a non-bluesy, more cleanly metallic sound, was a major influence on later acts. While heavy metal was growing in popularity, most critics were not enamored of the music. Objections were raised to metal's adoption of visual spectacle and other trappings of commercial artifice, but the main offense was its perceived musical and lyrical vacuity: reviewing a Black Sabbath album in the early 1970s, Robert Christgau described it as "dull and decadent...dim-witted, amoral exploitation." Mainstream: late 1970s and 1980s Punk rock emerged in the mid-1970s as a reaction against contemporary social conditions as well as what was perceived as the overindulgent, overproduced rock music of the time, including heavy metal. Sales of heavy metal records declined sharply in the late 1970s in the face of punk, disco, and more mainstream rock. With the major labels fixated on punk, many newer British heavy metal bands were inspired by the movement's aggressive, high-energy sound and "lo-fi", do it yourself ethos. Underground metal bands began putting out cheaply recorded releases independently to small, devoted audiences. Motörhead, founded in 1975, was the first important band to straddle the punk/metal divide. With the explosion of punk in 1977, others followed. British music papers such as the NME and Sounds took notice, with Sounds writer Geoff Barton christening the movement the "New Wave of British Heavy Metal". NWOBHM bands including Iron Maiden, Saxon, and Def Leppard re-energized the heavy metal genre. Following the lead set by Judas Priest and Motörhead, they toughened up the sound, reduced its blues elements, and emphasized increasingly fast tempos. "This seemed to be the resurgence of heavy metal," noted Ronnie James Dio, who joined Black Sabbath in 1979. "I've never thought there was a desurgence of heavy metal – if that's a word! – but it was important to me that, yet again [after Rainbow], I could be involved in something that was paving the way for those who are going to come after me." By 1980, the NWOBHM had broken into the mainstream, as albums by Iron Maiden and Saxon, as well as Motörhead, reached the British top 10. Though less commercially successful, NWOBHM bands such as Venom and Diamond Head would have a significant influence on metal's development. In 1981, Motörhead became the first of this new breed of metal bands to top the UK charts with the live album No Sleep 'til Hammersmith. The first generation of metal bands was ceding the limelight. Deep Purple broke up soon after Blackmore's departure in 1975, and Led Zeppelin split following drummer John Bonham's death in 1980. Black Sabbath were plagued with infighting and substance abuse, while facing fierce competition from their opening band, Van Halen. Eddie Van Halen established himself as one of the leading metal guitarists of the era. His solo on "Eruption", from the band's self-titled 1978 album, is considered a milestone. Eddie Van Halen's sound even crossed over into pop music when his guitar solo was featured on the track "Beat It" by Michael Jackson (a U.S. number 1 in February 1983). Inspired by Van Halen's success, a metal scene began to develop in Southern California during the late 1970s. Based on the clubs of L.A.'s Sunset Strip, bands such as Motley Crue, Quiet Riot, Ratt, and W.A.S.P. were influenced by traditional heavy metal of the 1970s. These acts incorporated the theatrics (and sometimes makeup) of glam metal or "hair metal" such as Alice Cooper and Kiss. Glam metal bands were often visually distinguished by long, overworked hair styles accompanied by wardrobes which were sometimes considered cross-gender. The lyrics of these glam metal bands characteristically emphasized hedonism and wild behavior, including lyrics which involved sexual expletives and the use of narcotics. In the wake of the new wave of British heavy metal and Judas Priest's breakthrough British Steel (1980), heavy metal became increasingly popular in the early 1980s. Many metal artists benefited from the exposure they received on MTV, which began airing in 1981—sales often soared if a band's videos screened on the channel. Def Leppard's videos for Pyromania (1983) made them superstars in America and Quiet Riot became the first domestic heavy metal band to top the Billboard chart with Metal Health (1983). One of the seminal events in metal's growing popularity was the 1983 US Festival in California, where the "heavy metal day" featuring Ozzy Osbourne, Van Halen, Scorpions, Mötley Crüe, Judas Priest, and others drew the largest audiences of the three-day event. Between 1983 and 1984, heavy metal went from an 8 percent to a 20 percent share of all recordings sold in the U.S. Several major professional magazines devoted to the genre were launched, including Kerrang! (in 1981) and Metal Hammer (in 1984), as well as a host of fan journals. In 1985, Billboard declared, "Metal has broadened its audience base. Metal music is no longer the exclusive domain of male teenagers. The metal audience has become older (college-aged), younger (pre-teen), and more female". By the mid-1980s, glam metal was a dominant presence on the U.S. charts, music television, and the arena concert circuit. New bands such as L.A.'s Warrant and acts from the East Coast like Poison and Cinderella became major draws, while Mötley Crüe and Ratt remained very popular. Bridging the stylistic gap between hard rock and glam metal, New Jersey's Bon Jovi became enormously successful with its third album, Slippery When Wet (1986). The similarly styled Swedish band Europe became international stars with The Final Countdown (1986). Its title track hit number 1 in 25 countries. In 1987, MTV launched a show, Headbangers Ball, devoted exclusively to heavy metal videos. However, the metal audience had begun to factionalize, with those in many underground metal scenes favoring more extreme sounds and disparaging the popular style as "light metal" or "hair metal". One band that reached diverse audiences was Guns N' Roses. In contrast to their glam metal contemporaries in L.A., they were seen as much more raw and dangerous. With the release of their chart-topping Appetite for Destruction (1987), they "recharged and almost single-handedly sustained the Sunset Strip sleaze system for several years". The following year, Jane's Addiction emerged from the same L.A. hard-rock club scene with its major label debut, Nothing's Shocking. Reviewing the album, Rolling Stone declared, "as much as any band in existence, Jane's Addiction is the true heir to Led Zeppelin". The group was one of the first to be identified with the "alternative metal" trend that would come to the fore in the next decade. Meanwhile, new bands like New York City's Winger and New Jersey's Skid Row sustained the popularity of the glam metal style. Other heavy metal genres: 1980s, 1990s, and 2000s Many subgenres of heavy metal developed outside of the commercial mainstream during the 1980s such as crossover thrash. Several attempts have been made to map the complex world of underground metal, most notably by the editors of AllMusic, as well as critic Garry Sharpe-Young. Sharpe-Young's multivolume metal encyclopedia separates the underground into five major categories: thrash metal, death metal, black metal, power metal, and the related subgenres of doom and gothic metal. In 1990, a review in Rolling Stone suggested retiring the term "heavy metal" as the genre was "ridiculously vague". The article stated that the term only fueled "misperceptions of rock & roll bigots who still assume that five bands as different as Ratt, Extreme, Anthrax, Danzig and Mother Love Bone" sound the same. Thrash metal Thrash metal emerged in the early 1980s under the influence of hardcore punk and the new wave of British heavy metal, particularly songs in the revved-up style known as speed metal. The movement began in the United States, with Bay Area thrash metal being the leading scene. The sound developed by thrash groups was faster and more aggressive than that of the original metal bands and their glam metal successors. Low-register guitar riffs are typically overlaid with shredding leads. Lyrics often express nihilistic views or deal with social issues using visceral, gory language. Thrash has been described as a form of "urban blight music" and "a palefaced cousin of rap". The subgenre was popularized by the "Big Four of Thrash": Metallica, Anthrax, Megadeth, and Slayer. Three German bands, Kreator, Sodom, and Destruction, played a central role in bringing the style to Europe. Others, including San Francisco Bay Area's Testament and Exodus, New Jersey's Overkill, and Brazil's Sepultura and Sarcófago, also had a significant impact. Although thrash began as an underground movement, and remained largely that for almost a decade, the leading bands of the scene began to reach a wider audience. Metallica brought the sound into the top 40 of the Billboard album chart in 1986 with Master of Puppets, the genre's first platinum record. Two years later, the band's ...And Justice for All hit number 6, while Megadeth and Anthrax also had top 40 records on the American charts. Though less commercially successful than the rest of the Big Four, Slayer released one of the genre's definitive records: Reign in Blood (1986) was credited for incorporating heavier guitar timbres, and for including explicit depictions of death, suffering, violence and occult into thrash metal's lyricism. Slayer attracted a following among far-right skinheads, and accusations of promoting violence and Nazi themes have dogged the band. Even though Slayer did not receive substantial media exposure, their music played a key role in the development of extreme metal. In the early 1990s, thrash achieved breakout success, challenging and redefining the metal mainstream. Metallica's self-titled 1991 album topped the Billboard chart, as the band established international following. Megadeth's Countdown to Extinction (1992) debuted at number two, Anthrax and Slayer cracked the top 10, and albums by regional bands such as Testament and Sepultura entered the top 100. Death metal Thrash soon began to evolve and split into more extreme metal genres. "Slayer's music was directly responsible for the rise of death metal," according to MTV News. The NWOBHM band Venom was also an important progenitor. The death metal movement in both North America and Europe adopted and emphasized the elements of blasphemy and diabolism employed by such acts. Florida's Death, San Francisco Bay Area's Possessed, and Ohio's Necrophagia are recognized as seminal bands in the style. All three have been credited with inspiring the subgenre's name. Possessed in particular did so via their 1984 demo Death Metal and their song "Death Metal", which came from their 1985 debut album Seven Churches (1985). In the late 1980s and early 1990s, Swedish death metal became notable and melodic forms of death metal were created. Death metal utilizes the speed and aggression of both thrash and hardcore, fused with lyrics preoccupied with Z-grade slasher movie violence and Satanism. Death metal vocals are typically bleak, involving guttural "death growls", high-pitched screaming, the "death rasp", and other uncommon techniques. Complementing the deep, aggressive vocal style are downtuned, heavily distorted guitars and extremely fast percussion, often with rapid double bass drumming and "wall of sound"–style blast beats. Frequent tempo and time signature changes and syncopation are also typical. Death metal, like thrash metal, generally rejects the theatrics of earlier metal styles, opting instead for an everyday look of ripped jeans and plain leather jackets. One major exception to this rule was Deicide's Glen Benton, who branded an inverted cross on his forehead and wore armor on stage. Morbid Angel adopted
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emerged in the early 1980s under the influence of hardcore punk and the new wave of British heavy metal, particularly songs in the revved-up style known as speed metal. The movement began in the United States, with Bay Area thrash metal being the leading scene. The sound developed by thrash groups was faster and more aggressive than that of the original metal bands and their glam metal successors. Low-register guitar riffs are typically overlaid with shredding leads. Lyrics often express nihilistic views or deal with social issues using visceral, gory language. Thrash has been described as a form of "urban blight music" and "a palefaced cousin of rap". The subgenre was popularized by the "Big Four of Thrash": Metallica, Anthrax, Megadeth, and Slayer. Three German bands, Kreator, Sodom, and Destruction, played a central role in bringing the style to Europe. Others, including San Francisco Bay Area's Testament and Exodus, New Jersey's Overkill, and Brazil's Sepultura and Sarcófago, also had a significant impact. Although thrash began as an underground movement, and remained largely that for almost a decade, the leading bands of the scene began to reach a wider audience. Metallica brought the sound into the top 40 of the Billboard album chart in 1986 with Master of Puppets, the genre's first platinum record. Two years later, the band's ...And Justice for All hit number 6, while Megadeth and Anthrax also had top 40 records on the American charts. Though less commercially successful than the rest of the Big Four, Slayer released one of the genre's definitive records: Reign in Blood (1986) was credited for incorporating heavier guitar timbres, and for including explicit depictions of death, suffering, violence and occult into thrash metal's lyricism. Slayer attracted a following among far-right skinheads, and accusations of promoting violence and Nazi themes have dogged the band. Even though Slayer did not receive substantial media exposure, their music played a key role in the development of extreme metal. In the early 1990s, thrash achieved breakout success, challenging and redefining the metal mainstream. Metallica's self-titled 1991 album topped the Billboard chart, as the band established international following. Megadeth's Countdown to Extinction (1992) debuted at number two, Anthrax and Slayer cracked the top 10, and albums by regional bands such as Testament and Sepultura entered the top 100. Death metal Thrash soon began to evolve and split into more extreme metal genres. "Slayer's music was directly responsible for the rise of death metal," according to MTV News. The NWOBHM band Venom was also an important progenitor. The death metal movement in both North America and Europe adopted and emphasized the elements of blasphemy and diabolism employed by such acts. Florida's Death, San Francisco Bay Area's Possessed, and Ohio's Necrophagia are recognized as seminal bands in the style. All three have been credited with inspiring the subgenre's name. Possessed in particular did so via their 1984 demo Death Metal and their song "Death Metal", which came from their 1985 debut album Seven Churches (1985). In the late 1980s and early 1990s, Swedish death metal became notable and melodic forms of death metal were created. Death metal utilizes the speed and aggression of both thrash and hardcore, fused with lyrics preoccupied with Z-grade slasher movie violence and Satanism. Death metal vocals are typically bleak, involving guttural "death growls", high-pitched screaming, the "death rasp", and other uncommon techniques. Complementing the deep, aggressive vocal style are downtuned, heavily distorted guitars and extremely fast percussion, often with rapid double bass drumming and "wall of sound"–style blast beats. Frequent tempo and time signature changes and syncopation are also typical. Death metal, like thrash metal, generally rejects the theatrics of earlier metal styles, opting instead for an everyday look of ripped jeans and plain leather jackets. One major exception to this rule was Deicide's Glen Benton, who branded an inverted cross on his forehead and wore armor on stage. Morbid Angel adopted neo-fascist imagery. These two bands, along with Death and Obituary, were leaders of the major death metal scene that emerged in Florida in the mid-1980s. In the UK, the related style of grindcore, led by bands such as Napalm Death and Extreme Noise Terror, emerged from the anarcho-punk movement. Black metal The first wave of black metal emerged in Europe in the early and mid-1980s, led by the United Kingdom's Venom, Denmark's Mercyful Fate, Switzerland's Hellhammer and Celtic Frost, and Sweden's Bathory. By the late 1980s, Norwegian bands such as Mayhem and Burzum were heading a second wave. Black metal varies considerably in style and production quality, although most bands emphasize shrieked and growled vocals, highly distorted guitars frequently played with rapid tremolo picking, a dark atmosphere and intentionally lo-fi production, often with ambient noise and background hiss. Satanic themes are common in black metal, though many bands take inspiration from ancient paganism, promoting a return to supposed pre-Christian values. Numerous black metal bands also "experiment with sounds from all possible forms of metal, folk, classical music, electronica and avant-garde". Darkthrone drummer Fenriz explains, "It had something to do with production, lyrics, the way they dressed and a commitment to making ugly, raw, grim stuff. There wasn't a generic sound." Although bands such as Sarcófago had been donning corpsepaint, by 1990, Mayhem was regularly wearing corpsepaint; many other black metal acts also adopted the look. Bathory inspired the Viking metal and folk metal movements and Immortal brought blast beats to the fore. Some bands in the Scandinavian black metal scene became associated with considerable violence in the early 1990s, with Mayhem and Burzum linked to church burnings. Growing commercial hype around death metal generated a backlash; beginning in Norway, much of the Scandinavian metal underground shifted to support a black metal scene that resisted being co-opted by the commercial metal industry. By 1992, black metal scenes had begun to emerge in areas outside Scandinavia, including Germany, France, and Poland. The 1993 murder of Mayhem's Euronymous by Burzum's Varg Vikernes provoked intensive media coverage. Around 1996, when many in the scene felt the genre was stagnating, several key bands, including Burzum and Finland's Beherit, moved toward an ambient style, while symphonic black metal was explored by Sweden's Tiamat and Switzerland's Samael. In the late 1990s and early 2000s decade, Norway's Dimmu Borgir brought black metal closer to the mainstream, as did Cradle of Filth. Power metal During the late 1980s, the power metal scene came together largely in reaction to the harshness of death and black metal. Though a relatively underground style in North America, it enjoys wide popularity in Europe, Japan, and South America. Power metal focuses on upbeat, epic melodies and themes that "appeal to the listener's sense of valor and loveliness". The prototype for the sound was established in the mid-to-late 1980s by Germany's Helloween, which in their 1987 and 1988 Keeper of the Seven Keys albums combined the power riffs, melodic approach, and high-pitched, "clean" singing style of bands like Judas Priest and Iron Maiden with thrash's speed and energy, "crystalliz[ing] the sonic ingredients of what is now known as power metal". Traditional power metal bands like Sweden's HammerFall, England's DragonForce, and America's Iced Earth have a sound clearly indebted to the classic NWOBHM style. Many power metal bands such as America's Kamelot, Finnish groups Nightwish, Stratovarius and Sonata Arctica, Italy's Rhapsody of Fire, and Russia's Catharsis feature a keyboard-based "symphonic" sound, sometimes employing orchestras and opera singers. Power metal has built a strong fanbase in Japan and South America, where bands like Brazil's Angra and Argentina's Rata Blanca are popular. Closely related to power metal is progressive metal, which adopts the complex compositional approach of bands like Rush and King Crimson. This style emerged in the United States in the early and mid-1980s, with innovators such as Queensrÿche, Fates Warning, and Dream Theater. The mix of the progressive and power metal sounds is typified by New Jersey's Symphony X, whose guitarist Michael Romeo is among the most recognized of latter-day shredders. Doom metal Emerging in the mid-1980s with such bands as California's Saint Vitus, Maryland's The Obsessed, Chicago's Trouble, and Sweden's Candlemass, the doom metal movement rejected other metal styles' emphasis on speed, slowing its music to a crawl. Doom metal traces its roots to the lyrical themes and musical approach of early Black Sabbath. The Melvins have also been a significant influence on doom metal and a number of its subgenres. Doom emphasizes melody, melancholy tempos, and a sepulchral mood relative to many other varieties of metal. The 1991 release of Forest of Equilibrium, the debut album by UK band Cathedral, helped spark a new wave of doom metal. During the same period, the doom-death fusion style of British bands Paradise Lost, My Dying Bride, and Anathema gave rise to European gothic metal. with its signature dual-vocalist arrangements, exemplified by Norway's Theatre of Tragedy and Tristania. New York's Type O Negative introduced an American take on the style. In the United States, sludge metal, mixing doom and hardcore, emerged in the late 1980s—Eyehategod and Crowbar were leaders in a major Louisiana sludge scene. Early in the next decade, California's Kyuss and Sleep, inspired by the earlier doom metal bands, spearheaded the rise of stoner metal, while Seattle's Earth helped develop the drone metal subgenre. The late 1990s saw new bands form such as the Los Angeles–based Goatsnake, with a classic stoner/doom sound, and Sunn O))), which crosses lines between doom, drone, and dark ambient metal—the New York Times has compared their sound to an "Indian raga in the middle of an earthquake". 1990s and early 2000s subgenres and fusions The era of heavy metal's mainstream dominance in North America came to an end in the early 1990s with the emergence of Nirvana and other grunge bands, signaling the popular breakthrough of alternative rock. Grunge acts were influenced by the heavy metal sound, but rejected the excesses of the more popular metal bands, such as their "flashy and virtuosic solos" and "appearance-driven" MTV orientation. Glam metal fell out of favor due not only to the success of grunge, but also because of the growing popularity of the more aggressive sound typified by Metallica and the post-thrash groove metal of Pantera and White Zombie. In 1991, the band Metallica released their album Metallica, also known as The Black Album, which moved the band's sound out of the thrash metal genre and into standard heavy metal. The album was certified 16× Platinum by the RIAA. A few new, unambiguously metal bands had commercial success during the first half of the decade—Pantera's Far Beyond Driven topped the Billboard chart in 1994—but, "In the dull eyes of the mainstream, metal was dead". Some bands tried to adapt to the new musical landscape. Metallica revamped its image: the band members cut their hair and, in 1996, headlined the alternative musical festival Lollapalooza founded by Jane's Addiction singer Perry Farrell. While this prompted a backlash among some long-time fans, Metallica remained one of the most successful bands in the world into the new century. Like Jane's Addiction, many of the most popular early 1990s groups with roots in heavy metal fall under the umbrella term "alternative metal". Bands in Seattle's grunge scene such as Soundgarden, credited as making a "place for heavy metal in alternative rock", and Alice in Chains were at the center of the alternative metal movement. The label was applied to a wide spectrum of other acts that fused metal with different styles: Faith No More combined their alternative rock sound with punk, funk, metal, and hip hop; Primus joined elements of funk, punk, thrash metal, and experimental music; Tool mixed metal and progressive rock; bands such as Fear Factory, Ministry and Nine Inch Nails began incorporating metal into their industrial sound, and vice versa, respectively; and Marilyn Manson went down a similar route, while also employing shock effects of the sort popularized by Alice Cooper. Alternative metal artists, though they did not represent a cohesive scene, were united by their willingness to experiment with the metal genre and their rejection of glam metal aesthetics (with the stagecraft of Marilyn Manson and White Zombie—also identified with alt-metal—significant, if partial, exceptions). Alternative metal's mix of styles and sounds represented "the colorful results of metal opening up to face the outside world." In the mid- and late 1990s came a new wave of U.S. metal groups inspired by the alternative metal bands and their mix of genres. Dubbed "nu metal", bands such as Slipknot, Linkin Park, Limp Bizkit, Papa Roach, P.O.D., Korn and Disturbed incorporated elements ranging from death metal to hip hop, often including DJs and rap-style vocals. The mix demonstrated that "pancultural metal could pay off". Nu metal gained mainstream success through heavy MTV rotation and Ozzy Osbourne's 1996 introduction of Ozzfest, which led the media to talk of a resurgence of heavy metal. In 1999, Billboard noted that there were more than 500 specialty metal radio shows in the United States, nearly three times as many as ten years before. While nu metal was widely popular, traditional metal fans did not fully embrace the style. By early 2003, the movement's popularity was on the wane, though several nu metal acts such as Korn or Limp Bizkit retained substantial followings. Recent styles: mid–late 2000s and 2010s Metalcore, a hybrid of extreme metal and hardcore punk, emerged as a commercial force in the mid-2000s decade. Through the 1980s and 1990s, metalcore was mostly an underground phenomenon; pioneering bands include Earth Crisis, other prominent bands include Converge, Hatebreed and Shai Hulud. By 2004, melodic metalcore—influenced as well by melodic death metal—was popular enough that Killswitch Engage's The End of Heartache and Shadows Fall's The War Within debuted at numbers 21 and 20, respectively, on the Billboard album chart. Evolving even further from metalcore comes mathcore, a more rhythmically complicated and progressive style brought to light by bands such as The Dillinger Escape Plan, Converge, and Protest the Hero. Mathcore's main defining quality is the use of odd time signatures, and has been described to possess rhythmic comparability to free jazz. Heavy metal remained popular in the 2000s, particularly in continental Europe. By the new millennium Scandinavia had emerged as one of the areas producing innovative and successful bands, while Belgium, The Netherlands and especially Germany were the most significant markets. Metal music is more favorably embraced in Scandinavia and Northern Europe than other regions due to social and political openness in these regions; especially Finland has been often called the "Promised Land of Heavy Metal", because nowadays there are more than 50 metal Bands for every 100,000 inhabitants – more than any other nation in the world. Established continental metal bands that placed multiple albums in the top 20 of the German charts between 2003 and 2008, including Finnish band Children of Bodom, Norwegian act Dimmu Borgir, Germany's Blind Guardian and Sweden's HammerFall. In the 2000s, an extreme metal fusion genre known as deathcore emerged. Deathcore incorporates elements of death metal, hardcore punk and metalcore. Deathcore features characteristics such as death metal riffs, hardcore punk breakdowns, death growling, "pig squeal"-sounding vocals, and screaming. Deathcore bands include Whitechapel, Suicide Silence, Despised Icon and Carnifex. The term "retro-metal" has been used to describe bands such as Texas-based The Sword, California's High on Fire, Sweden's Witchcraft, and Australia's Wolfmother. The Sword's Age of Winters (2006) drew heavily on the work of Black Sabbath and Pentagram, Witchcraft added elements of folk rock and psychedelic rock, and Wolfmother's self-titled 2005 debut album had "Deep Purple-ish organs" and "Jimmy Page-worthy chordal riffing". Mastodon, which plays in a progressive/sludge style, has inspired claims of a metal revival in the United States, dubbed by some critics the "New Wave of American Heavy Metal". By the early 2010s, metalcore was evolving to more frequently incorporate synthesizers and elements from genres beyond rock and metal. The album Reckless & Relentless by British band Asking Alexandria (which sold 31,000 copies in its first week), and The Devil Wears Prada's 2011 album Dead Throne (which sold 32,400 in its first week) reached up to number 9 and 10, respectively, on the Billboard 200 chart. In 2013, British band Bring Me the Horizon released their fourth studio album Sempiternal to critical acclaim. The album debuted at number 3 on the UK Album Chart and at number 1 in Australia. The album sold 27,522 copies in the US, and charted at number 11 on the US Billboard Chart, making it their highest charting release in America until their follow-up album That's the Spirit debuted at no. 2 in 2015. Also in the 2010s, a metal style called "djent" developed as a spinoff of standard progressive metal. Djent music uses rhythmic and technical complexity, heavily distorted, palm-muted guitar chords, syncopated riffs and polyrhythms alongside virtuoso soloing. Another typical characteristic is the use of extended range seven, eight, and nine-string guitars. Djent bands include Periphery, Tesseract and Textures. Fusion of nu metal with electropop by singer-songwriters Poppy, Grimes and Rina Sawayama saw a popular and critical revival of the former genre in the late 2010s and 2020s, particular on their respective albums I Disagree, Miss Anthropocene and Sawayama. Women in heavy metal Women's involvement in heavy metal began in the 1970s when Genesis, the forerunner of Vixen, formed in 1973. The hard rock band featuring all-female members, The Runaways, was founded in 1975; Joan Jett and Lita Ford later had successful solo careers. In 1978, during the rise of the new wave of British heavy metal, the band Girlschool was founded, and in 1980 collaborated with Motörhead under the pseudonym Headgirl. Starting in 1984, Doro Pesch, dubbed "the Metal Queen", reached success across Europe leading the German band Warlock, before starting her solo career. In 1994, Liv Kristine joined Norwegian gothic metal band Theatre of Tragedy, providing 'angelic' female clean vocals to contrast with male death growls. In 1996, Finnish band Nightwish was founded, featuring Tarja Turunen's vocals. This was followed by more women fronting heavy metal bands, such as Halestorm, In This Moment, Within Temptation, Arch Enemy, and Epica among others. In Japan, the 2010s saw a boom of all-female metal bands including Destrose, Aldious, Mary's Blood, Cyntia, and Lovebites. Liv Kristine was featured on the title track of Cradle of Filth's 2004 album Nymphetamine which was nominated for the 2004 Grammy Award for Best Metal Performance. In 2013, Halestorm won the Grammy in the combined category of Best Hard Rock/Metal Performance for "Love Bites (So Do I)". In 2021, In This Moment, Code Orange and Poppy were all nominated in the Best Metal Performance category. Women such as Gaby Hoffmann and Sharon Osbourne have held important managerial role behind the scenes. In 1981, Hoffmann helped Don Dokken acquire his first record deal. Hoffmann also became the manager of Accept in 1981 and wrote songs under the pseudonym of "Deaffy" for many of band's studio albums. Vocalist Mark Tornillo stated that Hoffmann still had some influence in songwriting on their later albums. Osbourne, the wife and manager of Ozzy Osbourne, founded the Ozzfest music festival and managed several bands, including Motörhead, Coal Chamber, The Smashing Pumpkins, Electric Light Orchestra, Lita Ford and Queen. Sexism The popular media and academia have long charged heavy metal with sexism and misogyny. In the 1980s, American conservative groups like the Parents Music Resource Center (PMRC) and the Parent Teacher Association (PTA) coopted feminist views on anti-woman violence to form attacks on metal's rhetoric and imagery. According to Robert Christgau in 2001, metal, along with hip hop, have made "reflexive and violent sexism … current in the music". In response to such claims, debates in the metal press have centered on defining and contextualizing sexism. Hill claims that "understanding what counts as sexism is complex and requires critical work by fans when sexism is normalised." Citing her own research, including interviews of British female fans, she finds that metal offers them an opportunity to feel liberated and genderless, albeit if assimilated into a culture that is largely neglectful of women. In 2018, Metal Hammer editor Eleanor Goodman published an article titled "Does Metal Have a Sexism Problem?", interviewing veteran industry people and artists about the plight of women in metal. Some talked about a history of difficulty receiving professional respect from male counterparts. Among those interviewed was Wendy Dio, who had worked in label, booking, and legal capacities in the music industry before her marriage to and management of metal artist Ronnie James Dio. She said that after marrying Dio, her professional reputation became reduced to her marital role as his wife and her competency was questioned. Gloria Cavalera, former manager of Sepultura and wife of the band's former frontman Max Cavalera, said that since 1996 she had received misogynistic hate-mail and death threats from fans and that, "Women take a lot of crap. This whole #metoo thing, do they think it just started? That has gone on since the pictures of the cavemen pulling girls by their hair." Notes References Bibliography Arnold, Denis (1983). "Consecutive Intervals", in The New Oxford Companion to Music, Volume 1: A-J. Oxford University Press. . Arnett, Jeffrey Jensen (1996). Metalheads: Heavy Metal Music and Adolescent Alienation. Westview Press. . Berelian, Essi (2005). Rough Guide to Heavy Metal. Rough Guides. Foreword by Bruce Dickinson of Iron Maiden. . Berry, Mick and Jason Gianni (2003). The Drummer's Bible: How to Play Every Drum Style from Afro-Cuban to Zydeco. See Sharp Press. . Blake, Andrew (1997). The Land Without Music: Music, Culture and Society in Twentieth-century Britain. Manchester University Press. . Buckley, Peter (2003). The Rough Guide to Rock. Rough Guides. . Braunstein, P. and Doyle, M. W., Imagine Nation: the American Counterculture of the 1960s and '70s (London: Routledge, 2002), . Bukszpan, D. (2003), The Encyclopedia of Heavy Metal. Barnes & Noble. . Carson, Annette (2001). Jeff Beck: Crazy Fingers. Backbeat Books. . Charlton, Katherine (2003). Rock Music Styles: A History. McGraw Hill. . Christe, Ian (2003). Sound of the Beast: The Complete Headbanging History of Heavy Metal. HarperCollins. . Christgau, Robert (1981). "Master of Reality (1971) [review]", in Christgau's Record Guide. Ticknor & Fields. . Cook, Nicholas, and Nicola Dibben (2001). "Musicological Approaches to Emotion", in Music and Emotion. Oxford University Press. . Du Noyer, Paul (ed.) (2003). The Illustrated Encyclopedia of Music. Flame Tree. Ekeroth, Daniel (2011), Swedish Death Metal. Bazillion Points. Ewing, Charles Patrick, and Joseph T. McCann (2006). Minds on Trial: Great Cases in Law
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found that Caesar had already dismantled the bridge of Geneva to stop their advance. The Helvetians sent “the most illustrious men of their state” to negotiate, promising a peaceful passage through the Provincia. Caesar stalled them by asking for some time for consideration, which he used to assemble reinforcements and to fortify the southern banks of the Rhône. When the embassy returned on the agreed-upon date, he was strong enough to bluntly reject their offer. The Helvetii now chose the more difficult northern route through the Sequani territory, which traversed the Jura Mountains via a very narrow pass at the site of the modern Fort l'Écluse, but bypassed the Provincia. After ravaging the lands of the Aedui tribe, who called upon Caesar to help them, they began the crossing of the Saône, which took them several days. As only a quarter of their forces were left on the eastern banks, Caesar attacked and routed them. According to Caesar, those killed had been the Tigurini, on whom he had now taken revenge in the name of the Republic and his family. After the battle, the Romans quickly bridged the river, thereby prompting the Helvetii to once again send an embassy, this time led by Divico, another figure whom Caesar links to the ignominious defeat of 107 BC by calling him bello Cassio dux Helvetiorum (i.e. “leader of the Helvetii in the Cassian campaign”). What Divico had to offer was almost a surrender, namely to have the Helvetii settle wherever Caesar wished them to, although it was combined with the threat of an open battle if Caesar should refuse. Caesar demanded hostages to be given to him and reparations to the Aedui and Allobroges. Divico responded by saying that “they were accustomed to receive, not to give hostages; a fact the Roman people could testify to“, this once again being an allusion to the giving of hostages by the defeated Romans at Agen. Battle of Bibracte In the cavalry battle that followed, the Helvetii prevailed over Caesar's Aedui allies under Dumnorix’ command, and continued their journey, while Caesar’s army was being detained by delays in his grain supplies, caused by the Aedui on the instigations of Dumnorix, who had married Orgetorix’ daughter. A few days later, however, near the Aeduan oppidum Bibracte, Caesar caught up with the Helvetii and faced them in a major battle, which ended in the Helvetii's retreat and the capture of most of their baggage by the Romans. Leaving the largest part of their supplies behind, the Helvetii covered around 60 km in four days, eventually reaching the lands of the Lingones (the modern Langres plateau). Caesar did not pursue them until three days after the battle, while still sending messengers to the Lingones warning them not to assist the Helvetii in any way. The Helvetii then offered their immediate surrender and agreed both to providing hostages and to giving up their weapons the next day. In the course of the night, 6000 of the Verbigeni fled from the camp out of fear of being massacred once they were defenceless. Caesar sent riders after them and ordered those who were brought back to be “counted as enemies”, which probably meant being sold into slavery. Return of the migrants In order for them to defend the Rhine frontier against the Germans, he then allowed the Helvetii, Tulingi and Latobrigi to return to their territories and to rebuild their homes, instructing the Allobroges to supply them with a sufficient supply of grain. Caesar does not mention the Raurici, who seem to have built a new oppidum at Basel-Münsterhügel upon their return. The Aedui were granted their wish that the Boii who had accompanied the Helvetii would settle on their own territory as allies in the oppidum Gorgobina. The nature of Caesar's arrangement with the Helvetii and the other tribes is not further specified by the consul himself, but in his speech Pro Balbo of 56 BC, Cicero mentions the Helvetii as one among several tribes of foederati, i.e. allied nations who were neither citizens of the Republic nor her subjects, but obliged by treaty to support the Romans with a certain number of fighting men. Caesar's report of the numbers According to the victor, tablets with lists in Greek characters were found at the Helvetian camp, listing in detail all men able to bear arms with their names and giving a total number for the women, children and elderly who accompanied them. The numbers added up to a total of 263,000 Helvetii, 36,000 Tulingi, 14,000 Latobrigi, 23,000 Rauraci, and 32,000 Boii, all in all 368,000 heads, 92,000 of whom were warriors. A census of those who had returned to their homes listed 110,000 survivors, which meant that only about 30 percent of the emigrants had survived the war. Caesar's report has been partly confirmed by excavations near Geneva and Bibracte. However, much of his account has not yet been corroborated by archaeology, whilst his narrative must in wide parts be considered as biased and, in some points, unlikely. For a start, only one out of the fifteen Celtic oppida in the Helvetii territory so far has yielded evidence for destruction by fire. Many other sites, for example the sanctuary at Mormont, do not exhibit any signs of damage for the period in question, and Celtic life continued seemingly undisturbed for the rest of the 1st century BC up to the beginning of the Roman era, with an accent rather on an increase in prosperity than on a “Helvetic twilight”. With the honourable status as foederati taken into account, it is hard to believe that the Helvetii ever sustained casualties quite as heavy as those given by the Roman military leader. In general, numbers written down by ancient military authors have to be taken as gross exaggerations.<ref>Cf. G Walser, Caesar und die Germanen. Studien zur polit. Tendenz römischer Feldzubgerichte.” Historia, Einzelschrifen, Vol. 1, 1956.</ref> What Caesar claims to have been 368,000 people is estimated by other sources to be rather around 300,000 (Plutarch), or 200,000 (Appian); in the light of a critical analysis, even these numbers seem far too high. Furger-Gunti considers an army of more than 60,000 fighting men extremely unlikely in the view of the tactics described, and assumes the actual numbers to have been around 40,000 warriors out of a total of 160,000 emigrants. Delbrück suggests an even lower number of 100,000 people, out of which only 16,000 were fighters, which would make the Celtic force about half the size of the Roman body of c. 30,000 men. The real numbers will never be determined exactly. Caesar's specifications can at least be doubted by looking at the size of the baggage train that an exodus of 368,000 people would have required: Even for the reduced numbers that Furger-Gunti uses for his calculations, the baggage train would have stretched for at least 40 km, perhaps even as far as 100 km. In spite of the now much more balanced numerical weight we have to assume for the two opposing armies, the battle seems far less glorious a victory than Caesar presented it to be. The main body of the Helvetii withdrew from the battle at nightfall, abandoning, as it seemed, most of their wagons, which they had drawn up into a wagon fort; they retreated northwards in a forced night march and reached the territory of the Lingones four days after the battle. What Caesar implies to have been a desperate flight without stopping could actually have been an ordered retreat of moderate speed, covering less than 40 km a day. Caesar himself does not appear as a triumphant victor in turn, being unable to pursue the Helvetii for three days, “both on account of the wounds of the soldiers and the burial of the slain“. However, it is clear that Caesar's warning to the Lingones not to supply his enemies was quite enough to make the Helvetii leaders once again offer peace. On what terms this peace was made is debatable, but as said before, the conclusion of a foedus casts some doubt on the totality of the defeat. Questions of motive As Caesar's account is heavily influenced by his political agenda, it is difficult to determine the actual motive of the Helvetii movement of 58 BC. One might see the movement in the light of a Celtic retreat from areas which were later to become Germanic; it can be debated whether they ever had plans to settle in the Saintonge, as Caesar claims (Bell. Gall. 1,10.). It was certainly in the latter's personal interest to emphasise any kind of parallel between the traumatic experience of the Cimbrian and Teutonic incursions and the alleged threat that the Helvetii were to the Roman world. The Tigurini's part in the destruction of L. Cassius Longinus and his army was a welcome pretext to engage in an offensive war in Gaul whose proceeds permitted Caesar not only to fulfil his obligations to the numerous creditors he owed money to, but also to further strengthen his position within the late Republic. In this sense, even the character of Divico, who makes his appearance in the Commentarii half a century after his victory over L. Cassius Longinus, seems more like another hackneyed argument stressing Caesar's justification to attack, than like an actual historical figure. That the victor of Agen was still alive in 58 BC or, if yes, that he was physically still capable of undertaking such a journey at all, seems more than doubtful. Nevertheless, Divico became somewhat of a hero within the Swiss national feeling of the 19th century and in the course of the "Geistige Landesverteidigung" of the 20th century. The Helvetii as Roman subjects The Helvetii and Rauraci most likely lost their status as foederati only six years after the battle of Bibracte, when they supported Vercingetorix in 52 BC with 8,000 and 2,000 men, respectively. Sometime between 50 and 45 BC, the Romans founded the Colonia Iulia Equestris at the site of the Helvetian settlement Noviodunum (modern Nyon), and around 44 BC the Colonia Raurica on Rauracan territory. These colonies were probably established as a means of controlling the two most important military access routes between the Helvetian territory and the rest of Gaul, blocking the passage through the Rhône valley and Sundgau. In the course of Augustus' reign, Roman dominance became more concrete. Some of the traditional Celtic oppida were now used as legionary garrisons, such as Vindonissa or Basilea (modern Basel); others were relocated, such as the hill-fort on the Bois de Châtel, whose inhabitants founded the new “capital” of the civitas at nearby Aventicum. First incorporated into the Roman province of Gallia Belgica, later into the Germania Superior and finally into the Diocletian province of Maxima Sequanorum, the former territories of the Helvetii and their inhabitants were as thoroughly romanised as the rest of Gaul. The rising of 68/69 AD What seems to have been the last action of the Helvetii as a tribal entity happened shortly after the death of emperor Nero in 68 AD. Like the other Gallic tribes, the Helvetii were organised as a civitas; they even retained their traditional grouping into four pagi
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100 km. In spite of the now much more balanced numerical weight we have to assume for the two opposing armies, the battle seems far less glorious a victory than Caesar presented it to be. The main body of the Helvetii withdrew from the battle at nightfall, abandoning, as it seemed, most of their wagons, which they had drawn up into a wagon fort; they retreated northwards in a forced night march and reached the territory of the Lingones four days after the battle. What Caesar implies to have been a desperate flight without stopping could actually have been an ordered retreat of moderate speed, covering less than 40 km a day. Caesar himself does not appear as a triumphant victor in turn, being unable to pursue the Helvetii for three days, “both on account of the wounds of the soldiers and the burial of the slain“. However, it is clear that Caesar's warning to the Lingones not to supply his enemies was quite enough to make the Helvetii leaders once again offer peace. On what terms this peace was made is debatable, but as said before, the conclusion of a foedus casts some doubt on the totality of the defeat. Questions of motive As Caesar's account is heavily influenced by his political agenda, it is difficult to determine the actual motive of the Helvetii movement of 58 BC. One might see the movement in the light of a Celtic retreat from areas which were later to become Germanic; it can be debated whether they ever had plans to settle in the Saintonge, as Caesar claims (Bell. Gall. 1,10.). It was certainly in the latter's personal interest to emphasise any kind of parallel between the traumatic experience of the Cimbrian and Teutonic incursions and the alleged threat that the Helvetii were to the Roman world. The Tigurini's part in the destruction of L. Cassius Longinus and his army was a welcome pretext to engage in an offensive war in Gaul whose proceeds permitted Caesar not only to fulfil his obligations to the numerous creditors he owed money to, but also to further strengthen his position within the late Republic. In this sense, even the character of Divico, who makes his appearance in the Commentarii half a century after his victory over L. Cassius Longinus, seems more like another hackneyed argument stressing Caesar's justification to attack, than like an actual historical figure. That the victor of Agen was still alive in 58 BC or, if yes, that he was physically still capable of undertaking such a journey at all, seems more than doubtful. Nevertheless, Divico became somewhat of a hero within the Swiss national feeling of the 19th century and in the course of the "Geistige Landesverteidigung" of the 20th century. The Helvetii as Roman subjects The Helvetii and Rauraci most likely lost their status as foederati only six years after the battle of Bibracte, when they supported Vercingetorix in 52 BC with 8,000 and 2,000 men, respectively. Sometime between 50 and 45 BC, the Romans founded the Colonia Iulia Equestris at the site of the Helvetian settlement Noviodunum (modern Nyon), and around 44 BC the Colonia Raurica on Rauracan territory. These colonies were probably established as a means of controlling the two most important military access routes between the Helvetian territory and the rest of Gaul, blocking the passage through the Rhône valley and Sundgau. In the course of Augustus' reign, Roman dominance became more concrete. Some of the traditional Celtic oppida were now used as legionary garrisons, such as Vindonissa or Basilea (modern Basel); others were relocated, such as the hill-fort on the Bois de Châtel, whose inhabitants founded the new “capital” of the civitas at nearby Aventicum. First incorporated into the Roman province of Gallia Belgica, later into the Germania Superior and finally into the Diocletian province of Maxima Sequanorum, the former territories of the Helvetii and their inhabitants were as thoroughly romanised as the rest of Gaul. The rising of 68/69 AD What seems to have been the last action of the Helvetii as a tribal entity happened shortly after the death of emperor Nero in 68 AD. Like the other Gallic tribes, the Helvetii were organised as a civitas; they even retained their traditional grouping into four pagi and enjoyed a certain inner autonomy, including the defence of certain strongholds by their own troops. In the civil war which followed Nero's death, the civitas Helvetiorum supported Galba; unaware of his death, they refused to accept the authority of his rival, Vitellius. The Legio XXI Rapax, stationed in Vindonissa and favouring Vitellius, stole the pay of a Helvetian garrison, which prompted the Helvetians to intercept Vitellian messengers and detain a Roman detachment. Aulus Caecina Alienus, a former supporter of Galba who was now at the head of a Vitellian invasion of Italy, launched a massive punitive campaign, crushing the Helvetii under their commander Claudius Severus and routing the remnants of their forces at Mount Vocetius, killing and enslaving thousands. The capital Aventicum surrendered, and Julius Alpinus, head of what was now seen as a Helvetian uprising, was executed. In spite of the extensive damage and devastations the civitas had already sustained, according to Tacitus the Helvetii were saved from total annihilation owing to the pleas of one Claudius Cossus, a Helvetian envoy to Vitellius, and, as Tacitus puts it, “of well-known eloquence”. Legacy Roman occupation in the aftermath of the Gallic Wars had pacified the Celtic-Germanic contact zone along the Rhine. The Suebi and Marcomanni who under Ariovistus had planned to invade Gaul were pushed back beyond the Black Forest, where they amalgamated into the future Alemanni. The Romans allowed Germanic tribes such as the Ubii, Triboci, Nemetes and Vangiones to settle in the deserted areas left of the Rhine. On the right bank of the Upper Rhine, which according to the testimony of Tacitus (Germania 28) had formerly also been occupied by the Helvetians, both the historical and archaeological records are sparse. Ptolemy (2.4.11) in the 2nd century uses the term Eremus Helvetiorum (also rendered Heremus Helvetiorum) "desolation of the Helvetians" to refer to this area (largely corresponding to modern Baden). The term was adopted by Aegidius Tschudi in the 16th century, and remains in use in modern historiography (German: Helvetier-Einöde). It has been proposed that the area inhabited by the Helvetians had extended beyond the Swiss plateau, far into what is now Baden-Württemberg, but had been displaced in the course of the Cimbrian War, some two generations prior to Caesar's invasion of Gaul. The Swiss plateau was gradually romanized during the 1st to 3rd centuries. The principal Roman settlements were the cities of Iulia Equestris (Nyon), Aventicum (Avenches), Augusta Raurica (Augst) and Vindonissa (Windisch). Evidence has also been found of almost twenty Roman villages (vici) and hundreds of villas. In
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previous novel) has been discovered. The Bene Gesserit intends to use a Tleilaxu-provided Duncan Idaho ghola to gain control of this sandrider, and the religious forces of humanity who they know will ultimately worship her. The Tleilaxu have altered the ghola to bring its physical reflexes up to modern standards. The Bene Gesserit leader, Mother Superior Taraza, brings Miles Teg (also descended from Siona) to guard the new Idaho. Taraza also sends Reverend Mother Darwi Odrade to take command of the Bene Gesserit keep on Rakis. Odrade is a loose cannon; she does not obey normal Bene Gesserit prohibitions about love, and is also Teg's biological daughter. Bene Gesserit Imprinter Lucilla (yet another descendant of Siona's) is also sent by Taraza to bind Idaho's loyalty to the Sisterhood with her sexual talents. However, Lucilla must deal with Reverend Mother Schwangyu, head of the ghola project but also the leader of a faction within the Bene Gesserit who feel the gholas are a danger. Above the planet Gammu (formerly known as Giedi Prime), Taraza is captured and held hostage by the Honored Matres aboard an Ixian no-ship. The Honored Matres insist Taraza invite Teg to the ship, hoping to gain control of the ghola project. Teg manages to turn the tables on the Matres, and rescues the Mother Superior and her party. An attack is then made on Sheeana on Rakis, which is prevented by the intervention of the Bene Gesserit. Odrade starts training Sheeana as a Bene Gesserit. At about the same time an attempt is made on the life of Idaho, but Teg is able to defeat it. Teg flees with Duncan and Lucilla into the countryside. In an ancient Harkonnen no-globe, Teg proceeds to awaken Idaho's original memories, but does so before Lucilla can imprint Duncan and thus tie him to the Sisterhood. In the meantime, Taraza has sent her trusted general Burzmali to search for Teg and his party, who finally establishes contact with Teg, his former mentor. During the operation, however, Teg and his companions are ambushed. Teg is captured while Lucilla and Duncan escape. Teg is tortured by a T-Probe, but under pressure discovers
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new civilization has risen, with three dominant powers: the Ixians, whose no-ships are capable of piloting between the stars and are invisible to outside detection; the Bene Tleilax, who have learned to manufacture spice in their axlotl tanks and have created a new breed of Face Dancers; and the Bene Gesserit, a matriarchal order of subtle political manipulators who possess superhuman abilities. However, people from the Scattering are returning with their own peculiar powers. The most powerful of these forces are the Honored Matres, a violent society of women bred and trained for combat and the sexual control of men. On Rakis, a girl who can control the giant worms called Sheeana (later revealed to be a descendant of Siona from the previous novel) has been discovered. The Bene Gesserit intends to use a Tleilaxu-provided Duncan Idaho ghola to gain control of this sandrider, and the religious forces of humanity who they know will ultimately worship her. The Tleilaxu have altered the ghola to bring its physical reflexes up to modern standards. The Bene Gesserit leader, Mother Superior Taraza, brings Miles Teg (also descended from Siona) to guard the new Idaho. Taraza also sends Reverend Mother Darwi Odrade to take command of the Bene Gesserit keep on Rakis. Odrade is a loose cannon; she does not obey normal Bene Gesserit prohibitions about love, and is also Teg's biological daughter. Bene Gesserit Imprinter Lucilla (yet another descendant of Siona's) is also sent by Taraza to bind Idaho's loyalty to the Sisterhood with her sexual talents. However, Lucilla must deal with Reverend Mother Schwangyu, head of the ghola project but also the leader of a faction within the Bene Gesserit who feel the gholas are a danger. Above the planet Gammu (formerly known as Giedi Prime), Taraza is captured and held hostage by the Honored Matres aboard an Ixian no-ship. The Honored Matres insist Taraza invite Teg to the ship, hoping to gain control of the ghola project. Teg manages to turn the tables on the Matres, and rescues the Mother Superior and her party. An attack is then made on Sheeana on Rakis, which is prevented by the intervention of the Bene Gesserit. Odrade starts training Sheeana as a Bene Gesserit. At about the same time an attempt is made on the life of Idaho, but Teg is able to defeat it. Teg flees with Duncan and Lucilla into the countryside. In an ancient Harkonnen no-globe, Teg proceeds to awaken Idaho's original memories, but does so before Lucilla can imprint Duncan and thus tie him to the Sisterhood. In the meantime, Taraza has sent her trusted general Burzmali to search for Teg and his party, who finally establishes contact with Teg, his former mentor. During the operation, however, Teg and his companions are ambushed. Teg is captured while Lucilla and Duncan escape. Teg is tortured by a T-Probe, but under pressure discovers new abilities: drastically increased physical capabilities and an uncertain type of prescience, which he uses to
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for life-saving and similar emergency circumstances. A second classical distinction is between the Written Law, laws written in the Hebrew Bible, and the Oral Law, laws which are believed to have been transmitted orally prior to their later compilation in texts such as the Mishnah, Talmud, and rabbinic codes. Commandments are divided into positive and negative commands, which are treated differently in terms of divine and human punishment. Positive commandments require an action to be performed and are considered to bring the performer closer to God. Negative commandments (traditionally 365 in number) forbid a specific action, and violations create a distance from God. A further division is made between chukim ("decrees" – laws without obvious explanation, such as shatnez, the law prohibiting wearing clothing made of mixtures of linen and wool), mishpatim ("judgements" – laws with obvious social implications) and eduyot ("testimonies" or "commemorations", such as the Shabbat and holidays). Through the ages, various rabbinical authorities have classified some of the 613 commandments in many ways. A different approach divides the laws into a different set of categories: Laws in relation to God (bein adam laMakom, "between a person and the Place"), and Laws about relations with other people (bein adam le-chavero, "between a person and his friend"). Sources and process Eras of Jewish law Chazal ( "Our Sages, may their memory be blessed"): all Jewish sages of the Mishna, Tosefta and Talmud eras ( BCE – c. 625 CE). The Zugot ("pairs"), both the 200-year period (c. 170 BCE – 30 CE, "Era of the Pairs") during the Second Temple period in which the spiritual leadership was in the hands of five successions of "pairs" of religious teachers, and to each of these pairs themselves. The Tannaim ("repeaters") were rabbis living primarily in Eretz Yisrael who codified the Oral Torah in the form of the Mishnah; 0–200 CE. The Amoraim ("sayers") lived in both Eretz Yisrael and Babylonia. Their teachings and discussions were compiled into the two versions of the Gemara; 200–500. The Savoraim ("reasoners") lived primarily in Sassanid Babylonia due to the suppression of Judaism in the Eastern Roman Empire under Theodosius II; 500–650. The Geonim ("greats" or "geniuses") presided over the two major Babylonian Academies of Sura and Pumbedita; 650–1038. The Rishonim ("firsts") are the rabbis of the late medieval period (c. 1038–1563), preceding the Shulchan Aruch. The Acharonim ("lasts") are the rabbis from c. 1500 to the present. The development of halakha in the period before the Maccabees, which has been described as the formative period in the history of its development, is shrouded in obscurity. Historian Yitzhak Baer argued that there was little pure academic legal activity at this period and that many of the laws originating at this time were produced by a means of neighbourly good conduct rules in a similar way as carried out by Greeks in the age of Solon. For example, the first chapter of Bava Kamma, contains a formulation of the law of torts worded in the first person. The boundaries of Jewish law are determined through the Halakhic process, a religious-ethical system of legal reasoning. Rabbis generally base their opinions on the primary sources of halakha as well as on precedent set by previous rabbinic opinions. The major sources and genre of halakha consulted include: The foundational Talmudic literature (especially the Mishna and the Babylonian Talmud) with commentaries; Talmudic hermeneutics: the science which defines the rules and methods for the investigation and exact determination of the meaning of the Scriptures; includes also the rules by which the Halakhot are derived from and established by the written law. These may be seen as the rules by which early Jewish law was derived. Gemara – the Talmudic process of elucidating the halakha The post-Talmudic codificatory literature, such as Maimonides's Mishneh Torah and the Shulchan Aruch with its commentaries (see #Codes of Jewish law below); Regulations and other "legislative" enactments promulgated by rabbis and communal bodies: Gezeirah ("declaration"): "preventative legislation" of the rabbis, intended to prevent violations of the commandments Takkanah ("repair" or "regulation"): "positive legislation", practices instituted by the rabbis not based (directly) on the commandments Minhag: Customs, community practices, and customary law, as well as the exemplary deeds of prominent (or local) rabbis; The she'eloth u-teshuvoth (responsa, "questions and answers") literature. Dina d'malchuta dina ("the law of the king is law"): an additional aspect of halakha, being the principle recognizing non-Jewish laws and non-Jewish legal jurisdiction as binding on Jewish citizens, provided that they are not contrary to a law in Judaism. This principle applies primarily in areas of commercial, civil and criminal law. In antiquity, the Sanhedrin functioned essentially as the Supreme Court and legislature (in the US judicial system) for Judaism, and had the power to administer binding law, including both received law and its own rabbinic decrees, on all Jews—rulings of the Sanhedrin became halakha; see Oral law. That court ceased to function in its full mode in 40 CE. Today, the authoritative application of Jewish law is left to the local rabbi, and the local rabbinical courts, with only local applicability. In branches of Judaism that follow halakha, lay individuals make numerous ad-hoc decisions but are regarded as not having authority to decide certain issues definitively. Since the days of the Sanhedrin, however, no body or authority has been generally regarded as having the authority to create universally recognized precedents. As a result, halakha has developed in a somewhat different fashion from Anglo-American legal systems with a Supreme Court able to provide universally accepted precedents. Generally, Halakhic arguments are effectively, yet unofficially, peer-reviewed. When a rabbinic posek ("he who makes a statement", "decisor") proposes an additional interpretation of a law, that interpretation may be considered binding for the posek's questioner or immediate community. Depending on the stature of the posek and the quality of the decision, an interpretation may also be gradually accepted by other rabbis and members of other Jewish communities. Under this system there is a tension between the relevance of earlier and later authorities in constraining Halakhic interpretation and innovation. On the one hand, there is a principle in halakha not to overrule a specific law from an earlier era, after it is accepted by the community as a law or vow, unless supported by another, relevant earlier precedent; see list below. On the other hand, another principle recognizes the responsibility and authority of later authorities, and especially the posek handling a then-current question. In addition, the halakha embodies a wide range of principles that permit judicial discretion and deviation (Ben-Menahem). Notwithstanding the potential for innovation, rabbis and Jewish communities differ greatly on how they make changes in halakha. Notably, poskim frequently extend the application of a law to new situations, but do not consider such applications as constituting a "change" in halakha. For example, many Orthodox rulings concerning electricity are derived from rulings concerning fire, as closing an electrical circuit may cause a spark. In contrast, Conservative poskim consider that switching on electrical equipment is physically and chemically more like turning on a water tap (which is permissible by halakha) than lighting a fire (which is not permissible), and therefore permitted on Shabbat. The reformative Judaism in some cases explicitly interprets halakha to take into account its view of contemporary society. For instance, most Conservative rabbis extend the application of certain Jewish obligations and permissible activities to women (see below). Within certain Jewish communities, formal organized bodies do exist. Within Modern Orthodox Judaism, there is no one committee or leader, but Modern US-based Orthodox rabbis generally agree with the views set by consensus by the leaders of the Rabbinical Council of America. Within Conservative Judaism, the Rabbinical Assembly has an official Committee on Jewish Law and Standards. Note that takkanot (plural of takkanah) in general do not affect or restrict observance of Torah mitzvot. (Sometimes takkanah refers to either gezeirot or takkanot.) However, the Talmud states that in exceptional cases, the Sages had the authority to "uproot matters from the Torah". In Talmudic and classical Halakhic literature, this authority refers to the authority to prohibit some things that would otherwise be Biblically sanctioned (shev v'al ta'aseh, "thou shall stay seated and not do"). Rabbis may rule that a specific mitzvah from the Torah should not be performed, e. g., blowing the shofar on Shabbat, or taking the lulav and etrog on Shabbat. These examples of takkanot which may be executed out of caution lest some might otherwise carry the mentioned items between home and the synagogue, thus inadvertently violating a Sabbath melakha. Another rare and limited form of takkanah involved overriding Torah prohibitions. In some cases, the Sages allowed the temporary violation of a prohibition in order to maintain the Jewish system as a whole. This was part of the basis for Esther's relationship with Ahasuerus (Xeres). For general usage of takkanaot in Jewish history see the article Takkanah. For examples of this being used in Conservative Judaism, see Conservative halakha. Historical analysis The antiquity of the rules can be determined only by the dates of the authorities who quote them; in general, they cannot safely be declared older than the tanna ("repeater") to whom they are first ascribed. It is certain, however, that the seven middot ("measurements", and referring to [good] behavior) of Hillel and the thirteen of Ishmael are earlier than the time of Hillel himself, who was the first to transmit them. The Talmud gives no information concerning the origin of the middot, although the Geonim ("Sages") regarded them as Sinaitic (Law given to Moses at Sinai). The Artscroll Series writes in its Overview to the book of Ezra: "During the Mishnaitic and Talmudic periods, the Sages of Israel... took the eternal tools of exegesis and used them to reveal the secrets that had always been locked within the words of the Torah, secrets that Moses had taught Israel and that, in turn, had been transmitted orally for over a thousand years until the oral tradition began to crumble due to persecution and a lack of diligence. They did nothing new and certainly made no changes in the Torah; they merely made use of hermeneutic principles that had not been needed while the tradition of study was still at its zenith." (pg. xii-xiii) The middot seem to have been first laid down as abstract rules by the teachers of Hillel, though they were not immediately recognized by all as valid and binding. Different schools interpreted and modified them, restricted or expanded them, in various ways. Rabbi Akiva and rabbi Ishmael and their scholars especially contributed to the development or establishment of these rules. "It must be borne in mind, however, that neither Hillel, Ishmael, nor [a contemporary of theirs named] Eliezer ben Jose sought to give a complete enumeration of the rules of interpretation current in his day, but that they omitted from their collections many rules which were then followed." Akiva devoted his attention particularly to the grammatical and exegetical rules, while Ishmael developed the logical. The rules laid down by one school were frequently rejected by another because the principles that guided them in their respective formulations were essentially different. According to Akiva, the divine language of the Torah is distinguished from the speech of men by the fact that in the former no word or sound is superfluous. Some scholars have observed a similarity between these rabbinic rules of interpretation and the hermeneutics of ancient Hellenistic culture. For example, Saul Lieberman argues that the names of rabbi Ishmael's middot (e. g., kal vahomer, a combination of the archaic form of the word for "straw" and the word for "clay" – "straw and clay", referring to the obvious [means of making a mud brick]) are Hebrew translations of Greek terms, although the methods of those middot are not Greek in origin. Views today Orthodox Judaism holds that halakha is the divine law as laid out in the Torah (five books of Moses), rabbinical laws, rabbinical decrees, and customs combined. The rabbis, who made many additions and interpretations of Jewish Law, did so only in accordance with regulations they believe were given for this purpose to Moses on Mount Sinai, see . See Orthodox Judaism, Beliefs about Jewish law and tradition. Conservative Judaism holds that halakha is normative and binding, and is developed as a partnership between people and God based on Sinaitic Torah. While there are a wide variety of Conservative views, a common belief is that halakha is, and has always been, an evolving process subject to interpretation by rabbis in every time period. See Conservative Judaism, Beliefs. Reconstructionist Judaism holds that halakha is normative and binding, while also believing that it is an evolving concept and that the traditional halakhic system is incapable of producing a code of conduct that is meaningful for, and acceptable to, the vast majority of contemporary Jews. Reconstructionist founder Mordecai Kaplan believed that "Jewish life [is] meaningless without Jewish law.", and one of the planks of the Society for the Jewish Renascence, of which Kaplan was one of the founders, stated: "We accept the halakha, which is rooted in the Talmud, as the norm of Jewish life, availing ourselves, at the same time, of the method implicit therein to interpret and develop the body of Jewish Law in accordance with the actual conditions and spiritual needs of modern life." Reform Judaism holds that modern views of how the Torah and rabbinic law developed imply that the body of rabbinic Jewish law is no longer normative (seen as binding) on Jews today. Those in the "traditionalist" wing believe that the halakha represents a personal starting-point, holding that each Jew is obligated to interpret the Torah, Talmud and other Jewish works for themselves, and this interpretation will create separate commandments for each person. Those in the liberal and classical wings of Reform believe that in this day and era, most Jewish religious rituals are no longer necessary, and many hold that following most Jewish laws is actually counter-productive. They propose that Judaism has entered a phase of ethical monotheism, and that the laws of Judaism are only remnants of an earlier stage of religious evolution, and need not be followed. This is considered wrong, and even heretical, by Orthodox and Conservative Judaism. Humanistic Jews value the Torah as a historical, political, and sociological text written by their ancestors. They do not believe "that every word of the Torah is true, or even morally correct, just because the Torah is old". The Torah is both disagreed with and questioned. Humanistic Jews believe that the entire Jewish experience, and not only the Torah, should be studied as a source for Jewish behavior and ethical values. Jews believe that gentiles are bound by a subset of halakha called the Seven Laws of Noah, also referred to as the Noahide Laws. They are a set of imperatives which, according to the Talmud, were given by God to the "children of Noah" – that
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ways. Rabbi Akiva and rabbi Ishmael and their scholars especially contributed to the development or establishment of these rules. "It must be borne in mind, however, that neither Hillel, Ishmael, nor [a contemporary of theirs named] Eliezer ben Jose sought to give a complete enumeration of the rules of interpretation current in his day, but that they omitted from their collections many rules which were then followed." Akiva devoted his attention particularly to the grammatical and exegetical rules, while Ishmael developed the logical. The rules laid down by one school were frequently rejected by another because the principles that guided them in their respective formulations were essentially different. According to Akiva, the divine language of the Torah is distinguished from the speech of men by the fact that in the former no word or sound is superfluous. Some scholars have observed a similarity between these rabbinic rules of interpretation and the hermeneutics of ancient Hellenistic culture. For example, Saul Lieberman argues that the names of rabbi Ishmael's middot (e. g., kal vahomer, a combination of the archaic form of the word for "straw" and the word for "clay" – "straw and clay", referring to the obvious [means of making a mud brick]) are Hebrew translations of Greek terms, although the methods of those middot are not Greek in origin. Views today Orthodox Judaism holds that halakha is the divine law as laid out in the Torah (five books of Moses), rabbinical laws, rabbinical decrees, and customs combined. The rabbis, who made many additions and interpretations of Jewish Law, did so only in accordance with regulations they believe were given for this purpose to Moses on Mount Sinai, see . See Orthodox Judaism, Beliefs about Jewish law and tradition. Conservative Judaism holds that halakha is normative and binding, and is developed as a partnership between people and God based on Sinaitic Torah. While there are a wide variety of Conservative views, a common belief is that halakha is, and has always been, an evolving process subject to interpretation by rabbis in every time period. See Conservative Judaism, Beliefs. Reconstructionist Judaism holds that halakha is normative and binding, while also believing that it is an evolving concept and that the traditional halakhic system is incapable of producing a code of conduct that is meaningful for, and acceptable to, the vast majority of contemporary Jews. Reconstructionist founder Mordecai Kaplan believed that "Jewish life [is] meaningless without Jewish law.", and one of the planks of the Society for the Jewish Renascence, of which Kaplan was one of the founders, stated: "We accept the halakha, which is rooted in the Talmud, as the norm of Jewish life, availing ourselves, at the same time, of the method implicit therein to interpret and develop the body of Jewish Law in accordance with the actual conditions and spiritual needs of modern life." Reform Judaism holds that modern views of how the Torah and rabbinic law developed imply that the body of rabbinic Jewish law is no longer normative (seen as binding) on Jews today. Those in the "traditionalist" wing believe that the halakha represents a personal starting-point, holding that each Jew is obligated to interpret the Torah, Talmud and other Jewish works for themselves, and this interpretation will create separate commandments for each person. Those in the liberal and classical wings of Reform believe that in this day and era, most Jewish religious rituals are no longer necessary, and many hold that following most Jewish laws is actually counter-productive. They propose that Judaism has entered a phase of ethical monotheism, and that the laws of Judaism are only remnants of an earlier stage of religious evolution, and need not be followed. This is considered wrong, and even heretical, by Orthodox and Conservative Judaism. Humanistic Jews value the Torah as a historical, political, and sociological text written by their ancestors. They do not believe "that every word of the Torah is true, or even morally correct, just because the Torah is old". The Torah is both disagreed with and questioned. Humanistic Jews believe that the entire Jewish experience, and not only the Torah, should be studied as a source for Jewish behavior and ethical values. Jews believe that gentiles are bound by a subset of halakha called the Seven Laws of Noah, also referred to as the Noahide Laws. They are a set of imperatives which, according to the Talmud, were given by God to the "children of Noah" – that is, all of humanity. Flexibility Despite its internal rigidity, halakha has a degree of flexibility in finding solutions to modern problems that are not explicitly mentioned in the Torah. From the very beginnings of Rabbinic Judaism, halakhic inquiry allowed for a "sense of continuity between past and present, a self-evident trust that their pattern of life and belief now conformed to the sacred patterns and beliefs presented by scripture and tradition". According to an analysis by Jewish scholar Jeffrey Rubenstein of Michael Berger's book Rabbinic Authority, the authority that rabbis hold "derives not from the institutional or personal authority of the sages but from a communal decision to recognize that authority, much as a community recognizes a certain judicial system to resolve its disputes and interpret its laws." Given this covenantal relationship, rabbis are charged with connecting their contemporary community with the traditions and precedents of the past. When presented with contemporary issues, rabbis go through a halakhic process to find an answer. The classical approach has permitted new rulings regarding modern technology. For example, some of these rulings guide Jewish observers about the proper use of electricity on the Sabbath and holidays. Often, as to the applicability of the law in any given situation, the proviso is to "consult your local rabbi or posek". This notion lends rabbis a certain degree of local authority; however, for more complex questions the issue is passed on to higher rabbis who will then issue a teshuvot, which is a responsa that is binding. Indeed, rabbis will continuously issue different opinions and will constantly review each other's work so as to maintain the truest sense of halakha. Overall, this process allows rabbis to maintain connection of traditional Jewish law to modern life. Of course, the degree of flexibility depends on the sect of Judaism, with Reform being the most flexible, Conservative somewhat in the middle, and Orthodox being much more stringent and rigid. Modern critics, however, have charged that with the rise of movements that challenge the "divine" authority of halakha, traditional Jews have greater reluctance to change, not only the laws themselves but also other customs and habits, than traditional Rabbinical Judaism did prior to the advent of Reform in the 19th century. Denominational approaches Orthodox Judaism Orthodox Jews believe that halakha is a religious system whose core represents the revealed will of God. Although Orthodox Judaism acknowledges that rabbis have made many decisions and decrees regarding Jewish Law where the written Torah itself is nonspecific, they did so only in accordance with regulations received by Moses on Mount Sinai (see ). These regulations were transmitted orally until shortly after the destruction of the Second Temple. They were then recorded in the Mishnah, and explained in the Talmud and commentaries throughout history up until the present day. Orthodox Judaism believes that subsequent interpretations have been derived with the utmost accuracy and care. The most widely accepted codes of Jewish law are known as Mishneh Torah and the Shulchan Aruch. Orthodox Judaism has a range of opinions on the circumstances and extent to which change is permissible. Haredi Jews generally hold that even minhagim (customs) must be retained, and existing precedents cannot be reconsidered. Modern Orthodox authorities are more inclined to permit limited changes in customs and some reconsideration of precedent. Conservative Judaism The view held by Conservative Judaism is that the Torah is not the word of God in a literal sense. However, the Torah is still held as mankind's record of its understanding of God's revelation, and thus still has divine authority. Therefore, halakha is still seen as binding. Conservative Jews use modern methods of historical study to learn how Jewish law has changed over time, and are, in some cases, willing to change Jewish law in the present. A key practical difference between Conservative and Orthodox approaches is that Conservative Judaism holds that its rabbinical body's powers are not limited to reconsidering later precedents based on earlier sources, but the Committee on Jewish Law and Standards (CJLS) is empowered to override Biblical and Taanitic prohibitions by takkanah (decree) when perceived to be inconsistent with modern requirements or views of ethics. The CJLS has used this power on a number of occasions, most famously in the "driving teshuva", which says that if someone is unable to walk to any synagogue on the Sabbath, and their commitment to observance is so loose that not attending synagogue may lead them to drop it altogether, their rabbi may give them a dispensation to drive there and back; and more recently in its decision prohibiting the taking of evidence on mamzer status on the grounds that implementing such a status is immoral. The CJLS has also held that the Talmudic concept of Kavod HaBriyot permits lifting rabbinic decrees (as distinct from carving narrow exceptions) on grounds of human dignity, and used this principle in a December 2006 opinion lifting all rabbinic prohibitions on homosexual conduct (the opinion held that only male-male anal sex was forbidden by the Bible and that this remained prohibited). Conservative Judaism also made a number of changes to the role of women in Judaism including counting women in a minyan, permitting women to chant from the Torah, and ordaining women as rabbis. The Conservative approach to halakhic interpretation can be seen in the CJLS's acceptance of Rabbi Elie Kaplan Spitz's responsum decreeing the biblical category of mamzer as "inoperative." The CJLS adopted the responsum's view that the "morality which we learn through the larger, unfolding narrative of our tradition" informs the application of Mosaic law. The responsum cited several examples of how the rabbinic sages declined to enforce punishments explicitly mandated by Torah law. The examples include the trial of the accused adulteress (sotah), the "law of breaking the neck of the heifer," and the application of the death penalty for the "rebellious child." Kaplan Spitz argues that the punishment of the mamzer has been effectively inoperative for nearly two thousand years due to deliberate rabbinic inaction. Further he suggested that the rabbis have long regarded the punishment declared by the Torah as immoral, and came to the conclusion that no court should agree to hear testimony on mamzerut. Codes of Jewish law The most important codifications of Jewish law include: The Mishnah, composed by rabbi Judah the Prince, in 200 CE, as a basic outline of the state of the Oral Law in his time. This was the framework upon which the Talmud was based; the Talmud's dialectic analysis of the content of the Mishna (gemara; completed c. 500) became the basis for all later halakhic decisions and subsequent codes. Codifications by the Geonim of the halakhic material in the Talmud. An early work, She'iltot ("Questions") by Achai of Shabcha (c. 752) discusses over 190 mitzvot – exploring and addressing various questions on these. The first legal codex proper, Halakhot Pesukot ("Decided Laws"), by Yehudai Gaon (c. 760), rearranges the Talmud passages in a structure manageable to the layman. (It was written in vernacular Aramaic, and subsequently translated into Hebrew as Hilkhot Riu.) Halakhot Gedolot ("Great Law Book"), by R. Simeon Kayyara, published two generations later (but possibly written c. 743), contains extensive additional material, mainly from Responsa and Monographs of the Geonim, and is presented in a form that is closer to the original Talmud language and structure. (Probably since it was distributed, also, amongst the newly established Ashkenazi communities.) The She'iltot was influential on both subsequent works. The Hilchot HaRif was written by the Rabbi Isaac Alfasi (1013–1103); it has summations of the legal material found in the Talmud. Alfasi transcribed the Talmud's halakhic conclusions verbatim, without the surrounding deliberation; he also excluded all aggadic (non-legal, and homiletic) matter. The Hilchot soon superseded the geonic codes, as it contained all the decisions and the laws then relevant, and additionally, served as an accessible Talmudic commentary; it has been printed with almost every subsequent edition of the Talmud. The Mishneh Torah by Maimonides (1135–1204). This work encompasses the full range of Talmudic law; it is organized and reformulated in a logical system – in 14 books, 83 sections and 1000 chapters – with each halakha stated clearly. The Mishneh Torah is very influential to this day, and several later works reproduce passages verbatim. It also includes a section on Metaphysics and fundamental beliefs. (Some claim this section draws heavily on Aristotelian science and metaphysics; others suggest that it is within the tradition of Saadia Gaon.) It is the main source of practical halakha for many Yemenite Jews – mainly Baladi and Dor Daim – as well as for a growing community referred to as talmidei haRambam. The work of the Rosh, rabbi Asher ben Jehiel (1250?/1259?–1328), an abstract of the Talmud, concisely stating the final halakhic decision and quoting later authorities, notably Alfasi, Maimonides, and the Tosafists. This work superseded rabbi Alfasi's and has been printed with almost every subsequent edition of the Talmud. The Sefer Mitzvot Gadol (The "SeMaG") of rabbi Moses ben Jacob of Coucy (first half of the 13th century, Coucy, northern France). "SeMaG" is organised around the 365 negative and the 248 positive commandments, separately discussing each of them according to the Talmud (in light of the commentaries of Rashi and the Tosafot) and the other codes existent at the time. Sefer Mitzvot Katan ("SeMaK") by Isaac ben Joseph of Corbeil is an abridgement of the SeMaG, including additional practical halakha, as well as aggadic and ethical material. "The Mordechai" – by Mordecai ben Hillel (d. Nuremberg 1298) – serves both as a source of analysis, as well as of decided law. Mordechai considered about 350 halakhic authorities, and was widely influential, particularly amongst the Ashkenazi and Italian communities. Although organised around the Hilchot of the Rif, it is, in fact, an independent work. It has been printed with every edition of the Talmud since 1482. The Arba'ah Turim (lit. "The Four Columns"; the Tur) by rabbi Jacob ben Asher (1270–1343, Toledo, Spain). This work traces the halakha from the Torah text and the Talmud through the Rishonim, with the Hilchot of Alfasi as its starting point. Ben Asher followed Maimonides's precedent in arranging his work in a topical order, however, the Tur covers only those areas of Jewish law that were in force in the author's time. The code is divided into four main sections; almost all codes since this time have followed the Tur'''s arrangement of material. Orach Chayim ("The Way of Life"): worship and ritual observance in the home and synagogue, through the course of the day, the weekly sabbath and the festival cycle. Yoreh De'ah ("Teach Knowledge"): assorted ritual prohibitions, dietary laws and regulations concerning menstrual impurity. Even Ha'ezer ("The Rock of the Helpmate"): marriage, divorce and other issues in family law. Choshen Mishpat ("The Breastplate of Judgement"): The administration and adjudication of civil law. The Beit Yosef and the Shulchan Aruch of rabbi Yosef Karo (1488–1575). The Beit Yosef is a huge commentary on the Tur in which rabbi Karo traces the development of each law from the Talmud through later rabbinical literature (examining 32 authorities, beginning with the Talmud and ending with the works of rabbi Israel Isserlein). The Shulchan Aruch (literally "set table") is, in turn, a condensation of the Beit Yosef – stating each ruling simply; this work follows the chapter divisions of the Tur. The Shulchan Aruch, together with its related commentaries, is considered by many to be the most authoritative compilation of halakha since the Talmud. In writing the Shulchan Aruch, rabbi Karo based his rulings on three authorities – Maimonides, Asher ben Jehiel (Rosh), and Isaac Alfasi (Rif); he considered the
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simple and that there was negotiation, but Lysias still left. After the death of Antiochus IV in 164, his son, Antiochus V, gave the Jews religious freedom. Lysias claimed to be his regent. Around this time was the re-dedication of the temple. During the siege of the Acra, one of Judas' brothers, Eleazor, was killed. The Maccabees had to retreat back to Jerusalem, where they should have been beaten badly. However, Lysias had to pull out because of a contradiction of who was to be regent for Antiochus V. Shortly after, both were killed by Demetrius I Soter who became the new king. The new high priest, Alcimus, had come to Jerusalem with the company of an army led by Bacchides. A group of scribes called the Hasideans asked him for his word that he would not harm anyone. He agreed, but killed sixty of them. Around this time Judas was able to make a treaty with the Romans. Soon after this, Judas was killed in Jerusalem fighting Bacchides' army. His brother Jonathan succeeded him. For eight years, Jonathan didn't do much. However, in 153 the Seleucid Empire started to face some problems. Jonathan used this chance to exchange his services of troops for Demetrius so that he could take back Jerusalem. He was appointed high priest by Alexander Balas for the same thing. When conflicts between Egypt and the Seleucids arose, Jonathan occupied the Acra. As conflicts over the throne arose, he completely took control of the Acra. But in 142 he was killed. His brother Simon took his place. The Hasmonean Dynasty Simon was nominated for the title of high priest, general, and leader by a "great assembly". He reached out to Rome to have them guarantee that Judea would be an independent land. Antiochus VII wanted the cities of Gadara, Joppa, and the Acra back. He also wanted a very large tribute. Simon only wanted to pay a fraction of that for only two of the cities, so Antiochus sent his general Cendebaeus to attack. The general was killed and the army fled. Simon and two of his sons were killed in a plot to overthrow the Hasmoneans. His last remaining son, John Hyrcanus, was supposed to be killed as well, but he was informed of the plan and rushed to Jerusalem to keep it safe. Hyrcanus had many issues to deal with as the new high priest. Antiochus invaded Judea and besieged Jerusalem in 134 BCE. Due to lack of food, Hyrcanus had to make a deal with Antiochus. He had to pay a large sum of money, tear down the walls of the city, acknowledge Seleucid power over Judea, and help the Seleucids fight against the Parthians. Hyrcanus agreed to this, but the war against the Parthians didn't work and Antiochus died in 128. Hyrcanus was able to take back Judea and keep his power. John Hyrcanus also kept good relations with the Roman and the Egyptians, owing to the large number of Jews living there, and conquered Transjordan, Samaria, and Idumea (also known as Edom). Aristobulus I was the first Hasmonean priest-king. He defied his father's wishes that his mother should take over the government and instead had her and all of his brothers except for one thrown in prison. The one not thrown in prison was later killed on his orders. The most significant thing he did during his one-year-reign was conquer most of Galilee. After his death, he was succeeded by his brother Alexander Jannaeus, who was only concerned with power and conquest. He also married his brother's widow, showing little respect for Jewish law. His first conquest was Ptolemais. The people called to Ptolemy IX for aid, as he was in Cyprus. However, it was his mother, Cleopatra III, who came to help Alexander and not her son. Alexander was not a popular ruler. This caused a civil war in Jerusalem that lasted for six years. After Alexander Jannaeus' death, his widow became ruler, but not high priest. The end of the Hasmonean Dynasty was in 63 when the Romans came at the request of the current priest-king Aristobulus II and his competitor Hyrcanus II. In 63 BCE the Roman general Pompey conquered Jerusalem and the Romans put Hyrcanus II up as high priest, but Judea became a client-kingdom of Rome. The dynasty came to an end in 40 BCE when Herod was crowned king of Judah by the Romans. With their help, Herod had seized Jerusalem by 37. The Herodian dynasty In 40–39 BCE, Herod the Great was appointed king of the Jews by the Roman Senate, and in 6 CE the last ethnarch of Judea, a descendant of Herod's, was deposed by Emperor Augustus, his territories combined with Idumea and Samaria and annexed as Iudaea Province under direct Roman administration. Religion Henotheism Henotheism is the act of worshipping a single god, without denying the existence of other deities. Many scholars believe that before monotheism in ancient Israel, there came a transitional period; in this transitional period many followers of the Israelite religion worshiped the god Yahweh, but did not deny the existence of other deities accepted throughout the region. Henotheistic worship was not uncommon in the Ancient Near East, many Iron Age nation states worshipped an elevated national god which was nonetheless only part of a wider pantheon; examples include Chemosh in Moab, Qos in Edom, Milkom in Ammon, and Ashur in Assyria. Canaanite religion syncretized elements from neighboring cultures, largely from Mesopotamian religious traditions. Using Canaanite religion as a base was natural due to the fact that the Canaanite culture inhabited the same region prior to the emergence of Israelite culture. Israelite religion was no exception, as during the transitional period, Yahweh and El were syncretized in the Israelite pantheon. El already occupied a reasonably important place in the Israelite religion, after all, even the name "Israel" is based on the name El, rather than Yahweh. It was this initial harmonization of Israelite and Canaanite religious thought that lead to Yahweh gradually absorbing several characteristics from Canaanite deities, in turn strengthening his own position as an all-powerful "One." Even still, monotheism in the region of ancient Israel and Judah did not take hold overnight, and during the intermediate stages most people are believed to have remained henotheistic. During this intermediate period of henotheism many families worshiped different gods. Religion was very much centered around the family, as opposed to the community. People sparsely populated the region of Israel and Judah during the time of Moses. As such many different areas worshiped different gods, due to social isolation. It was not until later on in Israelite history that people started to worship Yahweh alone and fully convert to monotheistic values. That switch occurred with the growth of power and influence of the Israelite kingdom and its rulers and can be read about further in the Iron Age Yahwism section below. Evidence from the Bible suggests that henotheism did exist: "They [the Hebrews] went and served alien gods and paid homage to them, gods of whom they had no experience and whom he [Yahweh] did not allot to them" (Deut. 29.26). Many believe that this quote goes to show that the early Israelite kingdom followed similar traditions as ancient Mesopotamia, where each major urban center had a supreme god. Each culture then embraced their patron god but did not deny the existence of other cultures' patron gods. In Assyria, the patron god was Ashur, and in ancient Israel, it was Yahweh; however, both Israelite and Assyrian cultures recognized each other's deities during this period.Some scholars have used the Bible as evidence to argue that most of the people alive during the events recounted in the Old Testament, including Moses, were most likely henotheists. There are many quotes from the Old Testament support this point of view. One quote from Jewish and Christian tradition that supports this claim is the first commandment which in its entirety reads "I am the LORD your God, who brought you out of the land of Egypt, out of the house of bondage. You shall have no other gods before me." This quote does not deny the existence of other gods; it merely states that Jews and Christians should consider Yahweh or God the supreme god, incomparable to other supernatural beings. Some scholars attribute the concept of angels and demons found in Judaism and Christianity to the tradition of henotheism. Instead of completely getting rid of the concept of other supernatural beings, these religions changed former deities into angels and demons. Yahweh became the supreme god governing angels, demons and humans, with angels and demons considered more powerful than the average human. This tradition of believing in multiple forms of supernatural beings is attributed by many to the traditions of ancient Mesopotamia and Canaan and their pantheons of gods. Earlier influences from Mesopotamia and Canaan were important in creating the foundation of Israelite religion consistent with the Kingdoms of ancient Israel and Judah, and have since left lasting impacts on some of the biggest and most widespread religions in our world today. Iron Age Yahwism The religion of the Israelites of Iron Age I, like the Ancient Canaanite religion from which it evolved and other religions of the ancient Near East, was based on a cult of ancestors and worship of family gods (the "gods of the fathers"). With the emergence of the monarchy at the beginning of Iron Age II the kings promoted their family god, Yahweh, as the god of the kingdom, but beyond the royal court, religion continued to be both polytheistic and family-centered. The major deities were not numerous El, Asherah, and Yahweh, with Baal as a fourth god, and perhaps Shamash (the sun) in the early period. At an early stage El and Yahweh became fused and Asherah did not continue as a separate state cult, although she continued to be popular at a community level until Persian times. Yahweh, the national god of both Israel and Judah, seems to have originated in Edom and Midian in southern Canaan and may have been brought to Israel by the Kenites and Midianites at an early stage. There is a general consensus among scholars that the first formative event in the emergence of the distinctive religion described in the Bible was triggered by the destruction of Israel by Assyria in c. 722 BCE. Refugees from the northern kingdom fled to Judah, bringing with them laws and a prophetic tradition of Yahweh. This religion was subsequently adopted by the landowners of Judah, who in 640 BCE placed the eight-year-old Josiah on the throne. Judah at this time was a vassal state of Assyria, but Assyrian power collapsed in the 630s, and around 622 Josiah and his supporters launched a bid for independence expressed as loyalty to "Yahweh alone". The Babylonian exile and Second Temple Judaism According to the Deuteronomists, as scholars call these Judean nationalists, the treaty with Yahweh would enable Israel's god to preserve both the city and the king in return for the people's worship and obedience. The destruction of Jerusalem, its Temple, and the Davidic dynasty by Babylon in 587/586 BCE was deeply traumatic and led to revisions of the national mythos during the Babylonian exile. This revision was expressed in the Deuteronomistic history, the books of Joshua, Judges, Samuel and Kings, which interpreted the Babylonian destruction as divinely-ordained punishment for the failure of Israel's kings to worship Yahweh to the exclusion of all other deities. The Second Temple period (520 BCE 70 CE) differed in significant ways from what had gone before. Strict monotheism emerged among the priests of the Temple establishment during the seventh and sixth centuries BCE, as did beliefs regarding angels and demons. At this time, circumcision, dietary laws, and Sabbath-observance gained more significance as symbols of Jewish identity, and the institution of the synagogue became increasingly important, and most of the biblical literature, including the Torah, was substantially revised during this time. See also Biblical archaeology History of Canaan Chronology of the Bible Early Israelite campaigns Habiru History of Israel History of Palestine History of the Jews in Egypt History of the Jews in Iran History of the Jews in the Roman Empire History of the ancient Levant Intertestamental period Jewish diaspora Kingdom of Israel (united monarchy) Kings of Israel and Judah Kings of Judah Lachish reliefs Prehistory of the Levant Shasu Tanakh Time periods in the Palestine region Timeline of the Palestine region References Citations Bibliography Further reading Marc Zvi, "The Creation of History in Ancient Israel" (Routledge, 1995), and also review at Dannyreviews.com Cook, Stephen L., "The social roots of biblical Yahwism" (Society of Biblical Literature, 2004) Day, John (ed), "In search of pre-exilic Israel: proceedings of the Oxford Old Testament Seminar" (T&T Clark International, 2004) Gravett, Sandra L., "An Introduction to the Hebrew Bible: A Thematic Approach" (Westminster John Knox Press, 2008) Grisanti, Michael A., and Howard, David M., (eds), "Giving the Sense:Understanding and Using Old Testament Historical Texts" (Kregel Publications, 2003) Hess, Richard S., "Israelite religions: an archaeological and biblical survey" Baker, 2007) Kavon, Eli, "Did the Maccabees Betray the Hanukka Revolution?", The Jerusalem Post, 26
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no more than about 25 villages in the highlands, but this increased to over 300 by the end of Iron Age I, while the settled population doubled from 20,000 to 40,000. The villages were more numerous and larger in the north, and probably shared the highlands with pastoral nomads, who left no remains. Archaeologists and historians attempting to trace the origins of these villagers have found it impossible to identify any distinctive features that could define them as specifically Israelite collared-rim jars and four-room houses have been identified outside the highlands and thus cannot be used to distinguish Israelite sites, and while the pottery of the highland villages is far more limited than that of lowland Canaanite sites, it develops typologically out of Canaanite pottery that came before. Israel Finkelstein proposed that the oval or circular layout that distinguishes some of the earliest highland sites, and the notable absence of pig bones from hill sites, could be taken as markers of ethnicity, but others have cautioned that these can be a "common-sense" adaptation to highland life and not necessarily revelatory of origins. Other Aramaean sites also demonstrate a contemporary absence of pig remains at that time, unlike earlier Canaanite and later Philistine excavations. In The Bible Unearthed (2001), Finkelstein and Silberman summarised recent studies. They described how, up until 1967, the Israelite heartland in the highlands of western Palestine was virtually an archaeological terra incognita. Since then, intensive surveys have examined the traditional territories of the tribes of Judah, Benjamin, Ephraim, and Manasseh. These surveys have revealed the sudden emergence of a new culture contrasting with the Philistine and Canaanite societies existing in the Land of Israel earlier during Iron Age I. This new culture is characterised by a lack of pork remains (whereas pork formed 20% of the Philistine diet in places), by an abandonment of the Philistine/Canaanite custom of having highly decorated pottery, and by the practice of circumcision. The Israelite ethnic identity had originated, not from the Exodus and a subsequent conquest, but from a transformation of the existing Canaanite-Philistine cultures. Modern scholars therefore see Israel arising peacefully and internally from existing people in the highlands of Canaan. Extensive archaeological excavations have provided a picture of Israelite society during the early Iron Age period. The archaeological evidence indicates a society of village-like centres, but with more limited resources and a small population. During this period, Israelites lived primarily in small villages, the largest of which had populations of up to 300 or 400. Their villages were built on hilltops. Their houses were built in clusters around a common courtyard. They built three- or four-room houses out of mudbrick with a stone foundation and sometimes with a second story made of wood. The inhabitants lived by farming and herding. They built terraces to farm on hillsides, planting various crops and maintaining orchards. The villages were largely economically self-sufficient and economic interchange was prevalent. According to the Bible, prior to the rise of the Israelite monarchy the early Israelites were led by the Biblical judges, or chieftains who served as military leaders in times of crisis. Scholars are divided over the historicity of this account. However, it is likely that regional chiefdoms and polities provided security. The small villages were unwalled but were likely subjects of the major town in the area. Writing was known and available for recording, even at small sites. Iron Age II (950–587 BCE) According to Israel Finkelstein, after an emergent and large polity was suddenly formed based on the Gibeon-Gibeah plateau and destroyed by Shoshenq I, the biblical Shishak, in the first half of 10th century BCE, a return to small city-states was prevalent in the Southern Levant, but between 950 and 900 BCE another large polity emerged in the northern highlands with its capital eventually at Tirzah, that can be considered the precursor of the Kingdom of Israel. The Kingdom was consolidated as an important regional power by the first half of the 9th century BCE, before falling to the Neo-Assyrian Empire in 722 BCE. Unusually favourable climatic conditions in the first two centuries of Iron Age II brought about an expansion of population, settlements and trade throughout the region. In the central highlands this resulted in unification in a kingdom with the city of Samaria as its capital, possibly by the second half of the 10th century BCE when an inscription of the Egyptian pharaoh Shoshenq I records a series of campaigns directed at the area. Israel had clearly emerged in the first half of the 9th century BCE, this is attested when the Assyrian king Shalmaneser III names "Ahab the Israelite" among his enemies at the battle of Qarqar (853 BCE). At this time Israel was apparently engaged in a three-way contest with Damascus and Tyre for control of the Jezreel Valley and Galilee in the north, and with Moab, Ammon and Aram Damascus in the east for control of Gilead; the Mesha Stele (c. 830 BCE), left by a king of Moab, celebrates his success in throwing off the oppression of the "House of Omri" (i.e., Israel). It bears what is generally thought to be the earliest extra-biblical reference to the name Yahweh. A century later Israel came into increasing conflict with the expanding Neo-Assyrian Empire, which first split its territory into several smaller units and then destroyed its capital, Samaria (722 BCE). Both the biblical and Assyrian sources speak of a massive deportation of people from Israel and their replacement with settlers from other parts of the empire such population exchanges were an established part of Assyrian imperial policy, a means of breaking the old power structure and the former Israel never again became an independent political entity. Judah emerged as an operational kingdom somewhat later than Israel, during the second half of 9th century BCE, but the subject is one of considerable controversy. There are indications that during the 10th and 9th centuries BCE, the southern highlands had been divided between a number of centres, none with clear primacy. During the reign of Hezekiah, between c. 715 and 686 BCE, a notable increase in the power of the Judean state can be observed. This is reflected in archaeological sites and findings, such as the Broad Wall; a defensive city wall in Jerusalem; and the Siloam tunnel, an aqueduct designed to provide Jerusalem with water during an impending siege by the Neo-Assyrian Empire led by Sennacherib; and the Siloam inscription, a lintel inscription found over the doorway of a tomb, has been ascribed to comptroller Shebna. LMLK seals on storage jar handles, excavated from strata in and around that formed by Sennacherib's destruction, appear to have been used throughout Sennacherib's 29-year reign, along with bullae from sealed documents, some that belonged to Hezekiah himself and others that name his servants. Archaeological records indicate that the Kingdom of Israel was fairly prosperous. The late Iron Age saw an increase in urban development in Israel. Whereas previously the Israelites had lived mainly in small and unfortified settlements, the rise of the Kingdom of Israel saw the growth of cities and the construction of palaces, large royal enclosures, and fortifications with walls and gates. Israel initially had to invest significant resources into defense as it was subjected to regular Aramean incursions and attacks, but after the Arameans were subjugated by the Assyrians and Israel could afford to put less resources into defending its territory, its architectural infrastructure grew dramatically. Extensive fortifications were built around cities such as Dan, Megiddo, and Hazor, including monumental and multi-towered city walls and multi-gate entry systems. Israel's economy was based on multiple industries. It had the largest olive oil production centers in the region, using at least two different types of olive oil presses, and also had a significant wine industry, with wine presses constructed next to vineyards. By contrast, the Kingdom of Judah was significantly less advanced. Some scholars believe it was no more than a small tribal entity limited to Jerusalem and its immediate surroundings. In the 10th and early 9th centuries BCE, the territory of Judah appears to have been sparsely populated, limited to small and mostly unfortified settlements. The status of Jerusalem in the 10th century BCE is a major subject of debate among scholars. Jerusalem does not show evidence of significant Israelite residential activity until the 9th century BCE. On the other hand, significant administrative structures such as the Stepped Stone Structure and Large Stone Structure, which originally formed part of one structure, contain material culture from earlier than that. The ruins of a significant Judahite military fortress, Tel Arad, have also been found in the Negev, and a collection of military orders found there suggest literacy was present throughout the ranks of the Judahite army. This suggests that literacy was not limited to a tiny elite, indicating the presence of a substantial educational infrastructure in Judah.In the 7th century Jerusalem grew to contain a population many times greater than earlier and achieved clear dominance over its neighbours. This occurred at the same time that Israel was being destroyed by the Neo-Assyrian Empire, and was probably the result of a cooperative arrangement with the Assyrians to establish Judah as an Assyrian vassal state controlling the valuable olive industry. Judah prospered as a vassal state (despite a disastrous rebellion against Sennacherib), but in the last half of the 7th century BCE, Assyria suddenly collapsed, and the ensuing competition between Egypt and the Neo-Babylonian Empire for control of the land led to the destruction of Judah in a series of campaigns between 597 and 582. Babylonian period Babylonian Judah suffered a steep decline in both economy and population and lost the Negev, the Shephelah, and part of the Judean hill country, including Hebron, to encroachments from Edom and other neighbours. Jerusalem, while probably not totally abandoned, was much smaller than previously, and the town of Mizpah in Benjamin in the relatively unscathed northern section of the kingdom became the capital of the new Babylonian province of Yehud Medinata. (This was standard Babylonian practice: when the Philistine city of Ashkalon was conquered in 604, the political, religious and economic elite [but not the bulk of the population] was banished and the administrative centre shifted to a new location). There is also a strong probability that for most or all of the period the temple at Bethel in Benjamin replaced that at Jerusalem, boosting the prestige of Bethel's priests (the Aaronites) against those of Jerusalem (the Zadokites), now in exile in Babylon. The Babylonian conquest entailed not just the destruction of Jerusalem and its temple, but the liquidation of the entire infrastructure which had sustained Judah for centuries. The most significant casualty was the state ideology of "Zion theology," the idea that the god of Israel had chosen Jerusalem for his dwelling-place and that the Davidic dynasty would reign there forever. The fall of the city and the end of Davidic kingship forced the leaders of the exile community kings, priests, scribes and prophets to reformulate the concepts of community, faith and politics. The exile community in Babylon thus became the source of significant portions of the Hebrew Bible: Isaiah 40–55; Ezekiel; the final version of Jeremiah; the work of the hypothesized priestly source in the Pentateuch; and the final form of the history of Israel from Deuteronomy to 2 Kings. Theologically, the Babylonian exiles were responsible for the doctrines of individual responsibility and universalism (the concept that one god controls the entire world) and for the increased emphasis on purity and holiness. Most significantly, the trauma of the exile experience led to the development of a strong sense of Hebrew identity distinct from other peoples, with increased emphasis on symbols such as circumcision and Sabbath-observance to sustain that distinction. The concentration of the biblical literature on the experience of the exiles in Babylon disguises the fact that the great majority of the population remained in Judah; for
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Empire |- | 21 | 'Unknown king III'/tentatively Pakor III | 2nd century CE (2nd half) | | ? | Sub-king of the Parthian Empire |- | 22 | Manchihr III | 2nd century CE (2nd half) | | son of Manchihr II | Sub-king of the Parthian Empire |- | 23 | Ardashir IV | 2nd century CE (end) | | son of Manchihr III | Sub-king of the Parthian Empire |- | 24 | Vahshir II (Oxathres) | c. 206–210 CE | | ? | Sub-king of the Parthian Empire. The last of Bazarangids. |- | 25 | Shapur | 3rd century CE (beg.) | | Brother of the first Sasanian, Ardashir I | Sub-king of the Parthian Empire |- |26 |Ardashir V(Sasanian Dynasty Ardashir I) | 3rd century CE (beg.) | |First Sasanian ruler, under the name of Ardashir I |Sub-king of the Parthian Empire |- |} Parthian Empire (247 BC – AD 228) The Seleucid dynasty gradually lost control of Persia. In 253, the Arsacid dynasty established itself in Parthia. The Parthians gradually expanded their control, until by the mid-2nd century BC, the Seleucids had completely lost control of Persia. Control of eastern territories was permanently lost by Antiochus VII in 129 BC. For more comprehensive lists of kings, queens, sub-kings and sub-queens of this Era see: List of rulers of Parthian sub-kingdoms Sasanian Empire (224–651) Note: Classical Persia is generally agreed to have ended with the collapse of the Sasanian Empire as a result of the Muslim conquest of Persia. Dabuyid Kingdom (642–760) A Zoroastrian Persian dynasty that held power in the north for over a century before finally falling to the Abbasid Caliphate. Rashidun Caliphate (642–661) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Umayyad Caliphate (661–750) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Abbasid Caliphate (750–946) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Tahirid Kingdom (821–873) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Samanid Empire (819–999) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran {| class="wikitable" !Portrait ! Title !Regnal name ! Personal name ! Birth ! Family relations ! Reign ! Death ! Notes |- ! colspan="9" |Samanid dynasty (819–999) |- | | | Ahmad ibn Assad |? |? | | 819–864/865 | 864/5 | |- | | | Nasr I|? |? | | 864/865–892 | 892 | |- | | Adel| [[Ismail Samani|Ismail Samani’’']] |? |? | | 892–907 | 907 | |- | | Shaheed | Ahmad Samani |? |? | | 907–914 | 914 | |- | | Saeed | Nasr II |? |? | | 914–942 | 943 | |- | | Hamid | Nuh I |? |? | | 942–954 | 954 | |- | | Rashid | 'Abd al-Malik I |? |? | | 954–961 | 961 | |- | | Mo'ayyed | Mansur I |? |? | | 961–976 | 976 | |- | | Radhi | Nuh II |? |? | | 976–996 | 997 | |- | | Abol Hareth | Mansur II |? |? | | 996–999 | 999 | |- | | Abol Favares | 'Abd al-Malik II |? |? | | 999 | 999 | |- | | Montaser | Isma'il Muntasir |? |? | | 1000–1005 | 1005 | |- |} Saffarid Kingdom (861–1003) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ghurid Kingdom (879–1215) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Buyid Kingdom (934–1062) The Buyid Kingdom was divided into a number of separate emirates, of which the most important were Fars, Ray, and Iraq. Generally, one of the emirs held a sort of primus inter pares supremacy over the rest, which would be marked by titles like Amir al-umara and Shahanshah. For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ziyarid Kingdom (928–1043) Ghaznavids Empire (977–1186) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Seljuk Empire (1029–1194) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Khwarazmian Empire (1153–1220) An empire built from Khwarezm, covering part of Iran and neighbouring Central Asia. For more comprehensive lists of kings and sub-kings of this Era see: Islamic dynasties of Iran Mongol Empire (1220–1256) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ilkhanate and successor kingdoms (1256–1501) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ilkhanate (1256–1357) Sarbadars (1332–1386) Chupanids (1335–1357) Jalayirids (1335–1432) Injuids (1335–1357) Muzaffarids (1314–1393) Kara Koyunlu (1375–1468) Aq Koyunlu (1378–1497) Sources:H.R. Roemer, "The Safavid Period", in Cambridge History of Iran, Vol. VI, Cambridge University Press 1986, p. 339: "Further evidence of a desire to follow in the line of Turkmen rulers is Ismail's assumption of the title 'Padishah-i-Iran', previously held by Uzun Hasan." Timurid Empire (1370–1507)Note: Medieval Persia is generally agreed to have ended with rise of the Safavid Empire'' Safavid Empire (1501–1736) Afsharid Empire (1736–1796) Zand Kingdom (1751–1794) Qajar Empire (1794–1925) Pahlavi Empire (1925–1979) Islamic republic (1979–Now) See also Persian Empire History of Iran List of ancient Persians List of Shahbanus of Persia Monarchism in Iran Shahbanu Supreme Leader of Iran Notes and references Bibliography Assar, G.R.F., "Genealogy & Coinage of the Early Parthian Rulers. I", Parthica, 6, 2004, pp. 69–93. Assar, G.R.F., "Genealogy & Coinage of the Early Parthian Rulers, II a revised stemma", Parthica, 7, 2005, pp. 29–63. Assar, G.R.F., "Moses of Choren & the Early Parthian Chronology", Electrum, vol. 11, 2006, pp. 61–86. Assar, G.R.F., "A Revised Parthian Chronology of the Period 165-91 B.C.", Electrum, vol. 11, 2006, pp. 87–158. Assar, G.R.F., "A Revised Parthian Chronology of the Period 91-55 B.C.", Parthica, 8, 2006, pp. 55–104. Briant, Pierre, "From Cyrus to Alexander: A History of the Persian Empire", 2002. Cameron, George, "History of Early Iran",
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! Family relations ! Reign ! Death ! Notes |- ! colspan="9" |Samanid dynasty (819–999) |- | | | Ahmad ibn Assad |? |? | | 819–864/865 | 864/5 | |- | | | Nasr I|? |? | | 864/865–892 | 892 | |- | | Adel| [[Ismail Samani|Ismail Samani’’']] |? |? | | 892–907 | 907 | |- | | Shaheed | Ahmad Samani |? |? | | 907–914 | 914 | |- | | Saeed | Nasr II |? |? | | 914–942 | 943 | |- | | Hamid | Nuh I |? |? | | 942–954 | 954 | |- | | Rashid | 'Abd al-Malik I |? |? | | 954–961 | 961 | |- | | Mo'ayyed | Mansur I |? |? | | 961–976 | 976 | |- | | Radhi | Nuh II |? |? | | 976–996 | 997 | |- | | Abol Hareth | Mansur II |? |? | | 996–999 | 999 | |- | | Abol Favares | 'Abd al-Malik II |? |? | | 999 | 999 | |- | | Montaser | Isma'il Muntasir |? |? | | 1000–1005 | 1005 | |- |} Saffarid Kingdom (861–1003) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ghurid Kingdom (879–1215) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Buyid Kingdom (934–1062) The Buyid Kingdom was divided into a number of separate emirates, of which the most important were Fars, Ray, and Iraq. Generally, one of the emirs held a sort of primus inter pares supremacy over the rest, which would be marked by titles like Amir al-umara and Shahanshah. For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ziyarid Kingdom (928–1043) Ghaznavids Empire (977–1186) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Seljuk Empire (1029–1194) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Khwarazmian Empire (1153–1220) An empire built from Khwarezm, covering part of Iran and neighbouring Central Asia. For more comprehensive lists of kings and sub-kings of this Era see: Islamic dynasties of Iran Mongol Empire (1220–1256) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ilkhanate and successor kingdoms (1256–1501) For more comprehensive lists of kings and sub-kings of this Era see: Muslim dynasties of Iran Ilkhanate (1256–1357) Sarbadars (1332–1386) Chupanids (1335–1357) Jalayirids (1335–1432) Injuids (1335–1357) Muzaffarids (1314–1393) Kara Koyunlu (1375–1468) Aq Koyunlu (1378–1497) Sources:H.R. Roemer, "The Safavid Period", in Cambridge History of Iran, Vol. VI, Cambridge University Press 1986, p. 339: "Further evidence of a desire to follow in the line of Turkmen rulers is Ismail's assumption of the title 'Padishah-i-Iran', previously held by Uzun Hasan." Timurid Empire (1370–1507)Note: Medieval Persia is generally agreed to have ended with rise of the Safavid Empire'' Safavid Empire (1501–1736) Afsharid Empire (1736–1796) Zand Kingdom (1751–1794) Qajar Empire (1794–1925) Pahlavi Empire (1925–1979) Islamic republic (1979–Now) See also Persian Empire History of Iran List of ancient Persians List of Shahbanus of Persia Monarchism in Iran Shahbanu Supreme Leader of Iran Notes and references Bibliography Assar, G.R.F., "Genealogy & Coinage of the Early Parthian Rulers. I", Parthica, 6, 2004, pp. 69–93. Assar, G.R.F., "Genealogy & Coinage of the Early Parthian Rulers, II a revised stemma", Parthica, 7, 2005, pp. 29–63. Assar, G.R.F., "Moses of Choren & the Early Parthian Chronology", Electrum, vol. 11, 2006, pp. 61–86. Assar, G.R.F., "A Revised Parthian Chronology of the Period 165-91 B.C.", Electrum, vol. 11, 2006, pp. 87–158. Assar, G.R.F., "A Revised Parthian Chronology of the Period 91-55 B.C.", Parthica, 8, 2006, pp. 55–104. Briant, Pierre, "From Cyrus to Alexander: A History of the Persian Empire", 2002. Cameron, George, "History of Early Iran", Chicago, 1936 (repr., Chicago, 1969; tr. E.-J. Levin, L’histoire de l’Iran antique, Paris, 1937; tr. H. Anusheh, ایران در سپیده دم تاریخ, Tehran, 1993) D’yakonov, I. M., "Istoriya Midii ot drevenĭshikh vremen do kontsa IV beka de e.E" (The history of Media from ancient times to the end of the 4th century BC), Moscow and Leningrad, 1956; tr. Karim Kešāvarz as Tāriḵ-e Mād, Tehran, 1966. Dandamaev, Muhammad A., "Persien unter den ersten Achämeniden (6. Jahrhundert v. Chr.)", tr. Heinz-Dieter Pohl, Wiesbaden, 1976. Qashqai, H., "The successors of Mithridates II", Bulletin of Ancient Iranian History (UCLA), vol. 5, March 2009.(in Persian) Henkelman, wouter. Defining Neo-Elamite History. ARTA, 2003. Hinz, W., "The Lost World of Elam", London, 1972 (tr. F. Firuznia, دنیای گمشده ایلام, Tehran, 1992) Josephus Flavius, Antiquities of the Jews. Justi, Ferdinand, "Iranisches Namenbuch", Tehran, Asatir, 2003. Legrain, Leon, "Historical Fragments", Philadelphia, The University of Pennsylvania Museum Publications of the Babylonian Section, vol. XIII, 1922. Majidzadeh, Yusef, "History and civilization of Elam", Tehran, Iran University Press, 1991. Majidzadeh, Yusef, "History and civilization of Mesopotamia", Tehran, Iran University Press, 1997, vol.1. Miroschedji, P. de, 'La
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during meiosis Homologous recombination, genetic recombination in which nucleotide sequences are exchanged between molecules of DNA Homologous desensitization, a receptor decreases its response to a signalling molecule when that agonist is in high concentration Homology modeling, a method of protein structure prediction Chemistry Homology (chemistry), the relationship between compounds in a homologous series Homologous series, a series of organic compounds having different quantities of a repeated unit Homologous temperature, the temperature of a material as a fraction of its absolute melting point Homologation reaction, a chemical reaction which produces the next logical member of
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reaction which produces the next logical member of a homologous series Other sciences Homology (anthropology), analogy between human beliefs, practices or artifacts owing to genetic or historical connections Homology (psychology), behavioral characteristics that have common origins in either evolution or development Homologous behaviors, behaviors typical of species that share a common ancestor that was characterized by that behavior OR behaviors in an individual that share common origins in development Homology (sociology), a structural resonance between the different elements making up a socio-cultural whole Mathematics Homology (mathematics), a procedure to associate a sequence of abelian groups or modules with a given mathematical object Homological algebra, a branch of mathematics Other uses Homologation, from the ancient Greek "to agree", to indicate the approval of a sanctioning body Homologation (motorsport), the process in motorsports where the sanctioning body approves a racing model
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Heinz founded another company, F & J Heinz, with his brother John Heinz and a cousin, Frederick Heinz. The company continued to grow and, in 1888, Heinz bought out his other two partners and reorganized it as the H. J. Heinz Company, the name carried to the present day. The company's slogan, "57 varieties," was introduced by Heinz in 1896; by then, the company was selling more than 60 different products. Heinz said he chose "5" because it was his lucky number; the number "7" was his wife's lucky number. The H. J. Heinz Company was incorporated in 1905 with Heinz serving as its first president, retaining that position for the rest of his life. At the time of Heinz's death in Pittsburgh at the age of 74, the H. J. Heinz Company had more than 20 food processing plants and owned seed farms and container factories. Later life Heinz led a successful lobbying effort in favor of the Pure Food and Drug Act in 1906. During World War I, he worked with the Food Administration. He was a director in many financial institutions, and was chairman of a committee to devise ways of protecting Pittsburgh from floods. Marriage and family Heinz married Sarah Sloan Young on September 3, 1869. She was of Scots-Irish ancestry and had grown up in the Presbyterian Church. They had five children: Irene Edwilda Heinz-Given (1871–1956) Clarence Henry Heinz (1873–1920) Howard Covode Heinz (1877–1941) Robert Eugene Heinz (1882–1882, lived about 1 month) Clifford Sloan Heinz (1883–1935) They were raised as Presbyterians. Religious faith Later in life Heinz worshipped as a member of Methodist and Presbyterian churches, and worked closely with Baptists as well. When Heinz visited England, his "tourist stops" included the graves of religious leaders John Bunyan, Isaac Watts, and John Wesley. He visited a chapel that Wesley founded, later writing that "I felt I was upon holy ground." At the beginning of his will
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Heinz (October 11, 1844 – May 14, 1919) was an American entrepreneur who, at the age of 25, co-founded a small horseradish concern in Sharpsburg, Pennsylvania. This business failed, but his second business expanded into tomato ketchup and other condiments, and ultimately became the internationally known H. J. Heinz Company of Pittsburgh, Pennsylvania. He was involved in the passage of the 1906 Pure Food and Drug Act. Many of his descendants are known for philanthropy and involvement in politics and public affairs. His fortune became the basis for the Heinz Foundations. Early life Henry John Heinz was born in Birmingham, Pennsylvania to John Henry Heinz (1811–1891) and Anna Margaretha Schmidt (1822–1899). John Henry was born Johann Heinrich Heinz to parents Johann Georg and Charlotte Louisa (née Trump) Heinz in Kallstadt, located in the Kingdom of Bavaria. In 1840, John Henry emigrated to Birmingham, where he met and married Ann in 1843, who herself had recently emigrated from (today a part of Haunetal), Hesse-Kassel. Anna Schmidt was the daughter of a farmer and church administrator, Johann Adam Schmidt, and his wife Dorothea (Thiel) Schmidt. (At least one biographer has erroneously written that Anna's father was a pastor, based on a mistranslation of the German word "Kirchenältester" which appears before Anna's father's name in Anna's baptism record. "Kirchenältester" does not mean "pastor," but rather refers to a lay church administrator who is elected from the parish elders to safeguard the affairs of the church.) Anna came from Hesse-Kassel, which was a Reformed Protestant (Calvinist) territory, so she was raised in the Calvinist Christian faith. Anna's husband, John Heinz, was a Lutheran, and they raised and confirmed their son to that faith. H. J. Heinz Company Henry John Heinz began packing foodstuffs on a small scale at Sharpsburg, Pennsylvania, in 1869. There, he founded Heinz Noble & Company with a friend, L. Clarence Noble, and started marketing bottled horseradish, soon followed by sauerkraut, vinegar, and pickles. The company went bankrupt in 1875. The following year, Heinz founded another company, F & J Heinz, with his brother John Heinz and a cousin, Frederick Heinz. The company continued to grow and, in 1888, Heinz bought out his other two partners and reorganized it as the H. J. Heinz Company, the name carried to the present day. The company's slogan, "57 varieties," was introduced by Heinz in 1896; by then, the company was selling more than 60 different products. Heinz said he chose "5" because it was his lucky number; the number "7" was his wife's lucky number. The H. J. Heinz Company was incorporated in 1905 with Heinz serving as its first president, retaining that position for the rest of his life. At the
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June 24, 2008, Heinz withdrew the advertisement, which had been planned for a five-week run. The company said that some of its customers had expressed concerns. Withdrawing the advert was also controversial, with critics accusing Heinz of homophobia. The gay rights group Stonewall called for a boycott of Heinz products. Some expressed surprise that it had responded to what they said was a relatively small number of complaints, compared to the UK's estimated 3.6 million gay and lesbian consumers. MP Diane Abbott called the decision to withdraw the advert "ill-considered" and "likely to offend the gay community". On February 14, 2013, it was announced that Heinz would be purchased by Berkshire Hathaway and 3G Capital for $23billion. Including debt assumption the transaction was valued at $28billion. According to Heinz, the deal was the largest in food industry history. Berkshire Hathaway and 3G would each own half of Heinz, with 3G running the company. Berkshire and 3G paid $72.50 a share. The acquisition was completed in June of that year. Berkshire and 3G immediately named Bernardo Hees, former chief executive of Burger King Worldwide Inc, as the CEO. On August 13, 2013, Heinz announced it was cutting 600 jobs in North America. On October 25, 2013, fast-food chain McDonald's announced it would end its 40-year relationship with Heinz, after the former Burger King chief Hees became its CEO. Heinz and Kraft merger On March 25, 2015, Kraft Foods Group Inc. announced that it would merge with the H. J. Heinz Company, owned by 3G Capital and Berkshire Hathaway Inc., to form the world's fifth-largest food and beverage company. The companies completed the merger on July 2, 2015. Brands ABC Bagel Bites Bull's-Eye Classico Complan Daddies Devour Delimex Diana Sauce Farex Greenseas Heinz HP Sauce Jack Daniel's sauces (under license) Lea & Perrins Ore-Ida T.G.I. Friday's (under license) Wattie's Weight Watchers (under license) Wyler's Products Beanz Italian Beanz Lentil Curry Mexican Beanz No Added Sugar Beanz No Added Sugar Beanz Snap Pots Organic Beanz Peri Peri Beanz Pork Sausage Beanz Smokey Bacon Beanz Spanish Beanz Dressings Balsamic With a hint of Garlic Chilli & Lime Raspberry Balsamic Zesty Lemon Pastas Alphabetti Beef Ravioli Hoops Hoops Snap Pots Macaroni Cheese Micro Spaghetti Snap Pots No Added Sugar Hoops Numberetti Peppa Pig Pasta Shapes Spaghetti Spaghetti Bolognese Spaghetti With Sausages Sauces Mayonnaise Light Mayonnaise Garlic & Caramelized Onion Mayonnaise Truffle Mayonnaise Lemon & Black Pepper Mayonnaise Salad Cream Salad Cream 30% Less Fat Salad Cream 70% Less Fat Classic Barbecue Sauce Sticky Barbecue Sauce Sweet & Spicy Barbecue Sauce American Style Smokey Baconnaise Sauce Korean Style Sticky Barbecue Sauce American Style Burger Sauce Thai Style Sweet Chilli Sauce Thai Style Coconut Lime Sauce Turkish Style Garlic Sauce Mild Yellow Mustard Honey Yellow Mustard Piccalilli Pickle Ploughman's Pickle Original Sandwich Spread Light Sandwich Spread Saucy Sauce (Mayo & Ketchup Sauce) Aromatic Herbs Ketchup Balsamic Vinegar Ketchup Fiery Chilli Tomato Ketchup Jalapeño Chilli Tomato Ketchup Organic Tomato Ketchup Roasted Garlic Ketchup Sweet Chilli Tomato Ketchup Soups Cream of Tomato Cream of Chicken Vegetable Cream of Mushroom Cream of Tomato with a Kick of Chilli Lentil Oxtail Organic Cream of Tomato Beef Broth Carrot and Coriander Cream of Chicken and Mushroom Chicken and Sweetcorn Chicken Noodle Soup Lentil & Bacon Minestrone Mulligatawny No Added Sugar Cream of Tomato No Added Sugar Vegetable Pea & Ham Potato & Leek Scotch Broth Spring Vegetable Cream of Tomato with Basil Cream of Tomato Cup Soup Vegetable Cup Soup Cream of Tomato with a Kick of Chilli Cup Soup Cream of Chicken Cup Soup Cream of Mushroom Cup Soup Cream of Tomato with Basil Cup Soup Minestrone Cup Soup Oxtail Cup Soup Spiced Butternut Squash & Chickpea Eatwell Soup Tomato & Cannellini Eatwell Soup Tomato Spinach & Lentil Eatwell Soup Cream of Chicken Pot Soup Cream of Mushroom Pot Soup Cream of Tomato Pot Soup Smooth Vegetable Pot Soup Cauliflower, Onion & Potato Soup of the Day Chicken, Parsnip & Rosemary Soup of the Day Green Garden Vegetables Soup of the Day Mushroom & Toasted Garlic Soup of the Day Potato & Leek with chives Soup of the Day Spice Pumpkin, Sweet Potato & Carrot Soup of the Day Tomato, Roasted Garlic & Black Pepper Soup of the Day International presence United States The Kraft Heinz company's world headquarters are in Chicago, Illinois, with the H. J. Heinz division located in Pittsburgh, Pennsylvania, where the company was founded. The company's "keystone" logo is based on that of Pennsylvania, the "keystone state". Heinz Field was named after the Heinz company in 2001. A majority of its ketchup is produced in Fremont, Ohio, and the rest is made in Muscatine, Iowa. Heinz opened a pickle factory in Holland, Michigan, in 1897, and it is the largest such facility in the world. The Heinz Portion Control subsidiary is located in Jacksonville, Florida, and produces single-serving containers of ketchup, mustard, salad dressings, jams, jellies and syrups. Heinz also has factories in the following locations: Arizona (Phoenix); California (Chatsworth, Escalon, Irvine, San Diego); Florida (Fort Myers); Idaho (Pocatello); Iowa (Cedar Rapids, Muscatine); Massachusetts (Newburyport); Ohio (Mason, Massillon); Oregon (Ontario), and South Carolina (Florence). In 2000, seven retailers, including Walmart, Albertsons, and Safeway, comprised half of the company's sales by volume. Australia Heinz Australia's head office is located in Melbourne. Products include canned baked beans in tomato sauce (popularized in the "beanz meanz Heinz" advertising campaign), spaghetti in a similar sauce, and canned soup, condensed soup, and "ready to eat" soups. Heinz manufactures "Big Red" tomato sauce, and a number of flavored baked bean varieties, as well as canned meals. Heinz also markets the Wattie's brand of canned foods, which are made in New Zealand. On October 6, 2008, Heinz announced plans to acquire the Australian company Golden Circle which "manufactures more than 500
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own half of Heinz, with 3G running the company. Berkshire and 3G paid $72.50 a share. The acquisition was completed in June of that year. Berkshire and 3G immediately named Bernardo Hees, former chief executive of Burger King Worldwide Inc, as the CEO. On August 13, 2013, Heinz announced it was cutting 600 jobs in North America. On October 25, 2013, fast-food chain McDonald's announced it would end its 40-year relationship with Heinz, after the former Burger King chief Hees became its CEO. Heinz and Kraft merger On March 25, 2015, Kraft Foods Group Inc. announced that it would merge with the H. J. Heinz Company, owned by 3G Capital and Berkshire Hathaway Inc., to form the world's fifth-largest food and beverage company. The companies completed the merger on July 2, 2015. Brands ABC Bagel Bites Bull's-Eye Classico Complan Daddies Devour Delimex Diana Sauce Farex Greenseas Heinz HP Sauce Jack Daniel's sauces (under license) Lea & Perrins Ore-Ida T.G.I. Friday's (under license) Wattie's Weight Watchers (under license) Wyler's Products Beanz Italian Beanz Lentil Curry Mexican Beanz No Added Sugar Beanz No Added Sugar Beanz Snap Pots Organic Beanz Peri Peri Beanz Pork Sausage Beanz Smokey Bacon Beanz Spanish Beanz Dressings Balsamic With a hint of Garlic Chilli & Lime Raspberry Balsamic Zesty Lemon Pastas Alphabetti Beef Ravioli Hoops Hoops Snap Pots Macaroni Cheese Micro Spaghetti Snap Pots No Added Sugar Hoops Numberetti Peppa Pig Pasta Shapes Spaghetti Spaghetti Bolognese Spaghetti With Sausages Sauces Mayonnaise Light Mayonnaise Garlic & Caramelized Onion Mayonnaise Truffle Mayonnaise Lemon & Black Pepper Mayonnaise Salad Cream Salad Cream 30% Less Fat Salad Cream 70% Less Fat Classic Barbecue Sauce Sticky Barbecue Sauce Sweet & Spicy Barbecue Sauce American Style Smokey Baconnaise Sauce Korean Style Sticky Barbecue Sauce American Style Burger Sauce Thai Style Sweet Chilli Sauce Thai Style Coconut Lime Sauce Turkish Style Garlic Sauce Mild Yellow Mustard Honey Yellow Mustard Piccalilli Pickle Ploughman's Pickle Original Sandwich Spread Light Sandwich Spread Saucy Sauce (Mayo & Ketchup Sauce) Aromatic Herbs Ketchup Balsamic Vinegar Ketchup Fiery Chilli Tomato Ketchup Jalapeño Chilli Tomato Ketchup Organic Tomato Ketchup Roasted Garlic Ketchup Sweet Chilli Tomato Ketchup Soups Cream of Tomato Cream of Chicken Vegetable Cream of Mushroom Cream of Tomato with a Kick of Chilli Lentil Oxtail Organic Cream of Tomato Beef Broth Carrot and Coriander Cream of Chicken and Mushroom Chicken and Sweetcorn Chicken Noodle Soup Lentil & Bacon Minestrone Mulligatawny No Added Sugar Cream of Tomato No Added Sugar Vegetable Pea & Ham Potato & Leek Scotch Broth Spring Vegetable Cream of Tomato with Basil Cream of Tomato Cup Soup Vegetable Cup Soup Cream of Tomato with a Kick of Chilli Cup Soup Cream of Chicken Cup Soup Cream of Mushroom Cup Soup Cream of Tomato with Basil Cup Soup Minestrone Cup Soup Oxtail Cup Soup Spiced Butternut Squash & Chickpea Eatwell Soup Tomato & Cannellini Eatwell Soup Tomato Spinach & Lentil Eatwell Soup Cream of Chicken Pot Soup Cream of Mushroom Pot Soup Cream of Tomato Pot Soup Smooth Vegetable Pot Soup Cauliflower, Onion & Potato Soup of the Day Chicken, Parsnip & Rosemary Soup of the Day Green Garden Vegetables Soup of the Day Mushroom & Toasted Garlic Soup of the Day Potato & Leek with chives Soup of the Day Spice Pumpkin, Sweet Potato & Carrot Soup of the Day Tomato, Roasted Garlic & Black Pepper Soup of the Day International presence United States The Kraft Heinz company's world headquarters are in Chicago, Illinois, with the H. J. Heinz division located in Pittsburgh, Pennsylvania, where the company was founded. The company's "keystone" logo is based on that of Pennsylvania, the "keystone state". Heinz Field was named after the Heinz company in 2001. A majority of its ketchup is produced in Fremont, Ohio, and the rest is made in Muscatine, Iowa. Heinz opened a pickle factory in Holland, Michigan, in 1897, and it is the largest such facility in the world. The Heinz Portion Control subsidiary is located in Jacksonville, Florida, and produces single-serving containers of ketchup, mustard, salad dressings, jams, jellies and syrups. Heinz also has factories in the following locations: Arizona (Phoenix); California (Chatsworth, Escalon, Irvine, San Diego); Florida (Fort Myers); Idaho (Pocatello); Iowa (Cedar Rapids, Muscatine); Massachusetts (Newburyport); Ohio (Mason, Massillon); Oregon (Ontario), and South Carolina (Florence). In 2000, seven retailers, including Walmart, Albertsons, and Safeway, comprised half of the company's sales by volume. Australia Heinz Australia's head office is located in Melbourne. Products include canned baked beans in tomato sauce (popularized in the "beanz meanz Heinz" advertising campaign), spaghetti in a similar sauce, and canned soup, condensed soup, and "ready to eat" soups. Heinz manufactures "Big Red" tomato sauce, and a number of flavored baked bean varieties, as well as canned meals. Heinz also markets the Wattie's brand of canned foods, which are made in New Zealand. On October 6, 2008, Heinz announced plans to acquire the Australian company Golden Circle which "manufactures more than 500 products, including canned fruit and vegetables, fruit juices, drinks, cordials and jams." On May 27, 2011, Heinz announced it would close its factory in Girgarre, Victoria, and downsize its factories in Northgate (Brisbane), and Wagga Wagga, with loss of more than 300 jobs. Heinz has other factories in Echuca and Mill Park. On January 6, 2012, Heinz closed its tomato sauce factory in Girgarre as announced in the previous May. 146 workers lost their jobs.
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getting around this particular inefficiency while still using Huffman coding. Combining a fixed number of symbols together ("blocking") often increases (and never decreases) compression. As the size of the block approaches infinity, Huffman coding theoretically approaches the entropy limit, i.e., optimal compression. However, blocking arbitrarily large groups of symbols is impractical, as the complexity of a Huffman code is linear in the number of possibilities to be encoded, a number that is exponential in the size of a block. This limits the amount of blocking that is done in practice. A practical alternative, in widespread use, is run-length encoding. This technique adds one step in advance of entropy coding, specifically counting (runs) of repeated symbols, which are then encoded. For the simple case of Bernoulli processes, Golomb coding is optimal among prefix codes for coding run length, a fact proved via the techniques of Huffman coding. A similar approach is taken by fax machines using modified Huffman coding. However, run-length coding is not as adaptable to as many input types as other compression technologies. Variations Many variations of Huffman coding exist, some of which use a Huffman-like algorithm, and others of which find optimal prefix codes (while, for example, putting different restrictions on the output). Note that, in the latter case, the method need not be Huffman-like, and, indeed, need not even be polynomial time. n-ary Huffman coding The n-ary Huffman algorithm uses the {0, 1,..., n − 1} alphabet to encode message and build an n-ary tree. This approach was considered by Huffman in his original paper. The same algorithm applies as for binary () codes, except that the n least probable symbols are taken together, instead of just the 2 least probable. Note that for n greater than 2, not all sets of source words can properly form an n-ary tree for Huffman coding. In these cases, additional 0-probability place holders must be added. This is because the tree must form an n to 1 contractor; for binary coding, this is a 2 to 1 contractor, and any sized set can form such a contractor. If the number of source words is congruent to 1 modulo n−1, then the set of source words will form a proper Huffman tree. Adaptive Huffman coding A variation called adaptive Huffman coding involves calculating the probabilities dynamically based on recent actual frequencies in the sequence of source symbols, and changing the coding tree structure to match the updated probability estimates. It is used rarely in practice, since the cost of updating the tree makes it slower than optimized adaptive arithmetic coding, which is more flexible and has better compression. Huffman template algorithm Most often, the weights used in implementations of Huffman coding represent numeric probabilities, but the algorithm given above does not require this; it requires only that the weights form a totally ordered commutative monoid, meaning a way to order weights and to add them. The Huffman template algorithm enables one to use any kind of weights (costs, frequencies, pairs of weights, non-numerical weights) and one of many combining methods (not just addition). Such algorithms can solve other minimization problems, such as minimizing , a problem first applied to circuit design. Length-limited Huffman coding/minimum variance Huffman coding Length-limited Huffman coding is a variant where the goal is still to achieve a minimum weighted path length, but there is an additional restriction that the length of each codeword must be less than a given constant. The package-merge algorithm solves this problem with a simple greedy approach very similar to that used by Huffman's algorithm. Its time complexity is , where is the maximum length of a codeword. No algorithm is known to solve this problem in or time, unlike the presorted and unsorted conventional Huffman problems, respectively. Huffman coding with unequal letter costs In the standard Huffman coding problem, it is assumed that each symbol in the set that the code words are constructed from has an equal cost to transmit: a code word whose length is N digits will always have a cost of N, no matter how many of those digits are 0s, how many are 1s, etc. When working under this assumption, minimizing the total cost of the message and minimizing the total number of digits are the same thing. Huffman coding with unequal letter costs is the generalization without this assumption: the letters of the encoding alphabet may have non-uniform lengths, due to characteristics of the transmission medium. An example is the encoding alphabet of Morse code, where a 'dash' takes longer to send than a 'dot', and therefore the cost of a dash in transmission time is higher. The goal is still to minimize the weighted average codeword length, but it is no longer sufficient just to minimize the number of symbols used by the message. No algorithm is known to solve this in the same manner or with the same efficiency as conventional Huffman coding, though it has been solved by Karp whose solution has been refined for the case of integer costs by Golin. Optimal alphabetic binary trees (Hu–Tucker coding) In the standard Huffman coding problem, it is assumed that any codeword can correspond to any input symbol. In the alphabetic version, the alphabetic order of inputs and outputs must be identical. Thus, for example, could not be assigned code , but instead should be assigned either or . This is also known as the Hu–Tucker problem, after T. C. Hu and Alan Tucker, the authors of the paper presenting the first -time solution to this optimal binary alphabetic problem, which has some similarities to Huffman algorithm, but is not a variation of this algorithm. A later method, the Garsia–Wachs algorithm of Adriano Garsia and Michelle L. Wachs (1977), uses simpler logic to perform the same comparisons in the same total time bound. These optimal alphabetic binary trees are often used as binary search trees. The canonical Huffman code If weights corresponding to the alphabetically ordered inputs are in numerical order, the Huffman code has the same lengths as the optimal alphabetic code, which can be found from calculating these lengths, rendering Hu–Tucker coding unnecessary. The code resulting from numerically (re-)ordered input is sometimes called the canonical Huffman code and is often the code used in practice, due to ease of encoding/decoding. The technique for finding this code is sometimes called Huffman–Shannon–Fano coding, since it is optimal like Huffman coding, but alphabetic in weight probability, like Shannon–Fano coding. The Huffman–Shannon–Fano code corresponding to the example is , which, having the same codeword lengths as the original solution, is also optimal. But in canonical Huffman code, the result is . Applications Arithmetic coding and Huffman coding produce equivalent results — achieving entropy — when every symbol has a probability of the form 1/2k. In other circumstances, arithmetic coding can offer better compression than Huffman coding because — intuitively — its "code words" can have effectively non-integer bit lengths, whereas code words in prefix codes such as Huffman codes can only have an integer number of bits. Therefore, a code word of length k only optimally matches a symbol of probability 1/2k and other probabilities are not represented optimally; whereas the code word length in arithmetic coding can be made to exactly match the true probability of the symbol. This difference is especially striking for small alphabet sizes. Prefix codes nevertheless remain in wide use because
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and combined weights (along with pointers to the trees) being put in the back of the second queue. This assures that the lowest weight is always kept at the front of one of the two queues: Start with as many leaves as there are symbols. Enqueue all leaf nodes into the first queue (by probability in increasing order so that the least likely item is in the head of the queue). While there is more than one node in the queues: Dequeue the two nodes with the lowest weight by examining the fronts of both queues. Create a new internal node, with the two just-removed nodes as children (either node can be either child) and the sum of their weights as the new weight. Enqueue the new node into the rear of the second queue. The remaining node is the root node; the tree has now been generated. Once the Huffman tree has been generated, it is traversed to generate a dictionary which maps the symbols to binary codes as follows: Start with current node set to the root. If node is not a leaf node, label the edge to the left child as 0 and the edge to the right child as 1. Repeat the process at both the left child and the right child. The final encoding of any symbol is then read by a concatenation of the labels on the edges along the path from the root node to the symbol. In many cases, time complexity is not very important in the choice of algorithm here, since n here is the number of symbols in the alphabet, which is typically a very small number (compared to the length of the message to be encoded); whereas complexity analysis concerns the behavior when n grows to be very large. It is generally beneficial to minimize the variance of codeword length. For example, a communication buffer receiving Huffman-encoded data may need to be larger to deal with especially long symbols if the tree is especially unbalanced. To minimize variance, simply break ties between queues by choosing the item in the first queue. This modification will retain the mathematical optimality of the Huffman coding while both minimizing variance and minimizing the length of the longest character code. Decompression Generally speaking, the process of decompression is simply a matter of translating the stream of prefix codes to individual byte values, usually by traversing the Huffman tree node by node as each bit is read from the input stream (reaching a leaf node necessarily terminates the search for that particular byte value). Before this can take place, however, the Huffman tree must be somehow reconstructed. In the simplest case, where character frequencies are fairly predictable, the tree can be preconstructed (and even statistically adjusted on each compression cycle) and thus reused every time, at the expense of at least some measure of compression efficiency. Otherwise, the information to reconstruct the tree must be sent a priori. A naive approach might be to prepend the frequency count of each character to the compression stream. Unfortunately, the overhead in such a case could amount to several kilobytes, so this method has little practical use. If the data is compressed using canonical encoding, the compression model can be precisely reconstructed with just bits of information (where is the number of bits per symbol). Another method is to simply prepend the Huffman tree, bit by bit, to the output stream. For example, assuming that the value of 0 represents a parent node and 1 a leaf node, whenever the latter is encountered the tree building routine simply reads the next 8 bits to determine the character value of that particular leaf. The process continues recursively until the last leaf node is reached; at that point, the Huffman tree will thus be faithfully reconstructed. The overhead using such a method ranges from roughly 2 to 320 bytes (assuming an 8-bit alphabet). Many other techniques are possible as well. In any case, since the compressed data can include unused "trailing bits" the decompressor must be able to determine when to stop producing output. This can be accomplished by either transmitting the length of the decompressed data along with the compression model or by defining a special code symbol to signify the end of input (the latter method can adversely affect code length optimality, however). Main properties The probabilities used can be generic ones for the application domain that are based on average experience, or they can be the actual frequencies found in the text being compressed. This requires that a frequency table must be stored with the compressed text. See the Decompression section above for more information about the various techniques employed for this purpose. Optimality Huffman's original algorithm is optimal for a symbol-by-symbol coding with a known input probability distribution, i.e., separately encoding unrelated symbols in such a data stream. However, it is not optimal when the symbol-by-symbol restriction is dropped, or when the probability mass functions are unknown. Also, if symbols are not independent and identically distributed, a single code may be insufficient for optimality. Other methods such as arithmetic coding often have better compression capability. Although both aforementioned methods can combine an arbitrary number of symbols for more efficient coding and generally adapt to the actual input statistics, arithmetic coding does so without significantly increasing its computational or algorithmic complexities (though the simplest version is slower and more complex than Huffman coding). Such flexibility is especially useful when input probabilities are not precisely known or vary significantly within the stream. However, Huffman coding is usually faster and arithmetic coding was historically a subject of some concern over patent issues. Thus many technologies have historically avoided arithmetic coding in favor of Huffman and other prefix coding techniques. As of mid-2010, the most commonly used techniques for this alternative to Huffman coding have passed into the public domain as the early patents have expired. For a set of symbols with a uniform probability distribution and a number of members which is a power of two, Huffman coding is equivalent to simple binary block encoding, e.g., ASCII coding. This reflects the fact that compression is not possible with such an input, no matter what the compression method, i.e., doing nothing to the data is the optimal thing to do. Huffman coding is optimal among all methods in any case where each input symbol is a known independent and identically distributed random variable having a probability that is dyadic. Prefix codes, and thus Huffman coding in particular, tend to have inefficiency on small alphabets, where probabilities often fall between these optimal (dyadic) points. The worst case for Huffman coding can happen when the probability of the most likely symbol far exceeds 2−1 = 0.5, making the upper limit of inefficiency unbounded. There are two related approaches for getting around this particular inefficiency while still using Huffman coding. Combining a fixed number of symbols together ("blocking") often increases (and never decreases) compression. As the size of the block approaches infinity, Huffman coding theoretically approaches the entropy limit, i.e., optimal compression. However, blocking arbitrarily large groups of symbols is impractical, as the complexity of a Huffman code is linear in the number of possibilities to be encoded, a number that is exponential in the size of a block. This limits the amount of blocking that is done in practice. A practical alternative, in widespread use, is run-length encoding. This technique adds one step in advance of entropy coding, specifically counting (runs) of repeated symbols, which are then encoded. For the simple case of Bernoulli processes, Golomb coding is optimal among prefix codes for coding run length, a fact proved via the techniques of Huffman coding. A similar approach is taken by fax machines using modified Huffman coding. However, run-length coding is not as adaptable to as many input types as other compression technologies. Variations Many variations of Huffman coding exist, some of which use a Huffman-like algorithm, and others of which find optimal prefix codes (while, for example, putting different restrictions on the output). Note that, in the latter case, the method need not be Huffman-like, and, indeed, need not even be polynomial time. n-ary Huffman coding The n-ary Huffman algorithm uses the {0, 1,..., n − 1} alphabet to encode message and build an n-ary tree. This approach was considered by Huffman in his original paper. The same algorithm applies as for binary () codes, except that the n least probable symbols are taken together, instead of just the 2 least probable. Note that for n greater than 2, not all sets of source words can properly form an n-ary tree for Huffman coding. In these cases, additional 0-probability place holders must be added. This is because the tree must form an n to 1 contractor; for binary coding, this is a 2 to 1 contractor, and any sized set can form such a contractor. If the number of source words is congruent to 1 modulo n−1, then the set of source words will form a proper Huffman tree. Adaptive Huffman coding A variation called adaptive Huffman coding involves calculating the probabilities dynamically based on recent actual frequencies in the sequence of source symbols, and changing the coding tree structure to match the updated probability estimates. It is used rarely in practice, since the cost of updating the tree makes it slower than optimized adaptive arithmetic coding, which is more flexible and has better compression. Huffman template algorithm Most often, the weights used in implementations of Huffman coding represent numeric probabilities, but the algorithm given above does not require this; it requires only that the weights form a totally ordered commutative monoid, meaning a way to order weights and to add them. The Huffman template algorithm enables one to use any kind of weights (costs, frequencies, pairs of weights, non-numerical weights) and one of many combining methods (not just addition). Such algorithms can solve other minimization problems, such as minimizing , a problem first applied to circuit design. Length-limited Huffman coding/minimum variance Huffman coding Length-limited Huffman coding is a variant where the goal is still to achieve a minimum weighted path length, but there is an additional restriction that the length of each codeword must be less than a given constant. The package-merge algorithm
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suffix -ol for an alcohol. It is an essential structural component of cell membrane, where it is required to establish proper membrane permeability and fluidity. In addition, cholesterol is an important component for the manufacture of bile acids, steroid hormones, and vitamin D. Although cholesterol is an important and necessary molecule, a high level of serum cholesterol is an indicator for diseases such as heart disease. About 20–25% of total daily cholesterol production occurs in the liver. Phospholipids: Phospholipids are TGs that are covalently bonded to a phosphate group by an ester linkage. Phospholipids perform important functions including regulating membrane permeability and in maintaining electron transport chain in mitochondria. They participate in the reverse cholesterol transport and thus help in the removal of cholesterol from the body. They are involved in signal transmission across membranes and they act as detergents and help in solubilization of cholesterol. Lipoprotein: These consist of a central core of a hydrophobic lipid (including TGs and cholesteryl esters) encased in a hydrophilic coat of polar phospholipid, free cholesterol and apolipoprotein. There are six main classes of lipoprotein, differing in the relative proportion of the core lipids and in the type of apoprotein. Chylomicrons VLDL-C particles IDL-C particles LDL-C particles HDL-C particle Lipoprotein (a) [LP(a)] Epidemiology Men tend to have noticeably lower HDL concentrations, with smaller size and lower cholesterol content, than women. Men also have a greater incidence of atherosclerotic heart disease. Alcohol consumption tends to raise HDL levels, and moderate alcohol consumption is associated with lower cardiovascular and all-cause mortality. Recent studies confirm the fact that HDL has a buffering role in balancing the effects of the hypercoagulable state in type 2 diabetics and decreases the high risk of cardiovascular complications in these patients. Also, the results obtained in this study revealed that there was a significant negative correlation between HDL and activated partial thromboplastin time (APTT). Epidemiological studies have shown that high concentrations of HDL (over 60 mg/dL) have protective value against cardiovascular diseases such as ischemic stroke and myocardial infarction. Low concentrations of HDL (below 40 mg/dL for men, below 50 mg/dL for women) increase the risk for atherosclerotic diseases. Data from the landmark Framingham Heart Study showed that, for a given level of LDL, the risk of heart disease increases 10-fold as the HDL varies from high to low. On the converse, however, for a fixed level of HDL, the risk increases 3-fold as LDL varies from low to high. Even people with very low LDL levels are exposed to increased risk if their HDL levels are not high enough. Estimating HDL via associated cholesterol Clinical laboratories formerly measured HDL cholesterol by separating other lipoprotein fractions using either ultracentrifugation or chemical precipitation with divalent ions such as Mg2+, then coupling the products of a cholesterol oxidase reaction to an indicator reaction. The reference method still uses a combination of these techniques. Most laboratories now use automated homogeneous analytical methods in which lipoproteins containing apo B are blocked using antibodies to apo B, then a colorimetric enzyme reaction measures cholesterol in the non-blocked HDL particles. HPLC can also be used. Subfractions (HDL-2C, HDL-3C) can be measured, but clinical significance of these subfractions has not been determined. The measurement of apo-A reactive capacity can be used to measure HDL cholesterol but is thought to be less accurate. Recommended ranges The American Heart Association, NIH and NCEP provide a set of guidelines for fasting HDL levels and risk for heart disease. High LDL with low HDL level is an additional risk factor for cardiovascular disease. Measuring HDL concentration and sizes As technology has reduced costs and clinical trials have continued to demonstrate the importance of HDL, methods for directly measuring HDL concentrations and size (which indicates function) at lower costs have become more widely available and increasingly regarded as important for assessing individual risk for progressive arterial disease and treatment methods. Electrophoresis measurements Since the HDL particles have a net negative charge and vary by density & size, ultracentrifugation combined with electrophoresis have been utilized since before 1950 to enumerate the concentration of HDL particles and sort them by size with a specific volume of blood plasma. Larger HDL particles are carrying more cholesterol. NMR measurements Concentration and sizes of lipoprotein particles can be estimated using nuclear magnetic resonance fingerprinting. Optimal total and large HDL concentrations The HDL particle concentrations are typically categorized by event rate percentiles based on the people participating and being tracked in the MESA trial, a medical research study sponsored by the United States National Heart, Lung, and Blood Institute. The lowest incidence of atherosclerotic events over time occurs within those with both the highest concentrations of total HDL particles (the top quarter, >75%) and the highest concentrations of large HDL particles. Multiple additional measures, including LDL particle concentrations, small LDL particle concentrations, VLDL concentrations, estimations of insulin resistance and standard cholesterol lipid measurements (for comparison of the plasma data with the estimation methods discussed above) are routinely provided in clinical testing. Memory Fasting serum lipids have been associated with short term verbal memory. In a large sample of middle aged adults, low HDL cholesterol was associated with poor memory and decreasing levels over a five-year follow-up period were associated with decline in memory. Increasing HDL levels While higher HDL levels are correlated with lower risk of cardiovascular diseases, no medication used to increase HDL has been proven to improve health. As of 2017, numerous lifestyle changes and drugs to increase HDL levels were under study. HDL lipoprotein particles that bear apolipoprotein C3 are associated with increased, rather than decreased, risk for coronary heart disease. Diet and exercise Certain changes in diet and exercise may have a positive impact on raising HDL levels: Decreased intake of simple carbohydrates. Aerobic exercise Weight loss Avocado consumption Magnesium supplements raise HDL-C. Addition of soluble fiber to diet Consumption of omega-3 fatty acids such as fish oil or flax oil Increased intake of unsaturated fats Consumption of medium-chain triglycerides (MCTs). Removal of trans fatty acids from the diet Most saturated fats increase HDL cholesterol to varying degrees but also raise total and LDL cholesterol. Recreational drugs HDL levels can be increased by smoking cessation, or mild to moderate alcohol intake. Cannabis in unadjusted analyses, past and current cannabis use was not associated with higher HDL-C levels. A study performed in 4635 patients demonstrated no effect on the HDL-C levels (P=0.78) [the mean (standard error) HDL-C values in control subjects (never used), past users and current users were 53.4 (0.4), 53.9 (0.6) and 53.9 (0.7) mg/dL, respectively]. Pharmaceutical drugs and niacin Pharmacological therapy to increase the level of HDL cholesterol includes use of fibrates and niacin. Fibrates have not been proven to have an effect on overall deaths from all causes, despite their effects on lipids. Niacin (vitamin B3) increases HDL by selectively inhibiting hepatic diacylglycerol acyltransferase 2, reducing triglyceride synthesis and VLDL secretion through a receptor HM74 otherwise known as niacin receptor 2 and HM74A / GPR109A, niacin receptor 1. Pharmacologic (1- to 3-gram/day) niacin doses increase HDL levels by 10–30%, making it the most powerful agent to increase HDL-cholesterol. A randomized clinical trial demonstrated that treatment with niacin can significantly reduce atherosclerosis progression and cardiovascular events. Niacin products sold as "no-flush",
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and myocardial infarction. Low concentrations of HDL (below 40 mg/dL for men, below 50 mg/dL for women) increase the risk for atherosclerotic diseases. Data from the landmark Framingham Heart Study showed that, for a given level of LDL, the risk of heart disease increases 10-fold as the HDL varies from high to low. On the converse, however, for a fixed level of HDL, the risk increases 3-fold as LDL varies from low to high. Even people with very low LDL levels are exposed to increased risk if their HDL levels are not high enough. Estimating HDL via associated cholesterol Clinical laboratories formerly measured HDL cholesterol by separating other lipoprotein fractions using either ultracentrifugation or chemical precipitation with divalent ions such as Mg2+, then coupling the products of a cholesterol oxidase reaction to an indicator reaction. The reference method still uses a combination of these techniques. Most laboratories now use automated homogeneous analytical methods in which lipoproteins containing apo B are blocked using antibodies to apo B, then a colorimetric enzyme reaction measures cholesterol in the non-blocked HDL particles. HPLC can also be used. Subfractions (HDL-2C, HDL-3C) can be measured, but clinical significance of these subfractions has not been determined. The measurement of apo-A reactive capacity can be used to measure HDL cholesterol but is thought to be less accurate. Recommended ranges The American Heart Association, NIH and NCEP provide a set of guidelines for fasting HDL levels and risk for heart disease. High LDL with low HDL level is an additional risk factor for cardiovascular disease. Measuring HDL concentration and sizes As technology has reduced costs and clinical trials have continued to demonstrate the importance of HDL, methods for directly measuring HDL concentrations and size (which indicates function) at lower costs have become more widely available and increasingly regarded as important for assessing individual risk for progressive arterial disease and treatment methods. Electrophoresis measurements Since the HDL particles have a net negative charge and vary by density & size, ultracentrifugation combined with electrophoresis have been utilized since before 1950 to enumerate the concentration of HDL particles and sort them by size with a specific volume of blood plasma. Larger HDL particles are carrying more cholesterol. NMR measurements Concentration and sizes of lipoprotein particles can be estimated using nuclear magnetic resonance fingerprinting. Optimal total and large HDL concentrations The HDL particle concentrations are typically categorized by event rate percentiles based on the people participating and being tracked in the MESA trial, a medical research study sponsored by the United States National Heart, Lung, and Blood Institute. The lowest incidence of atherosclerotic events over time occurs within those with both the highest concentrations of total HDL particles (the top quarter, >75%) and the highest concentrations of large HDL particles. Multiple additional measures, including LDL particle concentrations, small LDL particle concentrations, VLDL concentrations, estimations of insulin resistance and standard cholesterol lipid measurements (for comparison of the plasma data with the estimation methods discussed above) are routinely provided in clinical testing. Memory Fasting serum lipids have been associated with short term verbal memory. In a large sample of middle aged adults, low HDL cholesterol was associated with poor memory and decreasing levels over a five-year follow-up period were associated with decline in memory. Increasing HDL levels While higher HDL levels are correlated with lower risk of cardiovascular diseases, no medication used to increase HDL has been proven to improve health. As of 2017, numerous lifestyle changes and drugs to increase HDL levels were under study. HDL lipoprotein particles that bear apolipoprotein C3 are associated with increased, rather than decreased, risk for coronary heart disease. Diet and exercise Certain changes in diet and exercise may have a positive impact on raising HDL levels: Decreased intake of simple carbohydrates. Aerobic exercise Weight loss Avocado consumption Magnesium supplements raise HDL-C. Addition of soluble fiber to diet Consumption of omega-3 fatty acids such as fish oil or flax oil Increased intake of unsaturated fats Consumption of medium-chain triglycerides (MCTs). Removal of trans fatty acids from the diet Most saturated fats increase HDL cholesterol to varying degrees but also raise total and LDL cholesterol. Recreational drugs HDL levels can be increased by smoking cessation, or mild to moderate alcohol intake. Cannabis in unadjusted analyses, past and current cannabis use was not associated with higher HDL-C levels. A study performed in 4635 patients demonstrated no effect on the HDL-C levels (P=0.78) [the mean (standard error) HDL-C values in control subjects (never used), past users and current users were 53.4 (0.4), 53.9 (0.6) and 53.9 (0.7) mg/dL, respectively]. Pharmaceutical drugs and niacin Pharmacological therapy to increase the level of HDL cholesterol includes use of fibrates and niacin. Fibrates have not been proven to have an effect on overall deaths from all causes, despite their effects on lipids. Niacin (vitamin B3) increases HDL by selectively inhibiting hepatic diacylglycerol acyltransferase 2, reducing triglyceride synthesis and VLDL secretion through a receptor HM74 otherwise known as niacin receptor 2 and HM74A / GPR109A, niacin receptor 1. Pharmacologic (1- to 3-gram/day) niacin doses increase HDL levels by 10–30%, making it the most powerful agent to increase HDL-cholesterol. A randomized clinical trial demonstrated that treatment with niacin can significantly reduce atherosclerosis progression and cardiovascular events. Niacin products sold as "no-flush", i.e. not having side-effects such as "niacin flush", do not, however, contain free nicotinic acid and are therefore ineffective at raising HDL, while products sold as "sustained-release" may contain free nicotinic acid, but "some brands are hepatotoxic"; therefore the recommended form of niacin for raising HDL is the cheapest, immediate-release preparation. Both fibrates and niacin increase artery toxic homocysteine, an effect that can be counteracted by also consuming a multivitamin with relatively high amounts of the B-vitamins, but multiple European trials of the most popular B-vitamin cocktails, trial showing 30% average reduction in homocysteine, while not showing problems have also not shown any benefit in reducing cardiovascular event rates. A 2011 niacin study was halted early because patients adding niacin to their statin treatment showed no increase in heart health, but did experience an increase in the risk of stroke. In contrast, while the use of statins is effective against high levels of LDL cholesterol, most have little or no effect in raising HDL cholesterol. Rosuvastatin and pitavastatin, however, have been demonstrated to significantly raise HDL levels. Lovaza has been shown to increase HDL-C. However, the best evidence to date suggests it has no benefit for primary
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prompted decisive entry of the U.S. into World War II; the harbor remains a major naval base, hosting the U.S. Pacific Fleet, the world's largest naval command. As Hawaii is the only state with no incorporated places below the county level, the U.S. Census Bureau recognizes the approximate area commonly referred to as the "City of Honolulu"—not to be confused with the "City and County"—as a census county division (CCD). As of the 2020 U.S. Census, the population of Honolulu is 350,964, while that of metropolitan Honolulu census-designated place (CDP) is 802,459. With over 300,000 residents, Honolulu is the most populated Oceanian city outside Australasia. Honolulu's favorable tropical climate, rich natural scenery, and extensive beaches make it a popular global destination for tourists. As of May 2021, the city receives the bulk of visitors to Hawaii, between 7,000 and 11,000 daily. This is below the 2019, pre-pandemic, passenger arrivals of 10,000 to 15,000 per day. History Evidence of the first settlement of Honolulu by the original Polynesian migrants to the archipelago comes from oral histories and artifacts. These indicate that there was a settlement where Honolulu now stands in the 11th century. After Kamehameha I conquered Oahu in the Battle of Nuuanu at Nuuanu Pali, he moved his royal court from the Island of Hawaii to Waikīkī in 1804. His court relocated in 1809 to what is now downtown Honolulu. The capital was moved back to Kailua-Kona in 1812. In November 1794, Captain William Brown of Great Britain was the first foreigner to sail into what is now Honolulu Harbor. More foreign ships followed, making the port of Honolulu a focal point for merchant ships traveling between North America and Asia. The settlement grew from a handful of homes to a city in the early 19th century after it was selected by Kamehameha I as a replacement for his residence at Waikiki in 1810. In 1850, Kamehameha III moved the permanent capital of the Hawaiian Kingdom from Lahaina on Maui to Honolulu. He and the kings that followed him transformed Honolulu into a modern capital, erecting buildings such as St. Andrew's Cathedral, Iolani Palace, and Aliiōlani Hale. At the same time, Honolulu became the center of commerce in the islands, with descendants of American missionaries establishing major businesses in downtown Honolulu. Despite the turbulent history of the late 19th century and early 20th century—such as the overthrow of the Hawaiian monarchy in 1893, Hawaii's subsequent annexation by the United States in 1898, followed by a large fire in 1900, and the Japanese attack on Pearl Harbor in 1941—Honolulu remained the capital, largest city, and main airport and seaport of the Hawaiian Islands. An economic and tourism boom following statehood brought rapid economic growth to Honolulu and Hawaii. Modern air travel brings, , 7.6 million visitors annually to the islands, with 62.3% entering at Honolulu International Airport. Today, Honolulu is a modern city with numerous high-rise buildings, and Waikīkī is the center of the tourism industry in Hawaii, with thousands of hotel rooms. Geography According to the United States Census Bureau, the Urban Honolulu CDP has a total area of , of which , or 11.56%, is water. Honolulu is the most remote major city in the U.S. and one of the most remote in the world. The closest location in mainland U.S. is the Point Arena Lighthouse in northern California, at . (Nautical vessels require some additional distance to circumnavigate Makapuu Point.) The closest major city is San Francisco, California at 2,300 miles (3,701 km). However, islands off the Mexican coast and part of the Aleutian Islands of Alaska are slightly closer to Honolulu than the mainland. The volcanic field of the Honolulu Volcanics is partially located inside the city. Neighborhoods, boroughs, and districts Downtown Honolulu is the financial, commercial, and governmental center of Hawaii. On the waterfront is Aloha Tower, which for many years was the tallest building in Hawaii. Currently the tallest building is the tall First Hawaiian Center, located on King and Bishop Streets. The downtown campus of Hawaii Pacific University is also located there. The Arts District Honolulu, located in both in downtown and Chinatown, is on the eastern edge of Chinatown. It is a 12-block area bounded by Bethel & Smith Streets and Nimitz Highway and Beretania Street – home to numerous arts and cultural institutions. It is located within the Chinatown Historic District, which includes the former Hotel Street Vice District. The Capitol District is the eastern part of Downtown Honolulu. It is the current and historic center of Hawaii's state government, incorporating the Hawaii State Capitol, Iolani Palace, Honolulu Hale (City Hall), State Library, and the statue of King Kamehameha I, along with numerous government buildings. Kakaako is a light-industrial district between Downtown and Waikīkī that has seen a large-scale redevelopment effort in the past decade. It is home to two major shopping areas, Ward Warehouse and Ward Center. The Howard Hughes Corporation plans to transform Ward Centers into Ward Village over the next decade. The John A. Burns School of Medicine, part of the University of Hawaii at Mānoa, is also located there. A Memorial to the Ehime Maru Incident victims is built at the Kakaako Waterfront Park. Ala Moana is a district between Kakaako and Waikīkī and the home of Ala Moana Center, the "World's largest open-air shopping center" and the largest shopping mall in Hawaii. Ala Moana Center boasts over 300 tenants and is a very popular location among tourists. Also in Ala Moana is the Honolulu Design Center and Ala Moana Beach Park, the second largest park in Honolulu. Waikīkī is the tourist district of Honolulu, located between the Ala Wai Canal and the Pacific Ocean next to Diamond Head. Numerous hotels, shops, and nightlife opportunities are located along Kalākaua and Kūhiō Avenues. It is a popular location for visitors and locals alike and attracts millions of visitors every year. A majority of the hotel rooms on Oahu are located in Waikīkī. Mānoa and Makiki are residential neighborhoods located in adjacent valleys just inland of downtown and Waikīkī. Mānoa Valley is home to the main campus of the University of Hawaii. Nuuanu and Pauoa are upper-middle-class residential districts located inland of downtown Honolulu. The National Memorial Cemetery of the Pacific is located in Punchbowl Crater fronting Pauoa Valley. Pālolo and Kaimukī are neighborhoods east of Mānoa and Makiki, inland from Diamond Head. Pālolo Valley parallels Mānoa and is a residential neighborhood. Kaimukī is primarily a residential neighborhood with a commercial strip centered on Waialae Avenue running behind Diamond Head. Chaminade University is located in Kaimukī. Waialae and Kāhala are upper-class districts of Honolulu located directly east of Diamond Head, where there are many high-priced homes. Also found in these neighborhoods are the Waialae Country Club and the five-star Kahala Hotel & Resort. East Honolulu includes the residential communities of Āina Haina, Niu Valley, and Hawaii Kai. These are considered upper-middle-class neighborhoods. The upscale gated communities of Waialae Iki and Hawaii Loa Ridge are also located here. Kalihi and Pālama are working-class neighborhoods with a number of government housing developments. Lower Kalihi, toward the ocean, is a light-industrial district. Salt Lake and Āliamanu are (mostly) residential areas built in extinct tuff cones along the western end of the Honolulu District, not far from Honolulu International Airport. Moanalua is two neighborhoods and a valley at the western end of Honolulu, and home to Tripler Army Medical Center. Climate Honolulu experiences a tropical semi-arid climate (Köppen classification BSh), with a mostly dry summer season, due to a rain shadow effect. Temperatures vary little throughout the months, with average high temperatures of and average lows of throughout the year. Temperatures reach or exceed on an average 38 days annually, with lows in the upper 50s °F (14–15 °C) occurring once or twice a year. The highest recorded temperature was on September 19, 1994, and August 31, 2019. The lowest recorded temperature was on February 16, 1902, and January 20, 1969. The annual average rainfall is , which mainly occurs during the winter months of October through early April, with very little rainfall during the summer. However, both seasons experience a similar number of rainy days. Light showers occur in summer, while heavier rain falls during winter. Honolulu has an average of 278 sunny days and 89.4 rainy days per year. Although the city is situated in the tropics, hurricanes are quite rare. The last recorded hurricane that hit near Honolulu was Category 4 Hurricane Iniki in 1992. Tornadoes are also uncommon and usually strike once every 15 years. Waterspouts off the coast are also uncommon, hitting about once every five years. Honolulu falls under the USDA 12b Plant Hardiness zone. The average temperature of the sea ranges from in March to in September. Demographics The population of Honolulu is 350,964 as of the 2020 U.S. Census, making it the 55th largest city in the U.S. The city's population was 337,256 at the 2010 U.S. Census. In terms of race and ethnicity, 54.8% were Asian, 17.9% were White, 1.5% were Black or African American, 0.2% were Native American or Alaska Native, 8.4% were Native Hawaiian and Other Pacific Islander, 0.8% were from "some other race", and 16.3% were from two or more races. Hispanics and Latinos of any race made up 5.4% of the population. In 1970, the Census Bureau reported Honolulu's population as 33.9% white and 53.7% Asian and Pacific Islander. Asian Americans represent the majority of Honolulu's population. The Asian ethnic groups are Japanese (19.9%), Filipinos (13.2%), Chinese (10.4%), Koreans (4.3%), Vietnamese (2.0%), Indians (0.3%), Laotians (0.3%), Thais (0.2%), Cambodians (0.1%), and Indonesians (0.1%). People solely of Native Hawaiian ancestry made up 3.2% of
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Honolulu are: Alexander & Baldwin Bank of Hawaii Central Pacific Bank First Hawaiian Bank Hawaii Medical Service Association Hawaii Pacific Health Hawaiian Electric Industries Matson Navigation Company The Queen's Health Systems Hawaiian Airlines, Island Air, and Aloha Air Cargo are headquartered in the city. Prior to its dissolution, Aloha Airlines was headquartered in the city. At one time Mid-Pacific Airlines had its headquarters on the property of Honolulu International Airport. In 2009, Honolulu had a 4.5% increase in the average price of rent, maintaining it in the second most expensive rental market ranking among 210 U.S. metropolitan areas. Similarly, the general cost of living, including gasoline, electricity, and most foodstuffs, is much higher than the U.S. mainland, due to city and state having to import most goods. One 2014 report found that cost of living expenses were 69% higher than the U.S. average. Since the only national banks in Hawaii are all local, many visitors and new residents must get accustomed to different banks. First Hawaiian Bank is the largest and oldest bank in Hawaii and their headquarters are at the First Hawaiian Center, the tallest building in the State of Hawaii. Cultural institutions Natural museums The Bishop Museum is the largest of Honolulu's museums. It is endowed with the state's largest collection of natural history specimens and the world's largest collection of Hawaiiana and Pacific culture artifacts. The Honolulu Zoo is the main zoological institution in Hawai'i while the Waikīkī Aquarium is a working marine biology laboratory. The Waikīkī Aquarium is partnered with the University of Hawai'i and other universities worldwide. Established for appreciation and botany, Honolulu is home to several gardens: Foster Botanical Garden, Liliuokalani Botanical Garden, Walker Estate, among others. Performing arts Established in 1900, the Honolulu Symphony is the second oldest US symphony orchestra west of the Rocky Mountains. Other classical music ensembles include the Hawaii Opera Theatre. Honolulu is also a center for Hawaiian music. The main music venues include the Hawaii Theatre, the Neal Blaisdell Center Concert Hall and Arena, and the Waikīkī Shell. Honolulu also includes several venues for live theater, including the Diamond Head Theatre and Kumu Kahua Theatre. Visual arts Various institutions for the visual arts are located in Honolulu. The Honolulu Museum of Art is endowed with the largest collection of Asian and Western art in Hawaii. It also has the largest collection of Islamic art, housed at the Shangri La estate. Since the merger of the Honolulu Academy of Arts and The Contemporary Museum, Honolulu (now called the Honolulu Museum of Art Spalding House) in 2011, the museum is also the only contemporary art museum in the state. The contemporary collections are housed at main campus (Spalding House) in Makiki and a multi-level gallery in downtown Honolulu at the First Hawaiian Center. The museum hosts a film and video program dedicated to arthouse and world cinema in the museum's Doris Duke Theatre, named for the museum's historic patroness Doris Duke. The Hawaii State Art Museum (also downtown) boasts pieces by local artists as well as traditional Hawaiian art. The museum is administered by the Hawaii State Foundation on Culture and the Arts. Honolulu also annually holds the Hawaii International Film Festival (HIFF). It showcases some of the best films from producers all across the Pacific Rim and is the largest "East meets West" style film festival of its sort in the United States. Tourist attractions Ala Moana Center Aloha Tower Bishop Museum Diamond Head Hanauma Bay Honolulu Museum of Art Honolulu Zoo Iolani Palace Lyon Arboretum National Memorial Cemetery of the Pacific USS Arizona Memorial Waikīkī Aquarium Waikiki Beach Waikiki Trolley International Market Place Kapi'olani Park Sports Honolulu's tropical climate lends itself to year-round activities. In 2004, Men's Fitness magazine named Honolulu the fittest city in the United States. Honolulu has three large road races: The Great Aloha Run is held annually on Presidents' Day. The Honolulu Marathon, held annually on the second Sunday in December, draws more than 20,000 participants each year, about half to two thirds of them from Japan. The Honolulu Triathlon is an Olympic distance triathlon event governed by USA Triathlon and partly by the Japanese. Held annually in May since 2004, there is an absence of a sprint course. Ironman Hawaii was first held in Honolulu. It was the first ever Ironman triathlon event and is also the world championship. The Waikiki Roughwater Swim race is held annually off the beach of Waikiki. Founded by Jim Cotton in 1970, the course is and spans from the New Otani Hotel to the Hilton Rainbow Tower. Fans of spectator sports in Honolulu generally support the football, volleyball, basketball, rugby union, rugby league, and baseball programs of the University of Hawaii at Mānoa. High school sporting events, especially football, are especially popular. Honolulu has no professional sports teams, with any prospective teams being forced to conduct extremely long travels for away games in the continental states. It was the home of the Hawaii Islanders (Pacific Coast League, 1961–87), The Hawaiians (World Football League, 1974–75), Team Hawaii (North American Soccer League, 1977), and the Hawaiian Islanders (af2, 2002–04). The NCAA football Hawaii Bowl is played in Honolulu. Honolulu has also hosted the NFL's annual Pro Bowl each February from 1980 to 2009. After the 2010 and 2015 games were played in Miami Gardens and Glendale, respectively, the Pro Bowl was once again in Honolulu from 2011 to 2014 with 2016 the most recent. From 1993 to 2008, Honolulu hosted Hawaii Winter Baseball, featuring minor league players from Major League Baseball, Nippon Professional Baseball, Korea Baseball Organization, and independent leagues. In 2018, the Honolulu Little League team qualified for that year's Little League World Series tournament. The team went undefeated en route to the United States championship game, where it bested Georgia's Peachtree City American Little League team 3-0. In the world championship game, the team faced off against South Korea's South Seoul Little League team. Hawaii pitcher Ka'olu Holt threw a complete game shutout while striking out 8, and Honolulu Little League - again by a score of 3-0 - secured the victory, capturing the 2018 Little League World Series championship as well as Hawaii's third overall title at the Little League World Series. Venues Venues for spectator sports in Honolulu include: Les Murakami Stadium at UH-Mānoa (baseball) Neal S. Blaisdell Center Arena (basketball) Stan Sheriff Center at UH-Mānoa (basketball and volleyball) Aloha Stadium, a venue for American football and soccer, is located in Halawa near Pearl Harbor, just outside Honolulu. Government Rick Blangiardi was elected mayor of Honolulu County on August 8, 2020, and began serving as the county's 15th mayor on January 2, 2021. The municipal offices of the City and County of Honolulu, including Honolulu Hale, the seat of the city and county, are located in the Capitol District, as are the Hawaii state government buildings. The Capitol District is within the Honolulu census county division (CCD), the urban area commonly regarded as the "City" of Honolulu. The Honolulu CCD is located on the southeast coast of Oahu between Makapuu and Halawa. The division boundary follows the Koolau crestline, so Makapuu Beach is in the Ko'olaupoko District. On the west, the division boundary follows Halawa Stream, then crosses Red Hill and runs just west of Aliamanu Crater, so that Aloha Stadium, Pearl Harbor (with the USS Arizona Memorial), and Hickam Air Force Base are actually all located in the island's Ewa CCD. The Hawaii Department of Public Safety operates the Oahu Community Correctional Center, the jail for the island of Oahu, in Honolulu CCD. The United States Postal Service operates post offices in Honolulu. The main Honolulu Post Office is located by the international airport at 3600 Aolele Street. Federal Detention Center, Honolulu, operated by the Federal Bureau of Prisons, is in the CDP. Foreign missions on the island Several countries have consular facilities in Honolulu. They include consulates of Japan, South Korea, Philippines, Taiwan, Federated States of Micronesia, Australia, and the Marshall Islands. Education and research Colleges and universities Colleges and universities in Honolulu include Honolulu Community College, Kapiolani Community College, the University of Hawaii at Mānoa, Chaminade University, and Hawaii Pacific University. UH Mānoa houses the main offices of the University of Hawaii System. Research institutions Honolulu is home to three renowned international affairs research institutions. The Pacific Forum, one of the world's leading Asia-Pacific policy research institutes and one of the first organizations in the United States to focus exclusively on Asia, has its main office on Bishop Street in downtown Honolulu. The East–West Center (EWC), an education and research organization established by the U.S. Congress in 1960 to strengthen relations and understanding among the peoples and nations of Asia, the Pacific, and the United States, is headquartered in Mānoa, Honolulu. The Asia-Pacific Center for Security Studies (APCSS), a U.S. Department of Defense institute is based in Waikīkī, Honolulu. APCSS addresses regional and global security issues and supports the U.S. Pacific Command by developing and sustaining relationships among security practitioners and national security establishments throughout the region. Public primary and secondary schools Hawaii Department of Education operates public schools in Honolulu. Public high schools within the CDP area include Wallace Rider Farrington, Kaiser, Kaimuki, Kalani, Moanalua, William McKinley, and Theodore Roosevelt. It also includes the Hawaii School for the Deaf and the Blind, the statewide school for blind and deaf children. There is a charter school, University Laboratory School. Private primary and secondary schools almost 38% of K-12 students in the Honolulu area attend private schools. Private schools include Academy of the Pacific, Damien Memorial School, Hawaii Baptist Academy, Iolani School, Lutheran High School of Hawaii, Kamehameha Schools, Maryknoll School, Mid-Pacific Institute, La Pietra, Punahou School, Sacred Hearts Academy, St. Andrew's Priory School, Saint Francis School, Saint Louis School, the Education Laboratory School, Saint Patrick School, Trinity Christian School, and Varsity International School. Hawaii has one of the nation's highest rate of private school attendance. Public libraries Hawaii State Public Library System operates public libraries. The Hawaii State Library in the CDP serves as the main library of the system, while the Library for the Blind and Physically Handicapped, also in the CDP area, serves handicapped and blind people. Branches in the CDP area include Aiea, Aina Haina, Ewa Beach, Hawaii Kai, Kahuku, Kailua, Kaimuki, Kalihi-Palama, Kaneohe, Kapolei, Liliha, Mānoa, McCully-Moiliili, Mililani, Moanalua, Wahiawa, Waialua, Waianae, Waikīkī-Kapahulu, Waimanalo, and Waipahu. Weekend educational programs The Hawaii Japanese School – Rainbow Gakuen (ハワイレインボー学園 Hawai Reinbō Gakuen), a supplementary weekend Japanese school, holds its classes in Kaimuki Middle School in Honolulu and has its offices in another building in Honolulu. The school serves overseas Japanese nationals. In addition Honolulu has other weekend programs for the Japanese, Chinese, and Spanish languages. Media Honolulu is served by one daily newspaper, the Honolulu Star-Advertiser, along with a magazine, Honolulu Magazine, several radio stations and television stations, among other media. Local news agency and CNN-affiliate Hawaii News Now broadcasts and is headquartered out of Honolulu. Honolulu and the island of Oahu has also been the location for many film and television projects, including Hawaii Five-0, Magnum, P.I. and Lost. Transportation Air Located at the western end of the CDP, Daniel K. Inouye International Airport (HNL) is the principal aviation gateway to the state of Hawaii. Kalaeloa Airport is primarily a commuter facility used by unscheduled air taxis, general aviation and transient and locally based military aircraft. Highways Honolulu has been ranked as having the nation's worst traffic congestion, beating former record holder Los Angeles. Drivers waste on average over 58 hours per year on congested roadways. The following freeways, part of the Interstate Highway System serve Honolulu: Interstate H-1, western terminous is at Kapolei where you can connect to the Farrington Highway. The H-1 passes Hickam Air Force Base and Honolulu International Airport, runs through pearl city before heading downtown into Honolulu continues eastward through Makiki and Kaimuki, ending at Waialae/Kahala and start of the Kalanianole Highway. Interstate H-201—also known as the Moanalua Freeway and sometimes numbered as its former number, Hawaii State Rte. 78—connects two points along H-1: at Aloha Stadium and Fort Shafter. Close to H-1 and Aloha Stadium, H-201 has an exchange with the western terminus of Interstate H-3 to the windward side of Oahu (Kaneohe). This complex of connecting ramps, some directly between H-1 and H-3, is in Halawa. Interstate H-2 Connects at a junction near Waipau and Pearl City with the H-1 freeway. The H-2 freeway will take you up to Schofield barracks before ending at Wahiawa where it connect to the north shore. Interstate H-3 Connects at a junction
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1984 non Gruber 1889 non Corliss 1960 Genus Vrihiamoeba Murase, Kawasak & Jonckheere 2010 Genus Oramoeba Genus Stachyamoeba Page 1975 Family Psalteriomonadidae Cavalier-Smith 1993 Genus Pseudoharpagon Panek et al. 2012 Genus Sawyeria O'Kelly et al. 2003 Genus Psalteriomonas Broers et al. 1990 Genus Pseudomastigamoeba Genus Harpagon Panek et al. 2012 Genus Monopylocystis O'Kelly et al. 2003 Class Heterolobosidea Order Acrasida Schröter 1886 ?Genus Allovahlkampfia Walochnik & Mulec 2009 ?Genus Solumitrus Wang et al. 2011 Family Acrasidae Poche 1913 Genus Acrasis van Tieghem 1880 Genus Pocheina Loeblich & Tappan 1961 Family ?Guttulinopsidae Olive 1970 [Guttulinidae Berl. 1888; Guttulinopsaceae] Genus Guttulina Cienkowski 1873 non D’Orbigny 1839 Genus Guttulinopsis Olive 1901 Genus Rosculus Hawes 1963 Order Schizopyrenida Singh 1952 s.s. Family Naegleriidae [Tulamoebidae Kirby et al. 2015] Genus Aurem Jhin & Park 2018 Genus Pleurostomum Namyslowski 1913 Genus Tulamoeba Park et al. 2009 Genus Marinamoeba De Jonckheere et al. 2009 Genus Willaertia de Jonckheere et al. 1984 Genus Naegleria Aléxéieff 1912 [Trimastigamoeba Whitmore 1911; Didascalus Singh 1952] Family Vahlkampfiidae Jollos 1917 s.s. [Tetramitaceae] Genus Tetramitus Perty 1852 [Copromastix Aragao 1916; Adelphamoeba Napolitano, Wall & Ganz 1970, Learamoeba Sawyer et al. 1998, Paratetramitus Darbyshire, Page & Goodfellow 1976, Singhamoeba Sawyer, Nerad & Munson 1992; Schizopyrenus Singh 1952] Genus Vahlkampfia Chatton & LaLung-Bonnaire 1912 Family Percolomonadidae Cavalier-Smith 1993 [Choanogasteraceae] Genus Percolomonas Fenchel & Patterson 1986 [Choanogaster Pochmann 1959] Family Stephanopogonidae Corliss 1961 Genus Stephanopogon Entz 1884 History The Heterolobosea were first defined by Page and Blanton in 1985 as a class of amoebae, and so only included those forms with amoeboid
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data from Pánek & Čepička 2012 and Pánek, Ptackova & Čepička 2014. Taxonomy Phylum Percolozoa Cavalier-Smith 1991 Subphylum Pharyngomonada Class Pharyngomonadea [Macropharyngomonadidea] Order Pharyngomonadida [Macropharyngomonadida] Family Pharyngomonadidae Cavalier-Smith 2008 [Macropharyngomonadidae Cavalier-Smith 2008] Genus Pharyngomonas Cavalier-Smith 2008 [Macropharyngomonas nomen nudum] Subphylum Tetramitia Cavalier-Smith 1993 emend. Cavalier-Smith 2008 Genus ?Costiopsis Senn 1900 Genus ?Hoehnmastix Skvortzov 1974 Genus ?Planiosculum Szabados 1948 Genus ?Protomyxomyces Cunningham 1881 Genus ?Protonaegleria Michel & Raether 1985 Genus ?Pseudovahlkampfia Sawyer 1980 Genus ?Schizamoeba Davis 1926 Genus ?Tetramastigamoeba Singh & Hanumaiah 1977 Genus ?Trimastigamoeba Whitmore 1911 Genus ?Wasielewskia Hartmann & Schuessler 1913 Order ?Euhyperamoebida Family Euhyperamoebidae Goodkov & Seravin 1984 [Hyperamoebidae Goodkov, Seravin & Railkin 1982] Genus Euhyperamoeba Goodkov & Seravin 1984 [Hyperamoeba Goodkov, Seravin & Railkin 1982 non Alexeieff 1923] Order Selenaionida Hanousková, Táborský & Čepička 2018 Family Selenaionidae Hanousková, Táborský & Čepička 2018 Genus Selenaion koniopes Park, De Jonckheere & Simpson 2012 Genus Dactylomonas Hanousková, Táborský & Čepička 2018 Order Neovahlkampfiida Family Neovahlkampfiidae Genus Neovahlkampfia Brown & de Jonckheere 1999 Class Lyromonadea Cavalier-Smith 1993 Order Paravahlkampfiida Family Paravahlkampfiidae Genus Fumarolamoeba De Jonckheere, Murase & Opperdoes 2011 Genus Paravahlkampfia Brown & de Jonckheere 1999 Order Lyromonadida Cavalier-Smith 1993 Family Lyromonadidae Cavalier-Smith 1993 Genus Lyromonas Cavalier-Smith 1993 Family Plaesiobystridae Genus Pernina El Kadiri, Joyon & Pussard 1992 Genus Euplaesiobystra Park et al. 2009 Genus Plaesiobystra Genus Heteramoeba Droop 1962 Family Gruberellidae Page & Blanton 1985 Genus Gruberella Page 1984 non Gruber 1889 non Corliss 1960 Genus Vrihiamoeba Murase, Kawasak & Jonckheere 2010 Genus Oramoeba Genus Stachyamoeba Page 1975 Family Psalteriomonadidae Cavalier-Smith 1993 Genus Pseudoharpagon Panek et al. 2012 Genus Sawyeria O'Kelly et al. 2003 Genus Psalteriomonas Broers et al. 1990 Genus Pseudomastigamoeba Genus Harpagon Panek et al. 2012 Genus Monopylocystis O'Kelly et al. 2003 Class Heterolobosidea Order Acrasida Schröter 1886 ?Genus Allovahlkampfia Walochnik & Mulec 2009 ?Genus Solumitrus Wang et al. 2011 Family Acrasidae Poche 1913 Genus Acrasis van Tieghem 1880 Genus Pocheina Loeblich & Tappan 1961 Family ?Guttulinopsidae Olive 1970 [Guttulinidae Berl. 1888; Guttulinopsaceae] Genus Guttulina Cienkowski 1873 non D’Orbigny 1839 Genus Guttulinopsis Olive 1901 Genus Rosculus Hawes 1963 Order Schizopyrenida Singh 1952 s.s. Family Naegleriidae [Tulamoebidae Kirby et al. 2015] Genus
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of India in 7th and 6th centuries BCE led to the rise of new ascetic or Śramaṇa movements which challenged the orthodoxy of rituals. Mahavira (c. 549–477 BCE), proponent of Jainism, and Gautama Buddha (c. 563–483 BCE), founder of Buddhism, were the most prominent icons of this movement. Śramaṇa gave rise to the concept of the cycle of birth and death, the concept of samsara, and the concept of liberation. Buddha found a Middle Way that ameliorated the extreme asceticism found in the Śramaṇa religions. Around the same time, Mahavira (the 24th Tirthankara in Jainism) propagated a theology that was to later become Jainism. However, Jain orthodoxy believes the teachings of the Tirthankaras predates all known time and scholars believe Parshvanatha (c. 872 – c. 772 BCE), accorded status as the 23rd Tirthankara, was a historical figure. The Vedas are believed to have documented a few Tirthankaras and an ascetic order similar to the Śramaṇa movement. Sanskrit epics The Sanskrit epics Ramayana and Mahabharata were composed during this period. The Mahabharata remains, today, the longest single poem in the world. Historians formerly postulated an "epic age" as the milieu of these two epic poems, but now recognize that the texts (which are both familiar with each other) went through multiple stages of development over centuries. For instance, the Mahabharata may have been based on a small-scale conflict (possibly about 1000 BCE) which was eventually "transformed into a gigantic epic war by bards and poets". There is no conclusive proof from archaeology as to whether the specific events of the Mahabharata have any historical basis. The existing texts of these epics are believed to belong to the post-Vedic age, between c. 400 BCE and 400 CE. Mahajanapadas The period from c. 600 BCE to c. 300 BCE witnessed the rise of the Mahajanapadas, sixteen powerful and vast kingdoms and oligarchic republics. These Mahajanapadas evolved and flourished in a belt stretching from Gandhara in the northwest to Bengal in the eastern part of the Indian subcontinent and included parts of the trans-Vindhyan region. Ancient Buddhist texts, like the Anguttara Nikaya, make frequent reference to these sixteen great kingdoms and republics—Anga, Assaka, Avanti, Chedi, Gandhara, Kashi, Kamboja, Kosala, Kuru, Magadha, Malla, Matsya (or Machcha), Panchala, Surasena, Vriji, and Vatsa. This period saw the second major rise of urbanism in India after the Indus Valley Civilisation. Early "republics" or Gaṇa sangha, such as Shakyas, Koliyas, Mallas, and Licchavis had republican governments. Gaṇa sanghas, such as Mallas, centered in the city of Kusinagara, and the Vajjian Confederacy (Vajji), centered in the city of Vaishali, existed as early as the 6th century BCE and persisted in some areas until the 4th century CE. The most famous clan amongst the ruling confederate clans of the Vajji Mahajanapada were the Licchavis. This period corresponds in an archaeological context to the Northern Black Polished Ware culture. Especially focused in the Central Ganges plain but also spreading across vast areas of the northern and central Indian subcontinent, this culture is characterized by the emergence of large cities with massive fortifications, significant population growth, increased social stratification, wide-ranging trade networks, construction of public architecture and water channels, specialized craft industries (e.g., ivory and carnelian carving), a system of weights, punch-marked coins, and the introduction of writing in the form of Brahmi and Kharosthi scripts. The language of the gentry at that time was Sanskrit, while the languages of the general population of northern India are referred to as Prakrits. Many of the sixteen kingdoms had coalesced into four major ones by 500/400 BCE, by the time of Gautama Buddha. These four were Vatsa, Avanti, Kosala, and Magadha. The life of Gautama Buddha was mainly associated with these four kingdoms. Early Magadha dynasties Magadha formed one of the sixteen Mahā-Janapadas (Sanskrit: "Great Realms") or kingdoms in ancient India. The core of the kingdom was the area of Bihar south of the Ganges; its first capital was Rajagriha (modern Rajgir) then Pataliputra (modern Patna). Magadha expanded to include most of Bihar and Bengal with the conquest of Licchavi and Anga respectively, followed by much of eastern Uttar Pradesh and Orissa. The ancient kingdom of Magadha is heavily mentioned in Jain and Buddhist texts. It is also mentioned in the Ramayana, Mahabharata and Puranas. The earliest reference to the Magadha people occurs in the Atharva-Veda where they are found listed along with the Angas, Gandharis, and Mujavats. Magadha played an important role in the development of Jainism and Buddhism. The Magadha kingdom included republican communities such as the community of Rajakumara. Villages had their own assemblies under their local chiefs called Gramakas. Their administrations were divided into executive, judicial, and military functions. Early sources, from the Buddhist Pāli Canon, the Jain Agamas and the Hindu Puranas, mention Magadha being ruled by the Haryanka dynasty for some 200 years, c. 600–413 BCE. King Bimbisara of the Haryanka dynasty led an active and expansive policy, conquering Anga in what is now eastern Bihar and West Bengal. King Bimbisara was overthrown and killed by his son, Prince Ajatashatru, who continued the expansionist policy of Magadha. During this period, Gautama Buddha, the founder of Buddhism, lived much of his life in Magadha kingdom. He attained enlightenment in Bodh Gaya, gave his first sermon in Sarnath and the first Buddhist council was held in Rajgriha. The Haryanka dynasty was overthrown by the Shishunaga dynasty. The last Shishunaga ruler, Kalasoka, was assassinated by Mahapadma Nanda in 345 BCE, the first of the so-called Nine Nandas, which were Mahapadma and his eight sons. Nanda Empire and Alexander's campaign The Nanda Empire, at its greatest extent, extended from Bengal in the east, to the Punjab region in the west and as far south as the Vindhya Range. The Nanda dynasty was famed for their great wealth. The Nanda dynasty built on the foundations laid by their Haryanka and Shishunaga predecessors to create the first great empire of north India. To achieve this objective they built a vast army, consisting of 200,000 infantry, 20,000 cavalry, 2,000 war chariots and 3,000 war elephants (at the lowest estimates). According to the Greek historian Plutarch, the size of the Nanda army was even larger, numbering 200,000 infantry, 80,000 cavalry, 8,000 war chariots, and 6,000 war elephants. However, the Nanda Empire did not have the opportunity to see their army face Alexander the Great, who invaded north-western India at the time of Dhana Nanda, since Alexander was forced to confine his campaign to the plains of Punjab and Sindh, for his forces mutinied at the river Beas and refused to go any further upon encountering Nanda and Gangaridai forces. Maurya Empire The Maurya Empire (322–185 BCE) unified most of the Indian subcontinent into one state, and was the largest empire ever to exist on the Indian subcontinent. At its greatest extent, the Mauryan Empire stretched to the north up to the natural boundaries of the Himalayas and to the east into what is now Assam. To the west, it reached beyond modern Pakistan, to the Hindu Kush mountains in what is now Afghanistan. The empire was established by Chandragupta Maurya assisted by Chanakya (Kautilya) in Magadha (in modern Bihar) when he overthrew the Nanda dynasty. Chandragupta rapidly expanded his power westwards across central and western India, and by 317 BCE the empire had fully occupied Northwestern India. The Mauryan Empire then defeated Seleucus I, a diadochus and founder of the Seleucid Empire, during the Seleucid–Mauryan war, thus gained additional territory west of the Indus River. Chandragupta's son Bindusara succeeded to the throne around 297 BCE. By the time he died in c. 272 BCE, a large part of the Indian subcontinent was under Mauryan suzerainty. However, the region of Kalinga (around modern day Odisha) remained outside Mauryan control, perhaps interfering with their trade with the south. Bindusara was succeeded by Ashoka, whose reign lasted for around 37 years until his death in about 232 BCE. His campaign against the Kalingans in about 260 BCE, though successful, led to immense loss of life and misery. This filled Ashoka with remorse and led him to shun violence, and subsequently to embrace Buddhism. The empire began to decline after his death and the last Mauryan ruler, Brihadratha, was assassinated by Pushyamitra Shunga to establish the Shunga Empire. Under Chandragupta Maurya and his successors, internal and external trade, agriculture, and economic activities all thrived and expanded across India thanks to the creation of a single efficient system of finance, administration, and security. The Mauryans built the Grand Trunk Road, one of Asia's oldest and longest major roads connecting the Indian subcontinent with Central Asia. After the Kalinga War, the Empire experienced nearly half a century of peace and security under Ashoka. Mauryan India also enjoyed an era of social harmony, religious transformation, and expansion of the sciences and of knowledge. Chandragupta Maurya's embrace of Jainism increased social and religious renewal and reform across his society, while Ashoka's embrace of Buddhism has been said to have been the foundation of the reign of social and political peace and non-violence across all of India. Ashoka sponsored the spreading of Buddhist missionaries into Sri Lanka, Southeast Asia, West Asia, North Africa, and Mediterranean Europe. The Arthashastra and the Edicts of Ashoka are the primary written records of the Mauryan times. Archaeologically, this period falls into the era of Northern Black Polished Ware. The Mauryan Empire was based on a modern and efficient economy and society. However, the sale of merchandise was closely regulated by the government. Although there was no banking in the Mauryan society, usury was customary. A significant amount of written records on slavery are found, suggesting a prevalence thereof. During this period, a high quality steel called Wootz steel was developed in south India and was later exported to China and Arabia. Sangam period During the Sangam period Tamil literature flourished from the 3rd century BCE to the 4th century CE. During this period, three Tamil dynasties, collectively known as the Three Crowned Kings of Tamilakam: Chera dynasty, Chola dynasty, and the Pandyan dynasty ruled parts of southern India. The Sangam literature deals with the history, politics, wars, and culture of the Tamil people of this period. The scholars of the Sangam period rose from among the common people who sought the patronage of the Tamil Kings, but who mainly wrote about the common people and their concerns. Unlike Sanskrit writers who were mostly Brahmins, Sangam writers came from diverse classes and social backgrounds and were mostly non-Brahmins. They belonged to different faiths and professions such as farmers, artisans, merchants, monks, and priests, including also royalty and women. Around c. 300 BCE – c. 200 CE, Pathupattu, an anthology of ten mid-length books collection, which is considered part of Sangam Literature, were composed; the composition of eight anthologies of poetic works Ettuthogai as well as the composition of eighteen minor poetic works Patiṉeṇkīḻkaṇakku; while Tolkāppiyam, the earliest grammarian work in the Tamil language was developed. Also, during Sangam period, two of the Five Great Epics of Tamil Literature were composed. Ilango Adigal composed Silappatikaram, which is a non-religious work, that revolves around Kannagi, who having lost her husband to a miscarriage of justice at the court of the Pandyan dynasty, wreaks her revenge on his kingdom, and Manimekalai, composed by Sīthalai Sāttanār, is a sequel to Silappatikaram, and tells the story of the daughter of Kovalan and Madhavi, who became a Buddhist Bikkuni. Classical and early medieval periods (c. 200 BCE – c. 1200 CE) The time between the Maurya Empire in the 3rd century BCE and the end of the Gupta Empire in the 6th century CE is referred to as the "Classical" period of India. It can be divided in various sub-periods, depending on the chosen periodisation. Classical period begins after the decline of the Maurya Empire, and the corresponding rise of the Shunga dynasty and Satavahana dynasty. The Gupta Empire (4th–6th century) is regarded as the "Golden Age" of Hinduism, although a host of kingdoms ruled over India in these centuries. Also, the Sangam literature flourished from the 3rd century BCE to the 3rd century CE in southern India. During this period, India's economy is estimated to have been the largest in the world, having between one-third and one-quarter of the world's wealth, from 1 CE to 1000 CE. Early classical period (c. 200 BCE – c. 320 CE) Shunga Empire The Shungas originated from Magadha, and controlled areas of the central and eastern Indian subcontinent from around 187 to 78 BCE. The dynasty was established by Pushyamitra Shunga, who overthrew the last Maurya emperor. Its capital was Pataliputra, but later emperors, such as Bhagabhadra, also held court at Vidisha, modern Besnagar in Eastern Malwa. Pushyamitra Shunga ruled for 36 years and was succeeded by his son Agnimitra. There were ten Shunga rulers. However, after the death of Agnimitra, the empire rapidly disintegrated; inscriptions and coins indicate that much of northern and central India consisted of small kingdoms and city-states that were independent of any Shunga hegemony. The empire is noted for its numerous wars with both foreign and indigenous powers. They fought battles with the Mahameghavahana dynasty of Kalinga, Satavahana dynasty of Deccan, the Indo-Greeks, and possibly the Panchalas and Mitras of Mathura. Art, education, philosophy, and other forms of learning flowered during this period including small terracotta images, larger stone sculptures, and architectural monuments such as the Stupa at Bharhut, and the renowned Great Stupa at Sanchi. The Shunga rulers helped to establish the tradition of royal sponsorship of learning and art. The script used by the empire was a variant of Brahmi and was used to write the Sanskrit language. The Shunga Empire played an imperative role in patronising Indian culture at a time when some of the most important developments in Hindu thought were taking place. This helped the empire flourish and gain power. Satavahana Empire The Śātavāhanas were based from Amaravati in Andhra Pradesh as well as Junnar (Pune) and Prathisthan (Paithan) in Maharashtra. The territory of the empire covered large parts of India from the 1st century BCE onward. The Sātavāhanas started out as feudatories to the Mauryan dynasty, but declared independence with its decline. The Sātavāhanas are known for their patronage of Hinduism and Buddhism, which resulted in Buddhist monuments from Ellora (a UNESCO World Heritage Site) to Amaravati. They were one of the first Indian states to issue coins struck with their rulers embossed. They formed a cultural bridge and played a vital role in trade as well as the transfer of ideas and culture to and from the Indo-Gangetic Plain to the southern tip of India. They had to compete with the Shunga Empire and then the Kanva dynasty of Magadha to establish their rule. Later, they played a crucial role to protect large part of India against foreign invaders like the Sakas, Yavanas and Pahlavas. In particular, their struggles with the Western Kshatrapas went on for a long time. The notable rulers of the Satavahana Dynasty Gautamiputra Satakarni and Sri Yajna Sātakarni were able to defeat the foreign invaders like the Western Kshatrapas and to stop their expansion. In the 3rd century CE the empire was split into smaller states. Trade and travels to India The spice trade in Kerala attracted traders from all over the Old World to India. Early writings and Stone Age carvings of Neolithic age obtained indicates that India's Southwest coastal port Muziris, in Kerala, had established itself as a major spice trade centre from as early as 3,000 BCE, according to Sumerian records. Jewish traders from Judea arrived in Kochi, Kerala, India as early as 562 BCE. Thomas the Apostle sailed to India around the 1st century CE. He landed in Muziris in Kerala, India and established Yezh (Seven) ara (half) palligal (churches) or Seven and a Half Churches. Buddhism entered China through the Silk Road transmission of Buddhism in the 1st or 2nd century CE. The interaction of cultures resulted in several Chinese travellers and monks to enter India. Most notable were Faxian, Yijing, Song Yun and Xuanzang. These travellers wrote detailed accounts of the Indian subcontinent, which includes the political and social aspects of the region. Hindu and Buddhist religious establishments of Southeast Asia came to be associated with the economic activity and commerce as patrons entrust large funds which would later be used to benefit the local economy by estate management, craftsmanship, promotion of trading activities. Buddhism in particular, travelled alongside the maritime trade, promoting coinage, art, and literacy. Indian merchants involved in spice trade took Indian cuisine to Southeast Asia, where spice mixtures and curries became popular with the native inhabitants. The Greco-Roman world followed by trading along the incense route and the Roman-India routes. During the 2nd century BCE Greek and Indian ships met to trade at Arabian ports such as Aden. During the first millennium, the sea routes to India were controlled by the Indians and Ethiopians that became the maritime trading power of the Red Sea. Kushan Empire The Kushan Empire expanded out of what is now Afghanistan into the northwest of the Indian subcontinent under the leadership of their first emperor, Kujula Kadphises, about the middle of the 1st century CE. The Kushans were possibly of Tocharian speaking tribe; one of five branches of the Yuezhi confederation. By the time of his grandson, Kanishka the Great, the empire spread to encompass much of Afghanistan, and then the northern parts of the Indian subcontinent at least as far as Saketa and Sarnath near Varanasi (Banaras). Emperor Kanishka was a great patron of Buddhism; however, as Kushans expanded southward, the deities of their later coinage came to reflect its new Hindu majority. They played an important role in the establishment of Buddhism in India and its spread to Central Asia and China. Historian Vincent Smith said about Kanishka: The empire linked the Indian Ocean maritime trade with the commerce of the Silk Road through the Indus valley, encouraging long-distance trade, particularly between China and Rome. The Kushans brought new trends to the budding and blossoming Gandhara art and Mathura art, which reached its peak during Kushan rule. H.G. Rowlinson commented: By the 3rd century, their empire in India was disintegrating and their last known great emperor was Vasudeva I. Classical period: Gupta Empire (c. 320 – 650 CE) The Gupta period was noted for cultural creativity, especially in literature, architecture, sculpture, and painting. The Gupta period produced scholars such as Kalidasa, Aryabhata, Varahamihira, Vishnu Sharma, and Vatsyayana who made great advancements in many academic fields. The Gupta period marked a watershed of Indian culture: the Guptas performed Vedic sacrifices to legitimise their rule, but they also patronised Buddhism, which continued to provide an alternative to Brahmanical orthodoxy. The military exploits of the first three rulers – Chandragupta I, Samudragupta, and Chandragupta II – brought much of India under their leadership. Science and political administration reached new heights during the Gupta era. Strong trade ties also made the region an important cultural centre and established it as a base that would influence nearby kingdoms and regions in Burma, Sri Lanka, Maritime Southeast Asia, and Indochina. The latter Guptas successfully resisted the northwestern kingdoms until the arrival of the Alchon Huns, who established themselves in Afghanistan by the first half of the 5th century CE, with their capital at Bamiyan. However, much of the Deccan and southern India were largely unaffected by these events in the north. Vakataka Empire The Vākāṭaka Empire originated from the Deccan in the mid-third century CE. Their state is believed to have extended from the southern edges of Malwa and Gujarat in the north to the Tungabhadra River in the south as well as from the Arabian Sea in the western to the edges of Chhattisgarh in the east. They were the most important successors of the Satavahanas in the Deccan, contemporaneous with the Guptas in northern India and succeeded by the Vishnukundina dynasty. The Vakatakas are noted for having been patrons of the arts, architecture and literature. They led public works and their monuments are a visible legacy. The rock-cut Buddhist viharas and chaityas of Ajanta Caves (a UNESCO World Heritage Site) were built under the patronage of Vakataka emperor, Harishena. Kamarupa Kingdom Samudragupta's 4th-century Allahabad pillar inscription mentions Kamarupa (Western Assam) and Davaka (Central Assam) as frontier kingdoms of the Gupta Empire. Davaka was later absorbed by Kamarupa, which grew into a large kingdom that spanned from Karatoya river to near present Sadiya and covered the entire Brahmaputra valley, North Bengal, parts of Bangladesh and, at times Purnea and parts of West Bengal. Ruled by three dynasties Varmanas (c. 350–650 CE), Mlechchha dynasty (c. 655–900 CE) and Kamarupa-Palas (c. 900–1100 CE), from their capitals in present-day Guwahati (Pragjyotishpura), Tezpur (Haruppeswara) and North Gauhati (Durjaya) respectively. All three dynasties claimed their descent from Narakasura, an immigrant from Aryavarta. In the reign of the Varman king, Bhaskar Varman (c. 600–650 CE), the Chinese traveller Xuanzang visited the region and recorded his travels. Later, after weakening and disintegration (after the Kamarupa-Palas), the Kamarupa tradition was somewhat extended until c. 1255 CE by the Lunar I (c. 1120–1185 CE) and Lunar II (c. 1155–1255 CE) dynasties. The Kamarupa kingdom came to an end in the middle of the 13th century when the Khen dynasty under Sandhya of Kamarupanagara (North Guwahati), moved his capital to Kamatapur (North Bengal) after the invasion of Muslim Turks, and established the Kamata kingdom. Pallava Empire The Pallavas, during the 4th to 9th centuries were, alongside the Guptas of the North, great patronisers of Sanskrit development in the South of the Indian subcontinent. The Pallava reign saw the first Sanskrit inscriptions in a script called Grantha. Early Pallavas had different connexions to Southeast Asian countries. The Pallavas used Dravidian architecture to build some very important Hindu temples and academies in Mamallapuram, Kanchipuram and other places; their rule saw the rise of great poets. The practice of dedicating temples to different deities came into vogue followed by fine artistic temple architecture and sculpture style of Vastu Shastra. Pallavas reached the height of power during the reign of Mahendravarman I (571–630 CE) and Narasimhavarman I (630–668 CE) and dominated the Telugu and northern parts of the Tamil region for about six hundred years until the end of the 9th century. Kadamba Empire Kadambas originated from Karnataka, was founded by Mayurasharma in 345 CE which at later times showed the potential of developing into imperial proportions, an indication to which is provided by the titles and epithets assumed by its rulers. King Mayurasharma defeated the armies of Pallavas of Kanchi possibly with help of some native tribes. The Kadamba fame reached its peak during the rule of Kakusthavarma, a notable ruler with whom even the kings of Gupta Dynasty of northern India cultivated marital alliances. The Kadambas were contemporaries of the Western Ganga Dynasty and together they formed the earliest native kingdoms to rule the land with absolute autonomy. The dynasty later continued to rule as a feudatory of larger Kannada empires, the Chalukya and the Rashtrakuta empires, for over five hundred years during which time they branched into minor dynasties known as the Kadambas of Goa, Kadambas of Halasi and Kadambas of Hangal. Empire of Harsha Harsha ruled northern India from 606 to 647 CE. He was the son of Prabhakarvardhana and the younger brother of Rajyavardhana, who were members of the Vardhana dynasty and ruled Thanesar, in present-day Haryana. After the downfall of the prior Gupta Empire in the middle of the 6th century, North India reverted to smaller republics and monarchical states. The power vacuum resulted in the rise of the Vardhanas of Thanesar, who began uniting the republics and monarchies from the Punjab to central India. After the death of Harsha's father and brother, representatives of the empire crowned Harsha emperor at an assembly in April 606 CE, giving him the title of Maharaja when he was merely 16 years old. At the height of his power, his Empire covered much of North and Northwestern India, extended East until Kamarupa, and South until Narmada River; and eventually made Kannauj (in present Uttar Pradesh state) his capital, and ruled until 647 CE. The peace and prosperity that prevailed made his court a centre of cosmopolitanism, attracting scholars, artists and religious visitors from far and wide. During this time, Harsha converted to Buddhism from Surya worship. The Chinese traveller Xuanzang visited the court of Harsha and wrote a very favourable account of him, praising his justice and generosity. His biography Harshacharita ("Deeds of Harsha") written by Sanskrit poet Banabhatta, describes his association with Thanesar, besides mentioning the defence wall, a moat and the palace with a two-storied Dhavalagriha (White Mansion). Early medieval period (mid 6th c.–1200 CE) Early medieval India began after the end of the Gupta Empire in the 6th century CE. This period also covers the "Late Classical Age" of Hinduism, which began after the end of the Gupta Empire, and the collapse of the Empire of Harsha in the 7th century CE; the beginning of Imperial Kannauj, leading to the Tripartite struggle; and ended in the 13th century with the rise of the Delhi Sultanate in Northern India and the end of the Later Cholas with the death of Rajendra Chola III in 1279 in Southern India; however some aspects of the Classical period continued until the fall of the Vijayanagara Empire in the south around the 17th century. From the fifth century to the thirteenth, Śrauta sacrifices declined, and initiatory traditions of Buddhism, Jainism or more commonly Shaivism, Vaishnavism and Shaktism expanded in royal courts. This period produced some of India's finest art, considered the epitome of classical development, and the development of the main spiritual and philosophical systems which continued to be in Hinduism, Buddhism and Jainism. In the 7th century CE, Kumārila Bhaṭṭa formulated his school of Mimamsa philosophy and defended the position on Vedic rituals against Buddhist attacks. Scholars note Bhaṭṭa's contribution to the decline of Buddhism in India. In the 8th century, Adi Shankara travelled across the Indian subcontinent to propagate and spread the doctrine of Advaita Vedanta, which he consolidated; and is credited with unifying the main characteristics of the current thoughts in Hinduism. He was a critic of both Buddhism and Minamsa school of Hinduism; and founded mathas (monasteries), in the four corners of the Indian subcontinent for the spread and development of Advaita Vedanta. While, Muhammad bin Qasim's invasion of Sindh (modern Pakistan) in 711 CE witnessed further decline of Buddhism. The Chach Nama records many instances of conversion of stupas to mosques such as at Nerun. From the 8th to the 10th century, three dynasties contested for control of northern India: the Gurjara Pratiharas of Malwa, the Palas of Bengal, and the Rashtrakutas of the Deccan. The Sena dynasty would later assume control of the Pala Empire; the Gurjara Pratiharas fragmented into various states, notably the Paramaras of Malwa, the Chandelas of Bundelkhand, the Kalachuris of Mahakoshal, the Tomaras of Haryana, and the Chauhans of Rajputana, these states were some of the earliest Rajput kingdoms; while the Rashtrakutas were annexed by the Western Chalukyas. During this period, the Chaulukya dynasty emerged; the Chaulukyas constructed the Dilwara Temples, Modhera Sun Temple, Rani ki vav in the style of Māru-Gurjara architecture, and their capital Anhilwara (modern Patan, Gujarat) was one of the largest cities in the Indian subcontinent, with the population estimated at 100,000 in 1000 CE. The Chola Empire emerged as a major power during the reign of Raja Raja Chola I and Rajendra Chola I who successfully invaded parts of Southeast Asia and Sri Lanka in the 11th century. Lalitaditya Muktapida (r. 724–760 CE) was an emperor of the Kashmiri Karkoṭa dynasty, which exercised influence in northwestern India from 625 CE until 1003, and was followed by Lohara dynasty. Kalhana in his Rajatarangini credits king Lalitaditya with leading an aggressive military campaign in Northern India and Central Asia. The Hindu Shahi dynasty ruled portions of eastern Afghanistan, northern Pakistan, and Kashmir from the mid-7th century to the early 11th century. While in Odisha, the Eastern Ganga Empire rose to power; noted for the advancement of Hindu architecture, most notable being Jagannath Temple and Konark Sun Temple, as well as being patrons of art and literature. Chalukya Empire The Chalukya Empire ruled large parts of southern and central India between the 6th and the 12th centuries. During this period, they ruled as three related yet individual dynasties. The earliest dynasty, known as the "Badami Chalukyas", ruled from Vatapi (modern Badami) from the middle of the 6th century. The Badami Chalukyas began to assert their independence at the decline of the Kadamba kingdom of Banavasi and rapidly rose to prominence during the reign of Pulakeshin II. The rule of the Chalukyas marks an important milestone in the history of South India and a golden age in the history of Karnataka. The political atmosphere in South India shifted from smaller kingdoms to large empires with the ascendancy of Badami Chalukyas. A Southern India-based kingdom took control and consolidated the entire region between the Kaveri and the Narmada rivers. The rise of this empire saw the birth of efficient administration, overseas trade and commerce and the development of new style of architecture called "Chalukyan architecture". The Chalukya dynasty ruled parts of southern and central India from Badami in Karnataka between 550 and 750, and then again from Kalyani between 970 and 1190. Rashtrakuta Empire Founded by Dantidurga around 753, the Rashtrakuta Empire ruled from its capital at Manyakheta for almost two centuries. At its peak, the Rashtrakutas ruled from the Ganges River and Yamuna River doab in the north to Cape Comorin in the south, a fruitful time of political expansion, architectural achievements and famous literary contributions. The early rulers of this dynasty were Hindu, but the later rulers were strongly influenced by Jainism. Govinda III and Amoghavarsha were the most famous of the long line of able administrators produced by the dynasty. Amoghavarsha, who ruled for 64 years, was also an author and wrote Kavirajamarga, the earliest known Kannada work on poetics. Architecture reached a milestone in the Dravidian style, the finest example of which is seen in the Kailasanath Temple at Ellora. Other important contributions are the Kashivishvanatha temple and the Jain Narayana temple at Pattadakal in Karnataka. The Arab traveller Suleiman described the Rashtrakuta Empire as one of the four great Empires of the world. The Rashtrakuta period marked the beginning of the golden age of southern Indian mathematics. The great south Indian mathematician Mahāvīra lived in the Rashtrakuta Empire and his text had a huge impact on the medieval south Indian mathematicians who lived after him. The Rashtrakuta rulers also patronised men of letters, who wrote in a variety of languages from Sanskrit to the Apabhraṃśas. Gurjara-Pratihara Empire The Gurjara-Pratiharas were instrumental in containing Arab armies moving east of the Indus River. Nagabhata I defeated the Arab army under Junaid and Tamin during the Caliphate campaigns in India. Under Nagabhata II, the Gurjara-Pratiharas became the most powerful dynasty in northern India. He was succeeded by his son Ramabhadra, who ruled briefly before being succeeded by his son, Mihira Bhoja. Under Bhoja and his successor Mahendrapala I, the Pratihara Empire reached its peak of prosperity and power. By the time of Mahendrapala, the extent of its territory rivalled that of the Gupta Empire stretching from the border of Sindh in the west to Bengal in the east and from the Himalayas in the north to areas past the Narmada in the south. The expansion triggered a tripartite power struggle with the Rashtrakuta and Pala empires for control of the Indian subcontinent. During this period, Imperial Pratihara took the title of Maharajadhiraja of Āryāvarta (Great King of Kings of India). By the 10th century, several feudatories of the empire took advantage of the temporary weakness of the Gurjara-Pratiharas to declare their independence, notably the Paramaras of Malwa, the Chandelas of Bundelkhand, the Kalachuris of Mahakoshal, the Tomaras of Haryana, and the Chauhans of Rajputana. Gahadavala dynasty Gahadavala dynasty ruled parts of the present-day Indian states of Uttar Pradesh and Bihar, during 11th and 12th centuries. Their capital was located at Varanasi in the Gangetic plains. Khayaravala dynasty The Khayaravala dynasty,ruled parts of the present-day Indian states of Bihar and Jharkhand, during 11th and 12th centuries. Their capital was located at Khayaragarh in Shahabad district. Pratapdhavala and Shri Pratapa were king of the dynasty according to inscription of Rohtas. Pala Empire The Pala Empire was founded by Gopala I. It was ruled by a Buddhist dynasty from Bengal in the eastern region of the Indian subcontinent. The Palas reunified Bengal after the fall of Shashanka's Gauda Kingdom. The Palas were followers of the Mahayana and Tantric schools of Buddhism, they also patronised Shaivism and Vaishnavism. The morpheme Pala, meaning "protector", was used as an ending for the names of all the Pala monarchs. The empire reached its peak under Dharmapala and Devapala. Dharmapala is believed to have conquered Kanauj and extended his sway up to the farthest limits of India in the northwest. The Pala Empire can be considered as the golden era of Bengal in many ways. Dharmapala founded the Vikramashila and revived Nalanda, considered one of the first great universities in recorded history. Nalanda reached its height under the patronage of the Pala Empire. The Palas also built many viharas. They maintained close cultural and commercial ties with countries of Southeast Asia and Tibet. Sea trade added greatly to the prosperity of the Pala Empire. The Arab merchant Suleiman notes the enormity of the Pala army in his memoirs. Cholas Medieval Cholas rose to prominence during the middle of the 9th century CE and established the greatest empire South India had seen. They successfully united the South India under their rule and through their naval strength extended their influence in the Southeast Asian countries such as Srivijaya. Under Rajaraja Chola I and his successors Rajendra Chola I, Rajadhiraja Chola, Virarajendra Chola and Kulothunga Chola I the dynasty became a military, economic and cultural power in South Asia and South-East Asia. Rajendra Chola I's navies went even further, occupying the sea coasts from Burma to Vietnam, the Andaman and Nicobar Islands, the Lakshadweep (Laccadive) islands, Sumatra, and the Malay Peninsula in Southeast Asia and the Pegu islands. The power of the new empire was proclaimed to the eastern world by the expedition to the Ganges which Rajendra Chola I undertook and by the occupation of cities of the maritime empire of Srivijaya in Southeast Asia, as well as by the repeated embassies to China. They dominated the political affairs of Sri Lanka for over two centuries through repeated invasions and occupation. They also had continuing trade contacts with the Arabs in the west and with the Chinese empire in the east. Rajaraja Chola I and his equally distinguished son Rajendra Chola I gave political unity to the whole of Southern India and established the Chola Empire as a respected sea power. Under the Cholas, the South India reached new heights of excellence in art, religion and literature. In all of these spheres, the Chola period marked the culmination of movements that had begun in an earlier age under the Pallavas. Monumental architecture in the form of majestic temples and sculpture in stone and bronze reached a finesse never before achieved in India. Western Chalukya Empire The Western Chalukya Empire ruled most of the western Deccan, South India, between the 10th and 12th centuries. Vast areas between the Narmada River in the north and Kaveri River in the south came under Chalukya control. During this period the other major ruling families of the Deccan, the Hoysalas, the Seuna Yadavas of Devagiri, the Kakatiya dynasty and the Southern Kalachuris, were subordinates of the Western Chalukyas and gained their independence only when the power of the Chalukya waned during the latter half of the 12th century. The Western Chalukyas developed an architectural style known today as a transitional style, an architectural link between the style of the early Chalukya dynasty and that of the later Hoysala empire. Most of its monuments are in the districts bordering the Tungabhadra River in central Karnataka. Well known examples are the Kasivisvesvara Temple at Lakkundi, the Mallikarjuna Temple at Kuruvatti, the Kallesvara Temple at Bagali, Siddhesvara Temple at Haveri, and the Mahadeva Temple at Itagi. This was an important period in the development of fine arts in Southern India, especially in literature as the Western Chalukya kings encouraged writers in the native language of Kannada, and Sanskrit like the philosopher and statesman Basava and the great mathematician Bhāskara II. Late medieval period (c. 1200–1526 CE) The late medieval period is marked by repeated invasions of the Muslim Central Asian nomadic clans, the rule of the Delhi sultanate, and by the growth of other dynasties and empires, built upon military technology of the Sultanate. Delhi Sultanate The Delhi Sultanate was a Muslim sultanate based in Delhi, ruled by several dynasties of Turkic, Turko-Indian and Pathan origins. It ruled large parts of the Indian subcontinent from the 13th century to the early 16th century. In the 12th and 13th centuries, Central Asian Turks invaded parts of northern India and established the Delhi Sultanate in the former Hindu holdings. The subsequent Mamluk dynasty of Delhi managed to conquer large areas of northern India, while the Khalji dynasty conquered most of central India while forcing the principal Hindu kingdoms of South India to become vassal states. The Sultanate ushered in a period of Indian cultural renaissance. The resulting "Indo-Muslim" fusion of cultures left lasting syncretic monuments in architecture, music, literature, religion, and clothing. It is surmised that the language of Urdu was born during the Delhi Sultanate period as a result of the intermingling of the local speakers of Sanskritic Prakrits with immigrants speaking Persian, Turkic, and Arabic under the Muslim rulers. The Delhi Sultanate is the only Indo-Islamic empire to enthrone one of the few female rulers in India, Razia Sultana (1236–1240). During the Delhi Sultanate, there was a synthesis between Indian civilization and Islamic civilization. The latter was a cosmopolitan civilization, with a multicultural and pluralistic society, and wide-ranging international networks, including social and economic networks, spanning large parts of Afro-Eurasia, leading to escalating circulation of goods, peoples, technologies and ideas. While initially disruptive due to the passing of power from native Indian elites to Turkic Muslim elites, the Delhi Sultanate was responsible for integrating the Indian subcontinent into a growing world system, drawing India into a wider international network, which had a significant impact on Indian culture and society. However, the Delhi Sultanate also caused large-scale destruction and desecration of temples in the Indian subcontinent. The Mongol invasions of India were successfully repelled by the Delhi Sultanate during the rule of Alauddin Khalji. A major factor in their success was their Turkic Mamluk slave army, who were highly skilled in the same style of nomadic cavalry warfare as the Mongols, as a result of having similar nomadic Central Asian roots. It is possible that the Mongol Empire may have expanded into India were it not for the Delhi Sultanate's role in repelling them. By repeatedly repulsing the Mongol raiders, the sultanate saved India from the devastation visited on West and Central Asia, setting the scene for centuries of migration of fleeing soldiers, learned men, mystics, traders, artists, and artisans from that region into the subcontinent, thereby creating a syncretic Indo-Islamic culture in the north. A Turco-Mongol conqueror in Central Asia, Timur (Tamerlane), attacked the reigning Sultan Nasir-u Din Mehmud of the Tughlaq Dynasty in the north Indian city of Delhi. The Sultan's army was defeated on 17 December 1398. Timur entered Delhi and the city was sacked, destroyed, and left in ruins after Timur's army had killed and plundered for three days and nights. He ordered the whole city to be sacked except for the sayyids, scholars, and the "other Muslims" (artists); 100,000 war prisoners were put to death in one day. The Sultanate suffered significantly from the sacking of Delhi. Though revived briefly under the Lodi Dynasty, it was but a shadow of the former. Vijayanagara Empire The Vijayanagara Empire was established in 1336 by Harihara I and his brother Bukka Raya I of Sangama Dynasty, which originated as a political heir of the Hoysala Empire, Kakatiya Empire, and the Pandyan Empire. The empire rose to prominence as a culmination of attempts by the south Indian powers to ward off Islamic invasions by the end of the 13th century. It lasted until 1646, although its power declined after a major military defeat in 1565 by the combined armies of the Deccan sultanates. The empire is named after its capital city of Vijayanagara, whose ruins surround present day Hampi, now a World Heritage Site in Karnataka, India. In the first two decades after the founding of the empire, Harihara I gained control over most of the area south of the Tungabhadra river and earned the title of Purvapaschima Samudradhishavara ("master of the eastern and western seas"). By 1374 Bukka Raya I, successor to Harihara I, had defeated the chiefdom of Arcot, the Reddys of Kondavidu, and the Sultan of Madurai and had gained control over Goa in the west and the Tungabhadra-Krishna River doab in the north. With the Vijayanagara Kingdom now imperial in stature, Harihara II, the second son of Bukka Raya I, further consolidated the kingdom beyond the Krishna River and brought the whole of South India under the Vijayanagara umbrella. The next ruler, Deva Raya I, emerged successful against the Gajapatis of Odisha and undertook important works of fortification and irrigation. Italian traveler Niccolo de Conti wrote of him as the most powerful ruler of India. Deva Raya II (called Gajabetekara) succeeded to the throne in 1424 and was possibly the most capable of the Sangama dynasty rulers. He quelled rebelling feudal lords as well as the Zamorin of Calicut and Quilon in the south. He invaded the island of Sri Lanka and became overlord of the kings of Burma at Pegu and Tanasserim. The Vijayanagara Emperors were tolerant of all religions and sects, as writings by foreign visitors show. The kings used titles such as Gobrahamana Pratipalanacharya (literally, "protector of cows and Brahmins") and Hindurayasuratrana (lit, "upholder of Hindu faith") that testified to their intention of protecting Hinduism and yet were at the same time staunchly Islamicate in their court ceremonials and dress. The empire's founders, Harihara I and Bukka Raya I, were devout Shaivas (worshippers of Shiva), but made grants to the Vaishnava order of Sringeri with Vidyaranya as their patron saint, and designated Varaha (the boar, an Avatar of Vishnu) as their emblem. Over one-fourth of the archaeological dig found an "Islamic Quarter" not far from the "Royal Quarter". Nobles from Central Asia's Timurid kingdoms also came to Vijayanagara. The later Saluva and Tuluva kings were Vaishnava by faith, but worshipped at the feet of Lord Virupaksha (Shiva) at Hampi as well as Lord Venkateshwara (Vishnu) at Tirupati. A Sanskrit work, Jambavati Kalyanam by King Krishnadevaraya, called Lord Virupaksha Karnata Rajya Raksha Mani ("protective jewel of Karnata Empire"). The kings patronised the saints of the dvaita order (philosophy of dualism) of Madhvacharya at Udupi. The empire's legacy includes many monuments spread over South India, the best known of which is the group at Hampi. The previous temple building traditions in South India came together in the Vijayanagara Architecture style. The mingling of all faiths and vernaculars inspired architectural innovation of Hindu temple construction, first in the Deccan and later in the Dravidian idioms using the local granite. South Indian mathematics flourished under the protection of the Vijayanagara Empire in Kerala. The south Indian mathematician Madhava of Sangamagrama founded the famous Kerala School of Astronomy and Mathematics in the 14th century which produced a lot of great south Indian mathematicians like Parameshvara, Nilakantha Somayaji and Jyeṣṭhadeva in medieval south India. Efficient administration and vigorous overseas trade brought new technologies such as water management systems for irrigation. The empire's patronage enabled fine arts and literature to reach new heights in Kannada, Telugu, Tamil, and Sanskrit, while Carnatic music evolved into its current form. Vijayanagara went into decline after the defeat in the Battle of Talikota (1565). After the death of Aliya Rama Raya in the Battle of Talikota, Tirumala Deva Raya started the Aravidu dynasty, moved and founded a new capital of Penukonda to replace the destroyed Hampi, and attempted to reconstitute the remains of Vijayanagara Empire. Tirumala abdicated in 1572, dividing the remains of his kingdom to his three sons, and pursued a religious life until his death in 1578. The Aravidu dynasty successors ruled the region but the empire collapsed in 1614, and the final remains ended in 1646, from continued wars with the Bijapur sultanate and others. During this period, more kingdoms in South India became independent and separate from Vijayanagara. These include the Mysore Kingdom, Keladi Nayaka, Nayaks of Madurai, Nayaks of Tanjore, Nayakas of Chitradurga and Nayak Kingdom of Gingee – all of which declared independence and went on to have a significant impact on the history of South India in the coming centuries. Mewar Dynasty (728-1947) For two and a half centuries from the mid 13th century, politics in Northern India was dominated by the Delhi Sultanate, and in Southern India by the Vijayanagar Empire. However, there were other regional powers present as well. After fall of Pala empire, the Chero dynasty ruled much of Eastern Uttar Pradesh, Bihar and Jharkhand from 12th CE to 18th CE. The Reddy dynasty successfully defeated the Delhi Sultanate; and extended their rule from Cuttack in the north to Kanchi in the south, eventually being absorbed into the expanding Vijayanagara Empire. In the north, the Rajput kingdoms remained the dominant force in Western and Central India. The Mewar dynasty under Maharana Hammir defeated and captured Muhammad Tughlaq with the Bargujars as his main allies. Tughlaq had to pay a huge ransom and relinquish all of Mewar's lands. After this event, the Delhi Sultanate did not attack Chittor for a few hundred years. The Rajputs re-established their independence, and Rajput states were established as far east as Bengal and north into the Punjab. The Tomaras established themselves at Gwalior, and Man Singh Tomar reconstructed the Gwalior Fort which still stands there. During this period, Mewar emerged as the leading Rajput state; and Rana Kumbha expanded his kingdom at the expense of the Sultanates of Malwa and Gujarat. The next great Rajput ruler, Rana Sanga of Mewar, became the principal player in Northern India. His objectives grew in scope – he planned to conquer the much sought after prize of the Muslim rulers of the time, Delhi. But, his defeat in the Battle of Khanwa consolidated the new Mughal dynasty in India. The Mewar dynasty under Maharana Udai Singh II faced further defeat by Mughal emperor Akbar, with their capital Chittor being captured. Due to this event, Udai Singh II founded Udaipur, which became the new capital of the Mewar kingdom. His son, Maharana Pratap of Mewar, firmly resisted the Mughals. Akbar sent many missions against him. He survived to ultimately gain control of all of Mewar, excluding the Chittor Fort. In the south, the Bahmani Sultanate, which was established either by a Brahman convert or patronised by a Brahman and from that source it was given the name Bahmani, was the chief rival of the Vijayanagara, and frequently created difficulties for the Vijayanagara. In the early 16th century Krishnadevaraya of the Vijayanagar Empire defeated the last remnant of Bahmani Sultanate power. After which, the Bahmani Sultanate collapsed, resulting it being split into five small Deccan sultanates. In 1490, Ahmadnagar declared independence, followed by Bijapur and Berar in the same year; Golkonda became independent in 1518 and Bidar in 1528. Although generally rivals, they did ally against the Vijayanagara Empire in 1565, permanently weakening Vijayanagar in the Battle of Talikota. In the East, the Gajapati Kingdom remained a strong regional power to reckon with, associated with a high point in the growth of regional culture and architecture. Under Kapilendradeva, Gajapatis became an empire stretching from the lower Ganga in the north to the Kaveri in the south. In Northeast India, the Ahom Kingdom was a major power for six centuries; led by Lachit Borphukan, the Ahoms decisively defeated the Mughal army at the Battle of Saraighat during the Ahom-Mughal conflicts. Further east in Northeastern India was the Kingdom of Manipur, which ruled from their seat of power at Kangla Fort and developed a sophisticated Hindu Gaudiya Vaishnavite culture. The Sultanate of Bengal was the dominant power of the Ganges–Brahmaputra Delta, with a network of mint towns spread across the region. It was a Sunni Muslim monarchy with Indo-Turkic, Arab, Abyssinian and Bengali Muslim elites. The sultanate was known for its religious pluralism where non-Muslim communities co-existed peacefully. The Bengal Sultanate had a circle of vassal states, including Odisha in the southwest, Arakan in the southeast, and Tripura in the east. In the early 16th-century, the Bengal Sultanate reached the peak of its territorial growth with control over Kamrup and Kamata in the northeast and Jaunpur and Bihar in the west. It was reputed as a thriving
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the Mughals and established the Panna State. The Mughal dynasty was reduced to puppet rulers by 1757. Vadda Ghalughara took place under the Muslim provincial government based at Lahore to wipe out the Sikhs, with 30,000 Sikhs being killed, an offensive that had begun with the Mughals, with the Chhota Ghallughara, and lasted several decades under its Muslim successor states. Marathas and Sikhs Maratha Empire In the early 18th century the Maratha Empire extended suzerainty over the Indian subcontinent. Under the Peshwas, the Marathas consolidated and ruled over much of South Asia. The Marathas are credited to a large extent for ending Mughal rule in India. The Maratha kingdom was founded and consolidated by Chatrapati Shivaji, a Maratha aristocrat of the Bhonsle clan. However, the credit for making the Marathas formidable power nationally goes to Peshwa Bajirao I. Historian K.K. Datta wrote that Bajirao I "may very well be regarded as the second founder of the Maratha Empire". By the early 18th century, the Maratha Kingdom had transformed itself into the Maratha Empire under the rule of the Peshwas (prime ministers). In 1737, the Marathas defeated a Mughal army in their capital, in the Battle of Delhi. The Marathas continued their military campaigns against the Mughals, Nizam, Nawab of Bengal and the Durrani Empire to further extend their boundaries. By 1760, the domain of the Marathas stretched across most of the Indian subcontinent. The Marathas even discussed abolishing the Mughal throne and placing Vishwasrao Peshwa on the Mughal imperial throne in Delhi. The empire at its peak stretched from Tamil Nadu in the south, to Peshawar (modern-day Khyber Pakhtunkhwa, Pakistan ) in the north, and Bengal in the east. The Northwestern expansion of the Marathas was stopped after the Third Battle of Panipat (1761). However, the Maratha authority in the north was re-established within a decade under Peshwa Madhavrao I. Under Madhavrao I, the strongest knights were granted semi-autonomy, creating a confederacy of Maratha states under the Gaekwads of Baroda, the Holkars of Indore and Malwa, the Scindias of Gwalior and Ujjain, the Bhonsales of Nagpur and the Puars of Dhar and Dewas. In 1775, the East India Company intervened in a Peshwa family succession struggle in Pune, which led to the First Anglo-Maratha War, resulting in a Maratha victory. The Marathas remained a major power in India until their defeat in the Second and Third Anglo-Maratha Wars (1805–1818), which resulted in the East India Company controlling most of India. Sikh Empire The Sikh Empire, ruled by members of the Sikh religion, was a political entity that governed the Northwestern regions of the Indian subcontinent. The empire, based around the Punjab region, existed from 1799 to 1849. It was forged, on the foundations of the Khalsa, under the leadership of Maharaja Ranjit Singh (1780–1839) from an array of autonomous Punjabi Misls of the Sikh Confederacy. Maharaja Ranjit Singh consolidated many parts of northern India into an empire. He primarily used his Sikh Khalsa Army that he trained in European military techniques and equipped with modern military technologies. Ranjit Singh proved himself to be a master strategist and selected well-qualified generals for his army. He continuously defeated the Afghan armies and successfully ended the Afghan-Sikh Wars. In stages, he added central Punjab, the provinces of Multan and Kashmir, and the Peshawar Valley to his empire. At its peak, in the 19th century, the empire extended from the Khyber Pass in the west, to Kashmir in the north, to Sindh in the south, running along Sutlej river to Himachal in the east. After the death of Ranjit Singh, the empire weakened, leading to conflict with the British East India Company. The hard-fought first Anglo-Sikh war and second Anglo-Sikh war marked the downfall of the Sikh Empire, making it among the last areas of the Indian subcontinent to be conquered by the British. Other kingdoms The Kingdom of Mysore in southern India expanded to its greatest extent under Hyder Ali and his son Tipu Sultan in the later half of the 18th century. Under their rule, Mysore fought series of wars against the Marathas and British or their combined forces. The Maratha–Mysore War ended in April 1787, following the finalizing of treaty of Gajendragad, in which, Tipu Sultan was obligated to pay tribute to the Marathas. Concurrently, the Anglo-Mysore Wars took place, where the Mysoreans used the Mysorean rockets. The Fourth Anglo-Mysore War (1798–1799) saw the death of Tipu. Mysore's alliance with the French was seen as a threat to the British East India Company, and Mysore was attacked from all four sides. The Nizam of Hyderabad and the Marathas launched an invasion from the north. The British won a decisive victory at the Siege of Seringapatam (1799). Hyderabad was founded by the Qutb Shahi dynasty of Golconda in 1591. Following a brief Mughal rule, Asif Jah, a Mughal official, seized control of Hyderabad and declared himself Nizam-al-Mulk of Hyderabad in 1724. The Nizams lost considerable territory and paid tribute to the Maratha Empire after being routed in multiple battles, such as the Battle of Palkhed. However, the Nizams maintained their sovereignty from 1724 until 1948 through paying tributes to the Marathas, and later, being vassels of the British. Hyderabad State became a princely state in British India in 1798. The Nawabs of Bengal had become the de facto rulers of Bengal following the decline of Mughal Empire. However, their rule was interrupted by Marathas who carried out six expeditions in Bengal from 1741 to 1748, as a result of which Bengal became a tributary state of Marathas. On 23 June 1757, Siraj ud-Daulah, the last independent Nawab of Bengal was betrayed in the Battle of Plassey by Mir Jafar. He lost to the British, who took over the charge of Bengal in 1757, installed Mir Jafar on the Masnad (throne) and established itself to a political power in Bengal. In 1765 the system of Dual Government was established, in which the Nawabs ruled on behalf of the British and were mere puppets to the British. In 1772 the system was abolished and Bengal was brought under the direct control of the British. In 1793, when the Nizamat (governorship) of the Nawab was also taken away from them, they remained as the mere pensioners of the British East India Company. In the 18th century, the whole of Rajputana was virtually subdued by the Marathas. The Second Anglo-Maratha War distracted the Marathas from 1807 to 1809, but afterward Maratha domination of Rajputana resumed. In 1817, the British went to war with the Pindaris, raiders who were based in Maratha territory, which quickly became the Third Anglo-Maratha War, and the British government offered its protection to the Rajput rulers from the Pindaris and the Marathas. By the end of 1818 similar treaties had been executed between the other Rajput states and Britain. The Maratha Sindhia ruler of Gwalior gave up the district of Ajmer-Merwara to the British, and Maratha influence in Rajasthan came to an end. Most of the Rajput princes remained loyal to Britain in the Revolt of 1857, and few political changes were made in Rajputana until Indian independence in 1947. The Rajputana Agency contained more than 20 princely states, most notable being Udaipur State, Jaipur State, Bikaner State and Jodhpur State. After the fall of the Maratha Empire, many Maratha dynasties and states became vassals in a subsidiary alliance with the British, to form the largest bloc of princely states in the British Raj, in terms of territory and population. With the decline of the Sikh Empire, after the First Anglo-Sikh War in 1846, under the terms of the Treaty of Amritsar, the British government sold Kashmir to Maharaja Gulab Singh and the princely state of Jammu and Kashmir, the second-largest princely state in British India, was created by the Dogra dynasty. While in Eastern and Northeastern India, the Hindu and Buddhist states of Cooch Behar Kingdom, Twipra Kingdom and Kingdom of Sikkim were annexed by the British and made vassal princely state. After the fall of the Vijayanagara Empire, Polygar states emerged in Southern India; and managed to weather invasions and flourished until the Polygar Wars, where they were defeated by the British East India Company forces. Around the 18th century, the Kingdom of Nepal was formed by Rajput rulers. European exploration In 1498, a Portuguese fleet under Vasco da Gama successfully discovered a new sea route from Europe to India, which paved the way for direct Indo-European commerce. The Portuguese soon set up trading posts in Goa, Daman, Diu and Bombay. After their conquest in Goa, the Portuguese instituted the Goa Inquisition, where new Indian converts and non-Christians were punished for suspected heresy against Christianity and were condemned to be burnt. Goa became the main Portuguese base until it was annexed by India in 1961. The next to arrive were the Dutch, with their main base in Ceylon. They established ports in Malabar. 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. The internal conflicts among Indian kingdoms gave opportunities to the European traders to gradually establish political influence and appropriate lands. Following the Dutch, the British—who set up in the west coast port of Surat in 1619—and the French both established trading outposts in India. Although these continental European powers controlled various coastal regions of southern and eastern India during the ensuing century, they eventually lost all their territories in India to the British, with the exception of the French outposts of Pondichéry and Chandernagore, and the Portuguese colonies of Goa, Daman and Diu. East India Company rule in India The English East India Company was founded in 1600 as The Company of Merchants of London Trading into the East Indies. It gained a foothold in India with the establishment of a factory in Masulipatnam on the Eastern coast of India in 1611 and a grant of rights by the Mughal emperor Jahangir to establish a factory in Surat in 1612. In 1640, after receiving similar permission from the Vijayanagara ruler farther south, a second factory was established in Madras on the southeastern coast. Bombay island, not far from Surat, a former Portuguese outpost gifted to England as dowry in the marriage of Catherine of Braganza to Charles II, was leased by the company in 1668. Two decades later, the company established a presence in the Ganges River delta when a factory was set up in Calcutta. During this time other companies established by the Portuguese, Dutch, French, and Danish were similarly expanding in the region. The company's victory under Robert Clive in the 1757 Battle of Plassey and another victory in the 1764 Battle of Buxar (in Bihar), consolidated the company's power, and forced emperor Shah Alam II to appoint it the diwan, or revenue collector, of Bengal, Bihar, and Orissa. The company thus became the de facto ruler of large areas of the lower Gangetic plain by 1773. It also proceeded by degrees to expand its dominions around Bombay and Madras. The Anglo-Mysore Wars (1766–99) and the Anglo-Maratha Wars (1772–1818) left it in control of large areas of India south of the Sutlej River. With the defeat of the Marathas, no native power represented a threat for the company any longer. The expansion of the company's power chiefly took two forms. The first of these was the outright annexation of Indian states and subsequent direct governance of the underlying regions that collectively came to comprise British India. The annexed regions included the North-Western Provinces (comprising Rohilkhand, Gorakhpur, and the Doab) (1801), Delhi (1803), Assam (Ahom Kingdom 1828) and Sindh (1843). Punjab, North-West Frontier Province, and Kashmir were annexed after the Anglo-Sikh Wars in 1849–56 (Period of tenure of Marquess of Dalhousie Governor General). However, Kashmir was immediately sold under the Treaty of Amritsar (1850) to the Dogra Dynasty of Jammu and thereby became a princely state. In 1854, Berar was annexed along with the state of Oudh two years later. The second form of asserting power involved treaties in which Indian rulers acknowledged the company's hegemony in return for limited internal autonomy. Since the company operated under financial constraints, it had to set up political underpinnings for its rule. The most important such support came from the subsidiary alliances with Indian princes during the first 75 years of Company rule. In the early 19th century, the territories of these princes accounted for two-thirds of India. When an Indian ruler who was able to secure his territory wanted to enter such an alliance, the company welcomed it as an economical method of indirect rule that did not involve the economic costs of direct administration or the political costs of gaining the support of alien subjects. In return, the company undertook the "defense of these subordinate allies and treated them with traditional respect and marks of honor." Subsidiary alliances created the princely states of the Hindu maharajas and the Muslim nawabs. Prominent among the princely states were Cochin (1791), Jaipur (1794), Travancore (1795), Hyderabad (1798), Mysore (1799), Cis-Sutlej Hill States (1815), Central India Agency (1819), Cutch and Gujarat Gaikwad territories (1819), Rajputana (1818) and Bahawalpur (1833). Indian indenture system The Indian indenture system was an ongoing system of indenture, a form of debt bondage, by which 3.5 million Indians were transported to various colonies of European powers to provide labor for the (mainly sugar) plantations. It started from the end of slavery in 1833 and continued until 1920. This resulted in the development of a large Indian diaspora that spread from the Caribbean (e.g. Trinidad and Tobago) to the Pacific Ocean (e.g. Fiji) and the growth of large Indo-Caribbean and Indo-African populations. Modern period and independence (after c. 1850 CE) Rebellion of 1857 and its consequences The Indian rebellion of 1857 was a large-scale rebellion by soldiers employed by the British East India Company in northern and central India against the company's rule. The spark that led to the mutiny was the issue of new gunpowder cartridges for the Enfield rifle, which was insensitive to local religious prohibition. The key mutineer was Mangal Pandey. In addition, the underlying grievances over British taxation, the ethnic gulf between the British officers and their Indian troops and land annexations played a significant role in the rebellion. Within weeks after Pandey's mutiny, dozens of units of the Indian army joined peasant armies in widespread rebellion. The rebel soldiers were later joined by Indian nobility, many of whom had lost titles and domains under the Doctrine of Lapse and felt that the company had interfered with a traditional system of inheritance. Rebel leaders such as Nana Sahib and the Rani of Jhansi belonged to this group. After the outbreak of the mutiny in Meerut, the rebels very quickly reached Delhi. The rebels had also captured large tracts of the North-Western Provinces and Awadh (Oudh). Most notably, in Awadh, the rebellion took on the attributes of a patriotic revolt against British presence. However, the British East India Company mobilised rapidly with the assistance of friendly Princely states, but it took the British the remainder of 1857 and the better part of 1858 to suppress the rebellion. Due to the rebels being poorly equipped and having no outside support or funding, they were brutally subdued by the British. In the aftermath, all power was transferred from the British East India Company to the British Crown, which began to administer most of India as a number of provinces. The Crown controlled the company's lands directly and had considerable indirect influence over the rest of India, which consisted of the Princely states ruled by local royal families. There were officially 565 princely states in 1947, but only 21 had actual state governments, and only three were large (Mysore, Hyderabad, and Kashmir). They were absorbed into the independent nation in 1947–48. British Raj (1858–1947) After 1857, the colonial government strengthened and expanded its infrastructure via the court system, legal procedures, and statutes. The Indian Penal Code came into being. In education, Thomas Babington Macaulay had made schooling a priority for the Raj in his famous minute of February 1835 and succeeded in implementing the use of English as the medium of instruction. By 1890 some 60,000 Indians had matriculated. The Indian economy grew at about 1% per year from 1880 to 1920, and the population also grew at 1%. However, from 1910s Indian private industry began to grow significantly. India built a modern railway system in the late 19th century which was the fourth largest in the world. The British Raj invested heavily in infrastructure, including canals and irrigation systems in addition to railways, telegraphy, roads and ports. However, historians have been bitterly divided on issues of economic history, with the Nationalist school arguing that India was poorer at the end of British rule than at the beginning and that impoverishment occurred because of the British. In 1905, Lord Curzon split the large province of Bengal into a largely Hindu western half and "Eastern Bengal and Assam", a largely Muslim eastern half. The British goal was said to be for efficient administration but the people of Bengal were outraged at the apparent "divide and rule" strategy. It also marked the beginning of the organised anti-colonial movement. When the Liberal party in Britain came to power in 1906, he was removed. Bengal was reunified in 1911. The new Viceroy Gilbert Minto and the new Secretary of State for India John Morley consulted with Congress leaders on political reforms. The Morley-Minto reforms of 1909 provided for Indian membership of the provincial executive councils as well as the Viceroy's executive council. The Imperial Legislative Council was enlarged from 25 to 60 members and separate communal representation for Muslims was established in a dramatic step towards representative and responsible government. Several socio-religious organisations came into being at that time. Muslims set up the All India Muslim League in 1906. It was not a mass party but was designed to protect the interests of the aristocratic Muslims. It was internally divided by conflicting loyalties to Islam, the British, and India, and by distrust of Hindus. The Akhil Bharatiya Hindu Mahasabha and Rashtriya Swayamsevak Sangh (RSS) sought to represent Hindu interests though the latter always claimed it to be a "cultural" organisation. Sikhs founded the Shiromani Akali Dal in 1920. However, the largest and oldest political party Indian National Congress, founded in 1885, attempted to keep a distance from the socio-religious movements and identity politics. Indian Renaissance The Bengali Renaissance refers to a social reform movement during the nineteenth and early twentieth centuries in the Bengal region of the Indian subcontinent during the period of British rule dominated by Bengali Hindus. Historian Nitish Sengupta describes the renaissance as having started with reformer and humanitarian Raja Ram Mohan Roy (1775–1833), and ended with Asia's first Nobel laureate Rabindranath Tagore (1861–1941). This flowering of religious and social reformers, scholars, and writers is described by historian David Kopf as "one of the most creative periods in Indian history." During this period, Bengal witnessed an intellectual awakening that is in some way similar to the Renaissance. This movement questioned existing orthodoxies, particularly with respect to women, marriage, the dowry system, the caste system, and religion. One of the earliest social movements that emerged during this time was the Young Bengal movement, which espoused rationalism and atheism as the common denominators of civil conduct among upper caste educated Hindus. It played an important role in reawakening Indian minds and intellect across the Indian subcontinent. Famines During Company rule in India and the British Raj, famines in India were some of the worst ever recorded. These famines, often resulting from crop failures due to El Niño which were exacerbated by the destructive policies of the colonial government, included the Great Famine of 1876–78 in which 6.1 million to 10.3 million people died, the Great Bengal famine of 1770 where up to 10 million people died, the Indian famine of 1899–1900 in which 1.25 to 10 million people died, and the Bengal famine of 1943 where up to 3.8 million people died. The Third Plague Pandemic in the mid-19th century killed 10 million people in India. Between 15 and 29 million Indians died during the British rule. Despite persistent diseases and famines, the population of the Indian subcontinent, which stood at up to 200 million in 1750, had reached 389 million by 1941. World War I During World War I, over 800,000 volunteered for the army, and more than 400,000 volunteered for non-combat roles, compared with the pre-war annual recruitment of about 15,000 men. The Army saw action on the Western Front within a month of the start of the war at the First Battle of Ypres. After a year of front-line duty, sickness and casualties had reduced the Indian Corps to the point where it had to be withdrawn. Nearly 700,000 Indians fought the Turks in the Mesopotamian campaign. Indian formations were also sent to East Africa, Egypt, and Gallipoli. Indian Army and Imperial Service Troops fought during the Sinai and Palestine Campaign's defence of the Suez Canal in 1915, at Romani in 1916 and to Jerusalem in 1917. India units occupied the Jordan Valley and after the German spring offensive they became the major force in the Egyptian Expeditionary Force during the Battle of Megiddo and in the Desert Mounted Corps' advance to Damascus and on to Aleppo. Other divisions remained in India guarding the North-West Frontier and fulfilling internal security obligations. One million Indian troops served abroad during the war. In total, 74,187 died, and another 67,000 were wounded. The roughly 90,000 soldiers who lost their lives fighting in World War I and the Afghan Wars are commemorated by the India Gate. World War II British India officially declared war on Nazi Germany in September 1939. The British Raj, as part of the Allied Nations, sent over two and a half million volunteer soldiers to fight under British command against the Axis powers. Additionally, several Indian Princely States provided large donations to support the Allied campaign during the War. India also provided the base for American operations in support of China in the China Burma India Theatre. Indians fought with distinction throughout the world, including in the European theatre against Germany, in North Africa against Germany and Italy, against the Italians in East Africa, in the Middle East against the Vichy French, in the South Asian region defending India against the Japanese and fighting the Japanese in Burma. Indians also aided in liberating British colonies such as Singapore and Hong Kong after the Japanese surrender in August 1945. Over 87,000 soldiers from the subcontinent died in World War II. The Indian National Congress, denounced Nazi Germany but would not fight it or anyone else until India was independent. Congress launched the Quit India Movement in August 1942, refusing to co-operate in any way with the government until independence was granted. The government was ready for this move. It immediately arrested over 60,000 national and local Congress leaders. The Muslim League rejected the Quit India movement and worked closely with the Raj authorities. Subhas Chandra Bose (also called Netaji) broke with Congress and tried to form a military alliance with Germany or Japan to gain independence. The Germans assisted Bose in the formation of the Indian Legion; however, it was Japan that helped him revamp the Indian National Army (INA), after the First Indian National Army under Mohan Singh was dissolved. The INA fought under Japanese direction, mostly in Burma. Bose also headed the Provisional Government of Free India (or Azad Hind), a government-in-exile based in Singapore. The government of Azad Hind had its own currency, court, and civil code; and in the eyes of some Indians its existence gave a greater legitimacy to the independence struggle against the British. By 1942, neighbouring Burma was invaded by Japan, which by then had already captured the Indian territory of Andaman and Nicobar Islands. Japan gave nominal control of the islands to the Provisional Government of Free India on 21 October 1943, and in the following March, the Indian National Army with the help of Japan crossed into India and advanced as far as Kohima in Nagaland. This advance on the mainland of the Indian subcontinent reached its farthest point on Indian territory, retreating from the Battle of Kohima in June and from that of Imphal on 3 July 1944. The region of Bengal in British India suffered a devastating famine during 1940–1943. An estimated 2.1–3 million died from the famine, frequently characterised as "man-made", with most sources asserting that wartime colonial policies exacerbated the crisis. Indian independence movement (1885–1947) The numbers of British in India were small, yet they were able to rule 52% of the Indian subcontinent directly and exercise considerable leverage over the princely states that accounted for 48% of the area. One of the most important events of the 19th century was the rise of Indian nationalism, leading Indians to seek first "self-rule" and later "complete independence". However, historians are divided over the causes of its rise. Probable reasons include a "clash of interests of the Indian people with British interests", "racial discriminations", and "the revelation of India's past". The first step toward Indian self-rule was the appointment of councillors to advise the British viceroy in 1861 and the first Indian was appointed in 1909. Provincial Councils with Indian members were also set up. The councillors' participation was subsequently widened into legislative councils. The British built a large British Indian Army, with the senior officers all British and many of the troops from small minority groups such as Gurkhas from Nepal and Sikhs. The civil service was increasingly filled with natives at the lower levels, with the British holding the more senior positions. Bal Gangadhar Tilak, an Indian nationalist leader, declared Swaraj as the destiny of the nation. His popular sentence "Swaraj is my birthright, and I shall have it" became the source of inspiration for Indians. Tilak was backed by rising public leaders like Bipin Chandra Pal and Lala Lajpat Rai, who held the same point of view, notably they advocated the Swadeshi movement involving the boycott of all imported items and the use of Indian-made goods; the triumvirate were popularly known as Lal Bal Pal. Under them, India's three big provinces – Maharashtra, Bengal and Punjab shaped the demand of the people and India's nationalism. In 1907, the Congress was split into two factions: The radicals, led by Tilak, advocated civil agitation and direct revolution to overthrow the British Empire and the abandonment of all things British. The moderates, led by leaders like Dadabhai Naoroji and Gopal Krishna Gokhale, on the other hand, wanted reform within the framework of British rule. The partition of Bengal in 1905 further increased the revolutionary movement for Indian independence. The disenfranchisement lead some to take violent action. The British themselves adopted a "carrot and stick" approach in recognition of India's support during the First World War and in response to renewed nationalist demands. The means of achieving the proposed measure were later enshrined in the Government of India Act 1919, which introduced the principle of a dual mode of administration, or diarchy, in which elected Indian legislators and appointed British officials shared power. In 1919, Colonel Reginald Dyer
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takes place in 2024, with flashbacks to events on Earth in the 1990s and also the planet Zeist "500 years ago". The film offers an origin story for immortals, depicting Ramírez and MacLeod as alien revolutionaries of Zeist who oppose the corrupt rulers and General Katana (Michael Ironside). Ramírez and MacLeod, who share a bond due to a magic called "the Quickening", are then exiled to Earth along with others. On Earth they become immortal and are forced to kill each other until only one is left alive. The winner will have a choice: to become mortal and live out their life on Earth or return to Zeist now pardoned of all crimes. This origin story contradicts the age and history of Ramírez in the first film, Connor's childhood growing up in Scotland, and the circumstances of how the two first met, but no explanation is offered for these contradictions. Highlander II also does not explain why MacLeod no longer seems to have access to the power he won at the end of the previous film, which allowed him to know the thoughts and dreams of all living people. Only the mortality he earned is mentioned. In the film's main story, the ozone layer deteriorates and many are killed by solar radiation by 1994, including Brenda Wyatt (now said to be Connor's wife). In 1999, MacLeod supervises a team that creates an energy Shield across the planet. Earth is protected but can no longer see the sky or natural sunlight. By 2024, humanity is now largely in despair as society is overwhelmed by violence and crime. The Shield is now under control of The Shield Corporation (TSC), which charges countries heavily for its protection. Having won the Prize in 1985, MacLeod became mortal and has physically aged into a frail old man. Worried the Highlander may still return to Zeist, Katana sends immortal henchmen after him. MacLeod defends himself and his attackers die, their immortal energies restoring his youth. He allies with Louise Marcus (Virginia Madsen), a political radical who knows the ozone has healed and that TSC is covering up the truth in order to continue profits. Joining them is Ramírez, whom MacLeod summons back to life through their magical bond. They fight Katana and finally free Earth from the Shield. When Highlander II was released in 1991, it was poorly reviewed by critics worldwide, and is now considered to be one of the worst movies ever made. Russell Mulcahy was disappointed with the film and later made his own Renegade Version director's cut by re-editing the footage and removing all verbal reference to the immortals being aliens from a planet called Zeist. The Zeist footage was repurposed as a flashback to an ancient, technologically advanced civilization that existed on Earth before recorded history (the name and location of this civilization is not said). MacLeod and Ramírez were now said to have been members of this ancient society and it is stated that they, along with Katana and others, are once again rare human beings born with their immortality. While the movie still shows Ramírez wielding a form of magic, it is no longer called the Quickening. The rulers of this ancient society then banished the immortal revolutionaries and criminals to different points in the future, allowing Ramírez to be sent to ancient Egypt while MacLeod becomes a Highlander in 16th century Scotland, the two of them reuniting later. It is said the winner of the Prize can either become mortal and live out their life "in the future" or choose to return to their original civilization in the distant past. In 2004, a Special Edition was released, featuring several distinct alterations, including new computer-generated visual effects throughout the film (and changing the Shield from red to dark blue as originally intended). Though many fans regarded the Renegade Version and Special Edition as being better than the original film, the general reception was still somewhat mixed.Highlander II: Seduced by Argentina. Dir. Jonathan Gaines. 2004. DVD. Lions Gate Entertainment. Highlander III: The Sorcerer (1995)Highlander III: The Sorcerer (alternatively titled Highlander: The Final Dimension) was released on January 27, 1995. It is a direct sequel to the original film, ignoring and contradicting the story of Highlander II. Following Brenda Wyatt's death in a car crash in 1987, MacLeod is living in Marakesh with his adopted son John. In 1994, he is hunted by the warrior Kane (Mario Van Peebles) who missed the original Gathering because he was buried deep in a Japanese cave by magic, isolating him from the Game. Having killed and absorbed the power of MacLeod's second teacher, the sorcerer Nakano (Mako), Kane is a master of illusion. Realizing there are other immortals again, Connor returns to New York to ensure Kane does not win the Prize. Along the way, he finds a new love, archaeologist Dr. Alex Johnson (Deborah Unger) who resembles a woman MacLeod loved during the French Revolution. Kane kidnaps John and lures MacLeod to a final battle in New Jersey. McLeod wins and leaves to start a new life with John and Alex. The film grossed $36.7 million worldwide, with $13.7 million in the United States and Canada. Critics claim that it was little more than a carbon copy of the first film. Highlander: Endgame (2000)Highlander: Endgame, released to theaters on September 1, 2000. Rather than a direct sequel in the Highlander film franchise, it followed the continuity of the recently ended Highlander: The Series, acting as a franchise bridge by starring both previous film protagonist Connor MacLeod and TV series protagonist Duncan MacLeod. In the canon of the TV series, the events of the original Highlander film still took place but the Prize was not won because many immortals still lived on Earth in 1985. The series protagonist Duncan is introduced in the first episode as another immortal of the Clan MacLeod who was born decades after Connor left the clan. Christopher Lambert appeared as Connor in the first episode, revealed to have been Duncan's teacher in the ways of immortals. Taking place in the present day, the film's antagonist is Jacob Kell (Bruce Payne), an evil immortal who ignores the rules of the Game. Kell holds a centuries-old grudge against Connor MacLeod and kills his adopted daughter Rachel Ellenstein when he bombs their old antique shop in New York City. Following Rachel's death, Connor is disillusioned with life and spends a decade in a hidden fortress known as the Sanctuary. When Kell discovers the Sanctuary ten years later, Connor and Duncan join forces against him. Believing neither of them can defeat Kell alone, Connor, tired of his immortal life, insists he be killed by Duncan so the younger MacLeod may possess their combined power. Duncan reluctantly does so and defeats Kell. Critical reaction to Highlander: Endgame was negative. It holds a 12% "rotten" rating on Rotten Tomatoes, based on 52 reviews, higher than Highlander II and Highlander III, both of which hold ratings of 5% or lower,Rotten Tomatoes entry on Highlander 3, retrieved January 15, 2010. and a score of 21 out of 100 on Metacritic, based on 16 reviews. The film was a box office bomb, managing to garner $15m of its $25m budget. The film opened at #3, grossing $5,067,331 in the opening weekend. It went on to gross $12,811,858 domestically and gather $3,031,750 from foreign markets for a worldwide total of $15,843,608. However, it sold better when it was released on DVD. This prompted the producers to release the director's cut version of the film, adding new footage along with better special effects and audio tracks, and re-editing certain parts of the story. The reception to the director's cut was mixed but better than the overall fan reception to the theatrical release. Highlander: The Source (2007)Highlander: The Source premiered on the Sci Fi Channel on September 15, 2007 and continues the canon of Highlander: The Series, taking place several years after Endgame. The film takes place in a future version of Earth where human society has descended into violence and chaos. Duncan MacLeod and a group of allies seek an energy well in Eastern Europe that may be the legendary Source of immortality, all while fighting the Guardian (Cristian Solimeno), an immortal empowered with superhuman abilities. The story and the mythology of the Source were meant to be expanded on with future films, but reception to The Source was largely negative and plans for follow-up stories were canceled. A
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$13.7 million in the United States and Canada. Critics claim that it was little more than a carbon copy of the first film. Highlander: Endgame (2000)Highlander: Endgame, released to theaters on September 1, 2000. Rather than a direct sequel in the Highlander film franchise, it followed the continuity of the recently ended Highlander: The Series, acting as a franchise bridge by starring both previous film protagonist Connor MacLeod and TV series protagonist Duncan MacLeod. In the canon of the TV series, the events of the original Highlander film still took place but the Prize was not won because many immortals still lived on Earth in 1985. The series protagonist Duncan is introduced in the first episode as another immortal of the Clan MacLeod who was born decades after Connor left the clan. Christopher Lambert appeared as Connor in the first episode, revealed to have been Duncan's teacher in the ways of immortals. Taking place in the present day, the film's antagonist is Jacob Kell (Bruce Payne), an evil immortal who ignores the rules of the Game. Kell holds a centuries-old grudge against Connor MacLeod and kills his adopted daughter Rachel Ellenstein when he bombs their old antique shop in New York City. Following Rachel's death, Connor is disillusioned with life and spends a decade in a hidden fortress known as the Sanctuary. When Kell discovers the Sanctuary ten years later, Connor and Duncan join forces against him. Believing neither of them can defeat Kell alone, Connor, tired of his immortal life, insists he be killed by Duncan so the younger MacLeod may possess their combined power. Duncan reluctantly does so and defeats Kell. Critical reaction to Highlander: Endgame was negative. It holds a 12% "rotten" rating on Rotten Tomatoes, based on 52 reviews, higher than Highlander II and Highlander III, both of which hold ratings of 5% or lower,Rotten Tomatoes entry on Highlander 3, retrieved January 15, 2010. and a score of 21 out of 100 on Metacritic, based on 16 reviews. The film was a box office bomb, managing to garner $15m of its $25m budget. The film opened at #3, grossing $5,067,331 in the opening weekend. It went on to gross $12,811,858 domestically and gather $3,031,750 from foreign markets for a worldwide total of $15,843,608. However, it sold better when it was released on DVD. This prompted the producers to release the director's cut version of the film, adding new footage along with better special effects and audio tracks, and re-editing certain parts of the story. The reception to the director's cut was mixed but better than the overall fan reception to the theatrical release. Highlander: The Source (2007)Highlander: The Source premiered on the Sci Fi Channel on September 15, 2007 and continues the canon of Highlander: The Series, taking place several years after Endgame. The film takes place in a future version of Earth where human society has descended into violence and chaos. Duncan MacLeod and a group of allies seek an energy well in Eastern Europe that may be the legendary Source of immortality, all while fighting the Guardian (Cristian Solimeno), an immortal empowered with superhuman abilities. The story and the mythology of the Source were meant to be expanded on with future films, but reception to The Source was largely negative and plans for follow-up stories were canceled. A 2008 short film called "Reunion", written by TV series producer David Abramowitz and directed by Don Paonessa, featured the series characters but did not acknowledge the events of Highlander: The Source. At the Highlander Worldwide Convention the next year, Abramowitz and others from the TV series referred to Highlander: The Source as a "bad dream" Duncan had. The same year, Big Finish Productions released officially licensed Highlander: The Series audio plays that contradicted the events of The Source. Future In 2008, Summit Entertainment bought the franchise's rights, with the intention to remake the original 1986 film. The writers Art Marcum and Matt Holloway and producer Peter Davis were attached to the project at one point. Justin Lin and several other entries in the Fast and Furious films, signed on to direct the remake. The film's reported title is Highlander: The Reckoning. Producer Neal H. Moritz said in an interview that they want to stay true to the mythologies as a whole of the Highlander series, acknowledging that there are certain things between all the different Highlanders, but to stay faithful in what the original film delivered, while presenting the new version for old and new fans of the franchise. Twilight series writer Melissa Rosenberg was attached to write Highlander script in 2011. Justin Lin was still attached to direct, but in August, Lin dropped out of the film due to commitments to other projects. In 2012, director Juan Carlos Fresnadillo later signed on to direct the remake. Vinnie Jones and Ray Stevenson were rumored to be considered for the role of The Kurgan. Ryan Reynolds was confirmed to play Connor MacLeod. Later in December, Fresnadillo left the project due to creative differences and Reynolds also dropped out of the film.Ryan Reynolds Exits 'Highlander' Reboot at Summit (Exclusive)Highlander: The Series writer and executive producer David Abramowitz was reported to polish the film's script in 2013. Cedric Nicolas-Troyan was hired to direct in October. The following year in November, the studio wanted actor Tom Cruise in the role of Ramírez, but Cruise was busy shooting Mission: Impossible – Rogue Nation and was reportedly not considering future projects at that time. James Jaysen Bryhan has since been rumored to play Ramírez. Wrestler turned actor Dave Bautista was cast as The Kurgan in February 2015. Nicolas-Troyan said that he was still involved with the reboot, but later in November of 2016, Chad Stahelski was confirmed to direct, and Ryan J. Condal was brought for the script. Stahelski revealed that the reboot was in "heavy development mode" in June 2020. Henry Cavill was in talks to have a lead role in the reboot as of May 2021, although his exact character is unknown. Animated film Highlander: The Search for Vengeance (2007) In 2007, an anime film, Highlander: The Search for Vengeance was released, featuring the immortal Colin MacLeod in the year 2187. The film exists in its own continuity, separate from the live-action films and TV shows. The story largely takes place in a post-apocalyptic version of Earth and implies immortals can use their power to achieve superhuman speed and strength. Television Highlander: The Series (1992–1998) In 1992, a television spin-off was developed, entitled Highlander: The Series. It was shown in syndication from October 3, 1992, to May 16, 1998. The series was an offshoot of the 1986 feature film but with one major difference: immortals still exist post-1985. The first episode of season 2 confirmed the events of the original Highlander film still happened in the TV series continuity but that Connor's battle with the Kurgan was not the Gathering and he did not win the Prize, since in this version there were many other immortals still alive on Earth in 1985. The series introduced the Watchers, an organization of mortals who observe and record the lives of immortals. Adrian Paul starred as Duncan MacLeod, another immortal from the same clan as Connor, born decades later. Soon after Duncan realizes he is immortal, Connor finds him and trains him for years before they both part ways. Christopher Lambert reprised his role as Connor Macleod for the first episode and was mentioned again in several subsequent episodes. The series originally featured Alexandra Vandernoot as Duncan's love Tessa Noël and Stan Kirsch as his young friend Richie Ryan. Other series regulars included Philip Akin as Charlie DeSalvo, Jim Byrnes as Joe Dawson, Lisa Howard as Anne Lindsey, Michel Modo as the comedic character Maurice, and Peter Wingfield as the immortal Methos. Roger Daltrey of The Who made recurring appearances as Duncan's immortal friend Hugh Fitzcairn, while Elizabeth Gracen made frequent appearances as Duncan's old friend and occasional love interest Amanda Darieux, an immortal thief whose popularity led to her being the star of the spin-off series Highlander: The Raven. Over its six-year run, the series had many notable guest stars including Joan Jett, Vanity, Richard Moll, Traci Lords, Sheena Easton, "Rowdy" Roddy Piper, Nia Peeples, Rae Dawn Chong, Eric McCormack, Sandra Bernhard, Claudia Christian and Ron Perlman. The show was co-produced in syndication by international partners including Gaumont, RTL Plus (Germany), Rysher Distribution (United States), Reteitalia Productions (Italy), Amuse Video (Japan) and TF1 (France). The series had high ratings internationally. However, the ratings fell during the show's last two seasons and it ended in 1998 after six years. In 2008, a 17-minute reunion special simply titled "Reunion" was filmed starring Peter Wingfield, Elizabeth Gracen, and Jim Byrnes reprising their roles for a short story taking place roughly ten years after the end of the series. Filming took place at producer Peter Davis's beach home with the actors volunteering in their roles. The plot involved Methos planning to marry a mortal woman, while Amanda reflects on her life and ambitions, and Joe Dawson adjusts to being retired from active Watcher duty. Highlander: The Animated Series (1994–1996) A 1994 animated series, Highlander: The Animated Series, was set in the 27th century on a post-apocalyptic Earth now ruled by an immortal named Kortan. The series hero is a young immortal named Quentin MacLeod, voiced by Miklos Perlus, who is the last of the Clan MacLeod and mentored by an immortal named Don Vincente Marino Ramírez. Connor MacLeod appeared in one episode during a flashback scene to the late 20th century, where he dies at Kortan's hand after prophesying the villain will one day be defeated by Quentin. To curb the violence, the show creates a way for immortals to willingly transfer their Quickening energy to another, allowing Quentin to rise in power without killing. Highlander: The Raven (1998–1999) A spin-off of Highlander: The Series, this show starred Elizabeth Gracen as the popular character Amanda Darieux, a recurring role she played in the original TV show. Previously known as a thief who often avoided confrontation and responsibility, the series showed Amanda now trying to become a better person alongside a new supporting cast of characters. Highlander: The Raven lasted one season due to low ratings and changes in how syndicated shows are marketed. Web series The Methos Chronicles (2001)The Methos Chronicles is an animated Internet Flash-series based on Methos (Peter Wingfield), a 5000 year-old immortal introduced in Highlander: The Series. Wingfield voiced the character for the series, which lasted only one eight-episode season. There were talks about developing a live-action series in the early 2000s with Wingfield but the series never went into production. Eight more episodes of The Methos Chronicles were produced by fans and released on Youtube. Other media Books A number of Highlander novels were released, including a novelization of the first film by Garry Kilworth and a line of books based on the television series by various authors. The 9 published Warner Books Highlander novels are:The Element of Fire by Jason Henderson (October 1995)Scimitar by Ashley McConnell (February 1996)Scotland the Brave by Jennifer Roberson (September 1996)Measure of a Man by Nancy Holder (May 1997)The Path by Rebecca Neason (August 1997)Zealot by Donna Lettow (November 1997)Shadow of Obsession by Rebecca Neason (June 1998)The Captive Soul by Josepha Sherman (August 1998)White Silence by Ginjer Buchanan (March 1999) There was a 10th novel in the works entitled Barricades that was to be published in July 1999, but the author Donna Lettow fell ill before she could complete it, and by the time she had recovered, the books were no longer being published. Non-fiction Highlander books include The Best of Highlander: The Book by Maureen Russell and Fearful Symmetry: The Essential Guide to All Things Highlander—a guide to the Highlander films and television series, with explorations of the movies and series, interviews with many of the key players in front and behind the camera. Comics The
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launched in 1891 and sunk as a blockship in 1914 , an launched in 1918 and sunk in 1941 by the and the heavy cruiser in the Battle of the Denmark Strait Battle
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been named HMS Hood after several members of the Hood family, who were notable naval officers: , a 91-gun second-rate ship of the line, originally laid down as HMS Edgar, but renamed in 1848 and launched in 1859. She was used for harbour service from 1872 and was sold in 1888. , a modified launched in
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record of 56–106, the worst single-season record in franchise history (a record which would be broken the following season). In November 2010, Drayton McLane announced that the Astros were being put up for sale. McLane stated that because the Astros were one of the few franchises in Major League Baseball with only one family as the owners, he was planning his estate. McLane was 75 years old as of November 2011. In March 2011, local Houston businessman Jim Crane emerged as the front-runner to purchase the franchise. In the 1980s, Crane founded an air freight business which later merged with CEVA Logistics, and later founded Crane Capital Group. McLane and Crane had a previous handshake agreement for the franchise in 2008, but Crane abruptly changed his mind and broke off discussions. Crane also attempted to buy the Chicago Cubs in 2008 and the Texas Rangers during their 2010 bankruptcy auction. Crane came under scrutiny because of previous allegations of discriminatory hiring practices regarding women and minorities, among other issues. This delayed MLB's approval process. In the summer of 2011, Crane claimed those issues had been resolved, and suggested that the delays were baseball's attempt to move the Astros to the American League. In October later that year, Crane met personally with MLB Commissioner Bud Selig, in a meeting that was described as "constructive". On November 15, 2011, it was announced that Crane had agreed to move the franchise to the American League for the 2013 season. The move was part of an overall divisional realignment of MLB, with the National and American leagues each having 15 teams in three geographically balanced divisions. Crane was given a $70 million concession by MLB for agreeing to the switch; the move was a condition for the sale to the new ownership group. Two days later, the Astros were officially sold to Crane for $615 million after the other owners unanimously voted in favor of the sale. It was also announced that 2012 would be the last season for the Astros in the NL. After over fifty years of the Astros being a part of the National League, this move was unpopular with many Astros fans. In 2012, the Astros were eliminated from the playoffs before September 5. On September 27, the Astros named Bo Porter to be the manager for the 2013 season. On October 3, the Astros ended over 50 years of NL play with a 5–4 loss to the Chicago Cubs and began to look ahead to join the American League. Winning only 20 road games during the entire season, the Astros finished with a 55–107 record, the worst record in all of Major League Baseball for the 2012 season, and surpassing the 2011 season for the worst record in Astros history. On November 2, 2012, the Astros unveiled their new look in preparation for their move to the American League for the 2013 season. The navy and orange uniform returned to the original 1960s team colors, and debuted a new version of the classic navy hat with a white "H" over an orange star. On November 6, 2012, the Astros hired former Cleveland Indians director of baseball operations David Stearns as the team's new assistant general manager. The Astros would also go on to hire former St. Louis Cardinals front office executive Jeff Luhnow as their general manager. The Houston Astros played their first game as an American League team on March 31, 2013, where they were victorious over their in-state division competitor, the Texas Rangers, with a score of 8–2. On May 17, Reid Ryan, son of Nolan Ryan was introduced as president of operations. On September 29, the Astros completed their first year in the American League, losing 5–1 in a 14-inning game to the New York Yankees. The Astros finished the season with a 51–111 record (a franchise-worst) with a season-ending 15-game losing streak, again surpassing their worst record from the previous season. The team finished 45 games behind the division winner Oakland Athletics, further adding to their futility. This marked three consecutive years that the Astros had lost more than 100 games in a single season. They also became the first team to have the first overall pick in the draft three years in a row. In February 2014, Nolan Ryan rejoined the Astros front office as assistant to owner Jim Crane, GM Jeff Luhnow and president of business operations Reid Ryan. From 2004 through 2008 he worked as a special assistant to the GM. For the 2014 season the team went 70–92, finishing 28 games back of the division winner Los Angeles Angels of Anaheim, and placing fourth in the AL West over the Texas Rangers. A. J. Hinch was named manager on September 29, replacing Bo Porter, who was fired on September 1. 2015–2019: First World Series title and sign stealing scandal In 2015, Dallas Keuchel led the AL with 20 victories, going 15–0 at home, an MLB record. Key additions to the team included Scott Kazmir and SS Carlos Correa who hit 22 home runs after being called up in June 2015. Second baseman José Altuve remained the star of the Astros' offense. On July 30, the Astros picked up Mike Fiers and Carlos Gómez from the Milwaukee Brewers. Fiers threw the 11th no-hitter in Astros history on August 21 against the Los Angeles Dodgers. Houston got the final AL playoff spot and faced the Yankees in the Wild Card Game on October 6 at New York. They defeated the Yankees 3–0, but lost to the Kansas City Royals in the American League Division Series. The Astros split the first two games of the ALDS best-of-five series in Kansas City. The Astros won the first game at Minute Maid to take a 2–1 lead in the ALDS. In Game 4, after 7 innings, the Astros had a 6–2 lead. In the top half of the eighth inning, which took about 45 minutes to end, the Royals had taken a 7–6 lead with a series of consecutive base hits. The Astros suffered a 9–6 loss and the ALDS was tied at 2–2. Then the series went back to Kansas City, where the Royals clinched the series in the fifth game, 7–2. The Astros entered the 2016 season as the favorites to win the AL West after a promising 2015 season. After a bad start to their season, going just 7–17 in April, the Astros bounced back and went on to have a winning record in their next four months, including an 18–8 record in June. But after going 12–15 in September, the Astros were eliminated from playoff contention. They finished in third place in the American League West Division with a final record of 84–78. The season was marked by the Astros 4–15 record against their in-state division rival (and eventual division winner) Texas Rangers. The Astros finished the 2016 season 11 games behind the Rangers. In 2014, Sports Illustrated predicted the Astros would win the 2017 World Series through their strategic rebuilding process. As of June 9, 2017 the Astros were 41–16, which gave them a 13.5-game lead over the rest of their division and comfortable possession of the best record in the entire league. This was the best start in the Astros' 55-year history. The Astros entered the All-Star Break with an American League-best 60–29 record, a 16-game lead in the division, and one game shy of the best record in MLB, which had just barely slipped to the Dodgers right before the All-Star Break. With Hurricane Harvey causing massive flooding throughout Houston and southeast Texas, the Astros' three-game series against the Texas Rangers for August 29–31, was relocated to Tropicana Field (home of the Tampa Bay Rays), in St. Petersburg, Florida. As the area recovered from the hurricane, many residents rallied around the Astros, who adopted the mantra "Houston Strong." They wore a patch on their jerseys with the mantra for the remainder of the season. At the August 31 waiver-trade deadline GM Jeff Luhnow acquired veteran starting pitcher and Cy Young Award winner Justin Verlander to bolster the starting rotation. Verlander won each of his 5 regular season starts with the Astros, yielding only 4 runs over this stretch. He carried his success into the playoffs, posting a record of 4–1 in his 6 starts, and throwing a complete game in Game 2 of the ALCS. Verlander was named the 2017 ALCS MVP. The Astros clinched their first division title as a member of the American League West division, and first division title overall since 2001. They also became the first team in Major League history to win three different divisions: National League West in 1980 and 1986, National League Central from 1997 to 1999 and 2001, and American League West in 2017. On September 29, the Astros won their 100th game of the season, the second time the Astros finished a season with over 100 wins, the first being in 1998. They finished 101–61, with a 21-game lead in the division, and faced the Red Sox in the first round of the AL playoffs. The Astros defeated the Red Sox three games to one, and advanced to the American League Championship Series against the New York Yankees. The Astros won the ALCS four games to three, and advanced to the World Series to play against the Los Angeles Dodgers. The Astros defeated the Dodgers in the deciding seventh game of the World Series, winning the first championship in franchise history. The victory was especially meaningful for the Houston area, which was rebuilding after Hurricane Harvey. The city of Houston celebrated the team's accomplishment with a parade on the afternoon of November 3, 2017. Houston police chief Art Acevedo estimated at least 750,000 people attended the parade. On November 16, 2017, José Altuve was named the American League Most Valuable Player, capping off a season in which he accumulated 200 hits for the fourth consecutive season, led the majors with a .346 BA, and was the unquestioned clubhouse leader of the World Series champions. On September 26, 2018, the Astros' second consecutive AL West division championship was clinched with a victory by the Seattle Mariners over the Oakland A's. For the third time in franchise history, and second consecutive season, the team won over 100 games; they finished the regular season 103–59 (a new franchise record) by sweeping a double-header against the Baltimore Orioles on September 29, 2018. The Astros swept the Cleveland Indians in the ALDS to advance to the ALCS to face the league-leading Boston Red Sox (who finished the season 108–54.) After a 7–2 victory in Game 1 of the ALCS, the Astros dropped the next four games, and Boston advanced to the World Series. In the offseason, the Astros signed veteran outfielder Michael Brantley, and catcher Robinson Chirinos. At the trade deadline on July 31, 2019, Houston acquired another veteran starting pitcher and Cy Young award winner Zack Greinke to bolster the starting rotation. On September 22, the Astros clinched their third consecutive AL West division title. They finished the season with a record of 107–55, the best in franchise history, and the best record in MLB. They became the first team since the 2002–2004 New York Yankees to have 3 consecutive 100-win seasons. They also became the first team in MLB history to have three consecutive 100-loss seasons and three consecutive 100-win seasons in the same decade. Entering the playoffs as the top-seeded team in both leagues, they defeated the AL Wild Card winner Tampa Bay Rays in five games in the ALDS, advancing to the ALCS for the third year in a row to face the New York Yankees. In Game 6 at Minute Maid Park, Jose Altuve hit a walk-off home run to win the pennant and send the team to its third World Series appearance. However, they lost the 2019 World Series to the Washington Nationals in seven games, taking three games in Washington but losing all four of their games at home. Sign stealing scandal On November 12, 2019, Ken Rosenthal and Evan Drellich wrote an article in The Athletic detailing allegations that the Astros had used cameras to engage in potentially illicit sign stealing against opponents, relying on allegations from former Astros pitcher Mike Fiers as a public source and other allegations from unnamed sources. The Astros were alleged to have used scouts watching catchers' signs in real time behind the dugout at Minute Maid Park to crack the signs and banging a trash can loudly to indicate what kind of pitch was coming. The scandal rippled through the baseball world as videos that appeared to clearly show the scheme were published. Further allegations regarding other means of relaying signs, such as whistling, surfaced in subsequent weeks. MLB and Commissioner Rob Manfred announced a sweeping investigation into the allegations. On January 13, 2020, MLB announced that its investigation found that the Astros did use cameras and video monitors to steal signs of opposing catchers and signal to hitters throughout the 2017 regular season and postseason, and at least part of the 2018 season. The investigation found no evidence of sign stealing in their pennant-winning 2019 season. The report said that Alex Cora, then the Astros bench coach, Carlos Beltrán, and other unnamed players were involved in developing the scheme. It said Hinch "neither devised the banging scheme nor participated in it," but did not stop it or tell Cora he disapproved of it. Manfred announced that manager A. J. Hinch and general manager Jeff Luhnow were suspended for one year, the team would be fined $5 million (the maximum allowed under MLB rules), and the team would lose its top two draft picks in both the 2020 and 2021 MLB Drafts. About an hour after MLB's announcement, Astros owner Jim Crane announced he had terminated both Hinch and Luhnow, saying he was unaware of the scheme and "extraordinarily troubled and upset", and concluded, "We need to move forward with a clean slate. [We] will not have this happen again on my watch." In a statement, Luhnow denied knowledge of the scheme. Hinch issued a statement saying, "While the evidence consistently showed I didn’t endorse or participate in the sign stealing practices, I failed to stop them and I am deeply sorry." The scandal had repercussions around baseball. Cora was implicated in the report but Manfred withheld a decision on his punishment until the completion of a separate investigation into electronic sign stealing in 2018, when Cora was manager of the Red Sox. However, the report led the Red Sox to dismiss Cora two days after it was published, and the Mets did the same with Beltran, who had been hired as manager shortly before the original story. 2020–present: The dynasty continues On January 29, 2020, the Astros announced they hired Dusty Baker as their new manager to replace Hinch. James Click was hired to replace Lunhow as general manager on February 2. Expectations for a full 2020 season would be dashed by the COVID-19 pandemic, which forced Major League Baseball to play a 60 game season that would take place from July to September with no fans in attendance (which was later changed for the NLCS and World Series). The Astros would be hampered by injuries to players such as Justin Verlander, Yordan Alvarez, and Roberto Osuna, who each would suffer season-ending injuries. As such, the Astros would have to rely a plethora of young arms such as Cristian Javier to go alongside veterans in Lance McCullers Jr. and Zack Greinke to accompany an offense that would have just one .300 batter in Michael Brantley. The Astros went 29–31, but finished second place in the AL West to qualify for the postseason as part of the decision by MLB to have eight postseason teams in each league for 2020 to accompany a shortened season. The Astros would go on to beat two division champions in the Minnesota Twins and Oakland Athletics to become the first team since the 1998–2001 New York Yankees to advance to the American League Championship Series four times in a row, as well as the first team with a losing regular season record to win a postseason series. In the ALCS, the Astros lost to the Tampa Bay Rays despite forcing a Game 7 after losing the first three games. The 2021 season was the first to be played with fans in the stands for the regular season since the scandal broke. At any rate, rabid opposition for a number of fanbases went hand in hand with the challenge of replacing departed players George Springer and Josh Reddick. By the time of the break for the 2021 MLB All-Star Game, the Astros were 55–36 and contending for a top spot in the postseason, complete with four All-Star selections in Jose Altuve, Carlos Correa, Michael Brantley, and Ryan Pressly. On September 30, the Astros clinched their fourth AL West title in the span of five seasons (which was the first time they had won four division titles in five seasons since the 1998–2001 teams); the six playoff appearances in seven seasons is the best span in franchise history. Yuli Gurriel became the second Astro to win the batting title, doing so at the age of 37 with a batting average of .319. The Astros beat the Chicago White Sox in the American League Division Series to advance to their fifth consecutive ALCS, a feat matched by only two teams in LCS history and the first since the Atlanta Braves of the 1990s (having made all eight contested NLCS from 1991 to 1999). Upon playing together in Game 3 of the 2021 American League Championship Series, Altuve, Correa, Gurriel, and Bregman set a new record for most games played together by four teammates at any position in MLB history, with that game being the 64th between the core four. On October 22, the Astros prevailed 5–0 in Game 6 over the Boston Red Sox to win their third pennant in the last five seasons. They went on to lose the 2021 World Series to the Atlanta Braves in six games. Uniforms 1962–1964: The Colt .45's Houston's MLB franchise debuted as the Colt .45s in 1962, and the original home uniforms featured a navy pistol with orange smoke coming out of the barrel to form the "C" in "Colts". The road uniforms featured the city name written in navy block letters with orange trim, and the flag of Texas patch was placed on the left sleeve. Caps were all-navy featuring ".45s" in orange letters in front. 1965–1974: Shooting stars Renamed the Astros and moving to the Astrodome in 1965, they took to the field in home uniforms featuring the "shooting star" design. The uniforms initially featured "Astros" in navy with orange trim, and the cap now sported an orange star with "H" in block serif letters. The road uniforms remained the same save for the Astros logo replacing the Texas flag (the same logo was also applied on the home uniforms). In 1971 the Astros made some changes to their uniform: they kept the same style they had in previous seasons, but inverted the colors. What was navy was now orange and what was orange was now a lighter shade of blue. The players' last names were added to the back of the jerseys. In 1972, the uniform fabric was also changed to what was at the time revolutionizing the industry – polyester. Belts were replaced by elastic waistbands, and jerseys zipped up instead of having buttons. The uniforms became popular with fans, but would last only until 1975, when the Astros would shock baseball and the fashion world. 1975–1986: Tequila sunrise/Orange rainbows The 1975 season saw the introduction of the Astros' new uniforms. Many teams were going away from the traditional uniform and the Astros were no exception. From the chest down, the uniform was a solid block of yellow, orange, and red stripes. There was also a large dark blue star over the midsection. The same multi-colored stripes ran down the pant legs. Players' numbers not only appeared on the back of the jersey, but also on the pant leg. The bright stripes were meant to appear as a fiery trail like a rocket sweeping across the heavens. The uniforms were panned by critics, but the public liked them and versions started appearing at the high school and little league level. The uniform was so different from what other teams wore that the Astros wore it both at home and on the road until 1980, though it underwent a few minor modifications with the navy star and number style. 1980–1993: Rainbow shoulders Also in 1980, the Astros debuted a significantly cleaner uniform, relegating the rainbows to the sleeves. The design was initially worn on the road (with the original rainbow uniform relegated to home games), but in 1982 the rainbow shoulder look began appearing on select home games as well. In addition, the navy cap returned with this uniform and the orange cap was eventually retired in 1983. By 1987, this uniform became the Astros' primary look, retiring the original rainbow uniforms. The Astros never wore grey uniforms with this design, opting for white at home and cream on the road. Prior to the 1989 season, the pullover design was retired and buttons and belts returned to this uniform. 1994–1999: Midnight blue and gold Coinciding with the change in ownership, the team switched uniforms and team colors after the season in order to go for a new, more serious image. The team's trademark rainbow uniforms were retired, and the team's colors changed to midnight blue and metallic gold. The "Astros" font on the team logo was changed to a more aggressive one, and the team's traditional star logo was changed to a stylized, "flying" star with an open left end. Both the home and road uniforms featured a star substituting for the penultimate letter "O" in both "Astros" (home) and "Houston" (road); the road uniform was later tweaked in 1997 with the star now affixed next to the word "Houston". The letters were written in a more futuristic manner. The Astros also wore midnight blue alternates with "Astros" in white with gold trim. The midnight blue cap featured the flying star logo. It also marked the first time since 1974 that the Astros wore grey uniforms on the road. 2000–2012: Railroad design Moving to Minute Maid Park (originally Enron Field) in 2000, the Astros took to the field wearing vintage-inspired uniforms. For the first time, navy was not part of the team's palette, and the Astros uniforms featured brick red, sand and black colors. The colors were inspired by the location of their new ballpark which formerly housed a railroad depot. Primary home uniforms featured black pinstripes with "Astros" in black script letters and numbers in red. The road uniforms sported "Houston" in red script letters and black numbers. During this period the Astros also experimented with various alternate uniforms, wearing black, red and even non-pinstriped white uniforms. Black caps with the updated star in red became the primary cap while a red cap with the sand star was used as an alternate. 2013–present: Return to navy and orange In 2013, the Astros returned to the classic navy and orange look of previous eras. Both uniforms featured the city name (road) and team name (home) in block navy letters with orange trim, along with numbers on the left chest. Piping was also added in front. The orange alternate contained the team name and numbers in navy with white trim. The Astros also wore navy uniforms with the orange rainbow stripes along the side; the front originally featured the "H" star before replacing it with "Astros" in orange in 2016. Navy caps with the "H" and orange star returned, along with a road variation featuring an orange brim. Until 2015, the Astros also wore all-orange caps with the home uniforms, and from 2016 to 2018, the navy alternates were paired with an orange cap with navy brim. Achievements Franchise record Source: Awards Darryl Kile Award Two awards are presented each year, one to a Houston Astro and one to a St. Louis Cardinal, each of whom exemplifies Kile's virtues of being "a good teammate, a great friend, a fine father and a humble man." The winner is selected by each local chapter of the Baseball Writers' Association of America. Team captains 23 Enos Cabell, 3B/1B, 1984–1985 Team records Retired numbers Source: While not officially retired, the Astros have not reissued number 57 since 2002, when former Astros pitcher Darryl Kile died as an active player with the St. Louis Cardinals. The number 42 is retired by Major League Baseball in honor of Jackie Robinson. Hall of Fame Baseball Hall of Fame members Ford C. Frick Award recipients Astros Hall of Fame On January 26, 2019, the team announced plans for a team Hall of Fame along with an inaugural class of inductees (including all retired numbers and members of the 2012 Walk of Fame), complete with an orange jacket and renderings for each of the inductees. The Astros Hall of Fame (with sponsorship by Houston Methodist) is currently located in the former Home Run Alley area of the ballpark under the new name of Hall of Fame Alley, beginning in March that revealed a series of plaques on Hall of Fame weekend on August 2 and induction the next day. A display was installed in the Union Station lobby on January 31 that included the jerseys and hats of the first class of inductees. The 2020 season belayed induction of the second group of Hall of Fame members until August 7 of the 2021 season. While there was no class of 2021, the committee dedicated to electing a broad representation of Astros did elect a class of 2022 for August of the impending season, selecting Terry Puhl and Tal Smith as the next inductees into the Astros Hall. Texas Sports Hall of Fame Roster Spring training The Astros have held their spring training at The Ballpark of the Palm Beaches in West Palm Beach, Florida since 2017. They share the stadium with the Washington Nationals. From 1985 to 2016, the Astros held spring training at Osceola Heritage Park in Kissimmee, Florida. Minor league affiliations The Houston Astros farm system consists of seven minor league affiliates. Radio and television Since 2013, the Astros' flagship radio station is KBME, Sportstalk 790 AM (a Fox Sports Radio affiliate). Previously, the team had a partnership with KTRH (740 AM) which went from 1999 to 2012 (both stations are owned by iHeartMedia). This change suddenly made it difficult for listeners outside of Houston itself to hear the Astros, as KTRH runs 50 kilowatts of power day and night, and KBME runs only five kilowatts. As a result, KTRH is audible across much of Central, East, and South Texas, whereas KBME can only
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oversee the building of the Astros into one of the better and most consistent organizations in the Major Leagues. However, in 1996, the Astros again nearly left Houston. By the mid-1990s, McLane (like McMullen before him) wanted his team out of the Astrodome and was asking the city to build the Astros a new stadium. When things did not progress quickly toward that end, he put the team up for sale. He had nearly finalized a deal to sell the team to businessman William Collins, who planned to move them to Northern Virginia. However, Collins was having difficulty finding a site for a stadium himself, so Major League owners stepped in and forced McLane to give Houston another chance to grant his stadium wish. Houston voters, having already lost the Houston Oilers in a similar situation, responded positively via a stadium referendum and the Astros stayed put. 2000–2004: New ballpark and second rebranding The 2000 season saw a move to a new stadium. Originally to be named The Ballpark at Union Station due to being located on the site of Union Station, it was renamed Enron Field by the season opening after the naming rights were sold to energy corporation Enron. The stadium was to feature a retractable roof, a particularly useful feature with unpredictable Houston weather. The ballpark also featured more intimate surroundings than the Astrodome. In 2002, naming rights were purchased by Houston-based Minute Maid, after Enron went bankrupt. The park was built on the grounds of the old Union Station. A locomotive moves across the outfield and whistles after home runs, paying homage to a Houston history which had 11 railroad company lines running through the city by 1860. The ballpark previously contained quirks such as "Tal's Hill", which was a hill in deep center field on which a flagpole stood, all in fair territory. Over the years, many highlight reel catches have been made by center fielders running up the hill to make catches. Tal's Hill was removed in the 2016–2017 offseason and the center field wall was moved in to , which the team hoped would generate more home runs. With the change in location also came a change in attire. Gone were the blue and gold uniforms of the 1990s in favor of a more "retro" look with pinstripes, a traditional baseball font, and the colors of brick red, sand and black. These colors were chosen because ownership originally wanted to rename the team the Houston Diesels. The "shooting star" logo was modified but still retained its definitive look. After two fairly successful seasons without a playoff appearance, the Astros were early favorites to win the 2004 NL pennant. They added star pitcher Andy Pettitte to a roster that already included standouts like Lance Berkman and Jeff Kent as well as veterans Bagwell and Biggio. Roger Clemens, who had retired after the season with the New York Yankees, agreed to join former teammate Pettitte on the Astros for 2004. The one-year deal included unique conditions, such as the option for Clemens to stay home in Houston on select road trips when he wasn't scheduled to pitch. Despite the early predictions for success, the Astros had a mediocre 44–44 record at the All-Star break. A lack of run production and a poor record in close games were major issues. After being booed at the 2004 All-Star Game held in Houston, manager Jimy Williams was fired and replaced by Phil Garner, a star on the division-winning 1986 Astros. The Astros enjoyed a 46–26 record in the second half of the season under Garner and earned the NL wild-card spot. The Astros defeated the Braves 3–2 in the Division Series, but would lose the National League Championship Series to the St. Louis Cardinals in seven games. Clemens earned a record seventh Cy Young Award in 2004. Additionally, the mid-season addition of Carlos Beltrán in a trade with the Kansas City Royals helped the Astros tremendously in their playoff run. Despite midseason trade rumors, Beltrán would prove instrumental to the team's hopes, hitting eight home runs in the postseason. Though he had asserted a desire to remain with the Astros, Beltrán signed a long-term contract with the New York Mets on January 9, 2005. 2005: First World Series played in Texas In 2005, the Astros started poorly and found themselves with a 15–30 record in late May. The Houston Chronicle had written them off with a tombstone emblazoned with "RIP 2005 Astros". However, from that low point until the end of July, Houston went 42–17 and found themselves in the lead for an NL wild card spot. July saw the best single-month record in the club's history at 22–7. Offensive production had increased greatly after a slow start in the first two months. The Astros had also developed an excellent pitching staff, anchored by Roy Oswalt (20–12, 2.94), Andy Pettitte (17–9, 2.39), and Roger Clemens (13–8 with a league-low ERA of only 1.87). The contributions of the other starters—Brandon Backe (10–8, 4.76) and rookie starters Ezequiel Astacio (3–6, 5.67) and Wandy Rodríguez (10–10, 5.53)—were less remarkable, but enough to push the Astros into position for a playoff run. The Astros won a wild card berth on the final day of the regular season, becoming the first team since the world champion 1914 Boston Braves to qualify for the postseason after being 15 games under .500. The Astros won the National League Division Series against the Atlanta Braves, 3–1, with a game four that set postseason records for most innings (18), most players used by a single team (23), and longest game time (5 hours and 50 minutes). Trailing by a score of 6–1, Lance Berkman hit an eighth-inning grand slam to narrow the score to 6–5. In the bottom of the ninth, catcher Brad Ausmus hit a game-tying home run that allowed the game to continue in extra innings. In the bottom of the tenth inning, Luke Scott hit a blast to left field that had home run distance, but was inches foul. This game remained scoreless for the next eight innings. In the top of the 15th inning, Roger Clemens made only his second career relief appearance, pitching three shutout innings, notably striking out Julio Franco, at the time the oldest player in the MLB at 47 years old; Clemens was himself 43. In the bottom of the eighteenth inning, Clemens came to bat again, indicating that he would be pitching in the nineteenth inning, if it came to that. Clemens struck out, but the next batter, Chris Burke, hit a home run to left field to send the Astros to a 7–6 victory. The National League Championship Series featured a rematch of the 2004 NLCS. The Astros lost the first game in St. Louis, but would win the next three games. Though the Astros were poised to close out the series in Game Five in Houston, Brad Lidge gave up a monstrous two-out three-run home run to Albert Pujols, forcing the series to a sixth game in St. Louis, where the Astros clinched a World Series appearance. Roy Oswalt was named NLCS MVP, having gone 2–0 with a 1.29 ERA in the series. Honorary National League President Bill Giles presented the league champion Astros with the Warren C. Giles Trophy (named for his father) for winning the series; the younger Giles had been one of the founders of the original Colt 45 team in 1962, while his father Warren had been president of the National League from to . The Astros faced the Chicago White Sox in the World Series. Chicago had been considered the slight favorite but would win all four games, the first two at U.S. Cellular Field in Chicago and the final two in Houston. Game 3 marked the first World Series game held in the state of Texas, and was the longest game in World Series history, lasting 5 hours and 41 minutes. This World Series was marked by a controversy involving the Minute Maid Park roof. MLB and Commissioner Bud Selig insisted that the Astros must play with the roof open, which mitigated the intensity and enthusiasm of the cheering Astros fans. 2006–2009: The decline In the 2006 offseason, the team signed Preston Wilson and moved Berkman to first base, ending the long tenure of Jeff Bagwell. The Astros renewed the contract with Clemens and traded two minor league prospects to the Tampa Bay Devil Rays for left-handed hitter Aubrey Huff. By August, Preston Wilson complained about his playing time after the return of Luke Scott from AAA Round Rock. The Astros released Wilson and he was signed by St. Louis. A dramatic season end included wins in 10 of their last 12 games, but the Astros missed a playoff appearance when they lost the final game of the season to the Atlanta Braves. On October 31, the Astros declined a contract option on Jeff Bagwell for 2007, ending his 15-year Astros career and leading to his retirement. Roger Clemens and Andy Pettitte filed for free agency. On December 12, the Astros traded Willy Taveras, Taylor Buchholz, and Jason Hirsh to the Colorado Rockies for Rockies pitchers Jason Jennings and Miguel Asencio. A trade with the White Sox, involving the same three Astros in exchange for Jon Garland, had been nixed a few days earlier when Buchholz reportedly failed a physical. In the end, Taveras continued to develop and Hirsh had a strong 2007 rookie campaign, while Jennings was often injured and generally ineffective. On April 28, 2007, the Astros purchased the contract of top minor league prospect Hunter Pence. He debuted that night, getting a hit and scoring a run. By May 2007, the Astros had suffered one of their worst losing streaks (10 games). On June 28, second baseman Craig Biggio became the 27th MLB player to accrue 3,000 career hits. Biggio needed three hits to reach 3,000 and ended the night with a total of five hits. That night, Carlos Lee hit a towering walk-off grand slam in the 11th inning. Lee later quipped to the media that "he had hit a walk-off grand slam and he got second billing", considering Biggio's achievement. On July 24, Biggio announced that he would retire at the end of the season. He hit a grand slam in that night's game which broke a 3–3 tie and led to an Astros win. In Biggio's last at bat, he grounded out to Chipper Jones of the Atlanta Braves. On September 20, Ed Wade was named general manager. In his first move, he traded Jason Lane to the Padres on September 24. On September 30, Craig Biggio retired after twenty years with the team. In November, the Astros traded RHP Brad Lidge and SS Eric Bruntlett to the Philadelphia Phillies for OF Michael Bourn, RHP Geoff Geary, and minor leaguer Mike Costanzo. Utility player Mark Loretta accepted Houston's salary arbitration and Kazuo Matsui finalized a $16.5 million, three-year contract with the team. In December, the Astros traded OF Luke Scott, RHP Matt Albers, RHP Dennis Sarfate, LHP Troy Patton, and minor-league 3B Mike Costanzo, to the Baltimore Orioles for SS Miguel Tejada. On December 14, they sent infielder Chris Burke, RHP Juan Gutiérrez, and RHP Chad Qualls to the Arizona Diamondbacks for RHP José Valverde. On December 27, the Astros came to terms on a deal with All-Star, Gold Glove winner Darin Erstad. In January and February 2008, the Astros signed Brandon Backe, Ty Wigginton, Dave Borkowski and Shawn Chacón to one-year deals. The starting rotation would feature Roy Oswalt and Brandon Backe as numbers one and two. Wandy Rodríguez, Chacón and Chris Sampson rounded out the bottom three slots in the rotation. Woody Williams had retired after a 0–4 spring training and Jason Jennings was now with Texas. On the other side of the roster, the Astros would start without Kazuo Matsui, who was on a minor league rehab assignment after a spring training injury. The Astros regressed in 2008 and 2009, finishing with records of 86–75 and 74–88, respectively. Manager Cecil Cooper was fired after the 2009 season. At the lowest point of the regression, child admission was free. 2010–2014: Last years in the NL and move to the AL West The 2010 season was the first season as Astros manager for Brad Mills, who was previously the bench coach of the Boston Red Sox. The Astros struggled throughout a season that was marked by trade-deadline deals that sent longtime Astros to other teams. On July 29, the Astros' ace starting pitcher, Roy Oswalt, was dealt to the Philadelphia Phillies for J. A. Happ and two minor league players. On July 31, outfielder Lance Berkman was traded to the New York Yankees for minor leaguers Jimmy Paredes and Mark Melancon. The Astros finished with a record of 76–86. On July 30, 2011, the Astros traded OF Hunter Pence, the team's 2010 leader in home runs, to the Philadelphia Phillies. On July 31, they traded OF Michael Bourn to the Atlanta Braves. On September 17, the Astros recorded their first 100-loss season in franchise history, ending the season eleven days later with an 8–0 home loss to the St. Louis Cardinals. Cardinals pitcher Chris Carpenter pitched a two-hit complete game shutout. The Cardinals would go on to win the National League Wild Card, before beating the Texas Rangers in the World Series. Lance Berkman, who was now a Cardinal, was a key player in their championship victory. The Astros finished with a record of 56–106, the worst single-season record in franchise history (a record which would be broken the following season). In November 2010, Drayton McLane announced that the Astros were being put up for sale. McLane stated that because the Astros were one of the few franchises in Major League Baseball with only one family as the owners, he was planning his estate. McLane was 75 years old as of November 2011. In March 2011, local Houston businessman Jim Crane emerged as the front-runner to purchase the franchise. In the 1980s, Crane founded an air freight business which later merged with CEVA Logistics, and later founded Crane Capital Group. McLane and Crane had a previous handshake agreement for the franchise in 2008, but Crane abruptly changed his mind and broke off discussions. Crane also attempted to buy the Chicago Cubs in 2008 and the Texas Rangers during their 2010 bankruptcy auction. Crane came under scrutiny because of previous allegations of discriminatory hiring practices regarding women and minorities, among other issues. This delayed MLB's approval process. In the summer of 2011, Crane claimed those issues had been resolved, and suggested that the delays were baseball's attempt to move the Astros to the American League. In October later that year, Crane met personally with MLB Commissioner Bud Selig, in a meeting that was described as "constructive". On November 15, 2011, it was announced that Crane had agreed to move the franchise to the American League for the 2013 season. The move was part of an overall divisional realignment of MLB, with the National and American leagues each having 15 teams in three geographically balanced divisions. Crane was given a $70 million concession by MLB for agreeing to the switch; the move was a condition for the sale to the new ownership group. Two days later, the Astros were officially sold to Crane for $615 million after the other owners unanimously voted in favor of the sale. It was also announced that 2012 would be the last season for the Astros in the NL. After over fifty years of the Astros being a part of the National League, this move was unpopular with many Astros fans. In 2012, the Astros were eliminated from the playoffs before September 5. On September 27, the Astros named Bo Porter to be the manager for the 2013 season. On October 3, the Astros ended over 50 years of NL play with a 5–4 loss to the Chicago Cubs and began to look ahead to join the American League. Winning only 20 road games during the entire season, the Astros finished with a 55–107 record, the worst record in all of Major League Baseball for the 2012 season, and surpassing the 2011 season for the worst record in Astros history. On November 2, 2012, the Astros unveiled their new look in preparation for their move to the American League for the 2013 season. The navy and orange uniform returned to the original 1960s team colors, and debuted a new version of the classic navy hat with a white "H" over an orange star. On November 6, 2012, the Astros hired former Cleveland Indians director of baseball operations David Stearns as the team's new assistant general manager. The Astros would also go on to hire former St. Louis Cardinals front office executive Jeff Luhnow as their general manager. The Houston Astros played their first game as an American League team on March 31, 2013, where they were victorious over their in-state division competitor, the Texas Rangers, with a score of 8–2. On May 17, Reid Ryan, son of Nolan Ryan was introduced as president of operations. On September 29, the Astros completed their first year in the American League, losing 5–1 in a 14-inning game to the New York Yankees. The Astros finished the season with a 51–111 record (a franchise-worst) with a season-ending 15-game losing streak, again surpassing their worst record from the previous season. The team finished 45 games behind the division winner Oakland Athletics, further adding to their futility. This marked three consecutive years that the Astros had lost more than 100 games in a single season. They also became the first team to have the first overall pick in the draft three years in a row. In February 2014, Nolan Ryan rejoined the Astros front office as assistant to owner Jim Crane, GM Jeff Luhnow and president of business operations Reid Ryan. From 2004 through 2008 he worked as a special assistant to the GM. For the 2014 season the team went 70–92, finishing 28 games back of the division winner Los Angeles Angels of Anaheim, and placing fourth in the AL West over the Texas Rangers. A. J. Hinch was named manager on September 29, replacing Bo Porter, who was fired on September 1. 2015–2019: First World Series title and sign stealing scandal In 2015, Dallas Keuchel led the AL with 20 victories, going 15–0 at home, an MLB record. Key additions to the team included Scott Kazmir and SS Carlos Correa who hit 22 home runs after being called up in June 2015. Second baseman José Altuve remained the star of the Astros' offense. On July 30, the Astros picked up Mike Fiers and Carlos Gómez from the Milwaukee Brewers. Fiers threw the 11th no-hitter in Astros history on August 21 against the Los Angeles Dodgers. Houston got the final AL playoff spot and faced the Yankees in the Wild Card Game on October 6 at New York. They defeated the Yankees 3–0, but lost to the Kansas City Royals in the American League Division Series. The Astros split the first two games of the ALDS best-of-five series in Kansas City. The Astros won the first game at Minute Maid to take a 2–1 lead in the ALDS. In Game 4, after 7 innings, the Astros had a 6–2 lead. In the top half of the eighth inning, which took about 45 minutes to end, the Royals had taken a 7–6 lead with a series of consecutive base hits. The Astros suffered a 9–6 loss and the ALDS was tied at 2–2. Then the series went back to Kansas City, where the Royals clinched the series in the fifth game, 7–2. The Astros entered the 2016 season as the favorites to win the AL West after a promising 2015 season. After a bad start to their season, going just 7–17 in April, the Astros bounced back and went on to have a winning record in their next four months, including an 18–8 record in June. But after going 12–15 in September, the Astros were eliminated from playoff contention. They finished in third place in the American League West Division with a final record of 84–78. The season was marked by the Astros 4–15 record against their in-state division rival (and eventual division winner) Texas Rangers. The Astros finished the 2016 season 11 games behind the Rangers. In 2014, Sports Illustrated predicted the Astros would win the 2017 World Series through their strategic rebuilding process. As of June 9, 2017 the Astros were 41–16, which gave them a 13.5-game lead over the rest of their division and comfortable possession of the best record in the entire league. This was the best start in the Astros' 55-year history. The Astros entered the All-Star Break with an American League-best 60–29 record, a 16-game lead in the division, and one game shy of the best record in MLB, which had just barely slipped to the Dodgers right before the All-Star Break. With Hurricane Harvey causing massive flooding throughout Houston and southeast Texas, the Astros' three-game series against the Texas Rangers for August 29–31, was relocated to Tropicana Field (home of the Tampa Bay Rays), in St. Petersburg, Florida. As the area recovered from the hurricane, many residents rallied around the Astros, who adopted the mantra "Houston Strong." They wore a patch on their jerseys with the mantra for the remainder of the season. At the August 31 waiver-trade deadline GM Jeff Luhnow acquired veteran starting pitcher and Cy Young Award winner Justin Verlander to bolster the starting rotation. Verlander won each of his 5 regular season starts with the Astros, yielding only 4 runs over this stretch. He carried his success into the playoffs, posting a record of 4–1 in his 6 starts, and throwing a complete game in Game 2 of the ALCS. Verlander was named the 2017 ALCS MVP. The Astros clinched their first division title as a member of the American League West division, and first division title overall since 2001. They also became the first team in Major League history to win three different divisions: National League West in 1980 and 1986, National League Central from 1997 to 1999 and 2001, and American League West in 2017. On September 29, the Astros won their 100th game of the season, the second time the Astros finished a season with over 100 wins, the first being in 1998. They finished 101–61, with a 21-game lead in the division, and faced the Red Sox in the first round of the AL playoffs. The Astros defeated the Red Sox three games to one, and advanced to the American League Championship Series against the New York Yankees. The Astros won the ALCS four games to three, and advanced to the World Series to play against the Los Angeles Dodgers. The Astros defeated the Dodgers in the deciding seventh game of the World Series, winning the first championship in franchise history. The victory was especially meaningful for the Houston area, which was rebuilding after Hurricane Harvey. The city of Houston celebrated the team's accomplishment with a parade on the afternoon of November 3, 2017. Houston police chief Art Acevedo estimated at least 750,000 people attended the parade. On November 16, 2017, José Altuve was named the American League Most Valuable Player, capping off a season in which he accumulated 200 hits for the fourth consecutive season, led the majors with a .346 BA, and was the unquestioned clubhouse leader of the World Series champions. On September 26, 2018, the Astros' second consecutive AL West division championship was clinched with a victory by the Seattle Mariners over the Oakland A's. For the third time in franchise history, and second consecutive season, the team won over 100 games; they finished the regular season 103–59 (a new franchise record) by sweeping a double-header against the Baltimore Orioles on September 29, 2018. The Astros swept the Cleveland Indians in the ALDS to advance to the ALCS to face the league-leading Boston Red Sox (who finished the season 108–54.) After a 7–2 victory in Game 1 of the ALCS, the Astros dropped the next four games, and Boston advanced to the World Series. In the offseason, the Astros signed veteran outfielder Michael Brantley, and catcher Robinson Chirinos. At the trade deadline on July 31, 2019, Houston acquired another veteran starting pitcher and Cy Young award winner Zack Greinke to bolster the starting rotation. On September 22, the Astros clinched their third consecutive AL West division title. They finished the season with a record of 107–55, the best in franchise history, and the best record in MLB. They became the first team since the 2002–2004 New York Yankees to have 3 consecutive 100-win seasons. They also became the first team in MLB history to have three consecutive 100-loss seasons and three consecutive 100-win seasons in the same decade. Entering the playoffs as the top-seeded team in both leagues, they defeated the AL Wild Card winner Tampa Bay Rays in five games in the ALDS, advancing to the ALCS for the third year in a row to face the New York Yankees. In Game 6 at Minute Maid Park, Jose Altuve hit a walk-off home run to win the pennant and send the team to its third World Series appearance. However, they lost the 2019 World Series to the Washington Nationals in seven games, taking three games in Washington but losing all four of their games at home. Sign stealing scandal On November 12, 2019, Ken Rosenthal and Evan Drellich wrote an article in The Athletic detailing allegations that the Astros had used cameras to engage in potentially illicit sign stealing against opponents, relying on allegations from former Astros pitcher Mike Fiers as a public source and other allegations from unnamed sources. The Astros were alleged to have used scouts watching catchers' signs in real time behind the dugout at Minute Maid Park to crack the signs and banging a trash can loudly to indicate what kind of pitch was coming. The scandal rippled through the baseball world as videos that appeared to clearly show the scheme were published. Further allegations regarding other means of relaying signs, such as whistling, surfaced in subsequent weeks. MLB and Commissioner Rob Manfred announced a sweeping investigation into the allegations. On January 13, 2020, MLB announced that its investigation found that the Astros did use cameras and video monitors to steal signs of opposing catchers and signal to hitters throughout the 2017 regular season and postseason, and at least part of the 2018 season. The investigation found no evidence of sign stealing in their pennant-winning 2019 season. The report said that Alex Cora, then the Astros bench coach, Carlos Beltrán, and other unnamed players were involved in developing the scheme. It said Hinch "neither devised the banging scheme nor participated in it," but did not stop it or tell Cora he disapproved of it. Manfred announced that manager A. J. Hinch and general manager Jeff Luhnow were suspended for one year, the team would be fined $5 million (the maximum allowed under MLB rules), and the team would lose its top two draft picks in both the 2020 and 2021 MLB Drafts. About an hour after MLB's announcement, Astros owner Jim Crane announced he had terminated both Hinch and Luhnow, saying he was unaware of the scheme and "extraordinarily troubled and upset", and concluded, "We need to move forward with a clean slate. [We] will not have this happen again on my watch." In a statement, Luhnow denied knowledge of the scheme. Hinch issued a statement saying, "While the evidence consistently showed I didn’t endorse or participate in the sign stealing practices, I failed to stop them and I am deeply sorry." The scandal had repercussions around baseball. Cora was implicated in the report but Manfred withheld a decision on his punishment until the completion of a separate investigation into electronic sign stealing in 2018, when Cora was manager of the Red Sox. However, the report led the Red Sox to dismiss Cora two days after it was published, and the Mets did the same with Beltran, who had been hired as manager shortly before the original story. 2020–present: The dynasty continues On January 29, 2020, the Astros announced they hired Dusty Baker as their new manager to replace Hinch. James Click was hired to replace Lunhow as general manager on February 2. Expectations for a full 2020 season would be dashed by the COVID-19 pandemic, which forced Major League Baseball to play a 60 game season that would take place from July to September with no fans in attendance (which was later changed for the NLCS and World Series). The Astros would be hampered by injuries to players such as Justin Verlander, Yordan Alvarez, and Roberto Osuna, who each would suffer season-ending injuries. As such, the Astros would have to rely a plethora of young arms such as Cristian Javier to go alongside veterans in Lance McCullers Jr. and Zack Greinke to accompany an offense that would have just one .300 batter in Michael Brantley. The Astros went 29–31, but finished second place in the AL West to qualify for the postseason as part of the decision by MLB to have eight postseason teams in each league for 2020 to accompany a shortened season. The Astros would go on to beat two division champions in the Minnesota Twins and Oakland Athletics to become the first team since the 1998–2001 New York Yankees to advance to the American League Championship Series four times in a row, as well as the first team with a losing regular season record to win a postseason series. In the ALCS, the Astros lost to the Tampa Bay Rays despite forcing a Game 7 after losing the first three games. The 2021 season was the first to be played with fans in the stands for the regular season since the scandal broke. At any rate, rabid opposition for a number of fanbases went hand in hand with the challenge of replacing departed players George Springer and Josh Reddick. By the time of the break for the 2021 MLB All-Star Game, the Astros were 55–36 and contending for a top spot in the postseason, complete with four All-Star selections in Jose Altuve, Carlos Correa, Michael Brantley, and Ryan Pressly. On September 30, the Astros clinched their fourth AL West title in the span of five seasons (which was the first time they had won four division titles in five seasons since the 1998–2001 teams); the six playoff appearances in seven seasons is the best span in franchise history. Yuli Gurriel became the second Astro to win the batting title, doing so at the age of 37 with a batting average of .319. The Astros beat the Chicago White Sox in the American League Division Series to advance to their fifth consecutive ALCS, a feat matched by only two teams in LCS history and the first since the Atlanta Braves of the 1990s (having made all eight contested NLCS from 1991 to 1999). Upon playing together in Game 3 of the 2021 American League Championship Series, Altuve, Correa, Gurriel, and Bregman set a new record for most games played together by four teammates at any position in MLB history, with that game being the 64th between the core four. On October 22, the Astros prevailed 5–0 in Game 6 over the Boston Red Sox to win their third pennant in the last five seasons. They went on to lose the 2021 World Series to the Atlanta Braves in six games. Uniforms 1962–1964: The Colt .45's Houston's MLB franchise debuted as the Colt .45s in 1962, and the original home uniforms featured a navy pistol with orange smoke coming out of the barrel to form the "C" in "Colts". The road uniforms featured the city name written in navy block letters with orange trim, and the flag of Texas patch was placed on the left sleeve. Caps were all-navy featuring ".45s" in orange letters in front. 1965–1974: Shooting stars Renamed the Astros and moving to the Astrodome in 1965, they took to the field in home uniforms featuring the "shooting star" design. The uniforms initially featured "Astros" in navy with orange trim, and the cap now sported an orange star with "H" in block serif letters. The road uniforms remained the same save for the Astros logo replacing the Texas flag (the same logo was also applied on the home uniforms). In 1971 the Astros made some changes to their uniform: they kept the same style they had in previous seasons, but inverted the colors. What was navy was now orange and what was orange was now a lighter shade of blue. The players' last names were added to the back of the jerseys. In 1972, the uniform fabric was also changed to what was at the time revolutionizing the industry – polyester. Belts were replaced by elastic waistbands, and jerseys zipped up instead of having buttons. The uniforms became popular with fans, but would last only until 1975, when the Astros would shock baseball and the fashion world. 1975–1986: Tequila sunrise/Orange rainbows The 1975 season saw the introduction of the Astros' new uniforms. Many teams were going away from the traditional uniform and the Astros were no exception. From the chest down, the uniform was a solid block of yellow, orange, and red stripes. There was also a large dark blue star over the midsection. The same multi-colored stripes ran down the pant legs. Players' numbers not only appeared on the back of the jersey, but also on the pant leg. The bright stripes were meant to appear as a fiery trail like a rocket sweeping across the heavens. The uniforms were panned by critics, but the public liked them and versions started appearing at the high school and little league level. The uniform was so different from what other teams wore that the Astros wore it both at home and on the road until 1980, though it underwent a few minor modifications with the navy star and number style. 1980–1993: Rainbow shoulders Also in 1980, the Astros debuted a significantly cleaner uniform, relegating the rainbows to the sleeves. The design was initially worn on the road (with the original rainbow uniform relegated to home games), but in 1982 the rainbow shoulder look began appearing on select home games as well. In addition, the navy cap returned with this uniform and the orange cap was eventually retired in 1983. By 1987, this uniform became the Astros' primary look, retiring the original rainbow uniforms. The Astros never wore grey uniforms with this design, opting for white at home and cream on the road. Prior to the 1989 season, the pullover design was retired and buttons and belts returned to this uniform. 1994–1999: Midnight blue and gold Coinciding with the change in ownership, the team switched uniforms and team colors after the season in order to go for a new, more serious image. The team's trademark rainbow uniforms were retired, and the team's colors changed to midnight blue and metallic gold. The "Astros" font on the team logo was changed to a more aggressive one, and the team's traditional star logo was changed to a stylized, "flying" star with an open left end. Both the home and road uniforms featured a star substituting for the penultimate letter "O" in both "Astros" (home) and "Houston" (road); the road uniform was later tweaked in 1997 with the star now affixed next to the word "Houston". The letters were written in a more futuristic manner. The Astros also wore midnight blue alternates with "Astros" in white with gold trim. The midnight blue cap featured the flying star logo. It also marked the first time since 1974 that the Astros wore grey uniforms on the road. 2000–2012: Railroad design Moving to Minute Maid Park (originally Enron Field) in 2000, the Astros took to the field wearing vintage-inspired uniforms. For the first time, navy was not part of the team's palette, and the Astros uniforms featured brick red, sand and black colors. The colors were inspired by the location of their new ballpark which formerly housed a railroad depot. Primary home uniforms featured black pinstripes with "Astros" in black script letters and numbers in red. The road uniforms sported "Houston" in red script letters and black numbers. During this period the Astros also experimented with various alternate uniforms, wearing black, red and even non-pinstriped white uniforms. Black caps with the updated star in red became the primary cap while a red cap with the sand star was used as an alternate. 2013–present: Return to navy and orange In 2013, the Astros returned to the classic navy and orange look of previous eras. Both uniforms featured the city name (road) and team name (home) in block navy letters with orange trim, along with numbers on the left chest. Piping was also added in front. The orange alternate contained the team name and numbers in navy with white trim. The Astros also wore navy uniforms with the orange rainbow stripes along the side; the front originally featured the "H" star before replacing it with "Astros" in orange in 2016. Navy caps with the "H" and orange star returned, along with a road variation featuring an orange brim. Until 2015, the Astros also wore all-orange caps with the home uniforms, and from 2016 to 2018, the navy alternates were paired with an orange cap with navy brim. Achievements Franchise record Source: Awards Darryl Kile Award Two awards are presented each year, one to a Houston Astro and one to a St. Louis Cardinal, each of whom exemplifies Kile's virtues of being "a good teammate, a great friend, a fine father and a humble man." The winner is selected by each local chapter of the Baseball Writers' Association of America. Team captains 23 Enos Cabell, 3B/1B, 1984–1985 Team records Retired numbers Source: While not officially retired, the Astros have not reissued number 57 since 2002, when former Astros pitcher Darryl Kile died as an active player with the St. Louis Cardinals. The number 42 is retired by Major League Baseball in honor of Jackie Robinson. Hall of Fame Baseball Hall of Fame members Ford C. Frick Award recipients Astros Hall of Fame On January 26, 2019, the team announced plans for a team Hall of Fame along with an inaugural class of inductees (including all retired numbers and members of the 2012 Walk of Fame), complete with an orange jacket and renderings for each of the inductees. The Astros Hall of Fame (with sponsorship by Houston Methodist) is currently located in the former Home Run Alley area of the ballpark under the new name of Hall of Fame Alley, beginning in March that revealed a series of plaques on Hall of Fame weekend on August 2 and induction the next day. A display was installed in the Union Station lobby on January 31 that included the jerseys and hats of the first class of inductees. The 2020 season belayed induction of the second group of Hall of Fame members until August 7 of the 2021 season. While there was no class of 2021, the committee dedicated to electing a broad representation of Astros did elect a class of 2022 for August of the impending season, selecting Terry Puhl and Tal Smith as the next inductees into the Astros Hall. Texas Sports Hall of Fame Roster Spring training The Astros have held their spring training at The Ballpark of the Palm Beaches in West Palm Beach, Florida since 2017. They share the stadium with the Washington Nationals. From 1985 to 2016, the Astros held spring training at Osceola Heritage Park in Kissimmee, Florida. Minor league affiliations The Houston Astros farm system consists of seven minor league affiliates. Radio and television Since 2013, the Astros' flagship radio station is KBME, Sportstalk 790 AM (a Fox Sports Radio
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Galaxy Reader (1965), Isaac Asimov Presents the Great SF Stories #25 (1963) (1992) and Science Fiction Century (1997). "Raindrop" (May 1965). Novelette. Published in If. Collected in Small Changes, The Essential Hal Clement Volume 2 and Isaac Asimov’s Wonderful Worlds of Science Fiction # 4: Comets. "The Foundling Stars" (August 1966). Short story. Published in If. Collected in Small Changes and The Second If Reader of Science Fiction (1968). "The Mechanic" (September 1966). Novelette. Published in Analog. Collected in Small Changes, The Essential Hal Clement Volume 2 and Analog: Writers’ Choice, Volume II (1984). "Bulge" (September 1968). Novelette. Published in If. Collected in Small Changes and The Essential Hal Clement Volume 2. '"Planetfall" (1972). Original version of "Planet for Plunder" (1957). Published in Strange Tomorrows (1972). Collected in The Essential Hal Clement Volume 2. "Lecture Demonstration" (1973). Short story from the Mesklin Series (of Mission of Gravity fame). Published in the book Astounding (1973). Collected in The Essential Hal Clement Volume 3, Heavy Planet and Mission of Gravity (1978). "Mistaken for Granted" (January/February 1974). Novella. Published in Worlds of If. Collected in The Best of Hal Clement. "The Logical Life" (1974). Second short story in the Laird Cunningham Series. Published in Stellar #1 (1974). Collected in Intuit and The Essential Hal Clement Volume 2. "Question of Guilt" (1976). Novelette. Published in The Year's Best Horror Stories: Series IV (1976). Collected in The Best of Hal Clement. "Stuck with It" (1976). Novelette innthe Laird Cunningham Series. Published in Stellar #2 (1976). Collected in The Best of Hal Clement, Intuit and The Essential Hal Clement Volume 2]. "Longline" (1976). Novelette. Published in Faster than Light (1976). Collected in The Essential Hal Clement Volume 2. "Seasoning" (September/October 1978). Novelette set in Harlan Ellison's Medea world. Not included in any of Hal Clement's compilations. Published in IASFM. Collected in Medea: Harlan's World (1985) and Aliens and UFO's (1993). "Status Symbol" (1987). Novelette, the last story in the Laird Cunningham Series. Published in Intuit. Collected in The Essential Hal Clement Volume 2. "Blot" (1989). Novelette about Asimov's positronic robots. Not included in any of Hal Clement's compilations to date. Published in Foundation's Friends (1989). "Phases in Chaos'" (1991). Novella not included in any of Hal Clement's compilations. Published in Isaac’s Universe Volume Two: Phases in Chaos. "Eyeball Vectors" (1992). Novella not included in any of Clement's compilations to date. Published in Isaac's Universe Volume 3: Unnatural Diplomacy. "Sortie" (spring/summer 1994). First part of the Sortie series. Novella not included in any of Hal Clement's compilations to date. Published in Harsh Mistress. "Settlement" (fall/winter 1994). Second part of the Sortie series. Novella not included in any of Clement's compilations. Published in Absolute Magnitude. "Seismic Sidetrack" (spring 1995). Third part of the Sortie series. Novella not included in any of Hal Clement's compilations to date. Published in Absolute Magnitude. "Simile" (summer 1995). Fourth and last part of the Sortie series. Novella not included in any of Hal Clement's compilations. Published in Absolute Magnitude. "Oh, Natural" (spring 1998). Novelette not included in any of Hal Clement's compilations. Published in Absolute Magnitude. Collected in Hal's Worlds: Stories and Essays in Memory of Hal Clement. Options" (1998). Short story not included in any of Clement's compilations to date. Published as Harry C. Stubbs in Lamps on the Brow. "Exchange Rate" (winter 1999). Novella not included in any of Hal Clement's compilations to date. Published in Absolute Magnitude. Collected in The Year’s Best Science Fiction: Seventeenth Annual Collection and The Hard SF Renaissance (2002). "Under" (January 2000). Short story, last story in the 'Mesklin series. Published in Analog. Collected in The Essential Hal Clement Volume 3 and Heavy Planet. "Office politics" (2003). Short story not included in any of Clement's compilations. Published in Readercon 15 Souvenir Book (This may be an article and not a fiction story) Books Needle (1950), (The first novel in the Needle series. Also published as From Outer Space. Published as young adult fiction although it includes abstract hard science fiction!) Iceworld (1953), Mission of Gravity (1954), (first book in the Mesklin series). The Ranger Boys in Space (1956) (for children) Cycle of Fire (1957), Close to Critical (1958), (part of the Mesklin series. Magazine publication in 1958, book in 1964) Natives of Space (1965), (three novelettes) Small Changes (1969), (collection of 9 short stories) Space Lash (1969), ISBN (reprint in paperback of Small Changes) First Flights to the Moon (1970), ASIN B000BCHC4Y (anthology of short stories from others, edited by Hal Clement) Star Light (1971), (part of the Mesklin series, sequel to Mission of Gravity. It also shares some characters with Close to Critical) Ocean on Top (1973), (magazine publications in 1967) Left of Africa (1976), (historical novel for young adults, apparently limited to 750 copies) Through the Eye of a Needle (1978), (the second and last novel in the Needle series) The Best of Hal Clement (1979), (collection of 10 short stories, including all of Natives of Space and two from Small Changes: "Uncommon Sense" and "Dust Rag") The Nitrogen Fix (1980), Intuit (1987), (complete collection of the 4 Laird Cunningham stories, edition limited to 820 copies) Still River (1987), Fossil (1993), (set in Isaac Asimov's Universe) Half Life (1999), (Humanity is going extinct due to disease, scientists are sent to Titan in the faint hope of finding biochemical clues to a cure) The Essential Hal Clement, Volume 1: Trio for Slide Rule and Typewriter (1999), (collection of the novels Needle, Iceworld and Close to Critical) The Essential Hal Clement, Volume 2: Music of Many Spheres (2000), (collection of 17 short stories, including most from Small Changes and from The Best of Hal Clement) The Essential Hal Clement, Volume 3: Variations on a Theme by Sir Isaac Newton (2000), (collection of all Mesklin stories except Close to Critical: Mission of Gravity, Star Light, "Lecture Demonstration" and "Under"; also the how-to-write-science-fiction article "Whirligig World") Heavy Planet (2002), (reprint of The Essential Hal Clement, Volume 3) Noise (2003), (set on an ocean planet) Men of the Morning Star/Planet for Plunder (2011), (two novellas, the first by Edmond Hamilton and the second by Hal Clement and Sam Merwin Jr.) The Moon is Hell!/The Green World (2012), (two novellas, the first by John W. Campbell Jr. and the second by Hal Clement) The Time Trap/The Lunar Lichen (2013), (two novellas, the first by Henry Kuttner and the second by Hal Clement) Hal Clement SF Gateway Omnibus (2014), (collection of the novels Iceworld, Cycle of Fire and Close to Critical) About Hal Clement Starmont
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Factor" (1953). Short story not included in any of the Hal Clement's compilations. Published in Star Science Fiction Stories #2 (1953). Collected in Titan 4 (1977) and The Road to Science Fiction #3: From Heinlein to here (1979). "Ground" (December 1953). Short story not included in any of the Hal Clement's compilations. Published in Science Fiction Adventures. "Dust Rag" (September 1956). Short story. Published in Astounding. Collected in Small Changes, The Best of Hal Clement, Where Do We Go From Here? (1971) and The Prentice Hall Anthology of Science Fiction and Fantasy (2001). "Planet for Plunder" (February 1957). Published in Satellite SF jointly with Sam Merwin, Jr. A previous version of "Planetfall". Collected in Men of the Morning Star/Planet for Plunder. "The Lunar Lichen" (February 1960). Novelette not included in any of the Hal Clement's compilations. Published in Future Science Fiction. Collected in The Time Trap/The Lunar Lichen. "Sun Spot" (November 1960). Short story. Published in Analog. Collected in Small Changes, The Essential Hal Clement Volume 2, Isaac Asimov’s Wonderful Worlds of Science Fiction # 4: Comets (1986) and Analog’s Expanding Universe "The Green World" (May 1963). Novella not included in any of the Hal Clement's compilations. Published in If. Collected in The Moon is Hell!/The Green World. "Hot Planet" (August 1963). Novelette not included in any of the Hal Clement's compilations to date. Published in Galaxy. Collected in The 9th Annual of the Year's Best SF (1964), Spectrum 4 (1965), The Eighth Galaxy Reader (1965), Isaac Asimov Presents the Great SF Stories #25 (1963) (1992) and Science Fiction Century (1997). "Raindrop" (May 1965). Novelette. Published in If. Collected in Small Changes, The Essential Hal Clement Volume 2 and Isaac Asimov’s Wonderful Worlds of Science Fiction # 4: Comets. "The Foundling Stars" (August 1966). Short story. Published in If. Collected in Small Changes and The Second If Reader of Science Fiction (1968). "The Mechanic" (September 1966). Novelette. Published in Analog. Collected in Small Changes, The Essential Hal Clement Volume 2 and Analog: Writers’ Choice, Volume II (1984). "Bulge" (September 1968). Novelette. Published in If. Collected in Small Changes and The Essential Hal Clement Volume 2. '"Planetfall" (1972). Original version of "Planet for Plunder" (1957). Published in Strange Tomorrows (1972). Collected in The Essential Hal Clement Volume 2. "Lecture Demonstration" (1973). Short story from the Mesklin Series (of Mission of Gravity fame). Published in the book Astounding (1973). Collected in The Essential Hal Clement Volume 3, Heavy Planet and Mission of Gravity (1978). "Mistaken for Granted" (January/February 1974). Novella. Published in Worlds of If. Collected in The Best of Hal Clement. "The Logical Life" (1974). Second short story in the Laird Cunningham Series. Published in Stellar #1 (1974). Collected in Intuit and The Essential Hal Clement Volume 2. "Question of Guilt" (1976). Novelette. Published in The Year's Best Horror Stories: Series IV (1976). Collected in The Best of Hal Clement. "Stuck with It" (1976). Novelette innthe Laird Cunningham Series. Published in Stellar #2 (1976). Collected in The Best of Hal Clement, Intuit and The Essential Hal Clement Volume 2]. "Longline" (1976). Novelette. Published in Faster than Light (1976). Collected in The Essential Hal Clement Volume 2. "Seasoning" (September/October 1978). Novelette set in Harlan Ellison's Medea world. Not included in any of Hal Clement's compilations. Published in IASFM. Collected in Medea: Harlan's World (1985) and Aliens and UFO's (1993). "Status Symbol" (1987). Novelette, the last story in the Laird Cunningham Series. Published in Intuit. Collected in The Essential Hal Clement Volume 2. "Blot" (1989). Novelette about Asimov's positronic robots. Not included in any of Hal Clement's compilations to date. Published in Foundation's Friends (1989). "Phases in Chaos'" (1991). Novella not included in any of Hal Clement's compilations. Published in Isaac’s Universe Volume Two: Phases in Chaos. "Eyeball Vectors" (1992). Novella not included in any of Clement's compilations to date. Published in Isaac's Universe Volume 3: Unnatural Diplomacy. "Sortie" (spring/summer 1994). First part of the Sortie series. Novella not included in any of Hal Clement's compilations to date. Published in Harsh Mistress. "Settlement" (fall/winter 1994). Second part of the Sortie series. Novella not included in any of Clement's compilations. Published in Absolute Magnitude. "Seismic Sidetrack" (spring 1995). Third part of the Sortie series. Novella not included in any of Hal Clement's compilations to date. Published in Absolute Magnitude. "Simile" (summer 1995). Fourth and last part of the Sortie series. Novella not included in any of Hal Clement's compilations. Published in Absolute Magnitude. "Oh, Natural" (spring 1998). Novelette not included in any of Hal Clement's compilations. Published in Absolute Magnitude. Collected in Hal's Worlds: Stories and Essays in Memory of Hal Clement. Options" (1998). Short story not included in any of Clement's compilations to date. Published as Harry C. Stubbs in Lamps on the Brow. "Exchange Rate" (winter 1999). Novella not included in any of Hal Clement's compilations to
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Valka (1931–32) began the great series of sociological novels, often coloured with socialist ideas, continuing almost without a break for nearly twenty years. This was probably the most brilliant period of his career, and it is the one which produced those of his works that have become most famous. But Laxness never attached himself permanently to a particular dogma." In addition to the two parts of Salka Valka, Laxness published Fótatak manna (Steps of Men) in 1933, a collection of short stories, as well as other essays, notably Dagleið á fjöllum (A Day's Journey in the Mountains) in 1937. Laxness's next novel was Sjálfstætt fólk (Independent People (1934 and 1935), which has been described as "… one of the best books of the twentieth century." When Salka Valka was published in English in 1936 a reviewer on the Evening Standard stated: "No beauty is allowed to exist as ornamentation in its own right in these pages; but the work is replete from cover to cover with the beauty of its perfection." In 1937 Laxness wrote the poem Maístjarnan (The May Star), which was set to music by Jón Ásgeirsson and has become a socialist anthem. This was followed by the four-part novel Heimsljós (World Light, 1937, 1938, 1939 and 1940), which is loosely based on the life of Magnús Hjaltason Magnusson, a minor Icelandic poet of the late 19th century. It has been "… consistently regarded by many critics as his most important work." Laxness also traveled to the Soviet Union in 1938 and wrote approvingly of the Soviet system and culture. He was present at the "Trial of the Twenty-one" and wrote about it in detail in his book Gerska æfintýrið (The Russian Adventure). In the late 1930s Laxness developed a unique spelling system that was closer to pronunciation than standard Icelandic. This characteristic of his writing is lost in translation. 1940s In 1941 Laxness translated Ernest Hemingway's A Farewell to Arms into Icelandic, which caused controversy because of his use of neologisms. He continued to court controversy over the next few years through the publication of new editions of several Icelandic sagas using modern Icelandic rather than the normalized Old Norse orthography, which had become customary. Laxness and his publishing partners were taken to court following the publication of his edition of Hrafnkels saga in 1942. They were found guilty of violating a recent copyright law, but eventually they were acquitted of the charge when the copyright law was deemed a violation to the freedom of the press. Laxness's "epic" three-part work of historical fiction, Íslandsklukkan (Iceland's Bell), was published between 1943 and 1946. It has been described as a novel of broad "… geographical and political scope… expressly concerned with national identity and the role literature plays in forming it… a tale of colonial exploitation and the obdurate will of a suffering people." "Halldór Kiljan Laxness’s three-volume Íslandsklukkan … is probably the most significant (Icelandic) novel of the 1940s." In 1946 the English translation of Independent People was published as a Book of the Month Club selection in the United States, selling over 450,000 copies. In 1948 Halldór and his second wife, Auður Sveinsdóttir, moved into Gljúfrasteinn, a new house built in the countryside near Mosfellsbær, where they began a new family. Auður, in addition to her domestic duties, also assumed the roles of personal secretary and business manager. In response to the establishment of a permanent U.S. military base in Keflavík, he wrote the satire Atómstöðin (The Atom Station), which may have contributed to a blacklisting of his novels in the United States."The demoralization of the occupation period is described ... nowhere as dramatically as in Halldór Kiljan Laxness' Atómstöðin (1948)... [where he portrays] postwar society in Reykjavík, completely torn from its moorings by the avalanche of foreign gold." Due to its examination of modern Reykjavík, Atómstöðin caused many critics and readers to consider it as the exemplary "Reykjavík Novel." 1950s In 1952 Laxness was awarded the Lenin Peace Prize and in 1953 he was awarded the Soviet-sponsored World Peace Council literary Prize. A Swedish film adaptation of his novel Salka Valka, directed by Arne Mattsson and filmed by Sven Nykvist, was released in 1954. In 1955 Laxness was awarded the Nobel Prize in Literature, "… for his vivid epic power, which has renewed the great narrative art of Iceland".
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1916. His earliest published writing appeared in 1916 in the children's newspapers Æskan and Sólskin, the latter being a part of the North American Icelandic newspaper Lögberg, as well as in Morgunblaðið. Laxness then attended and graduated from the Reykjavík Lyceum in the spring of 1918. By the time his first novel, Barn náttúrunnar (Child of Nature), was published in 1919, he had already begun his travels on the European continent. 1920s In 1922, Halldór joined the Abbaye Saint-Maurice et Saint-Maur in Clervaux, Luxembourg, where the monks followed the rules of Saint Benedict of Nursia. In 1923 he was baptized and confirmed in the Catholic Church, adopting the surname Laxness after the homestead on which he was raised and adding the name Kiljan (the Icelandic name of Irish martyr Saint Killian); Laxness practiced self-study, read books, and studied French, Latin, theology and philosophy. He became a member of a group that prayed for reversion of the Nordic countries to Catholicism. Laxness wrote of his experiences in the essay Kaþólsk viðhorf (1925), and the novels Undir Helgahnúk (1924) and Vefarinn mikli frá Kasmír (1927), the latter book hailed by noted Icelandic critic Kristján Albertsson: "Finally, finally, a grand novel which towers like a cliff above the flatland of contemporary Icelandic poetry and fiction! Iceland has gained a new literary giant - it is our duty to celebrate the fact with joy!" Laxness's religious period did not last long. He lived in the United States from 1927 to 1929, giving lectures on Iceland and attempting to write screenplays for Hollywood films. During this time he had also became attracted to socialism: "…(Laxness) did not become a socialist in America from studying manuals of socialism but from watching the starving unemployed in the parks."Laxness, Halldór,Alþýðubókin, Þriðja útgáfa (3rd edition), (Reykjavík, 1949), p.9 "… Laxness joined the socialist bandwagon… with a book Alþýðubókin (The Book of the People, 1929) of brilliant burlesque and satirical essays… " "Beside the fundamental idea of socialism, the strong sense of Icelandic individuality is also the sustaining element in Alþýðubókin. The two elements are entwined together in characteristic fashion and in their very union give the work its individual character." In 1929 Laxness published an article critical of the United States in Heimskringla, a Canadian newspaper. This resulted in charges being filed against him, his detention and the forfeiture of his passport. With the aid of Upton Sinclair and the ACLU, the charges were dropped and Laxness returned to Iceland. 1930s By the 1930s Laxness "had become the apostle of the younger generation" of Icelandic writers. "… Salka Valka (1931–32) began the great series of sociological novels, often coloured with socialist ideas, continuing almost without a break for nearly twenty years. This was probably the most brilliant period of his career, and it is the one which produced those of his works that have become most famous. But Laxness never attached himself permanently to a particular dogma." In addition to the two parts of Salka Valka, Laxness published Fótatak manna (Steps of Men) in 1933, a collection of short stories, as well as other essays, notably Dagleið á fjöllum (A Day's Journey in the Mountains) in 1937. Laxness's next novel was Sjálfstætt fólk (Independent People (1934 and 1935), which has been described as "… one of the best books of the twentieth century." When Salka Valka was published in English in 1936 a reviewer on the Evening Standard stated: "No beauty is allowed to exist as ornamentation in its own right in these pages; but the work is replete from cover to cover with the beauty of its perfection." In 1937 Laxness wrote the poem Maístjarnan (The May Star), which was set to music by Jón Ásgeirsson and has become a socialist anthem. This was followed by the four-part novel Heimsljós (World Light, 1937, 1938, 1939 and 1940), which is loosely based on the life of Magnús Hjaltason Magnusson, a minor Icelandic poet of the late 19th century. It has been "… consistently regarded by many critics as his most important work." Laxness also traveled to the Soviet Union in 1938 and wrote approvingly of the Soviet system and culture. He was present at the "Trial of the Twenty-one" and wrote about it in detail in his book Gerska æfintýrið (The Russian Adventure). In the late 1930s Laxness developed a unique spelling system that was closer to pronunciation than standard Icelandic. This characteristic of his writing is lost in translation. 1940s In 1941 Laxness translated Ernest Hemingway's A Farewell to Arms into Icelandic, which caused controversy because of his use of neologisms. He continued to court controversy over the next few years through the publication of new editions of several Icelandic sagas using modern Icelandic rather than the normalized Old Norse orthography, which had become customary. Laxness and his publishing partners were taken to court following the publication of his edition of Hrafnkels saga in 1942. They were found guilty of violating a recent copyright law, but eventually they were acquitted of the charge when the copyright law was deemed a violation to the freedom of the press. Laxness's "epic" three-part work of historical fiction, Íslandsklukkan (Iceland's Bell), was published between 1943 and 1946. It has been described as a novel of broad "… geographical and political scope… expressly concerned with national identity and the role literature plays in forming it… a tale of colonial exploitation and the obdurate will of a suffering people." "Halldór Kiljan Laxness’s three-volume Íslandsklukkan … is probably the most significant (Icelandic) novel of the 1940s." In 1946 the English translation of Independent People was published as a Book of the Month Club selection in the United States, selling over 450,000 copies. In 1948 Halldór and his second wife, Auður Sveinsdóttir, moved into Gljúfrasteinn, a new house built in the countryside near Mosfellsbær, where they began a new family. Auður, in addition to her domestic duties, also assumed the roles of personal secretary and business manager. In response to the establishment of a permanent U.S. military base in Keflavík, he wrote the satire Atómstöðin (The Atom Station), which may have contributed to a blacklisting of his novels in the United States."The demoralization of the occupation period is described ... nowhere as dramatically as in Halldór Kiljan Laxness' Atómstöðin (1948)... [where he portrays] postwar society in Reykjavík, completely torn from its moorings by the avalanche of foreign gold." Due to its examination of modern Reykjavík, Atómstöðin caused many critics and readers to consider it as the exemplary "Reykjavík Novel." 1950s In 1952 Laxness was awarded the Lenin Peace Prize and in 1953 he was awarded the Soviet-sponsored World Peace Council literary Prize. A Swedish film adaptation of his novel Salka Valka, directed by Arne Mattsson and filmed by Sven Nykvist, was released in 1954. In 1955 Laxness was awarded the Nobel Prize in Literature, "… for his vivid epic power, which has renewed the great narrative art of Iceland". "His chief literary works belong to the genre… [of] narrative prose fiction. In the history of our literature Laxness is mentioned beside Snorri Sturluson, the author of "Njals saga", and his place in world literature is among writers such as Cervantes, Zola, Tolstoy, and Hamsun… He is the most prolific and skillful essayist in Icelandic literature both old and new…" In the presentation address for the Nobel prize Elias Wessén stated:"He is an excellent painter of Icelandic scenery and settings. Yet this is not what he has conceived of as his chief mission. 'Compassion is the source of the highest poetry. Compassion with Asta Sollilja on earth,' he says in one of his best books… And a social passion underlies everything Halldór Laxness has written. His personal championship of contemporary social and political questions is always very strong, sometimes so strong
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than the undamped case) with the amplitude gradually decreasing to zero. The angular frequency of the underdamped harmonic oscillator is given by the exponential decay of the underdamped harmonic oscillator is given by The Q factor of a damped oscillator is defined as Q is related to the damping ratio by the equation Driven harmonic oscillators Driven harmonic oscillators are damped oscillators further affected by an externally applied force F(t). Newton's second law takes the form It is usually rewritten into the form This equation can be solved exactly for any driving force, using the solutions z(t) that satisfy the unforced equation and which can be expressed as damped sinusoidal oscillations: in the case where ζ ≤ 1. The amplitude A and phase φ determine the behavior needed to match the initial conditions. Step input In the case ζ < 1 and a unit step input with x(0) = 0: the solution is with phase φ given by The time an oscillator needs to adapt to changed external conditions is of the order τ = 1/(ζω0). In physics, the adaptation is called relaxation, and τ is called the relaxation time. In electrical engineering, a multiple of τ is called the settling time, i.e. the time necessary to ensure the signal is within a fixed departure from final value, typically within 10%. The term overshoot refers to the extent the response maximum exceeds final value, and undershoot refers to the extent the response falls below final value for times following the response maximum. Sinusoidal driving force In the case of a sinusoidal driving force: where is the driving amplitude, and is the driving frequency for a sinusoidal driving mechanism. This type of system appears in AC-driven RLC circuits (resistor–inductor–capacitor) and driven spring systems having internal mechanical resistance or external air resistance. The general solution is a sum of a transient solution that depends on initial conditions, and a steady state that is independent of initial conditions and depends only on the driving amplitude , driving frequency , undamped angular frequency , and the damping ratio . The steady-state solution is proportional to the driving force with an induced phase change : where is the absolute value of the impedance or linear response function, and is the phase of the oscillation relative to the driving force. The phase value is usually taken to be between −180° and 0 (that is, it represents a phase lag, for both positive and negative values of the arctan argument). For a particular driving frequency called the resonance, or resonant frequency , the amplitude (for a given ) is maximal. This resonance effect only occurs when , i.e. for significantly underdamped systems. For strongly underdamped systems the value of the amplitude can become quite large near the resonant frequency. The transient solutions are the same as the unforced () damped harmonic oscillator and represent the systems response to other events that occurred previously. The transient solutions typically die out rapidly enough that they can be ignored. Parametric oscillators A parametric oscillator is a driven harmonic oscillator in which the drive energy is provided by varying the parameters of the oscillator, such as the damping or restoring force. A familiar example of parametric oscillation is "pumping" on a playground swing. A person on a moving swing can increase the amplitude of the swing's oscillations without any external drive force (pushes) being applied, by changing the moment of inertia of the swing by rocking back and forth ("pumping") or alternately standing and squatting, in rhythm with the swing's oscillations. The varying of the parameters drives the system. Examples of parameters that may be varied are its resonance frequency and damping . Parametric oscillators are used in many applications. The classical varactor parametric oscillator oscillates when the diode's capacitance is varied periodically. The circuit that varies the diode's capacitance is called the "pump" or "driver". In microwave electronics, waveguide/YAG based parametric oscillators operate in the same fashion. The designer varies a parameter periodically to induce oscillations. Parametric oscillators have been developed as low-noise amplifiers, especially in the radio and microwave frequency range. Thermal noise is minimal, since a reactance (not a resistance) is varied. Another common use is frequency conversion, e.g., conversion from audio to radio frequencies. For example, the Optical parametric oscillator converts an input laser wave into two output waves of lower frequency (). Parametric resonance occurs in a mechanical system when a system is parametrically excited and oscillates at one of its resonant frequencies. Parametric excitation differs from forcing, since the action appears as a time varying modification on a system parameter. This effect is different from regular resonance because it exhibits the instability phenomenon. Universal oscillator equation The equation is known as the universal oscillator equation, since all second-order linear oscillatory systems can be reduced to this form. This is done through nondimensionalization. If the forcing function is f(t) = cos(ωt) = cos(ωtcτ) = cos(ωτ), where ω = ωtc, the equation becomes The solution to this differential equation contains two parts: the "transient" and the "steady-state". Transient solution The solution based on solving the ordinary differential equation is for arbitrary constants c1 and c2 The transient solution is independent of the forcing function. Steady-state solution Apply the "complex variables method" by solving the auxiliary equation below and then finding the real part of its solution: Supposing the solution is of the form Its derivatives from zeroth to second order are Substituting these quantities into the differential equation gives Dividing by the exponential term on the left results in Equating the real and imaginary parts results in two independent equations Amplitude part Squaring both equations and adding them together gives Therefore, Compare this result with the theory section on resonance, as well as the "magnitude part" of the RLC circuit. This amplitude function is particularly important in the analysis and understanding of the frequency response of second-order systems. Phase part To solve for φ, divide both equations to get This phase function is particularly important in the analysis and understanding of the frequency response of second-order systems. Full solution Combining the amplitude and phase portions results in the steady-state solution The solution of original universal oscillator equation is a superposition (sum) of the transient and steady-state solutions: For a more complete description of how to solve the above equation, see linear ODEs with constant coefficients. Equivalent systems Harmonic oscillators occurring in a number of areas of engineering are equivalent in the sense that their mathematical models are identical (see universal oscillator equation above). Below is a table showing analogous quantities in four harmonic oscillator systems in mechanics and electronics. If analogous parameters on the same line in the table are given numerically equal values, the behavior of the oscillatorstheir output waveform, resonant frequency, damping factor, etc.are the same. Application to a conservative force The problem of the simple harmonic oscillator occurs frequently in physics, because a mass at equilibrium under the influence of any conservative force, in
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of a transient solution that depends on initial conditions, and a steady state that is independent of initial conditions and depends only on the driving amplitude , driving frequency , undamped angular frequency , and the damping ratio . The steady-state solution is proportional to the driving force with an induced phase change : where is the absolute value of the impedance or linear response function, and is the phase of the oscillation relative to the driving force. The phase value is usually taken to be between −180° and 0 (that is, it represents a phase lag, for both positive and negative values of the arctan argument). For a particular driving frequency called the resonance, or resonant frequency , the amplitude (for a given ) is maximal. This resonance effect only occurs when , i.e. for significantly underdamped systems. For strongly underdamped systems the value of the amplitude can become quite large near the resonant frequency. The transient solutions are the same as the unforced () damped harmonic oscillator and represent the systems response to other events that occurred previously. The transient solutions typically die out rapidly enough that they can be ignored. Parametric oscillators A parametric oscillator is a driven harmonic oscillator in which the drive energy is provided by varying the parameters of the oscillator, such as the damping or restoring force. A familiar example of parametric oscillation is "pumping" on a playground swing. A person on a moving swing can increase the amplitude of the swing's oscillations without any external drive force (pushes) being applied, by changing the moment of inertia of the swing by rocking back and forth ("pumping") or alternately standing and squatting, in rhythm with the swing's oscillations. The varying of the parameters drives the system. Examples of parameters that may be varied are its resonance frequency and damping . Parametric oscillators are used in many applications. The classical varactor parametric oscillator oscillates when the diode's capacitance is varied periodically. The circuit that varies the diode's capacitance is called the "pump" or "driver". In microwave electronics, waveguide/YAG based parametric oscillators operate in the same fashion. The designer varies a parameter periodically to induce oscillations. Parametric oscillators have been developed as low-noise amplifiers, especially in the radio and microwave frequency range. Thermal noise is minimal, since a reactance (not a resistance) is varied. Another common use is frequency conversion, e.g., conversion from audio to radio frequencies. For example, the Optical parametric oscillator converts an input laser wave into two output waves of lower frequency (). Parametric resonance occurs in a mechanical system when a system is parametrically excited and oscillates at one of its resonant frequencies. Parametric excitation differs from forcing, since the action appears as a time varying modification on a system parameter. This effect is different from regular resonance because it exhibits the instability phenomenon. Universal oscillator equation The equation is known as the universal oscillator equation, since all second-order linear oscillatory systems can be reduced to this form. This is done through nondimensionalization. If the forcing function is f(t) = cos(ωt) = cos(ωtcτ) = cos(ωτ), where ω = ωtc, the equation becomes The solution to this differential equation contains two parts: the "transient" and the "steady-state". Transient solution The solution based on solving the ordinary differential equation is for arbitrary constants c1 and c2 The transient solution is independent of the forcing function. Steady-state solution Apply the "complex variables method" by solving the auxiliary equation below and then finding the real part of its solution: Supposing the solution is of the form Its derivatives from zeroth to second order are Substituting these quantities into the differential equation gives Dividing by the exponential term on the left results in Equating the real and imaginary parts results in two independent equations Amplitude part Squaring both equations and adding them together gives Therefore, Compare this result with the theory section on resonance, as well as the "magnitude part" of the RLC circuit. This amplitude function is particularly important in the analysis and understanding of the frequency response of second-order systems. Phase part To solve for φ, divide both equations to get This phase function is particularly important in the analysis and understanding of the frequency response of second-order systems. Full solution Combining the amplitude and phase portions results in the steady-state solution The solution of original universal oscillator equation is a superposition (sum) of the transient and steady-state solutions: For a more complete description of how to solve the above equation, see linear ODEs with constant coefficients. Equivalent systems Harmonic oscillators occurring in a number of areas of engineering are equivalent in the sense that their mathematical models are identical (see universal oscillator equation above). Below is a table showing analogous quantities in four harmonic oscillator systems in mechanics and electronics. If analogous parameters on the same line in the table are given numerically equal values, the behavior of the oscillatorstheir output waveform, resonant frequency, damping factor, etc.are the same. Application to a conservative force The problem of the simple harmonic oscillator occurs frequently in physics, because a mass at equilibrium under the influence of any conservative force, in the limit of small motions, behaves as a simple harmonic oscillator. A conservative force is one that is associated with a potential energy. The potential-energy function of a harmonic oscillator is Given an arbitrary potential-energy function , one can do a Taylor expansion in terms of around an energy minimum () to model the behavior of small perturbations from equilibrium. Because is a minimum, the first derivative evaluated at must be zero, so the linear term drops out: The constant term V(x0) is arbitrary and thus may be dropped, and a coordinate transformation allows the form of the simple harmonic oscillator to be retrieved: Thus, given an arbitrary potential-energy function with a non-vanishing second derivative, one can use the solution to the simple harmonic oscillator to provide an approximate solution for small perturbations around the equilibrium point. Examples Simple pendulum Assuming no damping, the differential equation governing a simple pendulum of length , where is
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When the cast first viewed the movie, Doherty ran out crying because she realized the film was a dark comedy and not the drama she was expecting. Soundtrack The film uses two versions of the song "Que Sera, Sera", the first by singer Syd Straw and another over the end credits by Sly and the Family Stone. On the film's DVD commentary, Di Novi mentions that the filmmakers wanted to use the original Doris Day version of the song, but Day would not lend her name to any project using profanity. The song "Teenage Suicide (Don't Do It)" by the fictional band Big Fun was written and produced for the film by musician Don Dixon, and performed by the ad hoc group "Big Fun", which consisted of Dixon, Mitch Easter, Angie Carlson, and Marti Jones. The song is included on Dixon's 1992 greatest hits album (If) I'm a Ham, Well You're a Sausage. The film's electronic score was composed and performed by David Newman, and a soundtrack CD was subsequently released. Release Critical reception and box office failure Heathers was released to the public in March 1989, at which time New World Pictures was going bankrupt. The film was considered a flop when it was released, earning $177,247 in its opening weekend and ultimately grossing $1.1 million in the United States over five weeks. At the time of its release, Desson Thomson of The Washington Post wrote that the film "may be the nastiest, cruelest fun you can have without actually having to study law or gird leather products. If movies were food, Heathers would be a cynic's chocolate binge." Roger Ebert gave the film 2.5 stars out of 4 and wrote that the film "is a morbid comedy about peer pressure in high school, about teenage suicide and about the deadliness of cliques that not only exclude but also maim and kill." Cult success and subsequent home media New World Video released Heathers on VHS and LaserDisc in 1989, and it developed a cult following after being unsuccessful at the box office. It was released again on LaserDisc on September 16, 1996, as a widescreen edition digitally transferred from Transatlantic Pictures' interpositive print under the supervision of cinematographer Francis Kenny. The sound was mastered from the magnetic sound elements. The film was then first released on DVD on March 30, 1999, in a barebones edition. In 2001, a multi-region special edition THX DVD was released from Anchor Bay Entertainment in Dolby Digital 5.1. The DVD was released in the United States, Canada, Australia, and Europe, and achieved high sales. Each release included a different front cover featuring Veronica, J.D., Chandler, Duke, and McNamara. In 2001, a limited edition DVD set of only 15,000 copies was released. The set contained an audio commentary with director Michael Lehmann, producer Denise Di Novi and writer Daniel Waters, as well as a 30-minute documentary titled Swatch Dogs and Diet Cokeheads, featuring interviews with Ryder, Slater, Doherty, Falk, Lehmann, Waters, Di Novi, director of photography Francis Kenny, and editor Norman Hollyn. It also includes a theatrical trailer, screenplay excerpt, original ending, biographies, 10-page full-color fold-out with photos and liner notes, an 8-inch "Heathers Rules!" ruler, and a 48-page full-color yearbook style booklet with rare photos. The film was then re-released on Blu-ray by Image Entertainment in 2011 as a barebones edition, two years after Anchor Bay. In June 2018, Arrow Films reported that Heathers would be re-released on August 8, 2018 in cinemas and on September 10 on Blu-ray, in a new 4K restoration. On July 1, 2008, a new 20th anniversary special edition DVD set was released by Anchor Bay to coincide with the DVD of writer Waters' new film Sex and Death 101. The DVD features a new documentary, Return to Westerburg High. On November 18, 2008, Anchor Bay released a Blu-ray with all the special features from the 20th anniversary DVD and a soundtrack in Dolby TrueHD 5.1. On November 12, 2019, Image Entertainment released a 30th Anniversary steelbook edition on Blu-ray. This release did not utilize Arrow Films' 4K restoration and featured new and previous special features. Reception and legacy On Rotten Tomatoes the film has an approval rating of 93% based on contemporary and retrospective reviews from 56 critics, with an average rating of 7.7/10. The site's critical consensus reads: "Dark, cynical, and subversive, Heathers gently applies a chainsaw to the conventions of the high school movie – changing the game for teen comedies to follow." On Metacritic, the film has a weighted average score of 72/100 based on 20 reviews by mainstream critics. Academics have likened Heathers to other films popular during the 1980s and early 1990s which characterized domestic youth narratives as part and parcel of the "culture war". Waters created a specific set of slang and style of speech for the film, wanting to ensure that the language in the film would have "timeless" quality instead of just reflecting teen slang at the time. Much of the language made its way into the popular vernacular. The film is among the most cited in the Oxford English Dictionary. Related projects Possible film sequel On June 2, 2009, Entertainment Weekly reported that Ryder had claimed that there would be a sequel to the film, titled Heathers 2, with Slater coming back "as a kind of Obi-Wan character". However, Lehmann denied development of a sequel, saying, "Winona's been talking about this for years—she brings it up every once in a while and Dan Waters and I will joke about it, but as far as I know
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to get revenge by using a fake hangover cure to make Chandler vomit. J.D. pours drain cleaner into a mug, but Veronica dismisses him, thinking he is making a mean joke. She mixes orange juice and milk together instead. However, Veronica accidentally brings the wrong mug to Chandler's room; J.D. notices this but says nothing. He serves Chandler the drain cleaner, killing her. Veronica panics, and J.D. urges her to forge a dramatic suicide note in Chandler's handwriting. The school and community regard Chandler's apparent suicide as a tragic decision made by a troubled teenager, making her even more worshipped in death than in life. Meanwhile, Duke uses the attention surrounding Chandler's death to gain popularity, becoming the clique's new leader. After Chandler's funeral, McNamara convinces Veronica to go with her, Kurt, and Ram on a double date. J.D. finds the four teens that evening in a field, and Veronica leaves with him as Kurt passes out and Ram rapes McNamara. The following day, the boys spread a false rumor about Veronica performing oral sex on them, ruining her reputation. J.D. proposes that he and Veronica lure the boys into the woods, shoot them with tranquilizers, and humiliate them by staging the scene to look like they were lovers participating in a suicide pact. J.D. shoots Ram, but Veronica's shot misses Kurt, who runs away. J.D. chases Kurt back towards Veronica who, realizing that the bullets are in fact lethal, fatally shoots him in a panic. J.D. and Veronica are nearly caught by police, but they make out in a station wagon to pretend they were there all along. At their funeral, the boys are made into martyrs to homophobia. Growing increasingly disturbed by J.D.'s behavior, Veronica breaks up with him. J.D. blackmails Duke into getting every student to sign a "petition" that, unbeknownst to her, is intended to act as a mass suicide note. He then gives her a red scrunchie that Chandler had worn, signifying her new power over the school. Meanwhile, Martha Dunnstock, a frequent target of bullying, pins a suicide note to her chest and walks into traffic. She survives but is badly injured and mocked by her peers. Later, McNamara calls a radio show to discuss her depression; Duke tells the entire school about the radio call the next day, and McNamara is bullied. McNamara attempts suicide by overdosing in the girls' bathroom, but Veronica intervenes. Veronica returns home, and her parents say that J.D. stopped by to tell them that he was worried she would attempt suicide. He leaves a note revealing he can mock her handwriting, and a barbie doll hanging in her room. J.D. breaks into Veronica's house with a plan to kill Heather Duke, but the murder is revealed to be a dream sequence. Realizing that J.D. plans to kill her, she fakes her own suicide. J.D. finds her and, assuming she is dead, gives a monologue revealing his plan to blow up the school pep rally and make it look like a mass suicide. The next day, Veronica confronts J.D. in the boiler room as he plants dynamite. She shoots him, and his switchblade cuts the wires to the detonator. Veronica goes outside, and J.D. follows her with a bomb strapped to his chest. He offers a personal eulogy and detonates the bomb, killing himself. As students and faculty rush outside to see what happened, Veronica walks back inside, dirty and disheveled from the explosion. She approaches Duke, takes the red scrunchie, and asserts that Duke is no longer in charge. Veronica then invites Martha to spend prom night watching movies together, as Duke looks on. Cast Production Development Daniel Waters began writing the screenplay in spring of 1986, while he was working at a video store. Waters wanted the film to be directed by Stanley Kubrick, not only out of admiration for him, but also from a perception that "Kubrick was the only person that could get away with a three-hour film". (The cafeteria scene near the start of Heathers was written as an homage to the barracks scene which opens Kubrick's Full Metal Jacket.) After a number of failed attempts to get the script to Kubrick, Waters approached director Michael Lehmann, who he met through a mutual friend. Lehmann agreed to helm the film with producer Denise Di Novi. In the original version of the script, J.D. successfully blows up Westerburg High, and the final scene features a surreal prom gathering of all the students in heaven. Executives at New World Pictures agreed to finance the film, but they disliked the dark ending and insisted that it be changed. Some reviewers have discussed similarities between Heathers and Massacre at Central High, a low-budget 1976 film. Heathers screenwriter Daniel Waters has stated that he had not seen Massacre at Central High at the time he wrote Heathers, but that he had read a review of it in Danny Peary's book Cult Movies, and that the earlier film may have been "rattling around somewhere in my subconscious". Casting Many actors and actresses turned down the project because of its dark subject matter. Early choices for Veronica were Justine Bateman and Jennifer Connelly. Winona Ryder, who was 16 at the time of filming and badly wanted the part, begged Waters to cast her as Veronica, even offering to work for free. Waters at first did not think Ryder was pretty enough, and Ryder herself commented that "at the time, I didn't look that different from my character in Beetlejuice. I was very pale. I had blue-black dyed hair. I went to Macy's at the Beverly Center and had them do a makeover on me." Ryder's agent was so opposed to her pursuing the role that she got down on her hands and knees to beg her not to take it, warning her that it would ruin her career. Eventually, she was given the role. Brad Pitt read for the role of J.D. but he was rejected. Christian Slater reports throwing a "big tantrum" and tossing his script in the trash after assuming he'd bombed his audition. He was signed to play J.D. shortly after Ryder was cast, stating later that he channeled Jack Nicholson in the film. Heather Graham, then 17, was offered the part of Heather Chandler, but turned it down due to her parents' disapproval of the film. Kim Walker, who was dating Slater at the time, was offered the role instead. Lisanne Falk, 23 years old at the time, lied and said she was in her late teens during the audition. It was only after she was cast that she revealed her true age. Seventeen-year-old Shannen Doherty wanted the role of Veronica, but Ryder had been cast, so the producers asked her to audition for Heather Chandler. Doherty was more interested in playing Heather Duke, and ended up giving an "amazing" reading as Duke, which secured her the part. The producers wanted her to dye her hair blonde to match the other "Heathers", but Doherty refused, so they compromised on her having red hair. Filming Principal photography took place over 33 days in February and March 1988, on a budget of $3 million. Although set in Ohio, filming was done entirely in Los Angeles. "Westerburg High School" is an amalgam of Corvallis High School (now Bridges Academy) in Studio City, Verdugo Hills High School in Tujunga, and John Adams Middle School in Santa Monica. The gymnasium scenes were shot at Verdugo Hills High, and the climactic scene on the stairs was filmed outside John Adams Middle School. The funeral scenes were filmed at Church of the Angels in Pasadena, California, a location used in other media including Buffy the Vampire Slayer and Just Married. Michael Lehmann has called Doherty "a bit of a handful" on set, in part because she objected to the swearing in the script and refused to say some of the more explicit lines. Falk stated that Doherty "didn't have much of a sense of humor, and she took herself a little seriously", and Di Novi said: "I don't think Shannen really got what Heathers was. And that worked for us. She made that character real." When the cast first viewed the movie, Doherty ran out crying because she realized the film was a dark comedy and not the drama she was expecting. Soundtrack The film uses two versions of the song "Que Sera, Sera", the first by singer Syd Straw and another over the end credits by Sly and the Family Stone. On the film's DVD commentary, Di Novi mentions that the filmmakers wanted to use the original Doris Day version of the song, but Day would not lend her name to any project using profanity. The song "Teenage Suicide (Don't Do It)" by the fictional band Big Fun was written and produced for the film by musician Don Dixon, and performed by the ad hoc group "Big Fun", which consisted of Dixon, Mitch
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when the Federal Expellee Law was passed, and 1991, the West German government passed several laws dealing with German expellees. The most notable of these is the "Law of Return" which granted German citizenship to any ethnic German. Several additions were later made to these laws. The German Law of Return declared refugee status to be inheritable. According to the Federal Expellee Law, "the spouse and the descendants" of an expellee are to be treated as if they were expellees themselves, regardless of whether they had been personally displaced. The Federation of Expellees has steadily lobbied to preserve the inheritability clause. Formation of the Federation The Federation of Expellees was formed on 27 October 1957 in West Germany. Before its founding, the Bund der Heimatvertriebenen (League of Expellees and Deprived of Rights), formed in 1950, represented the interests of displaced German expellees. Intriguingly, in its first few years, the league was more successful in West Germany than in East Germany. German reunification Previous West German governments, especially those led by the Christian Democratic Union, had shown more rhetorical support for the territorial claims made on behalf of German refugees and expellees. Although the Social Democrats showed strong support for the expellees, especially under Kurt Schumacher and Erich Ollenhauer, Social Democrats in more recent decades have generally been less supportive – and it was under Willy Brandt that West Germany recognized the Oder-Neisse line as the eastern German border with Poland under his policy of Ostpolitik. In reality, accepting the internationally recognized boundary made it more possible for eastern Germans to visit their lost homelands. In 1989–1990 the West German government realized they had an opportunity to reunify the Federal Republic of Germany and the Soviet created German Democratic Republic. But they believed that if this were to be achieved, it had to be done quickly. One of the potential complications was the claim to the historical eastern territories of Germany; unless this was renounced, some foreign governments might not agree to German reunification. The West German government under the CDU accepted the 1990 Treaty on the Final Settlement With Respect to Germany (Two Plus Four Agreement), which officially re-established the sovereignty of both German states. A condition of this agreement was that Germany accept the post-World War II frontiers. Upon reunification in 1990, the constitution was amended to state that Germany's territory had reached its full extent. Article 146 was amended so that Article 23 of the current constitution could be used for reunification. Once the five "reestablished federal states" in the east had been united with the west, the Basic Law was amended again to show that there were no other parts of Germany, which existed outside of the unified territory, that had not acceded. 2000s In 2000 the Federation of Expellees also initiated the formation of the Center Against Expulsions (). Chairwoman of this Center is Erika Steinbach, who headed it together with former SPD politician Prof. Dr. Peter Glotz (died 2005). Recently Erika Steinbach, the chair of the Federation of Expellees, has rejected any compensation claims. The vice president of the Federation Rudi Pawelka is however a chairman of the supervisory board of the Prussian Trust. A European organisation for expellees has been formed: EUFV. Headquarters is Trieste, Italy. Organization The expellees are organized in 21 regional associations (Landsmannschaften), according to the areas of origin of its members, 16 state organizations (Landesverbände) according to their current residence, and 5 associate member organizations. It is the single representative federation for the approximately 15 million Germans who after fleeing, being expelled, evacuated or emigrating, found refuge in the Federal Republic of Germany. The Federation claims to have 1.3 million members (including non-displaced persons), and to be a political force of some influence in Germany. This figure was disputed in January 2010 by the German news service DDP, which reported an actual membership of 550,000. According to Erika Steinbach only 100,000 of the members contribute financially. The federation helps its members to integrate into German society. Many of the members assist the societies of their place of birth. Presidents From 1959 to 1964, the first president of the Federation was Hans Krüger, a former Nazi judge and activist. After the war Krüger was a West German politician of the Christian Democratic Union (CDU), was a member of parliament from 1957 to 1965,
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Steinbach only 100,000 of the members contribute financially. The federation helps its members to integrate into German society. Many of the members assist the societies of their place of birth. Presidents From 1959 to 1964, the first president of the Federation was Hans Krüger, a former Nazi judge and activist. After the war Krüger was a West German politician of the Christian Democratic Union (CDU), was a member of parliament from 1957 to 1965, served as Federal Minister for Displaced Persons, Refugees and War Victims for 4 months in 1963–64 in the First Cabinet of Ludwig Erhard. He stepped down from cabinet and other positions in 1964 amid controversy about his war-time background. Krüger was succeeded as president by Wenzel Jaksch in 1964 who held the position until his untimely death in 1966. Hans Krüger (1959–1963)BdV - Der BdV - Geschichte des BdV (resigned from his post due to his Nazi past) Wenzel Jaksch (1964–1966) Reinhold Rehs (1967–1970) Herbert Czaja (1970–1994) Fritz Wittmann (1994–1998) Erika Steinbach (1998–2014) Bernd Fabritius (2014–) Member organizations Regional Landsmannschaft Ostpreußen Landsmannschaft Schlesien Deutsch-Baltische Gesellschaft Landsmannschaft der Banater Schwaben e.V. Landsmannschaft Berlin-Mark Brandenburg Landsmannschaft der Bessarabiendeutschen e.V. Landsmannschaft der Buchenlanddeutschen (Bukowina) e.V. Bund der Danziger e.V. Landsmannschaft der Dobrudscha- und Bulgariendeutschen Landsmannschaft der Donauschwaben, Bundesverband e.V. Karpatendeutsche Landsmannschaft Slowakei e.V. Landsmannschaft der Deutschen aus Litauen e.V. Landsmannschaft der Oberschlesier e.V. – Bundesverband – Pommersche Landsmannschaft – Zentralverband – e.V. Landsmannschaft der Deutschen aus Russland e.V. Landsmannschaft der Sathmarer Schwaben in der Bundesrepublik Deutschland e.V. Landsmannschaft der Siebenbürger Sachsen in Deutschland e.V. Sudetendeutsche Landsmannschaft Bundesverband e.V. Landsmannschaft der Deutschen aus Ungarn Landsmannschaft Weichsel-Warthe Bundesverband e.V. Landsmannschaft Westpreußen e.V. State Landesverband Baden-Württemberg Landesverband Bayern Landesverband Berlin Landesverband Brandenburg Landesverband Bremen Landesverband Hamburg Landesverband Hessen Landesverband Mecklenburg-Vorpommern Landesverband Niedersachsen Landesverband Nordrhein-Westfalen Landesverband Rheinland-Pfalz Landesverband Saar Landesverband Sachsen / Schlesische Lausitz Landesverband Sachsen-Anhalt Landesverband Schleswig-Holstein Landesverband Thüringen Criticism When in government, both CDU and SPD have tended to favor improved relations with Central and Eastern Europe, even when this conflicts with the interests of the displaced people. The issue of the eastern border and the return of the Heimatvertriebene to their ancestral homes are matters which the current German government, German constitutional arrangements and German treaty obligations have virtually closed. The refugees' claims were unanimously rejected by the affected countries and became a source of mistrust between Germany, Poland and the Czech Republic. These governments argue that the expulsion of Germans and related border changes were not enacted by the Polish or Czech governments, but rather were ordered by the Potsdam Conference, where a Polish delegation of politicians and experts had presented a justification for a western Polish border following the Oder-Neisse Line. Furthermore, the nationalization of private property by Poland's former communist government did not apply only to Germans but was enforced on all people, regardless of ethnic background. A further complication is that many of the current Polish population in historical eastern Germany are themselves expellees (or descendants of expellees) who, totaling 1.6 million, were driven from Polish areas annexed by the Soviet Union and were forced to leave their homes and property behind as well. Some German-speakers had been settled in occupied Poland after 1939 by the Nazis. Treating these ex-colonists as expellees under German law, Erika Steinbach included, adds to the controversy. However, the vast majority of expelled Germans were descended from families who had lived in Eastern Europe for many centuries, while the majority of German colonists in Nazi-occupied Poland were Baltic and other East European Germans themselves displaced by the Nazi-Soviet population transfers. Nazi background The Federation has been accused by the GDR and Poland of having Nazi roots. A recent study confirmed that 13 members of the first council of the Federation had a Nazi past. The Polish daily newspaper
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the Greeks sought to control southern Albania. A delegation sent by a postwar Albanian National Assembly that met at Durrës in December 1918 defended Albanian interests at the Paris Peace Conference, but the conference denied Albania official representation. The National Assembly, anxious to keep Albania intact, expressed willingness to accept Italian protection and even an Italian prince as a ruler so long as it would mean Albania did not lose territory. Serbian troops conducted actions in Albanian-populated border areas, while Albanian guerrillas operated in both Serbia and Montenegro. In January 1920, at the Paris Peace Conference, negotiators from France, Britain, and Greece agreed to allow Albania to fall under Yugoslav, Italian, and Greek spheres of influence as a diplomatic expedient aimed at finding a compromising solution to the territorial conflicts between Italy and Yugoslavia. Members of a second Albanian National Assembly held at Lushnjë in January 1920 rejected the partition plan and warned that Albanians would take up arms to defend their country's independence and territorial integrity. The Lushnjë National Assembly appointed a four-man regency to rule the country. A bicameral parliament was also created, in which an elected lower chamber, the Chamber of Deputies (with one deputy for every 12,000 people in Albania and one for the Albanian community in the United States), appointed members of its own ranks to an upper chamber, the Senate. In February 1920, the government moved to Tirana, which became Albania's capital. One month later, in March 1920, U.S. President Woodrow Wilson intervened to block the Paris agreement. The United States underscored its support for Albania's independence by recognizing an official Albanian representative to Washington, and in December the League of Nations recognized Albania's sovereignty by admitting it as a full member. The country's borders, however, remained unsettled following the Vlora War in which all territory (except Saseno island) under Italian control in Albania was relinquished to the Albanian state. Albania achieved a degree of statehood after the First World War, in part because of the diplomatic intercession of the United States government. The country suffered from a debilitating lack of economic and social development, however, and its first years of independence were fraught with political instability. Unable to survive a predatory environment without a foreign protector, Albania became the object of tensions between Italy and the Kingdom of Serbs, Croats and Slovenes, which both sought to dominate the country. Zogu Government Interwar Albanian governments appeared and disappeared in rapid succession. Between July and December 1921 alone, the premiership changed hands five times. The Popular Party's head, Xhafer Ypi, formed a government in December 1921 with Fan S. Noli as foreign minister and Ahmed Bey Zogu as internal affairs minister, but Noli resigned soon after Zogu resorted to repression in an attempt to disarm the lowland Albanians despite the fact that bearing arms was a traditional custom. When the government's enemies attacked Tirana in early 1922, Zogu stayed in the capital and, with the support of the British ambassador, repulsed the assault. He took over the premiership later in the year and turned his back on the Popular Party by announcing his engagement to the daughter of Shefqet Verlaci, the Progressive Party leader. Zogu's protégés organized themselves into the Government Party. Noli and other Western-oriented leaders formed the Opposition Party of Democrats, which attracted all of Zogu's many personal enemies, ideological opponents, and people left unrewarded by his political machine. Ideologically, the Democrats included a broad sweep of people who advocated everything from conservative Islam to Noli's dreams of rapid modernization. Opposition to Zogu was formidable. Orthodox peasants in Albania's southern lowlands loathed Zogu because he supported the Muslim landowners' efforts to block land reform; Shkodër's citizens felt shortchanged because their city did not become Albania's capital, and nationalists were dissatisfied because Zogu's government did not press Albania's claims to Kosovo or speak up more energetically for the rights of the ethnic Albanian minorities in present-day Yugoslavia and Greece. Zogu's party handily won elections for a National Assembly in early 1924. Zogu soon stepped aside, however, handing over the premiership to Verlaci in the wake of a financial scandal and an assassination attempt by a young radical that left Zogu wounded. The opposition withdrew from the assembly after the leader of a nationalist youth organization, Avni Rustemi, was murdered in the street outside the parliament building. June Revolution Noli's supporters blamed the Rustemi murder on Zogu's Mati clansmen, who continued to practice blood vengeance. After the walkout, discontent mounted, and in June 1924 a peasant-backed insurgency had won control of Tirana. Noli became prime minister, and Zogu fled to Yugoslavia. Fan Noli, an idealist, rejected demands for new elections on the grounds that Albania needed a "paternal" government. In a manifesto describing his government's program, Noli called for abolishing feudalism, resisting Italian domination, and establishing a Western-style constitutional government. Scaling back the bureaucracy, strengthening local government, assisting peasants, throwing Albania open to foreign investment, and improving the country's bleak transportation, public health, and education facilities filled out the Noli government's overly ambitious agenda. Noli encountered resistance to his program from people who had helped him oust Zogu, and he never attracted the foreign aid necessary to carry out his reform plans. Noli criticized the League of Nations for failing to settle the threat facing Albania on its land borders. Under Fan Noli, the government set up a special tribunal that passed death sentences, in absentia, on Zogu, Verlaci, and others and confiscated their property. In Yugoslavia Zogu recruited a mercenary army, and Belgrade furnished the Albanian leader with weapons, about 1,000 Yugoslav army regulars, and Russian White Emigres to mount an invasion that the Serbs hoped would bring them disputed areas along the border. After Noli decided to establish diplomatic relations with the Soviet Union, a bitter enemy of the Serbian ruling family, Belgrade began making wild allegations that Albania was about to embrace Bolshevism. On 13 December 1924, Zogu's Yugoslav-backed army crossed into Albanian territory. By Christmas Eve, Zogu had reclaimed the capital, and Noli and his government had fled to Italy. The Noli government lasted just 6 months and a week. First Republic After defeating Fan Noli's government, Ahmet Zogu recalled the parliament, in order to find a solution for the uncrowned principality of Albania. The parliament quickly adopted a new constitution, proclaimed the first republic, and granted Zogu dictatorial powers that allowed him to appoint and dismiss ministers, veto legislation, and name all major administrative personnel and a third of the Senate. The Constitution provided for a parliamentary republic with a powerful president serving as head of state and government. On 31 January, Zogu was elected president for a seven-year term. Opposition parties and civil liberties disappeared; opponents of the regime were murdered; and the press suffered strict censorship. Zogu ruled Albania using four military governors responsible to him alone. He appointed clan chieftains as reserve army officers who were kept on call to protect the regime against domestic or foreign threats. Zogu, however, quickly turned his back on Belgrade and looked instead to Benito Mussolini's Italy for patronage. Under Zogu, Albania joined the Italian coalition against Yugoslavia of Kingdom of Italy, Hungary, and Bulgaria in 1924–1927. After the United Kingdom's and France's political intervention in 1927 with the Kingdom of Yugoslavia, the alliance crumbled. Zogu maintained good relations with Benito Mussolini's fascist regime in Italy and supported Italy's foreign policy. He would be the first and only Albanian to hold the title of president until 1991. Kingdom of Albania In 1928, Zogu I secured the Parliament's consent to its own dissolution. Afterwards, Albania was declared a monarchy with Zogu I first as the Prime Minister, then as the President and at last as the King of Albania. International recognition arrived forthwith. The new formed constitution abolished the Albanian Senate and created a unicameral parliament, but King Zog retained the dictatorial powers he had enjoyed as president. Zogu I remained a conservative, but initiated reforms. For example, in an attempt at social modernisation the custom of adding one's region to one's name was dropped. He also made donations of land to international organisations for the building of schools and hospitals. Soon after his incoronation, Zog broke off his engagement to Shefqet Verlaci's daughter, and Verlaci withdrew his support for the king and began plotting against him. Zog had accumulated a great number of enemies over the years, and the Albanian tradition of blood vengeance required them to try to kill him. Zog surrounded himself with guards and rarely appeared in public. The king's loyalists disarmed all of Albania's tribes except for his own Mati tribesmen and their allies, the Dibra. Nevertheless, on a visit to Vienna in 1931, Zog and his bodyguards fought a gun battle with would-be assassins Aziz Çami and Ndok Gjeloshi on the Opera House steps. Zog remained sensitive to steadily mounting disillusion with Italy's domination of Albania. The Albanian army, though always less than 15,000-strong, sapped the country's funds, and the Italians' monopoly on training the armed forces rankled public opinion. As a counterweight, Zog kept British officers in the Gendarmerie despite strong Italian pressure to remove them. In 1931, Zog openly stood up to the Italians, refusing to renew the 1926 First Treaty of Tirana. Financial crisis In 1932 and 1933, Albania could not make the interest payments on its loans from the Society for the Economic Development of Albania. In response, Rome turned up the pressure, demanding that Tirana name Italians to direct the Gendarmerie; join Italy in a customs union; grant Italy control of the country's sugar, telegraph, and electrical monopolies; teach the Italian language in all Albanian schools; and admit Italian colonists. Zog refused. Instead, he ordered the national budget slashed by 30 percent, dismissed the Italian military advisers, and nationalized Italian-run Roman Catholic schools in the northern part of the country. In 1934, Albania had signed trade agreements with Yugoslavia and Greece, and Mussolini had suspended all payments to Tirana. An Italian attempt to intimidate the Albanians by sending a fleet of warships to Albania failed because the Albanians only allowed the forces to land unarmed. Mussolini then attempted to buy off the Albanians. In 1935 he presented the Albanian government 3 million gold francs as a gift. Zog's success in defeating two local rebellions convinced Mussolini that the Italians had to reach a new agreement with the Albanian king. A government of young men led by Mehdi Frasheri, an enlightened Bektashi administrator, won a commitment from Italy to fulfill financial promises that Mussolini had made to Albania and to grant new loans for harbor improvements at Durrës and other projects that kept the Albanian government afloat. Soon Italians began taking positions in Albania's civil service, and Italian settlers were allowed into the country. Mussolini's forces overthrew King Zog when Italy invaded Albania in 1939. World War II Starting in 1928, but especially during the Great Depression, the government of King Zog, which brought law and order to the country, began to increase the Italian influence more and more. Despite some significant resistance, especially at Durrës, Italy invaded Albania on 7 April 1939 and took control of the country, with the Italian Fascist dictator Benito Mussolini proclaiming Italy's figurehead King Victor Emmanuel III of Italy as King of Albania. The nation thus became one of the first to be occupied by the Axis Powers in World War II. As Hitler began his aggression against other European countries, Mussolini decided to occupy Albania as a means of competing with Hitler's territorial gains. Mussolini and the Italian Fascists saw Albania as a historical part of the Roman Empire, and the occupation was intended to fulfill Mussolini's dream of creating an Italian Empire. During the Italian occupation, Albania's population was subject to a policy of forced Italianization by the kingdom's Italian governors, in which the use of the Albanian language was discouraged in schools while the Italian language was promoted. At the same time, the colonization of Albania by Italians was encouraged. Mussolini, in October 1940, used his Albanian base to launch an attack on Greece, which led to the defeat of the Italian forces and the Greek occupation of Southern Albania in what was seen by the Greeks as the liberation of Northern Epirus. While preparing for the Invasion of Russia, Hitler decided to attack Greece in December 1940 to prevent a British attack on his southern flank. Italian penetration Albania had long had considerable strategic importance for Italy. Italian naval strategists eyed the port of Vlorë and the island of Sazan at the entrance to the Bay of Vlorë with considerable interest, as it would give Italy control of the entrance to the Adriatic Sea. In addition, Albania could provide Italy with a beachhead in the Balkans. Before World War I Italy and Austria-Hungary had been instrumental in the creation of an independent Albanian state. At the outbreak of war, Italy had seized the chance to occupy the southern half of Albania, to avoid it being captured by the Austro-Hungarians. That success did not last long, as post-war domestic problems, Albanian resistance, and pressure from United States President Woodrow Wilson, forced Italy to pull out in 1920. When Mussolini took power in Italy he turned with renewed interest to Albania. Italy began penetration of Albania's economy in 1925, when Albania agreed to allow it to exploit its mineral resources. That was followed by the First Treaty of Tirana in 1926 and the Second Treaty of Tirana in 1927, whereby Italy and Albania entered into a defensive alliance. The Albanian government and economy were subsidised by Italian loans, the Albanian army was trained by Italian military instructors, and Italian colonial settlement was encouraged. Despite strong Italian influence, Zog refused to completely give in to Italian pressure. In 1931 he openly stood up to the Italians, refusing to renew the 1926 Treaty of Tirana. After Albania signed trade agreements with Yugoslavia and Greece in 1934, Mussolini made a failed attempt to intimidate the Albanians by sending a fleet of warships to Albania. As Nazi Germany annexed Austria and moved against Czechoslovakia, Italy saw itself becoming a second-rate member of the Axis. The imminent birth of an Albanian royal child meanwhile threatened to give Zog a lasting dynasty. After Hitler invaded Czechoslovakia (15 March 1939) without notifying Mussolini in advance, the Italian dictator decided to proceed with his own annexation of Albania. Italy's King Victor Emmanuel III criticized the plan to take Albania as an unnecessary risk. Rome, however, delivered Tirana an ultimatum on 25 March 1939, demanding that it accede to Italy's occupation of Albania. Zog refused to accept money in exchange for countenancing a full Italian takeover and colonization of Albania. Italian invasion On 7 April Mussolini's troops invaded Albania. The operation was led by General Alfredo Guzzoni. The invasion force was divided into three groups, which were to land successively. The most important was the first group, which was divided in four columns, each assigned to a landing area at a harbor and an inland target on which to advance. Despite some stubborn resistance by some patriots, especially at Durrës, the Italians made short work of the Albanians. Durrës was captured on 7 April, Tirana the following day, Shkodër and Gjirokastër on 9 April, and almost the entire country by 10 April. Unwilling to become an Italian puppet, King Zog, his wife, Queen Geraldine Apponyi, and their infant son Leka fled to Greece and eventually to London. On 12 April, the Albanian parliament voted to depose Zog and unite the nation with Italy "in personal union" by offering the Albanian crown to Victor Emmanuel III. The parliament elected Albania's largest landowner, Shefqet Bej Verlaci, as Prime Minister. Verlaci additionally served as head of state for five days until Victor Emmanuel III formally accepted the Albanian crown in a ceremony at the Quirinale palace in Rome. Victor Emmanuel III appointed Francesco Jacomoni di San Savino, a former ambassador to Albania, to represent him in Albania as "Lieutenant-General of the King" (effectively a viceroy). Albania under Italy While Victor Emmanuel ruled as king, Shefqet Bej Verlaci served as the Prime Minister. Shefqet Verlaci controlled the day-to-day activities of the new Italian protectorate. On 3 December 1941, Shefqet Bej Verlaci was replaced as Prime Minister and Head of State by Mustafa Merlika Kruja. From the start, Albanian foreign affairs, customs, as well as natural resources came under direct control of Italy. The puppet Albanian Fascist Party became the ruling party of the country and the Fascists allowed Italian citizens to settle in Albania and to own land so that they could gradually transform it into Italian soil. In October 1940, during the Greco-Italian War, Albania served as a staging-area for Italian dictator Benito Mussolini's unsuccessful invasion of Greece. Mussolini planned to invade Greece and other countries like Yugoslavia in the area to give Italy territorial control of most of the Mediterranean Sea coastline, as part of the Fascists objective of creating the objective of Mare Nostrum ("Our Sea") in which Italy would dominate the Mediterranean. But, soon after the Italian invasion, the Greeks counter-attacked and a sizeable portion of Albania was in Greek hands (including the cities of Gjirokastër and Korçë). In April 1941, after Greece capitulated to the German forces, the Greek territorial gains in southern Albania returned to Italian command. Under Italian command came also large areas of Greece after the successful German invasion of Greece. After the fall of Yugoslavia and Greece in April 1941, the Italian Fascists added to the territory of the Kingdom of Albania most of the Albanian-inhabited areas that had been previously given to the Kingdom of Yugoslavia. The Albanian fascists claimed in May 1941 that nearly all the Albanian populated territories were united to Albania (see map). Even areas of northern Greece (Chameria) were administered by Albanians. But this was even a consequence of borders that Italy and Germany agreed on when dividing their spheres of influence. Some small portions of territories with Albanian majority remained outside the new borders and contact between the two parts was practically impossible: the Albanian population under the Bulgarian rule was heavily oppressed. Albania under Germany After the surrender of the Italian Army in September 1943, Albania was occupied by the Germans. With the collapse of the Mussolini government in line with the Allied invasion of Italy, Germany occupied Albania in September 1943, dropping paratroopers into Tirana before the Albanian guerrillas could take the capital. The German Army soon drove the guerrillas into the hills and to the south. The Nazi German government subsequently announced it would recognize the independence of a neutral Albania and set about organizing a new government, police and armed forces. The Germans did not exert heavy-handed control over Albania's administration. Rather, they sought to gain popular support by backing causes popular with Albanians, especially the annexation of Kosovo. Many Balli Kombëtar units cooperated with the Germans against the communists and several Balli Kombëtar leaders held positions in the German-sponsored regime. Albanian collaborators, especially the Skanderbeg SS Division, also expelled and killed Serbs living in Kosovo. In December 1943, a third resistance organization, an anticommunist, anti-German royalist group known as Legaliteti, took shape in Albania's northern mountains. Led by Abaz Kupi, it largely consisted of Geg guerrillas, supplied mainly with weapons from the allies, who withdrew their support for the NLM after the communists renounced Albania's claims on Kosovo. The capital Tirana was liberated by the partisans on 17 November 1944 after a 20-day battle. The communist partizans entirely liberated Albania from German occupation on 29 November 1944, pursuing the German army till Višegrad, Bosnia (then Yugoslavia) in collaboration with the Yugoslav communist forces. The Albanian partisans also liberated Kosovo, part of Montenegro, and southern Bosnia and Herzegovina. By November 1944, they had thrown out the Germans, being with Yugoslavia the only European nations to do so without any assistance from the allies. Enver Hoxha became the leader of the country by virtue of his position as Secretary General of the Albanian Communist Party. After having taken over power of the country, the Albanian communists launched a tremendous terror campaign, shooting intellectuals and arresting thousands of innocent people. Some died due to suffering torture. Albania was one of the few European countries occupied by the Axis powers that ended World War II with a larger Jewish population than before the war. Some 1,200 Jewish residents and refugees from other Balkan countries were hidden by Albanian families during World War II, according to official records. Albanian resistance in World War II The National Liberation War of the Albanian people started with the Italian invasion in Albania on 7 April 1939 and ended on 28 November 1944. During the antifascist national liberation war, the Albanian people fought against Italy and Germany, which occupied the country. In the 1939–1941 period, the antifascist resistance was led by the National Front nationalist groups and later by the Communist Party. Communist resistance In October 1941, the small Albanian communist groups established in Tirana an Albanian Communist Party of 130 members under the leadership of Hoxha and an eleven-man Central Committee. The Albanian communists supported the Molotov–Ribbentrop Pact, and did not participate in the antifascist struggle until Germany invaded the Soviet Union in 1941. The party at first had little mass appeal, and even its youth organization netted recruits. In mid-1942, however, party leaders increased their popularity by calling the young peoples to fight for the liberation of their country, that was occupied by Fascist Italy. This propaganda increased the number of new recruits by many young peoples eager for freedom. In September 1942, the party organized a popular front organization, the National Liberation Movement (NLM), from a number of resistance groups, including several that were strongly anticommunist. During the war, the NLM's communist-dominated partisans, in the form of the National Liberation Army, did not heed warnings from the Italian occupiers that there would be reprisals for guerrilla attacks. Partisan leaders, on the contrary, counted on using the lust for revenge such reprisals would elicit to win recruits. The communists turned the so-called war of liberation into a civil war, especially after the discovery of the Dalmazzo-Kelcyra protocol, signed by the Balli Kombëtar. With the intention of organizing a partisan resistance, they called a general conference in Pezë on 16 September 1942 where the Albanian National Liberation Front was set up. The Front included nationalist groups, but it was dominated by communist partisans. In December 1942, more Albanian nationalist groups were organized. Albanians fought against the Italians
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larger and better supplied Ottoman forces. Throughout his rebellion, Skanderbeg defeated the Ottomans in a number of battles, including Torvioll, Oranik, Otonetë, Modric, Ohrid and Mokra; with his most brilliant being in Albulena. However, Skanderbeg did not receive any of the help which had been promised to him by the popes or the Italian states, Venice, Naples and Milan. He died in 1468, leaving no clear successor. After his death the rebellion continued, but without its former success. The loyalties and alliances created and nurtured by Skanderbeg faltered and fell apart and the Ottomans reconquered the territory of Albania, culminating with the siege of Shkodra in 1479. However, some territories in Northern Albania remained under Venetian control. Shortly after the fall of the castles of northern Albania, many Albanians fled to neighbouring Italy, giving rise to the Arbëreshë communities still living in that country. Skanderbeg's long struggle to keep Albania free became highly significant to the Albanian people, as it strengthened their solidarity, made them more conscious of their national identity, and served later as a great source of inspiration in their struggle for national unity, freedom and independence. Late Ottoman period Upon the Ottomans return in 1479, a large number of Albanians fled to Italy, Egypt and other parts of the Ottoman Empire and Europe and maintained their Arbëresh identity. Many Albanians won fame and fortune as soldiers, administrators, and merchants in far-flung parts of the Empire. As the centuries passed, however, Ottoman rulers lost the capacity to command the loyalty of local pashas, which threatened stability in the region. The Ottoman rulers of the 19th century struggled to shore up central authority, introducing reforms aimed at harnessing unruly pashas and checking the spread of nationalist ideas. Albania would be a part of the Ottoman Empire until the early 20th century. The Ottoman period that followed was characterized by a change in the landscape through a gradual modification of the settlements with the introduction of bazaars, military garrisons and mosques in many Albanian regions. Part of the Albanian population gradually converted to Islam, with many joining the Sufi Order of the Bektashi. Converting from Christianity to Islam brought considerable advantages, including access to Ottoman trade networks, bureaucratic positions and the army. As a result, many Albanians came to serve in the elite Janissary and the administrative Devşirme system. Among these were important historical figures, including Iljaz Hoxha, Hamza Kastrioti, Koca Davud Pasha, Zağanos Pasha, Köprülü Mehmed Pasha (head of the Köprülü family of Grand Viziers), the Bushati family, Sulejman Pasha, Edhem Pasha, Nezim Frakulla, Haxhi Shekreti, Hasan Zyko Kamberi, Ali Pasha of Gucia, Muhammad Ali ruler of Egypt, Ali Pasha of Tepelena rose to become one of the most powerful Muslim Albanian rulers in western Rumelia. His diplomatic and administrative skills, his interest in modernist ideas and concepts, his popular religiousness, his religious neutrality, his win over the bands terrorizing the area, his ferocity and harshness in imposing law and order, and his looting practices towards persons and communities in order to increase his proceeds cause both the admiration and the criticism of his contemporaries. His court was in Ioannina, but the territory he governed incorporated most of Epirus and the western parts of Thessaly and Greek Macedonia in Northern Greece. Many Albanians gained prominent positions in the Ottoman government, Albanians highly active during the Ottoman era and leaders such as Ali Pasha of Tepelena might have aided Husein Gradaščević. The Albanians proved generally faithful to Ottoman rule following the end of the resistance led by Skanderbeg, and accepted Islam more easily than their neighbors. Autonomous Principality (1515–1921) The early period of Mirdita is rather unknown, but after the death of Skanderbeg in 1468, Dukagjini family was overly weakened, the Ottomans blooded causing massive displacement and large movements of Albanian population across the Adriatic. But according to traditional Mirdita legends, one of the brothers of Lekë Dukagjini, respectively, Pal Dukagjini was put on Oroshi Cleft, at that gorge where for five centuries Albanians in Mirdita stayed with an unprecedented heroism. From Pal Dukagjini descend the family of Mark Gjon Marku, the hereditary leader of Mirdita Province. This genealogy appears chronologically in this way. Later, the genealogical tree Albanian family divides into three parts: Preng Lleshi, Lleshi i Zi and Dod Lleshi. A good part of these "Kapedans", as they were called the princes of the families, were killed defending the homeland in various wars. The Mirdita provinces, Fandi i Vogel, Fandi i Madh, and Dibra, were out of the Turks control in the XVI century. Ottoman authorities, seeing the impossibility for an invasion of this remote area, preferred to set a mixed tax (xhizjen) that was collect for the Sublime Porte. In 1515 Mirdita residents refused to pay the tax to the Turkish rulers and took arms against them. Since then, Turkish legislation did never act in those areas held by tribal traditions described in the Kanun. This Officially Established the Principality of Mirdita in 1515. A document from 1570 presented Mirdita as a bajrak unity with a strong military force and inherited Prince called Mirdita, a Catholic population which included 1500 warriors who guarded almost every path of Mirdita and there ruled Gjon Marku I. Altogether after 1818 the principality reached its maximum and was significantly expanded with the union of twelve bajraks. Due to the inhabitants of Mirdita along with the surrounding tribal regions, always obtaining a status of autonomy and semi-independence from the Ottomans and managing to preserve their Roman Catholic faith the region is known as a stronghold of Albanian nationalism and devout Catholicism. Semi-independent Albanian Pashaliks A period of semi-independence started during the mid 18th century. As Ottoman power began to decline in the 18th century, the central authority of the empire in Albania gave way to the local authority of autonomy-minded lords. The most successful of those lords were three generations of pashas of the Bushati family, who dominated most of northern Albania from 1757 to 1831, and Ali Pasha Tepelena of Janina (now Ioánnina, Greece), a brigand-turned-despot who ruled over southern Albania and northern Greece from 1788 to 1822. Those pashas created separate states within the Ottoman state until they were overthrown by the sultan. Modern National Renaissance In the 1870s, the Sublime Porte's reforms aimed at checking the Ottoman Empire's disintegration had failed. The image of the "Turkish yoke" had become fixed in the nationalist mythologies and psyches of the empire's Balkan peoples and their march toward independence quickened. The Albanians, because of the higher degree of Islamic influence, their internal social divisions, and the fear that they would lose their Albanian-speaking territories to the emerging Serbia, Montenegro, Bulgaria, and Greece, were the last of the Balkan peoples to desire division from the Ottoman Empire. With the rise of the Albanian National Awakening, Albanians regained a sense of statehood and engaged in military resistance against the Ottoman Empire as well as instigating a massive literary revival. Albanian émigrés in Bulgaria, Egypt, Italy, Romania and the United States supported the writing and distribution of Albanian textbooks and writings. League of Prizren In the second quarter of the 19th century, after the fall of the Albanian pashaliks and the Massacre of the Albanian Beys, an Albanian National Awakening took place and many revolts against the Ottoman Empire were organized. These revolts included the Albanian Revolts of 1833–1839, the Revolt of 1843–44, and the Revolt of 1847. A culmination of the Albanian National Awakening was the League of Prizren. The league was formed at a meeting of 47 Ottoman beys in Prizren on 18 June 1878. An initial position of the league was presented in a document known as Kararname. Through this document Albanian leaders emphasized their intention to preserve and maintain the territorial integrity of the Ottoman Empire in the Balkans by supporting the porte, and "to struggle in arms to defend the wholeness of the territories of Albania". In this early period, the League participated in battles against Montenegro and successfully wrestled control over Plav and Gusinje after brutal warfare with Montenegrin troops. In August 1878, the Congress of Berlin ordered a commission to determine the border between the Ottoman Empire and Montenegro. Finally, the Great Powers blockaded Ulcinj by sea and pressured the Ottoman authorities to bring the Albanians under control. Albanian diplomatic and military efforts were successful in wresting control of Epirus, however some lands were still ceded to Greece by 1881. The League's founding figure Abdyl Frashëri influenced the League to demand autonomy and wage open war against the Ottomans. Faced with growing international pressure "to pacify" the refractory Albanians, the sultan dispatched a large army under Dervish Turgut Pasha to suppress the League of Prizren and deliver Ulcinj to Montenegro. The League of Prizren's leaders and their families were arrested and deported. Frashëri, who originally received a death sentence, was imprisoned until 1885 and exiled until his death seven years later. A similar league was established in 1899 in Peja by former League member Haxhi Zeka. The league ended its activity in 1900 after an armed conflict with the Ottoman forces. Zeka was assassinated by a Serbian agent Adem Zajmi in 1902. Independence The initial sparks of the first Balkan war in 1912 were ignited by the Albanian uprising between 1908 and 1910, which had the aim of opposing the Young Turk policies of consolidation of the Ottoman Empire. Following the eventual weakening of the Ottoman Empire in the Balkans, Serbia, Greece, and Bulgaria declared war, seizing the remaining Ottoman territory in Europe. The territory of Albania was occupied by Serbia in the north and Greece in the south, leaving only a patch of land around the southern coastal city of Vlora. The unsuccessful uprising of 1910, 1911 and the successful and final Albanian revolt in the Ottoman Empire in 1912, as well as the Serbian and Greek occupation and attempts to incorporate the land into their respective countries, led to a proclamation of independence by Ismail Qemali in Vlorë on 28 November 1912. The same day, Ismail Qemali waved the national flag of Albania, from the balcony of the Assembly of Vlorë, in the presence of hundreds of Albanians. This flag was sewn after Skanderbeg's principality flag, which had been used more than 500 years earlier. Albanian independence was recognized by the Conference of London on 29 July 1913. The Conference of London then delineated the border between Albania and its neighbors, leaving more than half of ethnic Albanians outside Albania. This population was largely divided between Montenegro and Serbia in the north and east (including what is now Kosovo and North Macedonia), and Greece in the south. A substantial number of Albanians thus came under Serbian rule. At the same time, an uprising in the country's south by local Greeks led to the formation of the Autonomous Republic of Northern Epirus in the southern provinces (1914). The republic proved short-lived as Albania collapsed with the onset of World War I. Greece held the area between 1914 and 1916, and unsuccessfully tried to annex it in March 1916; however in 1917 the Greeks were driven from the area by Italy, which took over most of Albania. The Paris Peace Conference of 1919 awarded the area to Greece. However the area definitively reverted to Albanian control in November 1921, following Greece's defeat in the Greco-Turkish War. Principality of Albania In supporting the independence of Albania, the Great Powers were assisted by Aubrey Herbert, a British MP who passionately advocated the Albanian cause in London. As a result, Herbert was offered the crown of Albania, but was dissuaded by the British Prime Minister, H. H. Asquith, from accepting. Instead the offer went to William of Wied, a German prince who accepted and became sovereign of the new Principality of Albania. The Principality was established on 21 February 1914. The Great Powers selected Prince William of Wied, a nephew of Queen Elisabeth of Romania to become the sovereign of the newly independent Albania. A formal offer was made by 18 Albanian delegates representing the 18 districts of Albania on 21 February 1914, an offer which he accepted. Outside of Albania William was styled prince, but in Albania he was referred to as Mbret (King) so as not to seem inferior to the King of Montenegro. This is the period when Albanian religions gained independence. The ecumenical patriarch of Constantinople recognized the autocephaly of the Albanian Orthodox Church after a meeting of the country's Albanian Orthodox congregations in Berat in August 1922. The most energetic reformers in Albania came from the Orthodox population who wanted to see Albania move quickly away from its Turkish-ruled past, during which Christians made up the underclass. Albania's conservative Sunni Muslim community broke its last ties with Constantinople in 1923, formally declaring that there had been no caliph since Muhammad himself and that Muslim Albanians pledged primary allegiance to their native country. The Muslims also banned polygamy and allowed women to choose whether or not they wanted to wear a veil. Upon termination of Albania from Turkey in 1912, as in all other fields, the customs administration continued its operation under legislation approved specifically for the procedure. After the new laws were issued for the operation of customs, its duty was 11% of the value of goods imported and 1% on the value of those exported. The security was to be provided by a Gendarmerie commanded by Dutch officers. William left Albania on 3 September 1914 following a pan-Islamic revolt initiated by Essad Pasha Toptani and later headed by Haxhi Qamili, the latter the military commander of the "Muslim State of Central Albania" centered in Tirana. William never renounced his claim to the throne. World War I World War I interrupted all government activities in Albania, while the country was split in a number of regional governments. Political chaos engulfed Albania after the outbreak of World War I. The Albanian people split along religious and tribal lines after the prince's departure. Muslims demanded a Muslim prince and looked to Turkey as the protector of the privileges they had enjoyed. Other Albanians looked to Italy for support. Still others, including many beys and clan chiefs, recognized no superior authority. Prince William left Albania on 3 September 1914, as a result of the Peasant Revolt initiated by Essad Pasha and later taken over by Haxhi Qamili. William subsequently joined the German army and served on the Eastern Front, but never renounced his claim to the throne. In the country's south, the local Greek population revolted against the incorporation of the area into the new Albanian state and declared the Autonomous Republic of Northern Epirus at 28 February. In late 1914, Greece occupied the Autonomous Republic of Northern Epirus, including Korçë and Gjirokastër. Italy occupied Vlorë, and Serbia and Montenegro occupied parts of northern Albania until a Central Powers offensive scattered the Serbian army, which was evacuated by the French to Thessaloniki. Austro-Hungarian and Bulgarian forces then occupied about two-thirds of the country (Bulgarian occupation of Albania). Under the secret Treaty of London signed in April 1915, Triple Entente powers promised Italy that it would gain Vlorë (Valona) and nearby lands and a protectorate over Albania in exchange for entering the war against Austria-Hungary. Serbia and Montenegro were promised much of northern Albania, and Greece was promised much of the country's southern half. The treaty left a tiny Albanian state that would be represented by Italy in its relations with the other major powers. In September 1918, Entente forces broke through the Central Powers' lines north of Thessaloniki and within days Austro-Hungarian forces began to withdraw from Albania. On 2 October 1918 the city of Durrës was shelled on the orders of Louis Franchet d'Espèrey, during the Battle of Durazzo: according to d'Espèrey, the Port of Durrës, if not destroyed, would have served the evacuation of the Bulgarian and German armies, involved in World War I. When the war ended on 11 November 1918, Italy's army had occupied most of Albania; Serbia held much of the country's northern mountains; Greece occupied a sliver of land within Albania's 1913 borders; and French forces occupied Korçë and Shkodër as well as other regions with sizable Albanian populations. Projects of partition in 1919–1920 After World War I, Albania was still under the occupation of Serbian and Italian forces. It was a rebellion of the respective populations of Northern and Southern Albania that pushed back the Serbs and Italians behind the recognized borders of Albania. Albania's political confusion continued in the wake of World War I. The country lacked a single recognized government, and Albanians feared, with justification, that Italy, Yugoslavia, and Greece would succeed in extinguishing Albania's independence and carve up the country. Italian forces controlled Albanian political activity in the areas they occupied. The Serbs, who largely dictated Yugoslavia's foreign policy after World War I, strove to take over northern Albania, and the Greeks sought to control southern Albania. A delegation sent by a postwar Albanian National Assembly that met at Durrës in December 1918 defended Albanian interests at the Paris Peace Conference, but the conference denied Albania official representation. The National Assembly, anxious to keep Albania intact, expressed willingness to accept Italian protection and even an Italian prince as a ruler so long as it would mean Albania did not lose territory. Serbian troops conducted actions in Albanian-populated border areas, while Albanian guerrillas operated in both Serbia and Montenegro. In January 1920, at the Paris Peace Conference, negotiators from France, Britain, and Greece agreed to allow Albania to fall under Yugoslav, Italian, and Greek spheres of influence as a diplomatic expedient aimed at finding a compromising solution to the territorial conflicts between Italy and Yugoslavia. Members of a second Albanian National Assembly held at Lushnjë in January 1920 rejected the partition plan and warned that Albanians would take up arms to defend their country's independence and territorial integrity. The Lushnjë National Assembly appointed a four-man regency to rule the country. A bicameral parliament was also created, in which an elected lower chamber, the Chamber of Deputies (with one deputy for every 12,000 people in Albania and one for the Albanian community in the United States), appointed members of its own ranks to an upper chamber, the Senate. In February 1920, the government moved to Tirana, which became Albania's capital. One month later, in March 1920, U.S. President Woodrow Wilson intervened to block the Paris agreement. The United States underscored its support for Albania's independence by recognizing an official Albanian representative to Washington, and in December the League of Nations recognized Albania's sovereignty by admitting it as a full member. The country's borders, however, remained unsettled following the Vlora War in which all territory (except Saseno island) under Italian control in Albania was relinquished to the Albanian state. Albania achieved a degree of statehood after the First World War, in part because of the diplomatic intercession of the United States government. The country suffered from a debilitating lack of economic and social development, however, and its first years of independence were fraught with political instability. Unable to survive a predatory environment without a foreign protector, Albania became the object of tensions between Italy and the Kingdom of Serbs, Croats and Slovenes, which both sought to dominate the country. Zogu Government Interwar Albanian governments appeared and disappeared in rapid succession. Between July and December 1921 alone, the premiership changed hands five times. The Popular Party's head, Xhafer Ypi, formed a government in December 1921 with Fan S. Noli as foreign minister and Ahmed Bey Zogu as internal affairs minister, but Noli resigned soon after Zogu resorted to repression in an attempt to disarm the lowland Albanians despite the fact that bearing arms was a traditional custom. When the government's enemies attacked Tirana in early 1922, Zogu stayed in the capital and, with the support of the British ambassador, repulsed the assault. He took over the premiership later in the year and turned his back on the Popular Party by announcing his engagement to the daughter of Shefqet Verlaci, the Progressive Party leader. Zogu's protégés organized themselves into the Government Party. Noli and other Western-oriented leaders formed the Opposition Party of Democrats, which attracted all of Zogu's many personal enemies, ideological opponents, and people left unrewarded by his political machine. Ideologically, the Democrats included a broad sweep of people who advocated everything from conservative Islam to Noli's dreams of rapid modernization. Opposition to Zogu was formidable. Orthodox peasants in Albania's southern lowlands loathed Zogu because he supported the Muslim landowners' efforts to block land reform; Shkodër's citizens felt shortchanged because their city did not become Albania's capital, and nationalists were dissatisfied because Zogu's government did not press Albania's claims to Kosovo or speak up more energetically for the rights of the ethnic Albanian minorities in present-day Yugoslavia and Greece. Zogu's party handily won elections for a National Assembly in early 1924. Zogu soon stepped aside, however, handing over the premiership to Verlaci in the wake of a financial scandal and an assassination attempt by a young radical that left Zogu wounded. The opposition withdrew from the assembly after the leader of a nationalist youth organization, Avni Rustemi, was murdered in the street outside the parliament building. June Revolution Noli's supporters blamed the Rustemi murder on Zogu's Mati clansmen, who continued to practice blood vengeance. After the walkout, discontent mounted, and in June 1924 a peasant-backed insurgency had won control of Tirana. Noli became prime minister, and Zogu fled to Yugoslavia. Fan Noli, an idealist, rejected demands for new elections on the grounds that Albania needed a "paternal" government. In a manifesto describing his government's program, Noli called for abolishing feudalism, resisting Italian domination, and establishing a Western-style constitutional government. Scaling back the bureaucracy, strengthening local government, assisting peasants, throwing Albania open to foreign investment, and improving the country's bleak transportation, public health, and education facilities filled out the Noli government's overly ambitious agenda. Noli encountered resistance to his program from people who had helped him oust Zogu, and he never attracted the foreign aid necessary to carry out his reform plans. Noli criticized the League of Nations for failing to settle the threat facing Albania on its land borders. Under Fan Noli, the government set up a special tribunal that passed death sentences, in absentia, on Zogu, Verlaci, and others and confiscated their property. In Yugoslavia Zogu recruited a mercenary army, and Belgrade furnished the Albanian leader with weapons, about 1,000 Yugoslav army regulars, and Russian White Emigres to mount an invasion that the Serbs hoped would bring them disputed areas along the border. After Noli decided to establish diplomatic relations with the Soviet Union, a bitter enemy of the Serbian ruling family, Belgrade began making wild allegations that Albania was about to embrace Bolshevism. On 13 December 1924, Zogu's Yugoslav-backed army crossed into Albanian territory. By Christmas Eve, Zogu had reclaimed the capital, and Noli and his government had fled to Italy. The Noli government lasted just 6 months and a week. First Republic After defeating Fan Noli's government, Ahmet Zogu recalled the parliament, in order to find a solution for the uncrowned principality of Albania. The parliament quickly adopted a new constitution, proclaimed the first republic, and granted Zogu dictatorial powers that allowed him to appoint and dismiss ministers, veto legislation, and name all major administrative personnel and a third of the Senate. The Constitution provided for a parliamentary republic with a powerful president serving as head of state and government. On 31 January, Zogu was elected president for a seven-year term. Opposition parties and civil liberties disappeared; opponents of the regime were murdered; and the press suffered strict censorship. Zogu ruled Albania using four military governors responsible to him alone. He appointed clan chieftains as reserve army officers who were kept on call to protect the regime against domestic or foreign threats. Zogu, however, quickly turned his back on Belgrade and looked instead to Benito Mussolini's Italy for patronage. Under Zogu, Albania joined the Italian coalition against Yugoslavia of Kingdom of Italy, Hungary, and Bulgaria in 1924–1927. After the United Kingdom's and France's political intervention in 1927 with the Kingdom of Yugoslavia, the alliance crumbled. Zogu maintained good relations with Benito Mussolini's fascist regime in Italy and supported Italy's foreign policy. He would be the first and only Albanian to hold the title of president until 1991. Kingdom of Albania In 1928, Zogu I secured the Parliament's consent to its own dissolution. Afterwards, Albania was declared a monarchy with Zogu I first as the Prime Minister, then as the President and at last as the King of Albania. International recognition arrived forthwith. The new formed constitution abolished the Albanian Senate and created a unicameral parliament, but King Zog retained the dictatorial powers he had enjoyed as president. Zogu I remained a conservative, but initiated reforms. For example, in an attempt at social modernisation the custom of adding one's region to one's name was dropped. He also made donations of land to international organisations for the building of schools and hospitals. Soon after his incoronation, Zog broke off his engagement to Shefqet Verlaci's daughter, and Verlaci withdrew his support for the king and began plotting against him. Zog had accumulated a great number of enemies over the years, and the Albanian tradition of blood vengeance required them to try to kill him. Zog surrounded himself with guards and rarely appeared in public. The king's loyalists disarmed all of Albania's tribes except for his own Mati tribesmen and their allies, the Dibra. Nevertheless, on a visit to Vienna in 1931, Zog and his bodyguards fought a gun battle with would-be assassins Aziz Çami and Ndok Gjeloshi on the Opera House steps. Zog remained sensitive to steadily mounting disillusion with Italy's domination of Albania. The Albanian army, though always less than 15,000-strong, sapped the country's funds, and the Italians' monopoly on training the armed forces rankled public opinion. As a counterweight, Zog kept British officers in the Gendarmerie despite strong Italian pressure to remove them. In 1931, Zog openly stood up to the Italians, refusing to renew the 1926 First Treaty of Tirana. Financial crisis In 1932 and 1933, Albania could not make the interest payments on its loans from the Society for the Economic Development of Albania. In response, Rome turned up the pressure, demanding that Tirana name Italians to direct the Gendarmerie; join Italy in a customs union; grant Italy control of the country's sugar, telegraph, and electrical monopolies; teach the Italian language in all Albanian schools; and admit Italian colonists. Zog refused. Instead, he ordered the national budget slashed by 30 percent, dismissed the Italian military advisers, and nationalized Italian-run Roman Catholic schools in the northern part of the country. In 1934, Albania had signed trade agreements with Yugoslavia and Greece, and Mussolini had suspended all payments to Tirana. An Italian attempt to intimidate the Albanians by sending a fleet of warships to Albania failed because the Albanians only allowed the forces to land unarmed. Mussolini then attempted to buy off the Albanians. In 1935 he presented the Albanian government 3 million gold francs as a gift. Zog's success in defeating two local rebellions convinced Mussolini that the Italians had to reach a new agreement with the Albanian king. A government of young men led by Mehdi Frasheri, an enlightened Bektashi administrator, won a commitment from Italy to fulfill financial promises that Mussolini had made to Albania and to grant new loans for harbor improvements at Durrës and other projects that kept the Albanian government afloat. Soon Italians began taking positions in Albania's civil service, and Italian settlers were allowed into the country. Mussolini's forces overthrew King Zog when Italy invaded Albania in 1939. World War II Starting in 1928, but especially during the Great Depression, the government of King Zog, which brought law and order to the country, began to increase the Italian influence more and more. Despite some significant resistance, especially at Durrës, Italy invaded Albania on 7 April 1939 and took control of the country, with the Italian Fascist dictator Benito Mussolini proclaiming Italy's figurehead King Victor Emmanuel III of Italy as King of Albania. The nation thus became one of the first to be occupied by the Axis Powers in World War II. As Hitler began his aggression against other European countries, Mussolini decided to occupy Albania as a means of competing with Hitler's territorial gains. Mussolini and the Italian Fascists saw Albania as a historical part of the Roman Empire, and the occupation was intended to fulfill Mussolini's dream of creating an Italian Empire. During the Italian occupation, Albania's population was subject to a policy of forced Italianization by the kingdom's Italian governors, in which the use of the Albanian language was discouraged in schools while the Italian language was promoted. At the same time, the colonization of Albania by Italians was encouraged. Mussolini, in October 1940, used his Albanian base to launch an attack on Greece, which led to the defeat of the Italian forces and the Greek occupation of Southern Albania in what was seen by the Greeks as the liberation of Northern Epirus. While preparing for the Invasion of Russia, Hitler decided to attack Greece in December 1940 to prevent a British attack on his southern flank. Italian penetration Albania had long had considerable strategic importance for Italy. Italian naval strategists eyed the port of Vlorë and the island of Sazan at the entrance to the Bay of Vlorë with considerable interest, as it would give Italy control of the entrance to the Adriatic Sea. In addition, Albania could provide Italy with a beachhead in the Balkans. Before World War I Italy and Austria-Hungary had been instrumental in the creation of an independent Albanian state. At the outbreak of war, Italy had seized the chance to occupy the southern half of Albania, to avoid it being captured by the Austro-Hungarians. That success did not last long, as post-war domestic problems, Albanian resistance, and pressure from United States President Woodrow Wilson, forced Italy to pull out in 1920. When Mussolini took power in Italy he turned with renewed interest to Albania. Italy began penetration of Albania's economy in 1925, when Albania agreed to allow it to exploit its mineral resources. That was followed by the First Treaty of Tirana in 1926 and the Second Treaty of Tirana in 1927, whereby Italy and Albania entered into a defensive alliance. The Albanian government and economy were subsidised by Italian loans, the Albanian army was trained by Italian military instructors, and Italian colonial settlement was encouraged. Despite strong Italian influence, Zog refused to completely give in to Italian pressure. In 1931 he openly stood up to the Italians, refusing to renew the 1926 Treaty of Tirana. After Albania signed trade agreements with Yugoslavia and Greece in 1934, Mussolini made a failed attempt to intimidate the Albanians by sending a fleet of warships to Albania. As Nazi Germany annexed Austria and moved against Czechoslovakia, Italy saw itself becoming a second-rate member of the Axis. The imminent birth of an Albanian royal child meanwhile threatened to give Zog a lasting dynasty. After Hitler invaded Czechoslovakia (15 March 1939) without notifying Mussolini in advance, the Italian dictator decided to proceed with his own annexation of Albania. Italy's King Victor Emmanuel III criticized the plan to take Albania as an unnecessary risk. Rome, however, delivered Tirana an ultimatum on 25 March 1939, demanding that it accede to Italy's occupation of Albania. Zog refused to accept money in exchange for countenancing a full Italian takeover and colonization of Albania. Italian invasion On 7 April Mussolini's troops invaded Albania. The operation was led by General Alfredo Guzzoni. The invasion force was divided into three groups, which were to land successively. The most important was the first group, which was divided in four columns, each assigned to a landing area at a harbor and an inland target on which to advance. Despite some stubborn resistance by some patriots, especially at Durrës, the Italians made short work of the Albanians. Durrës was captured on 7 April, Tirana the following day, Shkodër and Gjirokastër on 9 April, and almost the entire country by 10 April. Unwilling to become an Italian puppet, King Zog, his wife, Queen Geraldine Apponyi, and their infant son Leka fled to Greece and eventually to London. On 12 April, the Albanian parliament voted to depose Zog and unite the nation with Italy "in personal union" by offering the Albanian crown to Victor Emmanuel III. The parliament elected Albania's largest landowner, Shefqet Bej Verlaci, as Prime Minister. Verlaci additionally served as head of state for five days until Victor Emmanuel III formally accepted the Albanian crown in a ceremony at the Quirinale palace in Rome. Victor Emmanuel III appointed Francesco Jacomoni di San Savino, a former ambassador to Albania, to represent him in Albania as "Lieutenant-General of the King" (effectively a viceroy). Albania under Italy While Victor Emmanuel ruled as king, Shefqet Bej Verlaci served as the Prime Minister. Shefqet Verlaci controlled the day-to-day activities of the new Italian protectorate. On 3 December 1941, Shefqet Bej Verlaci was replaced as Prime Minister and Head of State by Mustafa Merlika Kruja. From the start, Albanian foreign affairs, customs, as well as natural resources came under direct control of Italy. The puppet Albanian Fascist Party became the ruling party of the country and the Fascists allowed Italian citizens to settle in Albania and to own land so that they could gradually transform it into Italian soil. In October 1940, during the Greco-Italian War, Albania served as a staging-area for Italian dictator Benito Mussolini's unsuccessful invasion of Greece. Mussolini planned to invade Greece and other countries like Yugoslavia in the area to give Italy territorial control of most of the Mediterranean Sea coastline,
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validity, effectively ended the handfasting custom in England.<ref>{{cite book |first=Anne |last=Laurence |title=Women in England, 1500–1760: A Social History |location=London |publisher=Phoenix Press |date=1994 |quote=From 1754...Pre-contracts (promises to marry someone in the future) and oral spousals ceased to have any force... }}</ref> Early modern Scotland In February 1539 Marie Pieris, a French lady-in-waiting to Mary of Guise, the consort of James V of Scotland, was married by handfasting to Lord Seton at Falkland Palace. This ceremony was recorded in the royal accounts for the payment to an apothecary for his work on the day of "Lord Seytounis handfasting". The Scottish Hebrides, particularly in the Isle of Skye, show some records of a 'Handfast" or "left-handed" marriage taking in the late 1600s, when the Gaelic scholar Martin Martin noted, "It was an ancient custom in the Isles that a man take a maid as his wife and keep her for the space of a year without marrying her; and if she pleased him all the while, he married her at the end of the year and legitimatised her children; but if he did not love her, he returned her to her parents." The most disastrous war fought between the MacLeods and MacDonalds of Skye, culminating in the Battle of Coire Na Creiche, "when Donald Gorm Mor who handfasted [for a year and a day] with Margaret MacLeod, a sister of Rory Mor of Dunvegan, expelled his mistress so ignominiously from Duntulm. It is, indeed, not improbable that it was as a result of this war that Lord Ochiltree's Committee, that formed the Statutes of Iona in 1609 and the Regulations for the Chiefs in 1616, was induced to insert a clause in the Statutes of Iona by which 'marriages contracted for several [archaic definition "single"] years' were prohibited; and any who might disregard this regulation were to be 'punished as fornicators'". By the 18th century, the Kirk of Scotland no longer recognised marriages formed by mutual consent and subsequent sexual intercourse, even though the Scottish civil authorities did. To minimise any resulting legal actions, the ceremony was to be performed in public. This situation persisted until 1939, when Scottish marriage laws were reformed by the Marriage (Scotland) Act 1939 and handfasting was no longer recognised. The existence of handfasting as a distinct form of "trial marriage" was doubted by A. E. Anton, in Handfasting in Scotland (1958). In the article, he asserted that the first reference to such a practice is by Thomas Pennant in his 1790 Tour in Scotland, that this report had been taken at face value throughout the 19th century, and was perpetuated in Walter Scott's 1820 novel The Monastery. However, the Pennant claim in 1790 was not the first time this had been discussed or put to print, as the Martin Martin texts predate Pennant by almost 100 years. Neopaganism The term "handfasting" or "hand-fasting" has been in use in Celtic neopaganism and Wicca for wedding ceremonies from at least the late 1960s, apparently first used in print by Hans Holzer. Handfasting was mentioned in the 1980 Jim Morrison biography No One Here Gets Out Alive and again in the 1991 film The Doors'', where a version of the real 1970 handfasting ceremony of Morrison and Patricia Kennealy was depicted (with the actual Kennealy-Morrison portraying the Celtic neopagan priestess). Handfasting ribbon The term has entered the English-speaking mainstream, most likely from neopagan wedding ceremonies during the early 2000s, often erroneously being described as "pre-Christian" by wedding planners. Evidence that the term "handfasting" had been re-interpreted as describing this ceremony specifically is found in the later 2000s, e.g. "handfasting—the blessed marriage rite in which the hands of you and your beloved are wrapped in ribbon as you 'tie the knot.'" By the 2010s, "handfasting ceremonies" were on offer by commercial wedding organizers and had mostly lost their neopagan association (apart from occasional claims that attributes the ceremony to the "ancient Celts"). The term "handfasting ribbon" appears from about 2005. See also Betrothal Broomstick marriage Civil marriage Common-law marriage Elopement Self-uniting marriage Temporary marriage Notes References Stearns, Peter N. Encyclopedia of European Social History: from 1350 to 2000. Scribner, 2001. Dolan, Frances E. Renaissance Quarterly, vol. 50, no. 2, 1997,
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the suit Bellott v Mountjoy about the dowry in 1612. Historians speculate that his own marriage to Anne Hathaway was so conducted when he was a young man in 1582, as the practice still had credence in Warwickshire at the time. After the beginning of the 17th century, gradual changes in English law meant the presence of an officiating priest or magistrate became necessary for a marriage to be legal. Finally the 1753 Marriage Act, aimed at suppressing clandestine marriages by introducing more stringent conditions for validity, effectively ended the handfasting custom in England.<ref>{{cite book |first=Anne |last=Laurence |title=Women in England, 1500–1760: A Social History |location=London |publisher=Phoenix Press |date=1994 |quote=From 1754...Pre-contracts (promises to marry someone in the future) and oral spousals ceased to have any force... }}</ref> Early modern Scotland In February 1539 Marie Pieris, a French lady-in-waiting to Mary of Guise, the consort of James V of Scotland, was married by handfasting to Lord Seton at Falkland Palace. This ceremony was recorded in the royal accounts for the payment to an apothecary for his work on the day of "Lord Seytounis handfasting". The Scottish Hebrides, particularly in the Isle of Skye, show some records of a 'Handfast" or "left-handed" marriage taking in the late 1600s, when the Gaelic scholar Martin Martin noted, "It was an ancient custom in the Isles that a man take a maid as his wife and keep her for the space of a year without marrying her; and if she pleased him all the while, he married her at the end of the year and legitimatised her children; but if he did not love her, he returned her to her parents." The most disastrous war fought between the MacLeods and MacDonalds of Skye, culminating in the Battle of Coire Na Creiche, "when Donald Gorm Mor who handfasted [for a year and a day] with Margaret MacLeod, a sister of Rory Mor of Dunvegan, expelled his mistress so ignominiously from Duntulm. It is, indeed, not improbable that it was as a result of this war that Lord Ochiltree's Committee, that formed the Statutes of Iona in 1609 and the Regulations for the Chiefs in 1616, was induced to insert a clause in the Statutes of Iona by which 'marriages contracted for several [archaic definition "single"] years' were prohibited; and any who might disregard this regulation were to be 'punished as fornicators'". By the 18th century, the Kirk of Scotland no longer recognised marriages formed by mutual consent and subsequent sexual intercourse, even though the Scottish civil authorities did. To minimise any resulting legal actions, the ceremony was to be performed in public. This situation persisted until 1939, when Scottish marriage laws were reformed by the Marriage (Scotland) Act 1939 and handfasting was no longer recognised. The existence of handfasting as a distinct form of "trial marriage" was doubted by A. E. Anton, in Handfasting in Scotland (1958). In the article, he asserted that the first reference to such a practice is by Thomas Pennant in his 1790 Tour in
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surveyed and landed on some of the islands between 1774 and 1777. Fiji The history of Fiji dates back to ancient times. There are many theories as to how the Fijian race came into existence. Around 1500 BC Fiji was settled by Austronesian seafarers. Around 900–600 BC Moturiki Island was settled. By 500 BC, Melanesian seafarers had reached Fiji and intermarried with the Austronesian inhabitants, giving rise to the modern Fijian people. In 1643 AD, Abel Tasman sighted Vanua Levu Island and northern Taveuni. According to native oral legends Fijians were also descendants of a nomadic tribe from Tanganika (Tanzania). Guam and the Northern Mariana Islands The history of Guam involves phases including the early arrival of people known today as the ancient Chamorros, the development of "pre-contact" society, Spanish colonization, and the present American rule of the island. Archaeologists using carbon-dating have broken Pre-Contact Guam (i.e. Chamorro) history into three periods: "Pre-Latte" (BC 2000? to AD 1) "Transitional Pre-Latte" (AD 1 to AD 1000), and "Latte" (AD 1000 to AD 1521). Archaeological evidence also suggests that Chamorro society was on the verge of another transition phase by 1521, when Ferdinand Magellan's expedition arrived, as latte stones became bigger. The original inhabitants of Guam are believed to be descendants of Indigenous Taiwanese People originating from the high mountains of Taiwan as early as 4,000 BC, having linguistic and cultural similarities to Malaysia, Indonesia, and the Philippines. Guam's history of colonialism is the longest among the Pacific islands and Chamorros are considered one of the oldest mixed race in the Pacific. In 1668 the Spanish formally incorporated the islands to the Spanish East Indies and founded a colony on Guam as a resting place for the west-bound Manila galleons. The territory was ceded by Spain more than two centuries later, when in 1898 the United States took over the islands following the Spanish–American War. The chamorro culture has evolved much since European contact and has been much influenced by Spanish and American colonization. Although the original culture no longer exists, it is now being revived with contemporary alternatives and similarities in styles with all the other pacific islands. Not one unique, but all combined to form a uniqueness in style, to today's modern interpretation of what their culture might have been. It should also be mentioned that the Chamorros on Guam view their culture & language differently than the Chamorros on the Northern Mariana Islands. Hawaii Hawaiian history is inextricably tied into a larger Polynesian phenomenon. Hawaii is the northernmost vertex of the Polynesian Triangle, a region of the Pacific Ocean anchored by three island groups: Hawaii, Rapa Nui (Easter Island), and Aotearoa (New Zealand). The many island cultures within the Polynesian Triangle share similar languages derived from a proto-Malayo-Polynesian language used in Southeast Asia 5,000 years ago. Polynesians also share cultural traditions, such as religion, social organization, myths, and material culture. Anthropologists believe that all Polynesians have descended from a South Pacific proto-culture created by an Austronesian (Malayo-Polynesian) people that had migrated from Southeast Asia. The seven main Polynesian cultures are Aotearoa, Hawaii, Rapa Nui, Marquesas, Samoa, Tahiti, and Tonga. The early settlement history of Hawaii is a topic of continuing debate. Estimates for the date of first settlement of the Hawai'ian islands range from the 3rd century C.E. to between 940 and 1130 C.E. Indonesia In the history of Indonesia, Austronesian people, who form the majority of the modern population, migrated to South East Asia from Taiwan. They arrived in Indonesia around 2000 BC, and confined the native Melanesian peoples to the far eastern regions as they expanded. Dong Son culture spread to Indonesia bringing with it techniques of wet-field rice cultivation, ritual buffalo sacrifice, bronze casting, megalithic practises, and ikat weaving methods. Ideal agricultural conditions, and the mastering of wet-field rice cultivation as early as the 8th century BCE, allowed villages, towns, and small kingdoms to flourish by the 1st century AD. Japan The written history of Japan begins with brief references in the 1st century AD Twenty-Four Histories, a collection of Chinese historical texts. However, archaeological evidence indicates that people were living on the islands of Japan as early as the upper paleolithic period. Following the last ice-age, around 12,000 BC, the rich ecosystem of the Japanese Archipelago fostered human development. The earliest-known pottery belongs to the Jōmon period. Kiribati In the history of Kiribati, the islands which now form the Republic of Kiribati have been inhabited for at least seven hundred years, and possibly much longer. The initial Micronesian population, which remains the overwhelming majority today, was visited by Polynesian and Melanesian invaders before the first European sailors "discovered" the islands in the 16th century. For much of the subsequent period, the main island chain, the Gilbert Islands, was ruled as part of the British Empire. The country gained its independence in 1979 and has since been known as Kiribati. Malaysia History of Malaysia is the written past of a country in South East Asia whose strategic sea-lane position brought trade and foreign influences that fundamentally influenced its history. Hindu India, the Islamic Middle East and Christian Europe to its west, and China and Japan to the north-east were major influences brought by shipping routes passing through the region. Malaysian history is also intertwined with that of neighbouring Indonesia, Singapore, Philippines, Brunei and Thailand. This trade and foreign cultures brought the area great wealth and diversity, but has also domination and colonialism. The history of Malaysia is one of successive phases of outside influence, followed by the mid-20th century establishment of independence from foreign colonial powers. New Caledonia In the history of New Caledonia, the diverse group of people that settled over the Melanesian archipelagos are known as the Lapita. They arrived in the archipelago now commonly known as New Caledonia and the Loyalty Islands around 1500 BC. The Lapita were highly skilled navigators and agriculturists with influence over a large area of the Pacific. From about the 11th century Polynesians also arrived and mixed with the populations of the archipelago. Europeans first sighted New Caledonia and the Loyalty Islands in the late 18th century. The British explorer James Cook sighted Grande Terre in 1774 and named it New Caledonia, Caledonia being the Latin name for Scotland. During the same voyage he also named the islands to the north of New Caledonia the New Hebrides (now Vanuatu), after the islands north of Scotland. New Zealand The History of New Zealand dates back to at least 700 years to when it was discovered and settled by Polynesians, who developed a distinct Māori culture centred on kinship links and land. The first European explorer, the Dutch Abel Tasman, came to New Zealand in 1642. From the late 18th century, the country was regularly visited by explorers and other sailors, missionaries, traders and adventurers. In 1840 the Treaty of Waitangi was signed between the British Crown and various Māori chiefs, bringing New Zealand into the British Empire and giving Māori equal rights with British citizens. There was extensive European and some Asian settlement throughout the rest of the century. War and the imposition of a European economic and legal system led to most of New Zealand's land passing from Māori to European ownership, and most Māori subsequently became impoverished. From the 1890s the New Zealand parliament enacted a number of progressive initiatives, including women's suffrage and old age pensions. From the 1930s the economy was highly regulated and an extensive welfare state was developed. Meanwhile, Māori culture underwent a renaissance, and from the 1950s Māori began moving to the cities in large numbers. This led to the development of a Māori protest movement which in turn led to greater recognition of the Treaty of Waitangi in the late 20th century. In the 1980s the economy was largely deregulated and a number of socially liberal policies, such as decriminalisation of homosexuality, were put in place. Foreign policy, which had previously consisted mostly of following Britain or the United States, became more independent. Subsequent governments have generally maintained these policies, although tempering the free market ethos somewhat. Niue Island The history of the Niue Island can be traced back to a 1,000 years when the Polynesian settles came here. Traces of Pukapulan dialect are still there in the native language which is based on the Samoan and Tongan language. The Polynesian settlers were raters isolated as there was very little inter island trade and the existence of the limestone island was in itself very difficult due to lack of rivers and cultivable soil. The modern history of Niue can be traced back to 1774 with the arrival of Captain James Cook. Cook described the island as "Savage Island" in his records as the natives were not very welcoming to strangers. This was in complete contrast to the Tongans he described as "The Friendly Islands". Captain Cook tried to set his foot thrice on the island but was repulsed each of the three times. The natives at that time were quite hostile to strangers. Christianity was brought to the island by Peniamina in the year 1846 when he got converted during his stay at Samoa. The islanders were completely converted to Christianity by the end of the 19th century. Colonization took place thereafter and the island was declared as a part of the British Empire. The island country became independent in 1974 but still have a free association agreement with New Zealand and many of its citizens have become citizens of New Zealand. Now the Island country has a democracy and is governed by a legislative assembly consisting of 20 members. Niue is the smallest democracy in the world. Papua New Guinea The History of Papua New Guinea can be traced back to about 60,000 years ago when people first migrated towards the Australian continent. The written history began when European navigators first sighted New Guinea in the early part of the 16th century. Portuguese explorers first arrived from the west and later Spanish navigators from the east, after crossing the Pacific. The island was given its name "New Guinea" by Spanish explorer Yñigo Ortiz de Retez who sailed its coast in 1545. Archaeological evidence indicates that humans arrived on New Guinea at least 60,000 years ago, probably by sea from Southeast Asia during an ice age period when the sea was lower and distances between islands shorter. For an overview of the geological history of the continent of which New Guinea is a part, see Australia – New Guinea. Although the first arrivals were hunter-gatherers, early evidence shows that people managed the forest environment to provide food. The gardens of the New Guinea highlands are ancient, intensive permacultures, adapted to high population densities, very high rainfalls (as high as 10,000mm/yr (400in/yr)), earthquakes, hilly land, and occasional frost. There are indications that gardening was being practised at the same time that agriculture was developing in Mesopotamia and Egypt. Philippines In the beginning of the history of the Philippines, the arrival of the first humans via land bridges at least 30,000 years ago. Austronesians actively settled the island from Taiwan from 2500 BCE and displaced Negritoes from the Coastal areas, forcing them into the mountains. Due to influence from the Cholas and states they had cultural influence over, Indianized Hindu kingdoms arose in the early Medieval period and the Islamic Sultanate of Brunei extended its rule over parts of Mindanao by the late 15th century. The first visit from Western explorers is the arrival of a Spanish expedition led by the Portuguese explorer Ferdinand Magellan, who arrived on Homonhon Island, southeast of Samar on 16 March 1521. Spanish colonization began with the arrival of Miguel López de Legazpi's expedition and permanent settlement in the island of Cebu in 1565, and more settlements continued northward with the Spanish settlers reaching the bay of Manila on the island of Luzon in 1571. In Manila, they established a new town and thus began an era of Spanish colonization that lasted for more than three centuries. The Philippines were conquered by the United States in 1898, occupied by Japan from 1942 to 1945 and given independence in 1946. Samoa In the History of Samoa, contact with Europeans began in the early 18th century but did not intensify until the arrival of the English. In 1722, Dutchman Jacob Roggeveen was the first European to sight the islands. Missionaries and traders arrived in the 1830s. Halfway through the 19th century, the United Kingdom, Germany and the United States all claimed parts of the kingdom of Samoa, and established trade posts. King Malietoa Leaupepe died in 1898 and was succeeded by Malietoa Tooa Mataafa. The US and British consuls supported Malietoa Tanu, Leaupepe's son. US and British warships, including the USS Philadelphia shelled Apia on 15 March 1899. After World War I, the League of Nations carved up Samoa. Britain and New Zealand took over the western islands which became 'Western Samoa' and USA claimed the eastern half of the country which became American Samoa. In 1962, Western Samoa became the first Pacific Island nation to gain political independence. In 1997, Samoa officially dropped the 'Western' from its name as it was an appendage from its colonial era. Solomon Islands The human history of the Solomon Islands begins with the first settlement at least 30,000 years ago from New Guinea. They represented the furthest expansion of humans into the Pacific Ocean until the expansion of Austronesian-language speakers through the area around 4000 BCE, bringing new agricultural and maritime technology. Most of the languages spoken today in the Solomon Islands derive from this era, but some thirty languages of the pre-Austronesian settlers survive (see East Papuan languages). The first European contact was that of Spanish explorer Álvaro de Mendaña de Neira whose expedition first sighted Santa Isabel island on 7 February 1568. Finding signs of alluvial gold on Guadalcanal, Mendaña believed he had found the source of King Solomon's wealth, and consequently named the islands "The Islands of Solomon". Many of the islands were also named by these explorers, including Guadalcanal, the Santa Cruz Islands, San Cristobal, Santa Ana and Santa Isabel. In 1595 and 1605 Spain again sent several expeditions to find the islands and establish a colony, though these were unsuccessful. In 1767 Captain Philip Carteret rediscovered Santa Cruz and Malaita. Later, Dutch, French and British navigators visited the islands;
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from 2500 BCE and displaced Negritoes from the Coastal areas, forcing them into the mountains. Due to influence from the Cholas and states they had cultural influence over, Indianized Hindu kingdoms arose in the early Medieval period and the Islamic Sultanate of Brunei extended its rule over parts of Mindanao by the late 15th century. The first visit from Western explorers is the arrival of a Spanish expedition led by the Portuguese explorer Ferdinand Magellan, who arrived on Homonhon Island, southeast of Samar on 16 March 1521. Spanish colonization began with the arrival of Miguel López de Legazpi's expedition and permanent settlement in the island of Cebu in 1565, and more settlements continued northward with the Spanish settlers reaching the bay of Manila on the island of Luzon in 1571. In Manila, they established a new town and thus began an era of Spanish colonization that lasted for more than three centuries. The Philippines were conquered by the United States in 1898, occupied by Japan from 1942 to 1945 and given independence in 1946. Samoa In the History of Samoa, contact with Europeans began in the early 18th century but did not intensify until the arrival of the English. In 1722, Dutchman Jacob Roggeveen was the first European to sight the islands. Missionaries and traders arrived in the 1830s. Halfway through the 19th century, the United Kingdom, Germany and the United States all claimed parts of the kingdom of Samoa, and established trade posts. King Malietoa Leaupepe died in 1898 and was succeeded by Malietoa Tooa Mataafa. The US and British consuls supported Malietoa Tanu, Leaupepe's son. US and British warships, including the USS Philadelphia shelled Apia on 15 March 1899. After World War I, the League of Nations carved up Samoa. Britain and New Zealand took over the western islands which became 'Western Samoa' and USA claimed the eastern half of the country which became American Samoa. In 1962, Western Samoa became the first Pacific Island nation to gain political independence. In 1997, Samoa officially dropped the 'Western' from its name as it was an appendage from its colonial era. Solomon Islands The human history of the Solomon Islands begins with the first settlement at least 30,000 years ago from New Guinea. They represented the furthest expansion of humans into the Pacific Ocean until the expansion of Austronesian-language speakers through the area around 4000 BCE, bringing new agricultural and maritime technology. Most of the languages spoken today in the Solomon Islands derive from this era, but some thirty languages of the pre-Austronesian settlers survive (see East Papuan languages). The first European contact was that of Spanish explorer Álvaro de Mendaña de Neira whose expedition first sighted Santa Isabel island on 7 February 1568. Finding signs of alluvial gold on Guadalcanal, Mendaña believed he had found the source of King Solomon's wealth, and consequently named the islands "The Islands of Solomon". Many of the islands were also named by these explorers, including Guadalcanal, the Santa Cruz Islands, San Cristobal, Santa Ana and Santa Isabel. In 1595 and 1605 Spain again sent several expeditions to find the islands and establish a colony, though these were unsuccessful. In 1767 Captain Philip Carteret rediscovered Santa Cruz and Malaita. Later, Dutch, French and British navigators visited the islands; their reception was often hostile. Tahiti In the history of Tahiti, Tahiti is estimated to have been settled by Polynesians between CE 300 and 800 coming from Tonga and Samoa, although some estimates place the date earlier. The fertile island soil combined with fishing provided ample food for the population. Although the first European sighting of the islands was by a Spanish ship in 1606, Spain made no effort to trade with or colonize the island. Samuel Wallis, an English sea captain, sighted Tahiti on 18 June 1767, and is considered the first European visitor to the island. The perceived relaxation and contented nature of the local people and the characterization of the island as a paradise much impressed early European visitors, planting the seed for a romanticization by the West that endures to this day. Taiwan In the history of Taiwan, Aboriginal peoples ancestors are believed to have been living on the islands for approximately 8,000 years before major Han Chinese immigration began in the 17th century. The Taiwanese Aborigines are Austronesian peoples, with linguistic and genetic ties to other Austronesian ethnic groups, such as peoples of the Philippines, Malaysia, Indonesia and Oceania. Taiwan's Austronesian speakers were traditionally distributed over much of the island's rugged central mountain range and concentrated in villages along the alluvial plains. Today, the bulk of the contemporary Taiwanese Aborigine population reside in the mountains and the cities. The issue of an ethnic identity unconnected to the Asian mainland has become one thread in the discourse regarding the political identity of Taiwan. The total population of Aborigines on Taiwan is around 458,000 as of January 2006, which is approximately 2% of Taiwan's population. Tokelau Archaeological evidence indicates that history of Tokelau's atol—Atafu, Nukunonu, and Fakaofo—were settled about 1,000 years ago, probably by voyages from Samoa, the Cook Islands and Tuvalu. Oral history traces local traditions and genealogies back several hundred years. Inhabitants followed Polynesian mythology with the local god Tui Tokelau; and developed forms of music (see Music of Tokelau) and art. The three atolls functioned largely independently while maintaining social and linguistic cohesion. Tokelauan society was governed by chiefly clans, and there were occasional inter-atoll skirmishes and wars as well as inter-marriage. Fakaofo, the "chiefly island," held some dominance over Atafu and Nukunonu. Life on the atolls was subsistence-based, with reliance on fish and coconut. Commodore John Byron discovered Atafu on 24 June 1765 and named it "Duke of York's Island." Parties onshore reported that there were no signs of current or previous inhabitants. Tonga The history of Tonga stretches back to around roughly 1000 AD, when the Polynesians arrived. Tonga became known as the Tongan Empire through extensive trading and its influence and show of strength and domination over parts of the Pacific (e.g. Samoa, Fiji). The Europeans arrived in the 17th century which was followed after a couple hundred years by a single unified Tongan kingdom. Archaeological evidence shows that the first settlers in Tonga sailed from the Santa Cruz Islands, as part of the original Austronesian-speakers' (Lapita) migration which originated out of southeast Asia some 6,000 years before present. Archaeological dating places Tonga as the oldest known site in Polynesia for the distinctive Lapita ceramic ware, at 2800–2750 years before present. Tuvalu The history of Tuvalu dates back to at least 1,000 years to when it was discovered and settled by Polynesians. the origins of the people of Tuvalu is addressed in the theories regarding the spread of humans out of Southeast Asia, from Taiwan, via Melanesia and across the Pacific islands to create Polynesia. During pre-European-contact times there was frequent canoe voyaging between the islands as Polynesian navigation skills are recognised to have allowed deliberate journeys on double-hull sailing canoes or outrigger canoes. Eight of the nine islands of Tuvalu were inhabited; thus the name, Tuvalu, means "eight standing together" in Tuvaluan. The pattern of settlement that is believed to have occurred is that the Polynesians spread out from the Samoan Islands into the Tuvaluan atolls, with Tuvalu providing a stepping stone to migration into the Polynesian Outlier communities in Melanesia and Micronesia. In 1568 Spanish navigator Álvaro de Mendaña was the first European to sail through the islands and sighted Nui during his expedition in search of Terra Australis. European explorers did not return until two centuries later. In 1819 the island of Funafuti was named Ellice's Island; the name Ellice was applied to all nine islands after the work of English hydrographer Alexander George Findlay (1812–1876). The islands came under Britain's sphere of influence in the late 19th century, when each of the Ellice Islands was declared a British protectorate by Captain Gibson R.N., of HMS Curacoa, between 9 and 16 October 1892. The Ellice Islands were administered as British protectorate by a Resident Commissioner from 1892 to 1916 as part of the British Western Pacific Territories (BWPT), and later as part of the Gilbert and Ellice Islands colony from 1916 to 1974. A referendum was held in December 1974 to determine whether the Gilbert Islands and Ellice Islands should each have their own administration. As a consequence of the referendum, the Gilbert and Ellice Islands colony ceased to exist on 1 January 1976 and the separate British colonies of Kiribati and Tuvalu came into existence. Tuvalu became fully independent within the Commonwealth on 1 October 1978. On 17 September 2000 Tuvalu became the 189th member of the United Nations. Vanuatu In the history of Vanuatu, the commonly held theory of Vanuatu's prehistory from archaeological evidence supports that peoples speaking Austronesian languages first came to the islands some 4,000 to 6,000 years ago. Pottery fragments have been found dating back to 1300 BC What little is known of the pre-European contact history of Vanuatu has been gleaned from oral histories and legends. One important early king was Roy Mata, who united several tribes, and was buried in a large mound with several retainers. The first European contact with Vanuatu came in 1606, when a Spanish expedition led by the Portuguese explorer Pedro Fernández de Quirós discovered Espiritu Santo, naming it Australia del Espiritu Santo, believing he had arrived in the southern continent. Europeans did not return until 1768, when Louis Antoine de Bougainville rediscovered the islands. Other islands History of American Samoa begins with inhabitation as early as 1000 BC, Samoa was not reached by European explorers until the 18th century. The history of Baker Island began when the United States of America took possession of the island in 1857, and its guano deposits were mined by US and British companies during the second half of the 19th century. In 1935, a short-lived attempt at colonization was begun on this island – as well as on nearby Howland Island – but was disrupted by World War II and thereafter abandoned. Presently the island is a National Wildlife Refuge run by the US Department of the Interior; a day beacon is situated near the middle of the west coast. In the history of Brunei, the Sultanate of Brunei was very powerful from the fourteenth to the 16th century AD. Its realm covered the northern part of Borneo and the southwestern Philippines. European influence gradually brought an end to
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neck, capable of raising the pitch of a string by either one or two half steps. While one course of European harps led to greater complexity, resulting largely in the modern pedal harp, other harping traditions maintained simpler diatonic instruments which survived and evolved into modern traditions. Americas In the Americas, harps are widely but sparsely distributed, except in certain regions where the harp traditions are very strong. Such important centres include Mexico, the Andean region, Venezuela, and Paraguay. They are derived from the Baroque harps that were brought from Spain during the colonial period. Detailed features vary from place to place. The Paraguayan harp is that country's national instrument, and has gained a worldwide reputation, with international influences alongside folk traditions. They have around 36 strings, played with the fingernails, and with a narrowing spacing and lower tension than modern Western harps, and have a wide and deep soundbox which tapers to the top. The harp is also found in Argentina, though in Uruguay it was largely displaced in religious music by the organ by the end of the 18th century. The harp is historically found in Brazil, but mostly in the south of the country. The Andean harp (Spanish/), also known as Peruvian harp, or indigenous harp, is widespread among peoples living in highlands of the Andes: Quechua and Aymara, mainly in Peru, and also in Bolivia and Ecuador. It is relatively large, with a significantly increased volume of the resonator box, which gives basses a special richness. It usually accompanies love dances and songs, such as huayno. One of the most famous performers on the Andean harp was Juan Cayambe (Pimampiro Canton, Imbabura Province, Ecuador) Mexican harp music of Veracruz has also gained some international recognition, evident in the popularity of "La Bamba". The is typically played while standing. In southern Mexico (Chiapas), there is a very different indigenous style of harp music. The harp arrived in Venezuela with Spanish colonists. There are two distinct traditions: the (‘harp of the Llanos’, or plains) and the (‘of the central area’). By the 2020s, three types of harps are typically found: the traditional llanera harp, made of cedar wood and has 32 strings, originally of gut, but in modern times are of nylon. It is used to accompany both dancers and singers playing joropo music, a traditional form of Venezuelan music, also known as llanera music. the (also known as ‘of Miranda State’, and ‘of the Tuy Valleys’) is strung with wire in the higher register. the Venezuelan electric harp Africa A number of types of harps are found in Africa, predominantly not of the three-sided frame-harp type found in Europe. A number of these, referred to generically as African harps, are bow or angle harps, which lack forepillars joining the neck to the body. A number of harp-like instruments in Africa are not easily classified with European categories. Instruments like the West African kora and Mauritanian ardin are sometimes labeled as "spike harp", "bridge harp", or harp lute since their construction includes a bridge which holds the strings laterally, vice vertically entering the soundboard. South and Southwest Asia While lyres and zithers have persisted in the Middle East, most of the true harps of the region have become extinct, though some are undergoing initial revivals. The Turkish çeng was a nine-string harp in the Ottoman Empire which became extinct at the end of the 17th century, but has undergone some revival and evolution since the late 20th century. A similar harp, the changi survives in the Svaneti region of Georgia. In the remote and mountainous Nuristan province of Afghanistan the Kafir harp has been part of the musical traditional for many years. In India, the bin-baia harp survives about the Padhar people of Madhya Pradesh. East Asia The harp largely became extinct in East Asia by the 17th century; around the year 1000, harps like the vajra began to replace prior harps. A few examples survived to the modern era, particularly Myanmar's saung-gauk, which is considered the national instrument in that country. Though the ancient Chinese konghou has not been directly resurrected, the name has been revived and applied to a modern newly invented instrument based on the Western classical harp, but with the strings doubled back to form two notes per string, allowing advanced techniques such as note-bending. Modern European and American harps Concert harp The concert harp is a technologically advanced instrument, particularly distinguished by its use of "pedals", foot-controlled devices which can alter the pitch of given strings, making it fully chromatic and thus able to play a wide body of classical repertoire. The pedal harp contains seven pedals that each affect the tuning of all strings of one pitch-class. The pedals, from left to right, are D, C, B on the left side and E, F, G, A on the right. Pedals were first introduced in 1697 by Jakob Hochbrucker of Bavaria. In 1811 these were upgraded to the "double action" pedal system patented by Sébastien Erard. The addition of pedals broadened the harp's abilities, allowing its gradual entry into the classical orchestra, largely beginning in the 19th century. The harp played little or no role in early classical music (being used only a handful of times by major composers such as Mozart and Beethoven), and its usage by Cesar Franck in his Symphony in D minor (1888) was described as "revolutionary" despite some body of prior classical usage. In the 20th century, the pedal harp found use outside of classical music, entering musical comedy films in 1929 with Arthur "Harpo" Marx, jazz with Casper Reardon in 1934, the Beatles 1967 single "She's Leaving Home", and several works by Björk which featured harpist Zeena Parkins. In the early 1980s, Swiss harpist Andreas Vollenweider exposed the concert harp to large new audiences with his popular new age/jazz albums and concert performances. Folk, lever, and Celtic instruments In the modern era, there is a family of mid-size harps, generally with nylon strings, and optionally with partial or full levers but without pedals. They range from two to six octaves, and are plucked with the fingers using a similar technique to the pedal harp. Though these harps evoke ties to historical European harps, their specifics are modern, and they are frequently referred to broadly as "Celtic harps" due to their region of revival and popular association, or more generically as "folk harps" due to their use in non-classical music, or as "lever harps" to contrast their modifying mechanism with the larger pedal harp. The modern Celtic harp began to appear in the early 19th century in Ireland, contemporary with the dying-out of earlier forms of Gaelic harp. Dublin pedal harp maker John Egan developed a new type of harp which had gut strings and semitone mechanisms like an orchestral pedal harp; it was small and curved like the historical cláirseach or Irish harp, but its strings were of gut and the soundbox was much lighter. In the 1890s a similar new harp was also developed in Scotland as part of a Gaelic cultural revival. In the mid-20th century Jord Cochevelou developed a variant of the modern Celtic harp which he referred to as the "Breton Celtic harp"; his son Alan Stivell was to become the most influential Breton harper, and a strong influence in the broader world of the Celtic harp. Multi-course harps A multi-course harp is a harp with more than one row of strings, as opposed to the more common "single course" harp. On a double-harp, the two rows generally run parallel to each other, one on either side of the neck, and are usually both diatonic (sometimes with levers) with identical notes. The triple harp originated in Italy in the 16th century, and arrived in Wales in the late 17th century where it established itself in the local tradition as the Welsh harp (telyn deires, "three-row harp"). The triple consists of two outer rows of identical diatonic strings with a third set of chromatic strings between them. These strings are off set to permit the harpist to reach past the outer row and pluck an inner string if a chromatic note is needed. Chromatic-strung harps Some harps, rather than using pedal or lever devices, achieve chromaticity by simply adding additional strings to cover the notes outside their diatonic home scale. The Welsh triple harp is one such instrument, and two other instruments employing this technique are the cross-strung harp and the inline chromatic harp. The cross-strung harp has one row of diatonic strings, and a separate row of chromatic notes, angled in an "X" shape so that the row which can be played by the right hand at the top may be played by the left hand at the bottom, and vice versa. This variant was first attested as the arpa de dos órdenes ("two-row harp") in Spain and Portugal, in the 17th century. The inline chromatic harp is generally a single-course harp with all 12 notes of the chromatic scale appearing in a single row. Single course inline chromatic harps have been produced at least since 1902, when Karl Weigel of Hanover patented a model of inline chromatic harp. Electric harps Amplified (electro-acoustic) hollow body and solid body electric lever harps are produced by many harpmakers, including Lyon & Healy, Salvi, and Camac. They generally use individual piezo-electric sensors for each string, often in combination with small internal microphones to produce a mixed electrical signal. Hollow body instruments can also be played acoustically, while solid body instruments must be amplified. The late-20th century gravikord is a modern purpose-built electric double harp made of stainless steel based on the traditional West African kora. Variations Harps vary globally in many ways. In terms of size, many smaller harps can be played on the lap, whereas larger harps are quite heavy and rest on the floor. Different harps may use strings of catgut, nylon, metal, or some combination. All harps have a neck, resonator, and strings, frame harps or triangular harps have a pillar at their long end to support the strings, while open harps, such as arch harps and bow harps, do not. Modern harps also vary in techniques used to extend the range and chromaticism of the strings (e.g., adding sharps and flats). On lever harps one adjusts a string's note mid-performance by flipping a lever, which shortens the string enough to raise the pitch by a chromatic sharp. On pedal harps depressing the pedal one step turns geared levers on the strings for all octaves of a single pitch; most allow a second step that turns a second set of levers. The pedal harp is a standard instrument in the orchestra of the Romantic music era (ca. 1800–1910 CE) and the 20th and 21st century music era. Structure and mechanism Harps are essentially triangular and made primarily of wood. Strings are made of gut or wire, often replaced in the modern day by nylon or metal. The top end of each string is secured on the crossbar or neck, where each will have
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found in Argentina, though in Uruguay it was largely displaced in religious music by the organ by the end of the 18th century. The harp is historically found in Brazil, but mostly in the south of the country. The Andean harp (Spanish/), also known as Peruvian harp, or indigenous harp, is widespread among peoples living in highlands of the Andes: Quechua and Aymara, mainly in Peru, and also in Bolivia and Ecuador. It is relatively large, with a significantly increased volume of the resonator box, which gives basses a special richness. It usually accompanies love dances and songs, such as huayno. One of the most famous performers on the Andean harp was Juan Cayambe (Pimampiro Canton, Imbabura Province, Ecuador) Mexican harp music of Veracruz has also gained some international recognition, evident in the popularity of "La Bamba". The is typically played while standing. In southern Mexico (Chiapas), there is a very different indigenous style of harp music. The harp arrived in Venezuela with Spanish colonists. There are two distinct traditions: the (‘harp of the Llanos’, or plains) and the (‘of the central area’). By the 2020s, three types of harps are typically found: the traditional llanera harp, made of cedar wood and has 32 strings, originally of gut, but in modern times are of nylon. It is used to accompany both dancers and singers playing joropo music, a traditional form of Venezuelan music, also known as llanera music. the (also known as ‘of Miranda State’, and ‘of the Tuy Valleys’) is strung with wire in the higher register. the Venezuelan electric harp Africa A number of types of harps are found in Africa, predominantly not of the three-sided frame-harp type found in Europe. A number of these, referred to generically as African harps, are bow or angle harps, which lack forepillars joining the neck to the body. A number of harp-like instruments in Africa are not easily classified with European categories. Instruments like the West African kora and Mauritanian ardin are sometimes labeled as "spike harp", "bridge harp", or harp lute since their construction includes a bridge which holds the strings laterally, vice vertically entering the soundboard. South and Southwest Asia While lyres and zithers have persisted in the Middle East, most of the true harps of the region have become extinct, though some are undergoing initial revivals. The Turkish çeng was a nine-string harp in the Ottoman Empire which became extinct at the end of the 17th century, but has undergone some revival and evolution since the late 20th century. A similar harp, the changi survives in the Svaneti region of Georgia. In the remote and mountainous Nuristan province of Afghanistan the Kafir harp has been part of the musical traditional for many years. In India, the bin-baia harp survives about the Padhar people of Madhya Pradesh. East Asia The harp largely became extinct in East Asia by the 17th century; around the year 1000, harps like the vajra began to replace prior harps. A few examples survived to the modern era, particularly Myanmar's saung-gauk, which is considered the national instrument in that country. Though the ancient Chinese konghou has not been directly resurrected, the name has been revived and applied to a modern newly invented instrument based on the Western classical harp, but with the strings doubled back to form two notes per string, allowing advanced techniques such as note-bending. Modern European and American harps Concert harp The concert harp is a technologically advanced instrument, particularly distinguished by its use of "pedals", foot-controlled devices which can alter the pitch of given strings, making it fully chromatic and thus able to play a wide body of classical repertoire. The pedal harp contains seven pedals that each affect the tuning of all strings of one pitch-class. The pedals, from left to right, are D, C, B on the left side and E, F, G, A on the right. Pedals were first introduced in 1697 by Jakob Hochbrucker of Bavaria. In 1811 these were upgraded to the "double action" pedal system patented by Sébastien Erard. The addition of pedals broadened the harp's abilities, allowing its gradual entry into the classical orchestra, largely beginning in the 19th century. The harp played little or no role in early classical music (being used only a handful of times by major composers such as Mozart and Beethoven), and its usage by Cesar Franck in his Symphony in D minor (1888) was described as "revolutionary" despite some body of prior classical usage. In the 20th century, the pedal harp found use outside of classical music, entering musical comedy films in 1929 with Arthur "Harpo" Marx, jazz with Casper Reardon in 1934, the Beatles 1967 single "She's Leaving Home", and several works by Björk which featured harpist Zeena Parkins. In the early 1980s, Swiss harpist Andreas Vollenweider exposed the concert harp to large new audiences with his popular new age/jazz albums and concert performances. Folk, lever, and Celtic instruments In the modern era, there is a family of mid-size harps, generally with nylon strings, and optionally with partial or full levers but without pedals. They range from two to six octaves, and are plucked with the fingers using a similar technique to the pedal harp. Though these harps evoke ties to historical European harps, their specifics are modern, and they are frequently referred to broadly as "Celtic harps" due to their region of revival and popular association, or more generically as "folk harps" due to their use in non-classical music, or as "lever harps" to contrast their modifying mechanism with the larger pedal harp. The modern Celtic harp began to appear in the early 19th century in Ireland, contemporary with the dying-out of earlier forms of Gaelic harp. Dublin pedal harp maker John Egan developed a new type of harp which had gut strings and semitone mechanisms like an orchestral pedal harp; it was small and curved like the historical cláirseach or Irish harp, but its strings were of gut and the soundbox was much lighter. In the 1890s a similar new harp was also developed in Scotland as part of a Gaelic cultural revival. In the mid-20th century Jord Cochevelou developed a variant of the modern Celtic harp which he referred to as the "Breton Celtic harp"; his son Alan Stivell was to become the most influential Breton harper, and a strong influence in the broader world of the Celtic harp. Multi-course harps A multi-course harp is a harp with more than one row of strings, as opposed to the more common "single course" harp. On a double-harp, the two rows generally run parallel to each other, one on either side of the neck, and are usually both diatonic (sometimes with levers) with identical notes. The triple harp originated in Italy in the 16th century, and arrived in Wales in the late 17th century where it established itself in the local tradition as the Welsh harp (telyn deires, "three-row harp"). The triple consists of two outer rows of identical diatonic strings with a third set of chromatic strings between them. These strings are off set to permit the harpist to reach past the outer row and pluck an inner string if a chromatic note is needed. Chromatic-strung harps Some harps, rather than using pedal or lever devices, achieve chromaticity by simply adding additional strings to cover the notes outside their diatonic home scale. The Welsh triple harp is one such instrument, and two other instruments employing this technique are the cross-strung harp and the inline chromatic harp. The cross-strung harp has one row of diatonic strings, and a separate row of chromatic notes, angled in an "X" shape so that the row which can be played by the right hand at the top may be played by the left hand at the bottom, and vice versa. This variant was first attested as the arpa de dos órdenes ("two-row harp") in Spain and Portugal, in the 17th century. The inline chromatic harp is generally a single-course harp with all 12 notes of the chromatic scale appearing in a single row. Single course inline chromatic harps have been produced at least since 1902, when Karl Weigel of Hanover patented a model of inline chromatic harp. Electric harps Amplified (electro-acoustic) hollow body and solid body electric lever harps are produced by many harpmakers, including Lyon & Healy, Salvi, and Camac. They generally use individual piezo-electric sensors for each string, often in combination with small internal microphones to produce a mixed electrical signal. Hollow body instruments can also be played acoustically, while solid body instruments must be amplified. The late-20th century gravikord is a modern purpose-built electric double harp made of stainless steel based on the traditional West African kora. Variations Harps vary globally in many ways. In terms of size, many smaller harps can be played on the lap, whereas larger harps are quite heavy and rest on the floor. Different harps may use strings of catgut, nylon, metal, or some combination. All harps have a neck, resonator, and strings, frame harps or triangular harps have a pillar at their long end to support the strings, while open harps, such as arch harps and bow harps, do not. Modern harps also vary in techniques used to extend the range and chromaticism of the strings (e.g., adding sharps and flats). On lever harps one adjusts a string's note mid-performance by flipping a lever, which shortens the string enough to raise the pitch by a chromatic sharp. On pedal harps depressing the pedal one step turns geared levers on the strings for all octaves of a single pitch; most allow a second step that turns a second set of levers. The pedal harp is a standard instrument in the orchestra of the Romantic music era (ca. 1800–1910 CE) and the 20th and 21st century music era. Structure and mechanism Harps are essentially triangular and made primarily of wood. Strings are made of gut or wire, often replaced in the modern day by nylon or metal. The top end of each string is secured on the crossbar or neck, where each will have a tuning peg or similar device to adjust the pitch. From the crossbar, the string runs down to the sounding board on the resonating body, where it is secured with a knot; on modern harps the string's hole is protected with an eyelet to limit wear on the wood. The distance between the tuning peg and the soundboard, as well as tension and weight of the string, determine the pitch of the string. The body is hollow, and when a taut string is plucked, the body resonates, projecting sound. The longest side of the harp is called the column or pillar (though some earlier harps, such as a "bow harp", lack a pillar). On most harps the sole purpose of the pillar is to hold up the neck against the great strain of the strings. On harps which have pedals (largely the modern concert harp), the pillar is a hollow column and encloses the rods which adjust the pitches, which are levered by pressing pedals at the base of the instrument. On harps of earlier design, a single string produces only a single pitch unless it is retuned. In many cases this means such a harp can only play in one key at a time and must be retuned to play in another key. Harpers and luthiers have developed various remedies to this limitation: the addition of extra strings to cover chromatic notes (sometimes in separate or angled rows distinct from the main row of strings), addition of small levers on the crossbar which when actuated raise the pitch of a string by a set interval (usually a semitone), or use of pedals at the base of the instrument, pressed with the foot, which move additional small pegs on the crossbar. The small pegs gently contact the string near the tuning peg, changing the vibrating length, but not the tension, and hence the pitch of the string. These solutions increase the versatility of a harp at the cost of adding complexity, weight, and expense. Terminology and etymology The modern English word harp comes from the Old English hearpe; akin to Old High German harpha. A person who plays a pedal harp is called a "harpist"; a person who
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idea that the Ring Nebula proves the existence of hollow worlds, as well as speculation on the fate of Atlantis and the origin of flying saucers. An article by Martin Gardner revealed that Walter Siegmeister used the pseudonym "Bernard", but not until the 1989 publishing of Walter Kafton-Minkel's Subterranean Worlds: 100,000 Years of Dragons, Dwarfs, the Dead, Lost Races & UFOs from Inside the Earth did the full story of Bernard/Siegmeister become well-known. The science fiction pulp magazine Amazing Stories promoted one such idea from 1945 to 1949 as "The Shaver Mystery". The magazine's editor, Ray Palmer, ran a series of stories by Richard Sharpe Shaver, claiming that a superior pre-historic race had built a honeycomb of caves in the Earth, and that their degenerate descendants, known as "Dero", live there still, using the fantastic machines abandoned by the ancient races to torment those of us living on the surface. As one characteristic of this torment, Shaver described "voices" that purportedly came from no explainable source. Thousands of readers wrote to affirm that they, too, had heard the fiendish voices from inside the Earth. The writer David Hatcher Childress authored Lost Continents and the Hollow Earth (1998) in which he reprinted the stories of Palmer and defended the Hollow Earth idea based on alleged tunnel systems beneath South America and Central Asia. Hollow Earth proponents have claimed a number of different locations for the entrances which lead inside the Earth. Other than the North and South poles, entrances in locations which have been cited include: Paris in France, Staffordshire in England, Montreal in Canada, Hangchow in China, and the Amazon Rainforest. Concave Hollow Earths Instead of saying that humans live on the outside surface of a hollow planet—sometimes called a "convex" Hollow Earth hypothesis—some have claimed humans live on the inside surface of a hollow spherical world, so that our universe itself lies in that world's interior. This has been called the "concave" Hollow Earth hypothesis or skycentrism. Cyrus Teed, a doctor from upstate New York, proposed such a concave Hollow Earth in 1869, calling his scheme "Cellular Cosmogony". Teed founded a group called the Koreshan Unity based on this notion, which he called Koreshanity. The main colony survives as a preserved Florida state historic site, at Estero, Florida, but all of Teed's followers have now died. Teed's followers claimed to have experimentally verified the concavity of the Earth's curvature, through surveys of the Florida coastline making use of "rectilineator" equipment. Several 20th-century German writers, including Peter Bender, Johannes Lang, Karl Neupert, and Fritz Braut, published works advocating the Hollow Earth hypothesis, or Hohlweltlehre. It has even been reported, although apparently without historical documentation, that Adolf Hitler was influenced by concave Hollow Earth ideas and sent an expedition in an unsuccessful attempt to spy on the British fleet by pointing infrared cameras up at the sky. The Egyptian mathematician Mostafa Abdelkader wrote several scholarly papers working out a detailed mapping of the Concave Earth model. In one chapter of his book On the Wild Side (1992), Martin Gardner discusses the Hollow Earth model articulated by Abdelkader. According to Gardner, this hypothesis posits that light rays travel in circular paths, and slow as they approach the center of the spherical star-filled cavern. No energy can reach the center of the cavern, which corresponds to no point a finite distance away from Earth in the widely accepted scientific cosmology. A drill, Gardner says, would lengthen as it traveled away from the cavern and eventually pass through the "point at infinity" corresponding to the center of the Earth in the widely accepted scientific cosmology. Supposedly no experiment can distinguish between the two cosmologies. Gardner notes that "most mathematicians believe that an inside-out universe, with properly adjusted physical laws, is empirically irrefutable". Gardner rejects the concave Hollow Earth hypothesis on the basis of Occam's razor. Purportedly verifiable hypotheses of a Concave Hollow Earth need to be distinguished from a thought experiment which defines a coordinate transformation such that the interior of the Earth becomes "exterior" and the exterior becomes "interior". (For example, in spherical coordinates, let radius r go to R2/r where R is the Earth's radius; see inversive geometry.) The transformation entails corresponding changes to the forms of physical laws. This is not a hypothesis but an illustration of the fact that any description of the physical world can be equivalently expressed in more than one way. Schiehallion experiment In 1735, Pierre Bouguer and Charles Marie de La Condamine chartered an expedition from France to the Chimborazo volcano in Ecuador. Arriving and climbing the volcano in 1738, they conducted a vertical deflection experiment at two different altitudes to determine how local mass anomalies affected gravitational pull. In a paper Bouguer wrote a little over ten years later, Bouguer commented that his results had at least falsified the Hollow Earth Theory. In 1772, Nevil Maskelyne proposed to repeat the same experiment to the Royal Society. Within the same year, the Committee of Attraction was formed and they sent Charles Mason to find the perfect candidate for the vertical deflection experiment. Mason found the Schiehallion mountain, where the experiment took place and not only supported the earlier Chimborazo Experiment but yielded far greater results. Contrary evidence Seismic The picture of the structure of the Earth that has been arrived at through the study of seismic waves is quite different from a fully hollow Earth. The time it takes for seismic waves to travel through and around the Earth directly contradicts a fully hollow sphere. The evidence indicates the Earth is mostly filled with solid rock (mantle and crust), liquid nickel-iron alloy (outer core), and solid nickel-iron (inner core). Gravity Another set of scientific arguments against a Hollow Earth or any hollow planet comes from gravity. Massive objects tend to clump together gravitationally, creating non-hollow spherical objects such as stars and planets. The solid spheroid is the best way in which to minimize the gravitational potential energy of a rotating physical object; having hollowness is unfavorable in the energetic sense. In addition, ordinary matter is not strong enough to support a hollow shape of planetary size against the force of gravity; a planet-sized hollow shell with the known, observed thickness of the Earth's crust would not be able to achieve hydrostatic equilibrium with its own mass and would collapse. Based upon the size of the Earth and the force of gravity on its surface, the average density of the planet Earth is 5.515 g/cm3, and typical densities of surface rocks are only half that (about 2.75 g/cm3). If any significant portion of the Earth were hollow, the average density would be much lower than that of surface rocks. The only way for Earth to have the force of gravity that it does is for much more dense material to make up a large part of the interior. Nickel-iron alloy under the conditions expected in a non-hollow Earth would have densities ranging from about 10 to 13 g/cm3, which brings the average density of Earth to its observed value. Direct observation Drilling holes does not provide direct evidence against the hypothesis. The deepest hole drilled to date is the Kola Superdeep Borehole, with a true vertical drill-depth of more than 7.5 miles (12 kilometers). However, the distance to the center of the Earth is nearly 4,000 miles (6,400 kilometers). Oil wells with longer depths are not vertical wells; the total depths quoted are measured depth (MD) or equivalently, along-hole depth (AHD) as these wells are deviated to horizontal. Their true vertical depth (TVD) is typically less than 2.5 miles (4 kilometers). In fiction The idea of a hollow Earth is a common element of fiction, appearing as early as Ludvig Holberg's 1741 novel Nicolai Klimii iter subterraneum (Niels Klim's Underground Travels), in which Nicolai Klim falls through a cave while spelunking and spends several years living on a smaller globe both within and the inside of the outer shell. Other notable early examples include Giacomo Casanova's 1788 Icosaméron, a 5-volume, 1,800-page story of a brother and sister who fall into the Earth and discover the subterranean utopia of the Mégamicres, a race of multicolored, hermaphroditic dwarves; Vril published anonymously in 1819; Symzonia: A Voyage of Discovery by a "Captain Adam Seaborn" (1820) which reflected the ideas of John Cleves Symmes, Jr.; Edgar Allan Poe's 1838 novel The Narrative of Arthur Gordon Pym of Nantucket; Jules Verne's 1864 novel Journey to the Center of the Earth, which showed a subterranean world teeming with prehistoric life; George Sand's 1864 novel Laura, Voyage dans le Cristal where giant crystals could be found in the interior of the Earth; Etidorhpa, an 1895 science-fiction allegory with major subterranean themes; and The Smoky God, a 1908 novel that included the idea that the North Pole was the entrance to the hollow planet. In William Henry Hudson's 1887 romance, A Crystal Age, the protagonist falls down a hill into a Utopian paradise; since he falls into this world, it is sometimes classified as a hollow Earth story; although the hero himself thinks he may have traveled forward in
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been reported, although apparently without historical documentation, that Adolf Hitler was influenced by concave Hollow Earth ideas and sent an expedition in an unsuccessful attempt to spy on the British fleet by pointing infrared cameras up at the sky. The Egyptian mathematician Mostafa Abdelkader wrote several scholarly papers working out a detailed mapping of the Concave Earth model. In one chapter of his book On the Wild Side (1992), Martin Gardner discusses the Hollow Earth model articulated by Abdelkader. According to Gardner, this hypothesis posits that light rays travel in circular paths, and slow as they approach the center of the spherical star-filled cavern. No energy can reach the center of the cavern, which corresponds to no point a finite distance away from Earth in the widely accepted scientific cosmology. A drill, Gardner says, would lengthen as it traveled away from the cavern and eventually pass through the "point at infinity" corresponding to the center of the Earth in the widely accepted scientific cosmology. Supposedly no experiment can distinguish between the two cosmologies. Gardner notes that "most mathematicians believe that an inside-out universe, with properly adjusted physical laws, is empirically irrefutable". Gardner rejects the concave Hollow Earth hypothesis on the basis of Occam's razor. Purportedly verifiable hypotheses of a Concave Hollow Earth need to be distinguished from a thought experiment which defines a coordinate transformation such that the interior of the Earth becomes "exterior" and the exterior becomes "interior". (For example, in spherical coordinates, let radius r go to R2/r where R is the Earth's radius; see inversive geometry.) The transformation entails corresponding changes to the forms of physical laws. This is not a hypothesis but an illustration of the fact that any description of the physical world can be equivalently expressed in more than one way. Schiehallion experiment In 1735, Pierre Bouguer and Charles Marie de La Condamine chartered an expedition from France to the Chimborazo volcano in Ecuador. Arriving and climbing the volcano in 1738, they conducted a vertical deflection experiment at two different altitudes to determine how local mass anomalies affected gravitational pull. In a paper Bouguer wrote a little over ten years later, Bouguer commented that his results had at least falsified the Hollow Earth Theory. In 1772, Nevil Maskelyne proposed to repeat the same experiment to the Royal Society. Within the same year, the Committee of Attraction was formed and they sent Charles Mason to find the perfect candidate for the vertical deflection experiment. Mason found the Schiehallion mountain, where the experiment took place and not only supported the earlier Chimborazo Experiment but yielded far greater results. Contrary evidence Seismic The picture of the structure of the Earth that has been arrived at through the study of seismic waves is quite different from a fully hollow Earth. The time it takes for seismic waves to travel through and around the Earth directly contradicts a fully hollow sphere. The evidence indicates the Earth is mostly filled with solid rock (mantle and crust), liquid nickel-iron alloy (outer core), and solid nickel-iron (inner core). Gravity Another set of scientific arguments against a Hollow Earth or any hollow planet comes from gravity. Massive objects tend to clump together gravitationally, creating non-hollow spherical objects such as stars and planets. The solid spheroid is the best way in which to minimize the gravitational potential energy of a rotating physical object; having hollowness is unfavorable in the energetic sense. In addition, ordinary matter is not strong enough to support a hollow shape of planetary size against the force of gravity; a planet-sized hollow shell with the known, observed thickness of the Earth's crust would not be able to achieve hydrostatic equilibrium with its own mass and would collapse. Based upon the size of the Earth and the force of gravity on its surface, the average density of the planet Earth is 5.515 g/cm3, and typical densities of surface rocks are only half that (about 2.75 g/cm3). If any significant portion of the Earth were hollow, the average density would be much lower than that of surface rocks. The only way for Earth to have the force of gravity that it does is for much more dense material to make up a large part of the interior. Nickel-iron alloy under the conditions expected in a non-hollow Earth would have densities ranging from about 10 to 13 g/cm3, which brings the average density of Earth to its observed value. Direct observation Drilling holes does not provide direct evidence against the hypothesis. The deepest hole drilled to date is the Kola Superdeep Borehole, with a true vertical drill-depth of more than 7.5 miles (12 kilometers). However, the distance to the center of the Earth is nearly 4,000 miles (6,400 kilometers). Oil wells with longer depths are not vertical wells; the total depths quoted are measured depth (MD) or equivalently, along-hole depth (AHD) as these wells are deviated to horizontal. Their true vertical depth (TVD) is typically less than 2.5 miles (4 kilometers). In fiction The idea of a hollow Earth is a common element of fiction, appearing as early as Ludvig Holberg's 1741 novel Nicolai Klimii iter subterraneum (Niels Klim's Underground Travels), in which Nicolai Klim falls through a cave while spelunking and spends several years living on a smaller globe both within and the inside of the outer shell. Other notable early examples include Giacomo Casanova's 1788 Icosaméron, a 5-volume, 1,800-page story of a brother and sister who fall into the Earth and discover the subterranean utopia of the Mégamicres, a race of multicolored, hermaphroditic dwarves; Vril published anonymously in 1819; Symzonia: A Voyage of Discovery by a "Captain Adam Seaborn" (1820) which reflected the ideas of John Cleves Symmes, Jr.; Edgar Allan Poe's 1838 novel The Narrative of Arthur Gordon Pym of Nantucket; Jules Verne's 1864 novel Journey to the Center of the Earth, which showed a subterranean world teeming with prehistoric life; George Sand's 1864 novel Laura, Voyage dans le Cristal where giant crystals could be found in the interior of the Earth; Etidorhpa, an 1895 science-fiction allegory with major subterranean themes; and The Smoky God, a 1908 novel that included the idea that the North Pole was the entrance to the hollow planet. In William Henry Hudson's 1887 romance, A Crystal Age, the protagonist falls down a hill into a Utopian paradise; since he falls into this world, it is sometimes classified as a hollow Earth story; although the hero himself thinks he may have traveled forward in time by millennia. The idea was used by Edgar Rice Burroughs in the seven-novel "Pellucidar" series, beginning with At the Earth's Core (1914). Using a mechanical drill, called the Iron Mole, his heroes David Innes and Professor Abner Perry discover a prehistoric world called Pellucidar, 500 miles below the surface, that is lit by a constant noonday inner sun. They find prehistoric people, dinosaurs, prehistoric mammals and the Mahar, who evolved from pterosaurs. The series ran for six more books, ending with Savage Pellucidar (1963). The 1915 novel Plutonia by Vladimir Obruchev uses the concept of the Hollow Earth to take the reader through various geological epochs. In recent decades, the idea has become a staple of the science fiction and adventure genres across films (Children Who Chase Lost Voices, Ice Age: Dawn of the Dinosaurs, Aquaman and the MonsterVerse), television programs (the third and fourth seasons of Sanctuary), role-playing games (e.g., the Hollow World Campaign Set for Dungeons & Dragons, Hollow Earth Expedition), and video games (Torin's Passage and Gears of War). The idea is also partially used in the Marvel Comics universe, where there exists a subterranean realm beneath the Earth known as Subterranea. In popular art In 1975 Japanese artist Tadanori Yokoo used elements of the Aghartha legend, along with other Eastern subterranean myths, to depict an advanced civilization in the cover art for jazz musician Miles Davis's album Agharta. Tadanori said he was partly inspired by his reading of Raymond W. Bernard's 1969 book The Hollow Earth. See also Brinsley Le Poer Trench, 8th Earl of Clancarty - 1974 proponent of Hollow Earth Dyson sphere Earth's inner core Expanding Earth Flat Earth Hades Hollow Moon List of topics characterized as pseudoscience Scientific skepticism Shamballa Shellworld Travel to the Earth's center Xibalba References Bibliography Seaborn, Captain Adam. Symzonia; Voyage of Discovery. J. Seymour, 1820. Lewis, David. The Incredible Cities of Inner Earth. Science Research Publishing House, 1979. Kafton-Minkel, Walter. Subterranean Worlds. Loompanics Unlimited, 1989. Standish, David. Hollow Earth : the Long and Curious History of Imagining Strange Lands, Fantastical Creatures, Advanced Civilizations, and Marvelous Machines Below the Earth's Surface. Da Capo Press, 2006. Lamprecht, Jan. Hollow Planets: A Feasibility Study of Possible Hollow Worlds Grave Distraction Publications, 2014. External links What Curiosity in the Structure: The Hollow Earth in Science Library of Congress References Stories of a Hollow Earth Public Domain Review Skeptic Dictionary: Hollow Earth
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its cruelty, and irredentist claims. It declares all of Palestine a waqf, an unalienable religious property consisting of land endowed to Muslims in perpetuity by God, with religious coexistence under Islam's rule. The charter rejects a two-state solution, stating that the conflict cannot be resolved "except through jihad". Article 6 states that the movement's aim is to "raise the banner of Allah over every inch of Palestine, for under the wing of Islam followers of all religions can coexist in security and safety where their lives, possessions and rights are concerned". It adds that, "when our enemies usurp some Islamic lands, jihad becomes a duty binding on all Muslims", for which the whole of the land is non-negotiable, a position likened, without the racist sentiments present in the Hamas charter, to that in the Likud party platform and in movements like Gush Emunim. For Hamas, to concede territory is seen as equivalent to renouncing Islam itself. Decades down the line, Hamas's official position changed with regard to a two-state solution. Khaled Mashaal, its leader, has publicly affirmed the movement's readiness to accept such a division. When Hamas won a majority in the 2006 Palestinian legislative election, Haniyeh, then president-elect, sent messages to both George Bush and Israel's leaders asking to be recognized and offering a long-term truce (hudna), along the 1967 border lines. No response was forthcoming. Mousa Marzook said in 2007 that the charter could not be altered because it would look like a compromise not acceptable to the 'street' and risk fracturing the party's unity. Hamas leader Khaled Meshaal has stated that the Charter is "a piece of history and no longer relevant, but cannot be changed for internal reasons". Ahmed Yousef, senior adviser to Ismail Haniyeh, added in 2011 that it reflected the views of the Elders in the face of a 'relentless occupation.' The details of its religious and political language had not been examined within the framework of international law, and an internal committee review to amend it was shelved out of concern not to offer concessions to Israel, as had Fatah, on a silver platter. While Hamas representatives recognize the problem, one official notes that Arafat got very little in return for changing the PLO Charter under the Oslo Accords, and that there is agreement that little is gained from a non-violent approach. Richard Davis says the dismissal by contemporary leaders of its relevance and yet the suspension of a desire to rewrite it reflects the differing constituencies Hamas must address, the domestic audience and international relations. The charter itself is considered an 'historical relic.' In March 2006, Hamas released its official legislative program. The document clearly signaled that Hamas could refer the issue of recognizing Israel to a national referendum. Under the heading "Recognition of Israel," it stated simply (AFP, 3/11/06): "The question of recognizing Israel is not the jurisdiction of one faction, nor the government, but a decision for the Palestinian people." This was a major shift away from their 1988 charter. A few months later, via University of Maryland's Jerome Segal, the group sent a letter to U.S. President George W. Bush stating they "don't mind having a Palestinian state in the 1967 borders", and asked for direct negotiations: "Segal emphasized that a state within the 1967 borders and a truce for many years could be considered Hamas's de facto recognition of Israel." In an April 2008 meeting between Hamas leader Khaled Mashal and former U.S. President Jimmy Carter, an understanding was reached in which Hamas agreed it would respect the creation of a Palestinian state in the territory seized by Israel in the 1967 Six-Day War, provided this were ratified by the Palestinian people in a referendum. Hamas later publicly offered a long-term truce with Israel if Israel agreed to return to its 1967 borders and grant the "right of return" to all Palestinian refugees. In November 2008, Hamas leader Ismail Haniyeh re-stated that Hamas was willing to accept a Palestinian state within the 1967 borders, and offered Israel a long-term truce "if Israel recognized the Palestinians' national rights". In 2009, in a letter to UN Secretary General Ban Ki-moon, Haniyeh repeated his group's support for a two-state settlement based on 1967 borders: "We would never thwart efforts to create an independent Palestinian state with borders [from] June 4, 1967, with Jerusalem as its capital." On December 1, 2010, Ismail Haniyeh again repeated, "We accept a Palestinian state on the borders of 1967, with Jerusalem as its capital, the release of Palestinian prisoners, and the resolution of the issue of refugees," and "Hamas will respect the results [of a referendum] regardless of whether it differs with its ideology and principles." In February 2012, according to the Palestinian authority, Hamas forswore the use of violence. Evidence for this was provided by an eruption of violence from Islamic Jihad in March 2012 after an Israeli assassination of a Jihad leader, during which Hamas refrained from attacking Israel. "Israel—despite its mantra that because Hamas is sovereign in Gaza it is responsible for what goes on there—almost seems to understand," wrote Israeli journalists Avi Issacharoff and Amos Harel, "and has not bombed Hamas offices or installations". Israel has rejected some truce offers by Hamas because it contends the group uses them to prepare for more fighting rather than peace. The Atlantic magazine columnist Jeffrey Goldberg, along with other analysts, believes Hamas may be incapable of permanent reconciliation with Israel. Mkhaimer Abusada, a political scientist at Al Azhar University, writes that Hamas talks "of hudna [temporary ceasefire], not of peace or reconciliation with Israel. They believe over time they will be strong enough to liberate all historic Palestine." Islamization efforts In the Gaza Strip The gender ideology outlined in the Hamas charter, the importance of women in the religious-nationalist project of liberation is asserted as no lesser than that of males. Their role was defined primarily as one of manufacturing males and caring for their upbringing and rearing, though the charter recognized they could fight for liberation without obtaining their husband's permission and in 2002 their participation in jihad was permitted. The doctrinal emphasis on childbearing and rearing as woman's primary duty is not so different from Fatah's view of women in the First Intifada and it also resembles the outlook of Jewish settlers, and over time it has been subjected to change. In 1989, during the First Intifada, a small number of Hamas followers campaigned for the wearing of the hijab, which is not a part of traditional women's attire in Palestine, for polygamy, and also insisted women stay at home and be segregated from men. In the course of this campaign, women who chose not to wear the hijab were verbally and physically harassed, with the result that the hijab was being worn 'just to avoid problems on the streets'. The harassment dropped drastically when, after 18 months UNLU condemned it, though similar campaigns reoccurred. Since Hamas took control of the Gaza Strip in 2007, some of its members have attempted to impose Islamic dress or the hijab head covering on women. Also, the government's "Islamic Endowment Ministry" has deployed Virtue Committee members to warn citizens of the dangers of immodest dress, card playing, and dating. However, there are no government laws imposing dress and other moral standards, and the Hamas education ministry reversed one effort to impose Islamic dress on students. There has also been successful resistance to attempts by local Hamas officials to impose Islamic dress on women. Hamas officials deny having any plans to impose Islamic law, one legislator stating that "What you are seeing are incidents, not policy," and that Islamic law is the desired standard "but we believe in persuasion". The Hamas education ministry reversed one effort to impose Islamic dress on students. When the BBC in 2010 interviewed five "middle-class" women in Gaza City, the subjects generally indicated Hamas attempts to enforce conservative religious standards of dress had been largely rejected by the local population, with some expressing concern that the closure of Gaza would allow the proliferation of extremist enforcement attempts by low-level Hamas officials, and others indicating they were happy to see Hamas enforcing such requirements. They also cited examples of leniency by Hamas authorities, such as allowing widowed women to keep custody of their children so long as they did not remarry, and other relaxations in the enforcement of Shariah law. One woman noted that the environment was "not as bad" as during the First Intifada, when women were subject to public criticism and stonings for failure to obey conservative Islamic standards of dress. One woman complained that women were not free to speak their minds or travel alone, and added: "Hamas want to force themselves onto the people. They want the people to submit to them, this is their cover. They destroyed the reputation of Islam, by saying we're doing this because it is religion. This is how they won the elections." In 2013, UNRWA canceled its annual marathon in Gaza after Hamas rulers prohibited women from participating in the race. In the West Bank In 2005, the human rights organization Freemuse released a report titled "Palestine: Taliban-like attempts to censor music", which said that Palestinian musicians feared that harsh religious laws against music and concerts will be imposed since Hamas group scored political gains in the Palestinian Authority local elections of 2005. The attempt by Hamas to dictate a cultural code of conduct in the 1980s and early 1990s led to a violent fighting between different Palestinian sectors. Hamas members reportedly burned down stores that stocked videos they deemed indecent and destroyed books they described as "heretical". In 2005, an outdoor music and dance performance in Qalqiliya were suddenly banned by the Hamas led municipality, for the reason that such an event would be forbidden by Islam, or "Haram". The municipality also ordered that music no longer be played in the Qalqiliya zoo, and mufti Akrameh Sabri issued a religious edict affirming the municipality decision. In response, the Palestinian national poet Mahmoud Darwish warned that "There are Taliban-type elements in our society, and this is a very dangerous sign." The Palestinian columnist Mohammed Abd Al-Hamid, a resident of Ramallah, wrote that this religious coercion could cause the migration of artists, and said "The religious fanatics in Algeria destroyed every cultural symbol, shattered statues and rare works of art and liquidated intellectuals and artists, reporters and authors, ballet dancers and singers—are we going to imitate the Algerian and Afghani examples?" Tayyip Erdoğan's Turkey as a role model Some Hamas members stated that the model of Islamic government that Hamas seeks to emulate is that of Turkey under the rule of Tayyip Erdoğan. The foremost members to distance Hamas from the practices of Taliban and to publicly support the Erdoğan model were Ahmed Yousef and Ghazi Hamad, advisers to Prime Minister Hanieh. Yusuf, the Hamas deputy foreign minister, reflected this goal in an interview to a Turkish newspaper, stating that while foreign public opinion equates Hamas with the Taliban or al-Qaeda, the analogy is inaccurate. Yusuf described the Taliban as "opposed to everything", including education and women's rights, while Hamas wants to establish good relations between the religious and secular elements of society and strives for human rights, democracy and an open society. According to professor Yezid Sayigh of the King's College in London, how influential this view is within Hamas is uncertain, since both Ahmad Yousef and Ghazi Hamad were dismissed from their posts as advisers to Hamas Prime Minister Ismail Hanieh in October 2007. Both have since been appointed to other prominent positions within the Hamas government. Khaled al-Hroub of the West Bank-based and anti-Hamas Palestinian daily Al Ayyam added that despite claims by Hamas leaders that it wants to repeat the Turkish model of Islam, "what is happening on the ground in reality is a replica of the Taliban model of Islam." Antisemitism and anti-Zionism According to academic Esther Webman, antisemitism is not the main tenet of Hamas ideology, although antisemitic rhetoric is frequent and intense in Hamas leaflets. The leaflets generally do not differentiate between Jews and Zionists. In other Hamas publications and interviews with its leaders, attempts at this differentiation have been made. In 2009 representatives of the small anti-Zionist Jewish group Neturei Karta met with Hamas leader Ismail Haniyeh in Gaza, who stated that he held nothing against Jews but only against the state of Israel. Hamas has made conflicting statements about its readiness to recognize Israel. In 2006 a spokesman signaled readiness to recognize Israel within the 1967 borders. Speaking of requests for Hamas to recognize agreements between the Palestinian Authority and Israel, senior Hamas member Khaled Suleiman said that "these agreements are a reality which we view as such, and therefore I see no problem." Also in 2006, a Hamas official ruled out recognition of Israel with reference to West and East Germany, which never recognized each other. Hamas Charter Article 7 of the Hamas Covenant provides the following quotation, attributed to Muhammad: The Day of Judgement will not come about until Moslems fight the Jews (killing the Jews), when the Jew will hide behind stones and trees. The stones and trees will say O Moslems, O Abdulla, there is a Jew behind me, come and kill him. Only the Gharkad tree (evidently a certain kind of tree), would not do that because it is one of the trees of the Jews. Multiple commentators, including Jeffrey Goldberg and Philip Gourevitch, have identified this passage as incitement to genocide. Article 22 states that the French Revolution, the Russian Revolution, colonialism and both world wars were created by the Zionists or forces supportive of Zionism: You may speak as much as you want about regional and world wars. They were behind World War I, when they were able to destroy the Islamic Caliphate, making financial gains and controlling resources. They obtained the Balfour Declaration, formed the League of Nations through which they could rule the world. They were behind World War II, through which they made huge financial gains by trading in armaments, and paved the way for the establishment of their state. It was they who instigated the replacement of the League of Nations with the United Nations and the Security Council to enable them to rule the world through them. There is no war going on anywhere, without having their finger in it. Article 32 of the Covenant refers to an antisemitic forgery, The Protocols of the Elders of Zion: Today it is Palestine, tomorrow it will be one country or another. The Zionist plan is limitless. After Palestine, the Zionists aspire to expand from the Nile to the Euphrates. When they will have digested the region they overtook, they will aspire to further expansion, and so on. Their plan is embodied in The Protocols of the Elders of Zion, and their present conduct is the best proof of what we are saying. Statements by Hamas members and clerics Statements to an Arab audience In 2008, Imam Yousif al-Zahar of Hamas said in his sermon at the Katib Wilayat mosque in Gaza that "Jews are a people who cannot be trusted. They have been traitors to all agreements. Go back to history. Their fate is their vanishing." Another Hamas legislator and imam, Sheik Yunus al-Astal, discussed a Koranic verse suggesting that "suffering by fire is the Jews' destiny in this world and the next." He concluded "Therefore we are sure that the Holocaust is still to come upon the Jews." Following the rededication of the Hurva Synagogue in Jerusalem in March 2010, senior Hamas figure al-Zahar called on Palestinians everywhere to observe five minutes of silence "for Israel's disappearance and to identify with Jerusalem and the al-Aqsa mosque". He further stated that "Wherever you have been you've been sent to your destruction. You've killed and murdered your prophets and you have always dealt in loan-sharking and destruction. You've made a deal with the devil and with destruction itself—just like your synagogue." On August 10, 2012, Ahmad Bahr, Deputy Speaker of the Hamas Parliament, stated in a sermon that aired on Al-Aqsa TV: If the enemy sets foot on a single square inch of Islamic land, Jihad becomes an individual duty, incumbent on every Muslim, male or female. A woman may set out [on Jihad] without her husband's permission, and a servant without his master's permission. Why? In order to annihilate those Jews. ... O Allah, destroy the Jews and their supporters. O Allah, destroy the Americans and their supporters. O Allah, count them one by one, and kill them all, without leaving a single one.Hamas leader prays for annihilation of Jews, Americans by Greg Tepper, The Times of Israel, August 20, 2012.Hamas top official: Kill every last Jew and American (video), Jewish Journal, August 24, 2012. In an interview with Al-Aqsa TV on September 12, 2012, Marwan Abu Ras, a Hamas MP, who is also a member of the International Union of Muslim Scholars, stated (as translated by MEMRI): On December 26, 2012, Senior Hamas official and Jerusalem bureau chief Ahmed Abu Haliba, called on "all Palestinian factions to resume suicide attacks ... deep inside the Zionist enemy" and said that "we must renew the resistance to occupation in any possible way, above all through armed resistance." Abu Haliba suggested the use of suicide bombings as a response to Israel's plans to build housing units in East Jerusalem and the West Bank. In an interview on Lebanese television on July 28, 2014, Hamas spokesman Osama Hamdan repeated the blood libel myth: Statements an international audience In an interview with CBS This Morning on July 27, 2014, Hamas leader Khaled Meshaal stated: On January 8, 2012, during a visit to Tunis, Gazan Hamas PM Ismail Haniyeh told The Associated Press on that he disagrees with the anti-Semitic slogans. "We are not against the Jews because they are Jews. Our problem is with those occupying the land of Palestine," he said. "There are Jews all over the world, but Hamas does not target them." In response to a statement by Palestinian Authority leader Mahmoud Abbas that Hamas preferred non-violent means and had agreed to adopt "peaceful resistance," Hamas contradicted Abbas. According to Hamas spokesman Sami Abu-Zuhri, "We had agreed to give popular resistance precedence in the West Bank, but this does not come at the expense of armed resistance." In May 2009, senior Hamas MP Sayed Abu Musameh said, "in our culture, we respect every foreigner, especially Jews and Christians, but we are against Zionists, not as nationalists but as fascists and racists." In the same interview, he also said, "I hate all kinds of weapons. I dream of seeing every weapon from the atomic bomb to small guns banned everywhere." In January 2009, Gazan Hamas Health Minister Basim Naim published a letter in The Guardian, stating that Hamas has no quarrel with Jewish people, only with the actions of Israel. In October 1994, in a response to Isreael's crackdown on Hamas militants following a suicide bombing on a Tel Aviv bus, Hamas promised retaliation: "Rabin must know that Hamas loves death more than Rabin and his soldiers love life." Statements on the Holocaust Hamas has been explicit in its Holocaust denial. In reaction to the Stockholm conference on the Jewish Holocaust, held in late January 2000, Hamas issued a press release that it published on its official website, containing the following statements from a senior leader: This conference bears a clear Zionist goal, aimed at forging history by hiding the truth about the so-called Holocaust, which is an alleged and invented story with no basis. (...) The invention of these grand illusions of an alleged crime that never occurred, ignoring the millions of dead European victims of Nazism during the war, clearly reveals the racist Zionist face, which believes in the superiority of the Jewish race over the rest of the nations. (...) By these methods, the Jews in the world flout scientific methods of research whenever that research contradicts their racist interests. In August 2003, senior Hamas official Dr Abd Al-Aziz Al-Rantisi wrote in the Hamas newspaper Al-Risala that the Zionists encouraged murder of Jews by the Nazis with the aim of forcing them to immigrate to Palestine. In 2005, Khaled Mashal called Mahmoud Ahmadinejad's December 14, 2005 statements on the Holocaust that Europeans had "created a myth in the name of Holocaust") as "courageous". Later in 2008, Basim Naim, the minister of health in the Hamas-led Palestinian Authority government in Gaza countered holocaust denial, and said "it should be made clear that neither Hamas nor the Palestinian government in Gaza denies the Nazi Holocaust. The Holocaust was not only a crime against humanity but one of the most abhorrent crimes in modern history. We condemn it as we condemn every abuse of humanity and all forms of discrimination on the basis of religion, race, gender or nationality." In an open letter to Gaza Strip UNRWA chief John Ging published August 20, 2009, the movement's Popular Committees for Refugees called the Holocaust "a lie invented by the Zionists," adding that the group refused to let Gazan children study it. Hamas leader Yunis al-Astal continued by saying that having the Holocaust included in the UNRWA curriculum for Gaza students amounted to "marketing a lie and spreading it". Al-Astal continued "I do not exaggerate when I say this issue is a war crime, because of how it serves the Zionist colonizers and deals with their hypocrisy and lies." In February 2011, Hamas voiced opposition to UNRWA's teaching of the Holocaust in Gaza. According to Hamas, "Holocaust studies in refugee camps is a contemptible plot and serves the Zionist entity with a goal of creating a reality and telling stories in order to justify acts of slaughter against the Palestinian people." In July 2012, Fawzi Barhoum, a Hamas spokesman, denounced a visit by Ziad al-Bandak, an adviser to Palestinian Authority President Mahmoud Abbas, to the Auschwitz death camp, saying it was "unjustified" and "unhelpful" and only served the "Zionist occupation" while coming "at the expense of a real Palestinian tragedy". He also called the Holocaust an "alleged tragedy" and "exaggerated". In October 2012, Hamas said that they were opposed to teaching about the Holocaust in Gaza Strip schools run by the UN Relief and Works Agency. The Refugee Affairs Department of Hamas said that teaching the Holocaust was a "crime against the issue of the refugees that is aimed at canceling their right of return". Violence and terrorism Hamas has used both political activities and violence in pursuit of its goals. For example, while politically engaged in the 2006 Palestinian Territories parliamentary election campaign, Hamas stated in its election manifesto that it was prepared to use "armed resistance to end the occupation". From 2000 to 2004, Hamas was responsible for killing nearly 400 Israelis and wounding more than 2,000 in 425 attacks, according to the Israeli Ministry of Foreign Affairs. From 2001 through May 2008, Hamas launched more than 3,000 Qassam rockets and 2,500 mortar attacks into Israel. Attacks on civilians Hamas has attacked Israeli civilians. Hamas's most deadly suicide bombing was an attack on a Netanya hotel on March 27, 2002, in which 30 people were killed and 140 were wounded. The attack has also been referred to as the Passover massacre since it took place on the first night of the Jewish festival of Passover at a Seder. Hamas has defended suicide attacks as a legitimate aspect of its asymmetric warfare against Israel. In 2003, according to Stephen Atkins, Hamas resumed suicide bombings in Israel as a retaliatory measure after the failure of peace talks and an Israeli campaign targeting members of the upper echelon of the Hamas leadership. but they are considered as crimes against humanity under international law. In a 2002 report, Human Rights Watch stated that Hamas leaders "should be held accountable" for "war crimes and crimes against humanity" committed by the al-Qassam Brigades. In May 2006 Israel arrested a top Hamas official, Ibrahim Hamed, who Israeli security officials alleged was responsible for dozens of suicide bombings and other attacks on Israelis. Hamed's trial on those charges has not yet concluded. In 2008, Hamas explosives engineer Shihab al-Natsheh organized a deadly suicide bombing in Dimona. Since 2002, paramilitary soldiers of al-Qassam Brigades and other groups have used homemade Qassam rockets to hit Israeli towns in the Negev, such as Sderot. Al-Qassam Brigades was estimated in 2007 to have launched 22% of the rocket and mortar attacks, which killed fifteen people between the years 2000 and 2009 (see Palestinian rocket attacks on Israel). The introduction of the Qassam-2 rocket in 2008 enabled Palestinian paramilitary groups to reach, from Gaza, such Israeli cities such as Ashkelon. In 2008, Hamas leader Khaled Mashal, offered that Hamas would attack only military targets if the IDF would stop causing the deaths of Palestinian civilians. Following a June 19, 2008 ceasefire, the al-Qassam Brigades ended its rocket attacks and arrested Fatah militants in Gaza who had continued sporadic rocket and mortar attacks against Israel. The al-Qassam Brigades resumed the attacks after the November 4 Israeli incursion into Gaza. On June 15, 2014, Israeli Prime Minister Benjamin Netanyahu accused Hamas of involvement in the kidnapping of three Israeli teenagers (including one who held American citizenship), saying "This has severe repercussions." On July 20, 2014, nearly two weeks into Operation Protective Edge, Netanyahu in an interview with CNN described Hamas as "genocidal terrorists." On August 5, 2014 Israel announced that Israeli security forces arrested Hussam Kawasme, in Shuafat, in connection with the murders. During interrogation, Kawasme admitted to being the mastermind behind the attack, in addition to securing the funding from Hamas. Officials have stated that additional people arrested in connection with the murders are still being held, but no names have been released. On August 20, Saleh al-Arouri, a Hamas leader in exile in Turkey, claimed responsibility for the kidnapping of the three Israeli teens. He delivered an address on behalf of Khaled Mashal at the conference of the International Union of Muslim Scholars in Istanbul, a move that might reflect a desire by Hamas to gain leverage. In it he said: "Our goal was to ignite an intifada in the West Bank and Jerusalem, as well as within the 1948 borders. ... Your brothers in the Al-Qassam Brigades carried out this operation to support their imprisoned brothers, who were on a hunger strike. ... The mujahideen captured these settlers in order to have a swap deal." Hamas political leader Khaled Mashal accepted that members of Hamas were responsible, stating that he knew nothing of it in advance and that what the leadership knew of the details came from reading Israeli reports. Meshaal, who has headed Hamas's exiled political wing since 2004, has denied being involved in the "details" of Hamas "military issues", but "justified the killings as a legitimate action against Israelis on "occupied" lands." Hamas suicide attacks on Israeli civilians have largely disappeared since 2005; this has coincided with an increase in rocket attacks. One analysis suggests that the decline in suicide attacks is not motivated by any lack of supplies or volunteers to carry out such operations, by enhanced Israeli security measures such as the West Bank barrier (if Israeli actions were the reason, one would expect to see an equal decline in suicide attacks by all Palestinian factions, which is not observed), or by a newfound desire for reconciliation with Israel on the part of Hamas. Rather, suicide bombings provoked targeted killings that decimated the leadership of Hamas, whereas rocket attacks have elicited weaker Israeli reprisals that have tended to harm the Palestinian population as a whole more than Hamas (such as the blockade of the Gaza Strip)—thereby paradoxically increasing Hamas's popular support. Rocket attacks on Israel Rocket attacks by Hamas have been condemned by human rights organizations as war crimes, both because they usually take aim at civilians and because the weapons' inaccuracy would disproportionately endanger civilians even if military targets were chosen. After Operation Pillar of Defense, Human Rights Watch stated that armed Palestinian groups fired hundreds of rockets at Israeli cities, violating international humanitarian law, and that statements by Palestinian groups that they deliberately targeted Israeli civilians demonstrated an "intent to commit war crimes". HRW's Middle East director Sarah Leah Whitson said that Palestinian groups made clear that "harming civilians was their aim" and said that launching rockets at populated areas had no legal justification. International humanitarian law prohibits deliberate attacks on civilians and intentional violations can be war crimes. According to Human Rights Watch, Hamas and other Palestinian armed groups have launched thousands of rockets into Israel since 2001, killing 15 civilians, wounding many more, and posing an ongoing threat to the nearly 800,000 Israeli civilians who live and work in the weapons' range. Hamas officials have said that the rockets were aimed only at military targets, saying that civilian casualties were the "accidental result" of the weapons' poor quality. According to Human Rights Watch, statements by Hamas leaders suggest that the purpose of the rocket attacks was indeed to strike civilians and civilian objects. From January 2009, following Operation Cast Lead, Hamas largely stopped launching rocket attacks on Israel and has on at least two occasions arrested members of other groups who have launched rockets, "showing that it has the ability to impose the law when it wants". In February 2010, Hamas issued a statement regretting any harm that may have befallen Israeli civilians as a result of Palestinian rocket attacks during the Gaza war. It maintained that its rocket attacks had been aimed at Israeli military targets but lacked accuracy and hence sometimes hit civilian areas. Israel responded that Hamas had boasted repeatedly of targeting and murdering civilians in the media. According to one report, commenting on the 2014 conflict, "nearly all the 2,500–3,000 rockets and mortars Hamas has fired at Israel since the start of the war seem to have been aimed at towns", including an attack on "a kibbutz collective farm close to the Gaza border", in which an Israeli child was killed. Former Israeli Lt. Col. Jonathan D. Halevi stated that "Hamas has expressed pride in aiming long-range rockets at strategic targets in Israel including the nuclear reactor in Dimona, the chemical plants in Haifa, and Ben-Gurion Airport", which "could have caused thousands" of Israeli casualties "if successful". In July 2008 Barack Obama, then the Democratic presidential candidate, said: "If somebody was sending rockets into my house, where my two daughters sleep at night, I'm going to do everything in my power to stop that, and I would expect Israelis to do the same thing." On December 28, 2008, Secretary of State Condoleezza Rice said in a statement: "the United States strongly condemns the repeated rocket and mortar attacks against Israel." On March 2, 2009, Secretary of State Hillary Clinton condemned the attacks. Attempts to derail 2010 peace talks In 2010, Hamas, who have been actively sidelined from the peace talks by Israel, spearheaded a coordinated effort by 13 Palestinian militant groups, in attempt to derail the stalled peace talks between Israel and Mahmoud Abbas, President of the Palestinian Authority. According to the Israeli Coordinator of Government Activities in the Territories Major Gen. Eitan Dangot, Israel seeks to work with Salam Fayyad, to help revive the Palestinian economy, and hopes to ease restrictions on the Gaza Strip further, "while somehow preventing the Islamic militants who rule it from getting credit for any progress". According to Dangot, Hamas must not be seen as ruling successfully or be allowed to "get credit for a policy that would improve the lives of people". The campaign consists of attacks against Israelis in which, according to a Hamas declaration in early September, "all options are open". The participating groups also include Palestinian Islamic Jihad, the Popular Resistance Committees and an unnamed splinter group of Fatah. As part of the campaign, on August 31, 2010, 4 Israeli settlers, including a pregnant woman, were killed by Hamas militants while driving on Route 60 near the settlement Kiryat Arba, in the West bank. According to witnesses, militants opened fire on the moving vehicle, but then "approached the car" and shot the occupants in their seats at "close range". The attack was described by Israeli sources as one of the "worst" terrorist acts in years. A senior Hamas official said that Israeli settlers in the West Bank are legitimate targets since "they are an army in every sense of the word". Themes of martyrdom According to a translation by Palestinian Media Watch, in 2008, Fathi Hamad, a member of the Palestinian Legislative Council, stated on Al-Aqsa TV, "For the Palestinian people death became an industry, at which women excel and so do all people on this land: the elderly excel, the Jihad fighters excel, and the children excel. Accordingly (Palestinians) created a human shield of women, children, the elderly and the Jihad fighters against the Zionist bombing machine, as if they were saying to the Zionist enemy: 'We desire death as you desire life.'" In 2010, Hamas speaker Ahmad Bahr praised the virtues of martyrdom and Jihad, and said that 2.5 million black-eyed virgins were waiting in the Garden of Eden, which could be entered only by prophets, by the righteous, and by martyrs. He continued by saying that nobody on Earth "will be able to confront the resistance, or to confront the mujahideen, those who worship Allah and seek martyrdom". Guerrilla warfare Hamas has made great use of guerrilla tactics in the Gaza Strip and to a lesser degree the West Bank. It has successfully adapted these techniques over the years since its inception. According to a 2006 report by rival Fatah party, Hamas had smuggled between several hundred and 1,300 tons of advanced rockets, along with other weaponry, into Gaza. Hamas has used IEDs and anti-tank rockets against the IDF in Gaza. The latter include standard RPG-7 warheads and home-made rockets such as the Al-Bana, Al-Batar and Al-Yasin. The IDF has a difficult, if not impossible time trying to find hidden weapons caches in Palestinian areas—this is due to the high local support base Hamas enjoys. Extrajudicial killings of rivals In addition to killing Israeli civilians and armed forces, Hamas has also murdered suspected Palestinian Israel collaborators and Fatah rivals. Hundreds of Palestinians were executed by both Hamas and Fatah during the First Intifada. In the wake of the 2006 Israeli conflict with Gaza, Hamas was accused of systematically rounding up, torturing and summarily executing Fatah supporters suspected of supplying information to Israel. Human Rights Watch estimates several hundred Gazans were "maimed" and tortured in the aftermath of the conflict. Seventy-three Gazan men accused of "collaborating" had their arms and legs broken by "unidentified perpetrators" and 18 Palestinians accused of helping Israel were executed by Hamas security officials in the first days of the conflict. In November 2012, Hamas's Izzedine al-Qassam brigade publicly executed six Gaza residents accused of collaborating with Israel. According to the witnesses, six alleged informers were shot dead one by one in Gaza City, while the corpse of the sixth victim was tied by a cable to the back of a motorcycle and dragged through the streets. In 2013, Human Rights Watch issued a statement condemning Hamas for not investigating and giving a proper trial to the 6 men. Their statement was released the day before Hamas issued a deadline for "collaborators" to turn themselves in, or they will be pursued "without mercy". In August 2014, during the 2014 Israel-Gaza conflict, at least 22 accused collaborators were executed by Hamas shortly after three of its commanders were assassinated by Israeli forces. An Israeli source denied that any of the commanders had been targeted on the basis of human intelligence. Frequent killings of unarmed people have also occurred during Hamas-Fatah clashes. NGOs have cited a number of summary executions as particular examples of violations of the rules of warfare, including the case of Muhammad Swairki, 28, a cook for Palestinian Authority Chairman Mahmoud Abbas's presidential guard, who was thrown to his death, with his hands and legs tied, from a 15-story apartment building in Gaza City. Hamas security forces reportedly shoot and torture Palestinians who opposed Hamas rule in Gaza. In one case, a Palestinian had criticized Hamas in a conversation on the street with some friends. Later that day, more than a dozen armed men with black masks and red kaffiyeh took the man from his home, and brought him to a solitary area where they shot him three times in the lower legs and ankles. The man told Human Rights Watch that he was not politically active. On August 14, 2009, Hamas fighters stormed the Mosque of cleric Abdel-Latif Moussa. The cleric was protected by at least 100 fighters from Jund Ansar Allah ("Army of the Helpers of God"), an Islamist group with links to Al-Qaeda. The resulting battle left at least 13 people dead, including Moussa and 6 Hamas fighters, and 120 people injured. According to Palestinian president Mahmoud Abbas, during 2014 Israel–Gaza conflict, Hamas killed more than 120 Palestinian youths for defying house arrest imposed on them by Hamas, in addition to 30–40 Palestinians killed by Hamas in extrajudicial executions after accusing them of being collaborators with Israel. Referring to the killing of suspected collaborators, a Shin Bet official stated that "not even one" of those executed by Hamas provided any intelligence to Israel, while the Shin Bet officially "confirmed that those executed during Operation Protective Edge had all been held in prison in Gaza in the course of the hostilities". 2011–2013 Sinai insurgency Hamas has been accused of providing weapons, training and fighters for Sinai-based insurgent attacks, although Hamas strongly denies the allegations, calling them a smear campaign aiming to harm relations with Egypt. According to the Egyptian Army, since the ouster of Egypt's Muslim-Brotherhood president Mohamed Morsi, over 600 Hamas members have entered the Sinai Peninsula through smuggling tunnels. In addition, several weapons used in Sinai's insurgent attacks are being traced back to Hamas in the Gaza Strip, according to the army. The four leading insurgent groups in the Sinai have all reportedly maintained close ties with the Gaza Strip. Hamas is also accused of helping Morsi and other high-ranking Egyptian Muslim Brotherhood members break out of the Wadi Natroun prison in Cairo during the 2011 revolution. Hamas called the accusation a "dangerous development". Egyptian authorities stated that the 2011 Alexandria bombing was carried out by the Gaza-based Army of Islam, which has received sanctuary from Hamas and earlier collaborated in the capture of Gilad Shalit. Army of Islam members linked to the August 2012 Sinai attack have reportedly sought refuge in the Gaza Strip. Egypt stated that Hamas directly provided logistical support to the Muslim Brotherhood militants who carried out the December 2013 Mansoura bombing. Terrorist designation The United States designated Hamas as a terrorist organisation in 1995, as did Canada in November 2002, and the United Kingdom in November 2021. The European Union designated Hamas's military wing in 2001 and, under US pressure, designated Hamas in 2003. Hamas challenged this decision, which was upheld by the European Court of Justice in July 2017. Japan and New Zealand, among others, have designated the military wing of Hamas as a terrorist organization. The organization is banned in Jordan. Hamas is not regarded as a terrorist organization by Iran, Russia, Norway, Switzerland, Turkey, China, Egypt, Syria, and Brazil. According to Tobias Buck, Hamas is "listed as a terrorist organisation by Israel, the US and the EU, but few dare to treat it that way now" and in the Arab and Muslim world it has lost its pariah status and its emissaries are welcomed in capitals of Islamic countries. While Hamas is considered a terrorist group by several governments and some academics, others regard Hamas as a complex organization, with terrorism as only one component. Criticism United States The FBI and United States Department of Justice also stated, in 2004, that Hamas threatened the United States through covert cells on U.S. soil. Researcher Steven Emerson in 2006 alleged that the group had "an extensive infrastructure in the U.S. mostly revolving around the activities of fundraising, recruiting and training members, directing operations against Israel, organizing political support and operating through human-rights front groups". Emerson added that while the group had never acted outside of Israel or the Palestinian Territories, it does have the capacity to carry out attacks in the U.S. "if it decided to enlarge the scope of its operations". FBI director Robert Mueller in 2005 testified to the Senate Intelligence Committee that, the FBI's assessment at that time was that there was "a limited threat of a coordinated terrorist attack in the US from Palestinian terrorist organizations" such as Hamas. He added that Hamas had "maintained a longstanding policy of focusing their attacks on Israeli targets in Israel and the Palestinian territories", and that the FBI believed that the main interest of Hamas in the U.S. remained "the raising of funds to support their regional goals". Mueller also stated, "of all the Palestinian groups, Hamas has the largest presence in the US, with a robust infrastructure, primarily focused on fundraising, propaganda for the Palestinian cause, and proselytizing." Although it would be a major strategic shift for Hamas, its United States network is theoretically capable of facilitating acts of terrorism in the U.S. On May 2, 2011, Hamas leader and Prime Minister Ismail Haniyeh condemned the killing of Osama bin Laden in Pakistan by the United States. Haniyeh praised Bin Laden, the founder of the jihadist organization al-Qaeda, as a "martyr" and an "Arab holy warrior". The United States government condemned his remarks as "outrageous". Hamas has reportedly maintained operational and financial ties with al Qaeda. Human shields After Operation Pillar of Defense, Human Rights Watch stated that Palestinian groups had endangered civilians by "repeatedly fired rockets from densely populated areas, near homes, businesses, and a hotel" and noted that under international law, parties to a conflict may not place military targets in or near densely populated areas. One rocket was launched close to the Shawa and Housari Building, where various Palestinian and international media have offices; another was fired from the yard of a house near the Deira Hotel. The New York Times journalist Steven Erlanger reported that "Hamas rocket and weapons caches, including rocket launchers, have been discovered in and under mosques, schools and civilian homes." Another report published by Intelligence and Terrorism Information Center revealed that Hamas used close to 100 mosques to store weapons and as launch-pads to shoot rockets. The report contains testimony from variety Palestinian sources, including a Hamas militant Sabhi Majad Atar, who said he was taught how to shoot rockets from inside a mosque. Hamas has also been criticized by Israeli officials for blending into or hiding among the Palestinian civilian population during the 2008–2009 Israel–Gaza conflict. The Israeli government published what it said was video evidence of human shield tactics by Hamas. Israel said that Hamas frequently used mosques and school yards as hideouts and places to store weapons, and that Hamas militants stored weapons in their homes, making it difficult to ensure that civilians close to legitimate military targets are not hurt during Israeli military operations. Israeli officials also accused the Hamas leadership of hiding under Shifa Hospital during the conflict, using the patients inside to deter an Israeli attack. The Israeli government filed a report entitled "Gaza Operations Investigation: Second Update" to the United Nations accusing Hamas of exploiting its rules of engagement by shooting rockets and launching attacks within protected civilian areas. Israel says 12,000 rockets and mortars were fired at it between 2000 and 2008—nearly 3,000 in 2008 alone. In one case, an errant Israeli mortar strike killed dozens of people near a UN school. Hamas said that the mortar killed 42 people and left dozens wounded. Israel said that Hamas militants had launched a rocket from a yard adjacent to the school and one mortar of three rounds hit the school, due to a GPS error. According to the Israeli military probe, the remaining two rounds hit the yard used to launch rockets into Israel, killing two members of Hamas's military wing who fired the rockets. Human Rights Watch called Hamas to "publicly renounce" the rocket attacks against Israeli civilians and hold those responsible to account. Human Rights Watch program director Iain Levine said the attacks by Hamas were "unlawful and unjustifiable, and amount to war crimes", and accused Hamas of putting Palestinians at risk by launching attacks from built-up areas. A Hamas spokesman replied that the report was "biased" and denied that Hamas uses human shields. Human Rights Watch investigated 19 incidents involving 53 civilian deaths in Gaza that Israel said were the result of Hamas fighting in densely populated areas and did not find evidence for existence of Palestinian fighters in the areas at the time of the Israeli attack. In other cases where no civilians had died, the report concluded that Hamas may have deliberately fired rockets from areas close to civilians. HRW also investigated 11 deaths that Israel said were civilians being used as human shields by Hamas. HRW found no evidence that the civilians were used as human shields, nor had they been shot in crossfire. The Israeli 'human shields' charge against Hamas was called "full of holes" by The National (UAE), which stated that only Israel accused Hamas of using human shields during the conflict, though Hamas "may be guilty" of "locating military objectives within or near densely populated areas" and for "deliberately firing indiscriminate weapons into civilian populated areas". On July 8, 2014, Hamas's spokesman Sami Abu Zuhri encouraged the "policy of people confronting the Israeli warplanes with their bare chests in order to protect their homes", saying it has proven itself. According to the Israel Defense Forces blog, soldiers recounted "Suddenly, a small boy appeared, and the terrorist grabbed him and escaped with him"; "I saw with my own eyes someone using another person, a woman, as a shield. ... And I can see very clearly that the woman doesn't want to be there and he's pulling her with him"; and "We even found explosives in nurseries. The whole neighborhood was practically a terrorist base." Israel has accused Hamas of using children as human shields. The Israeli government released video footage in which it claims two militants are shown grabbing a young boy's arm from behind holding him to walk in front of them toward a group of people waiting near a wall. The IDF argues the militants were placing the boy between themselves and an Israeli sniper. The second scene shows an individual, described as a terrorist, grabbing a school boy off of a floor, where he is hiding behind a column from IDF fire, and using him as a human shield to walk to a different location. After 15 alleged militants sought refuge in a mosque from Israeli forces, the BBC reported that Hamas radio instructed local women to go the mosque to protect the militants. Israeli forces later opened fire and killed two women. In November 2006, the Israeli Air Force warned Muhammad Weil Baroud, commander of the Popular Resistance Committees who are accused of launching rockets into Israeli territory, to evacuate his home in a Jabalya refugee camp apartment block in advance of a planned Israeli air strike. Baroud responded by calling for volunteers to protect the apartment block and nearby buildings and, according to The Jerusalem Post, hundreds of local residents, mostly women and children, responded. Israel suspended the air strike. Israel termed the action an example of Hamas using human shields. In response to the incident, Hamas proclaimed: 'We won. From now on we will form human chains around every house threatened with demolition.'" In a November 22 press release, Human Rights Watch condemned Hamas, stating: "There is no excuse for calling civilians to the scene of a planned attack. Whether or not the home is a legitimate military target, knowingly asking civilians to stand in harm's way is unlawful." Following criticism, Human rights Watch issued a statement saying that their initial assessment of the situation was in error. They stated that, on the basis of available evidence, the home demolition was in fact an administrative act, viewed in the context of Israel's longstanding policy of punitive home demolitions, not a military act and thus would not fall within the purview of the law regulating hostilities during armed conflict, which had been the basis for their initial criticism of Hamas. When the UN-sponsored Goldstone Commission Report on the Gaza War was commissioned in 2009, it stated that it "found no evidence that Palestinian combatants mingled with the civilian population with the intention of shielding themselves from attack" though they deemed credible reports that Palestinian militants were "not always dressed in a way that distinguished them from civilians". Hamas MP Fathi Hamed stated that "For the Palestinian people, death has become an industry, at which women excel...the elderly excel at this...and so do the children. This is why they have formed human shields of the women, the children." Following the release of the Goldstone Report, the former commander of the British forces in Afghanistan Col. Richard Kemp was invited to testify at the UN Human Rights Council 12th Special Session that during Operation Cast Lead Israel encountered an "enemy that deliberately positioned its military capability behind the human shield of the civilian population". Children as combatants In the early intifada period, children in Gaza and the West Bank were instilled by Hamas with Islamic and military values. Evidence from 2001 shows that kindergarten children attended ceremonies where they wore emblematic uniforms and bore mock rifles. Some were dressed up as suicide bombers, whose readiness to die for the cause was held up as a model to be imitated. The preschoolers would swear an oath 'to pursue jihad, resistance and intifada.' At summer camps, alongside qur’anic studies and familiarization with computers, courses were given that included military training. Although Hamas admits to sponsoring summer schools to train teenagers in handling weapons they condemn attacks by children. Following the deaths of three teenagers during a 2002 attack on Netzarim in central Gaza, Hamas banned attacks by children and "called on the teachers and religious leaders to spread the message of restraint among young boys". Hamas's use of child labor to build tunnels with which to attack Israel has also been criticized, with at least 160 children killed in the tunnels as of 2012. Political freedoms Human rights groups and Gazans have accused the Hamas government in the Gaza Strip of restricting freedom of the press and forcefully suppressing dissent. Both foreign and Palestinian journalists report harassment and other measures taken against them. In September 2007 the Gaza Interior Ministry disbanded the Gaza Strip branch of the pro-Fatah Union of Palestinian Journalists, a move criticized by Reporters without borders. In November of that year the Hamas government arrested a British journalist and for a time canceled all press cards in Gaza. On February 8, 2008, Hamas banned distribution of the pro-Fatah Al-Ayyam newspaper, and closed its offices in the Gaza Strip because it ran a caricature that mocked legislators loyal to Hamas. The Gaza Strip Interior Ministry later issued an arrest warrant for the editor. More widely, in late August 2007 the group was accused in The Telegraph, a conservative British newspaper, of torturing, detaining, and firing on unarmed protesters who had objected to policies of the Hamas government. Also in late August, Palestinian health officials reported that the Hamas government had been shutting down Gaza clinics in retaliation for doctor strikes. The Hamas government confirmed the "punitive measure against doctors" because, in its view, they had incited other doctors to suspend services and go out on strike. In September 2007 the Hamas government banned public prayers after Fatah supporters began holding worship sessions that quickly escalated into raucous protests against Hamas rule. Government security forces beat several gathering supporters and journalists. In October 2008, the Hamas government announced it would release all political prisoners in custody in Gaza. Several hours after the announcement, 17 Fatah members were released. On August 2, 2012, the International Federation of Journalists (IFJ) accused Hamas of harassing elected officials belonging to the Palestinian Journalists' Syndicate (PJS) in Gaza. The IFJ said that journalists' leaders in Gaza have faced a campaign of intimidation, as well as threats designed to force them to stop their union work. Some of these journalists are now facing charges of illegal activities and a travel ban, due to their refusal "to give in to pressure". The IFJ said that these accusations are "malicious" and "should be dropped immediately". The IFJ explained that the campaign against PJS members began in March 2012, after their election, and included a raid organized by Hamas supporters who took over the PJS offices in Gaza with the help of the security forces, and subsequently evicted the staff and elected officials. Other harassment includes the targeting of individuals who were bullied into stopping union work. The IFJ backed the PJS and called on Prime Minister Ismail Haniyeh to intervene to stop "his officials' unwarranted interference in journalists' affairs". In November 2012, two Gazan journalists were prevented from leaving Gaza by Hamas. There were scheduled to participate in a conference in Cairo, Egypt. After being questioned by security forces, their passports were confiscated. In 2016 Reporters Without Borders condemned Hamas for censorship and for torturing journalists. Reporters Without Borders Secretary-General Christophe Deloire said "As living conditions in the Gaza Strip are disastrous, Hamas wants to silence critics and does not hesitate to torture a journalist in order to control media coverage in its territory." Human rights abuses In June 2011, the Independent Commission for Human Rights based in Ramallah published a report whose findings included that the Palestinians in the West Bank and the Gaza Strip were subjected in
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conflict On July 8, 2014 Israel launched Operation Protective Edge to counter increased Hamas rocket fire from Gaza. The conflict ended with a permanent cease-fire after 7 weeks, and more than 2,200 dead. 64 of the dead were Israeli soldiers, 7 were civilians in Israel (from rocket attacks), and 2,101 were killed in Gaza, of which according to UN OCHA at least 1,460 were civilians. Israel says 1,000 of the dead were militants. Following the conflict, Mahmoud Abbas president of the Palestinian Authority, accused Hamas of needlessly extending the fighting in the Gaza Strip, contributing to the high death toll, of running a "shadow government" in Gaza, and of illegally executing scores of Palestinians. Hamas has complained about the slow delivery of reconstruction materials after the conflict and announced that they were diverting these materials from civilian uses to build more infiltration tunnels. Reconciliation attempts In 2016, Hamas began security co-ordination with Egypt to crack down on Islamic terrorist organizations in Sinai, in return for economic aid. In May 2017, Hamas unveiled its new charter, in an attempt to moderate its image. The charter no longer calls for Israel's destruction, but still calls for liberation of Palestine and to 'confront the Zionist project'. It also confirms acceptance of the 1967 borders as the basis for establishing a Palestinian state as well as not being an offshoot of the Muslim Brotherhood. In October 2017, Fatah and Hamas signed yet another reconciliation agreement. The partial agreement addresses civil and administrative matters involving Gaza and the West Bank. Other contentious issues such as national elections, reform of the Palestine Liberation Organization (PLO) and possible demilitarization of Hamas were to be discussed in the next meeting in November 2017, due to a new step-by-step approach. 2018–2019 Gaza border protests Between 2018 and 2019, Hamas participated in "the Great March of Return" along the Gaza border with Israel. At least 183 Palestinians were killed. 2021 Israel–Palestine crisis In May 2021, after tensions escalated in Sheikh Jarrah and the al-Aqsa mosque compound in Jerusalem, Israel and Hamas clashed in Gaza once again. After eleven days of fighting, at least 243 people were killed in Gaza and 12 in Israel. Media Al-Aqsa TV Al-Aqsa TV is a television channel founded by Hamas. The station began broadcasting in the Gaza Strip on January 9, 2006, less than three weeks before the Palestinian legislative elections. It has shown television programs, including some children's television, which deliver anti-semitic messages. Hamas has stated that the television station is "an independent media institution that often does not express the views of the Palestinian government headed by Ismail Haniyeh or of the Hamas movement," and that Hamas does not hold anti-semitic views. The programming includes ideologically tinged children's shows, news talk, and religiously inspired entertainment. According to the Anti-Defamation League, the station promotes terrorist activity and incites hatred of Jews and Israelis. Al-Aqsa TV is headed by Fathi Ahmad Hammad, chairman of al-Ribat Communications and Artistic Productions—a Hamas-run company that also produces Hamas's radio station, Voice of al-Aqsa, and its biweekly newspaper, The Message. Children's magazine Al-Fateh ("the conqueror") is the Hamas children's magazine, published biweekly in London, and also posted in an online website. It began publication in September 2002, and its 108th issue was released in mid-September 2007. The magazine features stories, poems, riddles, and puzzles, and states it is for "the young builders of the future". According to MEMRI (three of whose seven founding staff had formerly served in the IDF), the magazine includes incitement to jihad and martyrdom and glorification of terrorist operations and of their planners and perpetrators. as well as characterizations of Jews as "murderers of the prophets" and laudatory descriptions of parents who encourage their sons to kill Jews. In each issue, a regular feature titled "The Story of a Martyr" presents the "heroic deeds" of a mujahid from one of the organizations who died in a suicide operation, including operations against civilians, or who was killed by the IDF. MEMRI also noted that the magazine includes illustrations of figures, including child warriors, who embody the ethos of jihad and martyrdom, presenting them as role models. These include the magazine's titular character, Al-Fateh ("The Conqueror")—a small boy on a horse brandishing a drawn scimitar—as well as children carrying guns, and photos of Hamas fighters launching Qassam rockets. Hamas Charter (1988) The foundational document of Hamas, the Hamas Charter (mīthāq ḥarakat), was, according to Khaled Hroub written by a single individual and made public without going through the usual prior consultation process. It was then signed on August 18, 1988. It contains both antisemitic passages and characterizations of Israeli society as Nazi-like in its cruelty, and irredentist claims. It declares all of Palestine a waqf, an unalienable religious property consisting of land endowed to Muslims in perpetuity by God, with religious coexistence under Islam's rule. The charter rejects a two-state solution, stating that the conflict cannot be resolved "except through jihad". Article 6 states that the movement's aim is to "raise the banner of Allah over every inch of Palestine, for under the wing of Islam followers of all religions can coexist in security and safety where their lives, possessions and rights are concerned". It adds that, "when our enemies usurp some Islamic lands, jihad becomes a duty binding on all Muslims", for which the whole of the land is non-negotiable, a position likened, without the racist sentiments present in the Hamas charter, to that in the Likud party platform and in movements like Gush Emunim. For Hamas, to concede territory is seen as equivalent to renouncing Islam itself. Decades down the line, Hamas's official position changed with regard to a two-state solution. Khaled Mashaal, its leader, has publicly affirmed the movement's readiness to accept such a division. When Hamas won a majority in the 2006 Palestinian legislative election, Haniyeh, then president-elect, sent messages to both George Bush and Israel's leaders asking to be recognized and offering a long-term truce (hudna), along the 1967 border lines. No response was forthcoming. Mousa Marzook said in 2007 that the charter could not be altered because it would look like a compromise not acceptable to the 'street' and risk fracturing the party's unity. Hamas leader Khaled Meshaal has stated that the Charter is "a piece of history and no longer relevant, but cannot be changed for internal reasons". Ahmed Yousef, senior adviser to Ismail Haniyeh, added in 2011 that it reflected the views of the Elders in the face of a 'relentless occupation.' The details of its religious and political language had not been examined within the framework of international law, and an internal committee review to amend it was shelved out of concern not to offer concessions to Israel, as had Fatah, on a silver platter. While Hamas representatives recognize the problem, one official notes that Arafat got very little in return for changing the PLO Charter under the Oslo Accords, and that there is agreement that little is gained from a non-violent approach. Richard Davis says the dismissal by contemporary leaders of its relevance and yet the suspension of a desire to rewrite it reflects the differing constituencies Hamas must address, the domestic audience and international relations. The charter itself is considered an 'historical relic.' In March 2006, Hamas released its official legislative program. The document clearly signaled that Hamas could refer the issue of recognizing Israel to a national referendum. Under the heading "Recognition of Israel," it stated simply (AFP, 3/11/06): "The question of recognizing Israel is not the jurisdiction of one faction, nor the government, but a decision for the Palestinian people." This was a major shift away from their 1988 charter. A few months later, via University of Maryland's Jerome Segal, the group sent a letter to U.S. President George W. Bush stating they "don't mind having a Palestinian state in the 1967 borders", and asked for direct negotiations: "Segal emphasized that a state within the 1967 borders and a truce for many years could be considered Hamas's de facto recognition of Israel." In an April 2008 meeting between Hamas leader Khaled Mashal and former U.S. President Jimmy Carter, an understanding was reached in which Hamas agreed it would respect the creation of a Palestinian state in the territory seized by Israel in the 1967 Six-Day War, provided this were ratified by the Palestinian people in a referendum. Hamas later publicly offered a long-term truce with Israel if Israel agreed to return to its 1967 borders and grant the "right of return" to all Palestinian refugees. In November 2008, Hamas leader Ismail Haniyeh re-stated that Hamas was willing to accept a Palestinian state within the 1967 borders, and offered Israel a long-term truce "if Israel recognized the Palestinians' national rights". In 2009, in a letter to UN Secretary General Ban Ki-moon, Haniyeh repeated his group's support for a two-state settlement based on 1967 borders: "We would never thwart efforts to create an independent Palestinian state with borders [from] June 4, 1967, with Jerusalem as its capital." On December 1, 2010, Ismail Haniyeh again repeated, "We accept a Palestinian state on the borders of 1967, with Jerusalem as its capital, the release of Palestinian prisoners, and the resolution of the issue of refugees," and "Hamas will respect the results [of a referendum] regardless of whether it differs with its ideology and principles." In February 2012, according to the Palestinian authority, Hamas forswore the use of violence. Evidence for this was provided by an eruption of violence from Islamic Jihad in March 2012 after an Israeli assassination of a Jihad leader, during which Hamas refrained from attacking Israel. "Israel—despite its mantra that because Hamas is sovereign in Gaza it is responsible for what goes on there—almost seems to understand," wrote Israeli journalists Avi Issacharoff and Amos Harel, "and has not bombed Hamas offices or installations". Israel has rejected some truce offers by Hamas because it contends the group uses them to prepare for more fighting rather than peace. The Atlantic magazine columnist Jeffrey Goldberg, along with other analysts, believes Hamas may be incapable of permanent reconciliation with Israel. Mkhaimer Abusada, a political scientist at Al Azhar University, writes that Hamas talks "of hudna [temporary ceasefire], not of peace or reconciliation with Israel. They believe over time they will be strong enough to liberate all historic Palestine." Islamization efforts In the Gaza Strip The gender ideology outlined in the Hamas charter, the importance of women in the religious-nationalist project of liberation is asserted as no lesser than that of males. Their role was defined primarily as one of manufacturing males and caring for their upbringing and rearing, though the charter recognized they could fight for liberation without obtaining their husband's permission and in 2002 their participation in jihad was permitted. The doctrinal emphasis on childbearing and rearing as woman's primary duty is not so different from Fatah's view of women in the First Intifada and it also resembles the outlook of Jewish settlers, and over time it has been subjected to change. In 1989, during the First Intifada, a small number of Hamas followers campaigned for the wearing of the hijab, which is not a part of traditional women's attire in Palestine, for polygamy, and also insisted women stay at home and be segregated from men. In the course of this campaign, women who chose not to wear the hijab were verbally and physically harassed, with the result that the hijab was being worn 'just to avoid problems on the streets'. The harassment dropped drastically when, after 18 months UNLU condemned it, though similar campaigns reoccurred. Since Hamas took control of the Gaza Strip in 2007, some of its members have attempted to impose Islamic dress or the hijab head covering on women. Also, the government's "Islamic Endowment Ministry" has deployed Virtue Committee members to warn citizens of the dangers of immodest dress, card playing, and dating. However, there are no government laws imposing dress and other moral standards, and the Hamas education ministry reversed one effort to impose Islamic dress on students. There has also been successful resistance to attempts by local Hamas officials to impose Islamic dress on women. Hamas officials deny having any plans to impose Islamic law, one legislator stating that "What you are seeing are incidents, not policy," and that Islamic law is the desired standard "but we believe in persuasion". The Hamas education ministry reversed one effort to impose Islamic dress on students. When the BBC in 2010 interviewed five "middle-class" women in Gaza City, the subjects generally indicated Hamas attempts to enforce conservative religious standards of dress had been largely rejected by the local population, with some expressing concern that the closure of Gaza would allow the proliferation of extremist enforcement attempts by low-level Hamas officials, and others indicating they were happy to see Hamas enforcing such requirements. They also cited examples of leniency by Hamas authorities, such as allowing widowed women to keep custody of their children so long as they did not remarry, and other relaxations in the enforcement of Shariah law. One woman noted that the environment was "not as bad" as during the First Intifada, when women were subject to public criticism and stonings for failure to obey conservative Islamic standards of dress. One woman complained that women were not free to speak their minds or travel alone, and added: "Hamas want to force themselves onto the people. They want the people to submit to them, this is their cover. They destroyed the reputation of Islam, by saying we're doing this because it is religion. This is how they won the elections." In 2013, UNRWA canceled its annual marathon in Gaza after Hamas rulers prohibited women from participating in the race. In the West Bank In 2005, the human rights organization Freemuse released a report titled "Palestine: Taliban-like attempts to censor music", which said that Palestinian musicians feared that harsh religious laws against music and concerts will be imposed since Hamas group scored political gains in the Palestinian Authority local elections of 2005. The attempt by Hamas to dictate a cultural code of conduct in the 1980s and early 1990s led to a violent fighting between different Palestinian sectors. Hamas members reportedly burned down stores that stocked videos they deemed indecent and destroyed books they described as "heretical". In 2005, an outdoor music and dance performance in Qalqiliya were suddenly banned by the Hamas led municipality, for the reason that such an event would be forbidden by Islam, or "Haram". The municipality also ordered that music no longer be played in the Qalqiliya zoo, and mufti Akrameh Sabri issued a religious edict affirming the municipality decision. In response, the Palestinian national poet Mahmoud Darwish warned that "There are Taliban-type elements in our society, and this is a very dangerous sign." The Palestinian columnist Mohammed Abd Al-Hamid, a resident of Ramallah, wrote that this religious coercion could cause the migration of artists, and said "The religious fanatics in Algeria destroyed every cultural symbol, shattered statues and rare works of art and liquidated intellectuals and artists, reporters and authors, ballet dancers and singers—are we going to imitate the Algerian and Afghani examples?" Tayyip Erdoğan's Turkey as a role model Some Hamas members stated that the model of Islamic government that Hamas seeks to emulate is that of Turkey under the rule of Tayyip Erdoğan. The foremost members to distance Hamas from the practices of Taliban and to publicly support the Erdoğan model were Ahmed Yousef and Ghazi Hamad, advisers to Prime Minister Hanieh. Yusuf, the Hamas deputy foreign minister, reflected this goal in an interview to a Turkish newspaper, stating that while foreign public opinion equates Hamas with the Taliban or al-Qaeda, the analogy is inaccurate. Yusuf described the Taliban as "opposed to everything", including education and women's rights, while Hamas wants to establish good relations between the religious and secular elements of society and strives for human rights, democracy and an open society. According to professor Yezid Sayigh of the King's College in London, how influential this view is within Hamas is uncertain, since both Ahmad Yousef and Ghazi Hamad were dismissed from their posts as advisers to Hamas Prime Minister Ismail Hanieh in October 2007. Both have since been appointed to other prominent positions within the Hamas government. Khaled al-Hroub of the West Bank-based and anti-Hamas Palestinian daily Al Ayyam added that despite claims by Hamas leaders that it wants to repeat the Turkish model of Islam, "what is happening on the ground in reality is a replica of the Taliban model of Islam." Antisemitism and anti-Zionism According to academic Esther Webman, antisemitism is not the main tenet of Hamas ideology, although antisemitic rhetoric is frequent and intense in Hamas leaflets. The leaflets generally do not differentiate between Jews and Zionists. In other Hamas publications and interviews with its leaders, attempts at this differentiation have been made. In 2009 representatives of the small anti-Zionist Jewish group Neturei Karta met with Hamas leader Ismail Haniyeh in Gaza, who stated that he held nothing against Jews but only against the state of Israel. Hamas has made conflicting statements about its readiness to recognize Israel. In 2006 a spokesman signaled readiness to recognize Israel within the 1967 borders. Speaking of requests for Hamas to recognize agreements between the Palestinian Authority and Israel, senior Hamas member Khaled Suleiman said that "these agreements are a reality which we view as such, and therefore I see no problem." Also in 2006, a Hamas official ruled out recognition of Israel with reference to West and East Germany, which never recognized each other. Hamas Charter Article 7 of the Hamas Covenant provides the following quotation, attributed to Muhammad: The Day of Judgement will not come about until Moslems fight the Jews (killing the Jews), when the Jew will hide behind stones and trees. The stones and trees will say O Moslems, O Abdulla, there is a Jew behind me, come and kill him. Only the Gharkad tree (evidently a certain kind of tree), would not do that because it is one of the trees of the Jews. Multiple commentators, including Jeffrey Goldberg and Philip Gourevitch, have identified this passage as incitement to genocide. Article 22 states that the French Revolution, the Russian Revolution, colonialism and both world wars were created by the Zionists or forces supportive of Zionism: You may speak as much as you want about regional and world wars. They were behind World War I, when they were able to destroy the Islamic Caliphate, making financial gains and controlling resources. They obtained the Balfour Declaration, formed the League of Nations through which they could rule the world. They were behind World War II, through which they made huge financial gains by trading in armaments, and paved the way for the establishment of their state. It was they who instigated the replacement of the League of Nations with the United Nations and the Security Council to enable them to rule the world through them. There is no war going on anywhere, without having their finger in it. Article 32 of the Covenant refers to an antisemitic forgery, The Protocols of the Elders of Zion: Today it is Palestine, tomorrow it will be one country or another. The Zionist plan is limitless. After Palestine, the Zionists aspire to expand from the Nile to the Euphrates. When they will have digested the region they overtook, they will aspire to further expansion, and so on. Their plan is embodied in The Protocols of the Elders of Zion, and their present conduct is the best proof of what we are saying. Statements by Hamas members and clerics Statements to an Arab audience In 2008, Imam Yousif al-Zahar of Hamas said in his sermon at the Katib Wilayat mosque in Gaza that "Jews are a people who cannot be trusted. They have been traitors to all agreements. Go back to history. Their fate is their vanishing." Another Hamas legislator and imam, Sheik Yunus al-Astal, discussed a Koranic verse suggesting that "suffering by fire is the Jews' destiny in this world and the next." He concluded "Therefore we are sure that the Holocaust is still to come upon the Jews." Following the rededication of the Hurva Synagogue in Jerusalem in March 2010, senior Hamas figure al-Zahar called on Palestinians everywhere to observe five minutes of silence "for Israel's disappearance and to identify with Jerusalem and the al-Aqsa mosque". He further stated that "Wherever you have been you've been sent to your destruction. You've killed and murdered your prophets and you have always dealt in loan-sharking and destruction. You've made a deal with the devil and with destruction itself—just like your synagogue." On August 10, 2012, Ahmad Bahr, Deputy Speaker of the Hamas Parliament, stated in a sermon that aired on Al-Aqsa TV: If the enemy sets foot on a single square inch of Islamic land, Jihad becomes an individual duty, incumbent on every Muslim, male or female. A woman may set out [on Jihad] without her husband's permission, and a servant without his master's permission. Why? In order to annihilate those Jews. ... O Allah, destroy the Jews and their supporters. O Allah, destroy the Americans and their supporters. O Allah, count them one by one, and kill them all, without leaving a single one.Hamas leader prays for annihilation of Jews, Americans by Greg Tepper, The Times of Israel, August 20, 2012.Hamas top official: Kill every last Jew and American (video), Jewish Journal, August 24, 2012. In an interview with Al-Aqsa TV on September 12, 2012, Marwan Abu Ras, a Hamas MP, who is also a member of the International Union of Muslim Scholars, stated (as translated by MEMRI): On December 26, 2012, Senior Hamas official and Jerusalem bureau chief Ahmed Abu Haliba, called on "all Palestinian factions to resume suicide attacks ... deep inside the Zionist enemy" and said that "we must renew the resistance to occupation in any possible way, above all through armed resistance." Abu Haliba suggested the use of suicide bombings as a response to Israel's plans to build housing units in East Jerusalem and the West Bank. In an interview on Lebanese television on July 28, 2014, Hamas spokesman Osama Hamdan repeated the blood libel myth: Statements an international audience In an interview with CBS This Morning on July 27, 2014, Hamas leader Khaled Meshaal stated: On January 8, 2012, during a visit to Tunis, Gazan Hamas PM Ismail Haniyeh told The Associated Press on that he disagrees with the anti-Semitic slogans. "We are not against the Jews because they are Jews. Our problem is with those occupying the land of Palestine," he said. "There are Jews all over the world, but Hamas does not target them." In response to a statement by Palestinian Authority leader Mahmoud Abbas that Hamas preferred non-violent means and had agreed to adopt "peaceful resistance," Hamas contradicted Abbas. According to Hamas spokesman Sami Abu-Zuhri, "We had agreed to give popular resistance precedence in the West Bank, but this does not come at the expense of armed resistance." In May 2009, senior Hamas MP Sayed Abu Musameh said, "in our culture, we respect every foreigner, especially Jews and Christians, but we are against Zionists, not as nationalists but as fascists and racists." In the same interview, he also said, "I hate all kinds of weapons. I dream of seeing every weapon from the atomic bomb to small guns banned everywhere." In January 2009, Gazan Hamas Health Minister Basim Naim published a letter in The Guardian, stating that Hamas has no quarrel with Jewish people, only with the actions of Israel. In October 1994, in a response to Isreael's crackdown on Hamas militants following a suicide bombing on a Tel Aviv bus, Hamas promised retaliation: "Rabin must know that Hamas loves death more than Rabin and his soldiers love life." Statements on the Holocaust Hamas has been explicit in its Holocaust denial. In reaction to the Stockholm conference on the Jewish Holocaust, held in late January 2000, Hamas issued a press release that it published on its official website, containing the following statements from a senior leader: This conference bears a clear Zionist goal, aimed at forging history by hiding the truth about the so-called Holocaust, which is an alleged and invented story with no basis. (...) The invention of these grand illusions of an alleged crime that never occurred, ignoring the millions of dead European victims of Nazism during the war, clearly reveals the racist Zionist face, which believes in the superiority of the Jewish race over the rest of the nations. (...) By these methods, the Jews in the world flout scientific methods of research whenever that research contradicts their racist interests. In August 2003, senior Hamas official Dr Abd Al-Aziz Al-Rantisi wrote in the Hamas newspaper Al-Risala that the Zionists encouraged murder of Jews by the Nazis with the aim of forcing them to immigrate to Palestine. In 2005, Khaled Mashal called Mahmoud Ahmadinejad's December 14, 2005 statements on the Holocaust that Europeans had "created a myth in the name of Holocaust") as "courageous". Later in 2008, Basim Naim, the minister of health in the Hamas-led Palestinian Authority government in Gaza countered holocaust denial, and said "it should be made clear that neither Hamas nor the Palestinian government in Gaza denies the Nazi Holocaust. The Holocaust was not only a crime against humanity but one of the most abhorrent crimes in modern history. We condemn it as we condemn every abuse of humanity and all forms of discrimination on the basis of religion, race, gender or nationality." In an open letter to Gaza Strip UNRWA chief John Ging published August 20, 2009, the movement's Popular Committees for Refugees called the Holocaust "a lie invented by the Zionists," adding that the group refused to let Gazan children study it. Hamas leader Yunis al-Astal continued by saying that having the Holocaust included in the UNRWA curriculum for Gaza students amounted to "marketing a lie and spreading it". Al-Astal continued "I do not exaggerate when I say this issue is a war crime, because of how it serves the Zionist colonizers and deals with their hypocrisy and lies." In February 2011, Hamas voiced opposition to UNRWA's teaching of the Holocaust in Gaza. According to Hamas, "Holocaust studies in refugee camps is a contemptible plot and serves the Zionist entity with a goal of creating a reality and telling stories in order to justify acts of slaughter against the Palestinian people." In July 2012, Fawzi Barhoum, a Hamas spokesman, denounced a visit by Ziad al-Bandak, an adviser to Palestinian Authority President Mahmoud Abbas, to the Auschwitz death camp, saying it was "unjustified" and "unhelpful" and only served the "Zionist occupation" while coming "at the expense of a real Palestinian tragedy". He also called the Holocaust an "alleged tragedy" and "exaggerated". In October 2012, Hamas said that they were opposed to teaching about the Holocaust in Gaza Strip schools run by the UN Relief and Works Agency. The Refugee Affairs Department of Hamas said that teaching the Holocaust was a "crime against the issue of the refugees that is aimed at canceling their right of return". Violence and terrorism Hamas has used both political activities and violence in pursuit of its goals. For example, while politically engaged in the 2006 Palestinian Territories parliamentary election campaign, Hamas stated in its election manifesto that it was prepared to use "armed resistance to end the occupation". From 2000 to 2004, Hamas was responsible for killing nearly 400 Israelis and wounding more than 2,000 in 425 attacks, according to the Israeli Ministry of Foreign Affairs. From 2001 through May 2008, Hamas launched more than 3,000 Qassam rockets and 2,500 mortar attacks into Israel. Attacks on civilians Hamas has attacked Israeli civilians. Hamas's most deadly suicide bombing was an attack on a Netanya hotel on March 27, 2002, in which 30 people were killed and 140 were wounded. The attack has also been referred to as the Passover massacre since it took place on the first night of the Jewish festival of Passover at a Seder. Hamas has defended suicide attacks as a legitimate aspect of its asymmetric warfare against Israel. In 2003, according to Stephen Atkins, Hamas resumed suicide bombings in Israel as a retaliatory measure after the failure of peace talks and an Israeli campaign targeting members of the upper echelon of the Hamas leadership. but they are considered as crimes against humanity under international law. In a 2002 report, Human Rights Watch stated that Hamas leaders "should be held accountable" for "war crimes and crimes against humanity" committed by the al-Qassam Brigades. In May 2006 Israel arrested a top Hamas official, Ibrahim Hamed, who Israeli security officials alleged was responsible for dozens of suicide bombings and other attacks on Israelis. Hamed's trial on those charges has not yet concluded. In 2008, Hamas explosives engineer Shihab al-Natsheh organized a deadly suicide bombing in Dimona. Since 2002, paramilitary soldiers of al-Qassam Brigades and other groups have used homemade Qassam rockets to hit Israeli towns in the Negev, such as Sderot. Al-Qassam Brigades was estimated in 2007 to have launched 22% of the rocket and mortar attacks, which killed fifteen people between the years 2000 and 2009 (see Palestinian rocket attacks on Israel). The introduction of the Qassam-2 rocket in 2008 enabled Palestinian paramilitary groups to reach, from Gaza, such Israeli cities such as Ashkelon. In 2008, Hamas leader Khaled Mashal, offered that Hamas would attack only military targets if the IDF would stop causing the deaths of Palestinian civilians. Following a June 19, 2008 ceasefire, the al-Qassam Brigades ended its rocket attacks and arrested Fatah militants in Gaza who had continued sporadic rocket and mortar attacks against Israel. The al-Qassam Brigades resumed the attacks after the November 4 Israeli incursion into Gaza. On June 15, 2014, Israeli Prime Minister Benjamin Netanyahu accused Hamas of involvement in the kidnapping of three Israeli teenagers (including one who held American citizenship), saying "This has severe repercussions." On July 20, 2014, nearly two weeks into Operation Protective Edge, Netanyahu in an interview with CNN described Hamas as "genocidal terrorists." On August 5, 2014 Israel announced that Israeli security forces arrested Hussam Kawasme, in Shuafat, in connection with the murders. During interrogation, Kawasme admitted to being the mastermind behind the attack, in addition to securing the funding from Hamas. Officials have stated that additional people arrested in connection with the murders are still being held, but no names have been released. On August 20, Saleh al-Arouri, a Hamas leader in exile in Turkey, claimed responsibility for the kidnapping of the three Israeli teens. He delivered an address on behalf of Khaled Mashal at the conference of the International Union of Muslim Scholars in Istanbul, a move that might reflect a desire by Hamas to gain leverage. In it he said: "Our goal was to ignite an intifada in the West Bank and Jerusalem, as well as within the 1948 borders. ... Your brothers in the Al-Qassam Brigades carried out this operation to support their imprisoned brothers, who were on a hunger strike. ... The mujahideen captured these settlers in order to have a swap deal." Hamas political leader Khaled Mashal accepted that members of Hamas were responsible, stating that he knew nothing of it in advance and that what the leadership knew of the details came from reading Israeli reports. Meshaal, who has headed Hamas's exiled political wing since 2004, has denied being involved in the "details" of Hamas "military issues", but "justified the killings as a legitimate action against Israelis on "occupied" lands." Hamas suicide attacks on Israeli civilians have largely disappeared since 2005; this has coincided with an increase in rocket attacks. One analysis suggests that the decline in suicide attacks is not motivated by any lack of supplies or volunteers to carry out such operations, by enhanced Israeli security measures such as the West Bank barrier (if Israeli actions were the reason, one would expect to see an equal decline in suicide attacks by all Palestinian factions, which is not observed), or by a newfound desire for reconciliation with Israel on the part of Hamas. Rather, suicide bombings provoked targeted killings that decimated the leadership of Hamas, whereas rocket attacks have elicited weaker Israeli reprisals that have tended to harm the Palestinian population as a whole more than Hamas (such as the blockade of the Gaza Strip)—thereby paradoxically increasing Hamas's popular support. Rocket attacks on Israel Rocket attacks by Hamas have been condemned by human rights organizations as war crimes, both because they usually take aim at civilians and because the weapons' inaccuracy would disproportionately endanger civilians even if military targets were chosen. After Operation Pillar of Defense, Human Rights Watch stated that armed Palestinian groups fired hundreds of rockets at Israeli cities, violating international humanitarian law, and that statements by Palestinian groups that they deliberately targeted Israeli civilians demonstrated an "intent to commit war crimes". HRW's Middle East director Sarah Leah Whitson said that Palestinian groups made clear that "harming civilians was their aim" and said that launching rockets at populated areas had no legal justification. International humanitarian law prohibits deliberate attacks on civilians and intentional violations can be war crimes. According to Human Rights Watch, Hamas and other Palestinian armed groups have launched thousands of rockets into Israel since 2001, killing 15 civilians, wounding many more, and posing an ongoing threat to the nearly 800,000 Israeli civilians who live and work in the weapons' range. Hamas officials have said that the rockets were aimed only at military targets, saying that civilian casualties were the "accidental result" of the weapons' poor quality. According to Human Rights Watch, statements by Hamas leaders suggest that the purpose of the rocket attacks was indeed to strike civilians and civilian objects. From January 2009, following Operation Cast Lead, Hamas largely stopped launching rocket attacks on Israel and has on at least two occasions arrested members of other groups who have launched rockets, "showing that it has the ability to impose the law when it wants". In February 2010, Hamas issued a statement regretting any harm that may have befallen Israeli civilians as a result of Palestinian rocket attacks during the Gaza war. It maintained that its rocket attacks had been aimed at Israeli military targets but lacked accuracy and hence sometimes hit civilian areas. Israel responded that Hamas had boasted repeatedly of targeting and murdering civilians in the media. According to one report, commenting on the 2014 conflict, "nearly all the 2,500–3,000 rockets and mortars Hamas has fired at Israel since the start of the war seem to have been aimed at towns", including an attack on "a kibbutz collective farm close to the Gaza border", in which an Israeli child was killed. Former Israeli Lt. Col. Jonathan D. Halevi stated that "Hamas has expressed pride in aiming long-range rockets at strategic targets in Israel including the nuclear reactor in Dimona, the chemical plants in Haifa, and Ben-Gurion Airport", which "could have caused thousands" of Israeli casualties "if successful". In July 2008 Barack Obama, then the Democratic presidential candidate, said: "If somebody was sending rockets into my house, where my two daughters sleep at night, I'm going to do everything in my power to stop that, and I would expect Israelis to do the same thing." On December 28, 2008, Secretary of State Condoleezza Rice said in a statement: "the United States strongly condemns the repeated rocket and mortar attacks against Israel." On March 2, 2009, Secretary of State Hillary Clinton condemned the attacks. Attempts to derail 2010 peace talks In 2010, Hamas, who have been actively sidelined from the peace talks by Israel, spearheaded a coordinated effort by 13 Palestinian militant groups, in attempt to derail the stalled peace talks between Israel and Mahmoud Abbas, President of the Palestinian Authority. According to the Israeli Coordinator of Government Activities in the Territories Major Gen. Eitan Dangot, Israel seeks to work with Salam Fayyad, to help revive the Palestinian economy, and hopes to ease restrictions on the Gaza Strip further, "while somehow preventing the Islamic militants who rule it from getting credit for any progress". According to Dangot, Hamas must not be seen as ruling successfully or be allowed to "get credit for a policy that would improve the lives of people". The campaign consists of attacks against Israelis in which, according to a Hamas declaration in early September, "all options are open". The participating groups also include Palestinian Islamic Jihad, the Popular Resistance Committees and an unnamed splinter group of Fatah. As part of the campaign, on August 31, 2010, 4 Israeli settlers, including a pregnant woman, were killed by Hamas militants while driving on Route 60 near the settlement Kiryat Arba, in the West bank. According to witnesses, militants opened fire on the moving vehicle, but then "approached the car" and shot the occupants in their seats at "close range". The attack was described by Israeli sources as one of the "worst" terrorist acts in years. A senior Hamas official said that Israeli settlers in the West Bank are legitimate targets since "they are an army in every sense of the word". Themes of martyrdom According to a translation by Palestinian Media Watch, in 2008, Fathi Hamad, a member of the Palestinian Legislative Council, stated on Al-Aqsa TV, "For the Palestinian people death became an industry, at which women excel and so do all people on this land: the elderly excel, the Jihad fighters excel, and the children excel. Accordingly (Palestinians) created a human shield of women, children, the elderly and the Jihad fighters against the Zionist bombing machine, as if they were saying to the Zionist enemy: 'We desire death as you desire life.'" In 2010, Hamas speaker Ahmad Bahr praised the virtues of martyrdom and Jihad, and said that 2.5 million black-eyed virgins were waiting in the Garden of Eden, which could be entered only by prophets, by the righteous, and by martyrs. He continued by saying that nobody on Earth "will be able to confront the resistance, or to confront the mujahideen, those who worship Allah and seek martyrdom". Guerrilla warfare Hamas has made great use of guerrilla tactics in the Gaza Strip and to a lesser degree the West Bank. It has successfully adapted these techniques over the years since its inception. According to a 2006 report by rival Fatah party, Hamas had smuggled between several hundred and 1,300 tons of advanced rockets, along with other weaponry, into Gaza. Hamas has used IEDs and anti-tank rockets against the IDF in Gaza. The latter include standard RPG-7 warheads and home-made rockets such as the Al-Bana, Al-Batar and Al-Yasin. The IDF has a difficult, if not impossible time trying to find hidden weapons caches in Palestinian areas—this is due to the high local support base Hamas enjoys. Extrajudicial killings of rivals In addition to killing Israeli civilians and armed forces, Hamas has also murdered suspected Palestinian Israel collaborators and Fatah rivals. Hundreds of Palestinians were executed by both Hamas and Fatah during the First Intifada. In the wake of the 2006 Israeli conflict with Gaza, Hamas was accused of systematically rounding up, torturing and summarily executing Fatah supporters suspected of supplying information to Israel. Human Rights Watch estimates several hundred Gazans were "maimed" and tortured in the aftermath of the conflict. Seventy-three Gazan men accused of "collaborating" had their arms and legs broken by "unidentified perpetrators" and 18 Palestinians accused of helping Israel were executed by Hamas security officials in the first days of the conflict. In November 2012, Hamas's Izzedine al-Qassam brigade publicly executed six Gaza residents accused of collaborating with Israel. According to the witnesses, six alleged informers were shot dead one by one in Gaza City, while the corpse of the sixth victim was tied by a cable to the back of a motorcycle and dragged through the streets. In 2013, Human Rights Watch issued a statement condemning Hamas for not investigating and giving a proper trial to the 6 men. Their statement was released the day before Hamas issued a deadline for "collaborators" to turn themselves in, or they will be pursued "without mercy". In August 2014, during the 2014 Israel-Gaza conflict, at least 22 accused collaborators were executed by Hamas shortly after three of its commanders were assassinated by Israeli forces. An Israeli source denied that any of the commanders had been targeted on the basis of human intelligence. Frequent killings of unarmed people have also occurred during Hamas-Fatah clashes. NGOs have cited a number of summary executions as particular examples of violations of the rules of warfare, including the case of Muhammad Swairki, 28, a cook for Palestinian Authority Chairman Mahmoud Abbas's presidential guard, who was thrown to his death, with his hands and legs tied, from a 15-story apartment building in Gaza City. Hamas security forces reportedly shoot and torture Palestinians who opposed Hamas rule in Gaza. In one case, a Palestinian had criticized Hamas in a conversation on the street with some friends. Later that day, more than a dozen armed men with black masks and red kaffiyeh took the man from his home, and brought him to a solitary area where they shot him three times in the lower legs and ankles. The man told Human Rights Watch that he was not politically active. On August 14, 2009, Hamas fighters stormed the Mosque of cleric Abdel-Latif Moussa. The cleric was protected by at least 100 fighters from Jund Ansar Allah ("Army of the Helpers of God"), an Islamist group with links to Al-Qaeda. The resulting battle left at least 13 people dead, including Moussa and 6 Hamas fighters, and 120 people injured. According to Palestinian president Mahmoud Abbas, during 2014 Israel–Gaza conflict, Hamas killed more than 120 Palestinian youths for defying house arrest imposed on them by Hamas, in addition to 30–40 Palestinians killed by Hamas in extrajudicial executions after accusing them of being collaborators with Israel. Referring to the killing of suspected collaborators, a Shin Bet official stated that "not even one" of those executed by Hamas provided any intelligence to Israel, while the Shin Bet officially "confirmed that those executed during Operation Protective Edge had all been held in prison in Gaza in the course of the hostilities". 2011–2013 Sinai insurgency Hamas has been accused of providing weapons, training and fighters for Sinai-based insurgent attacks, although Hamas strongly denies the allegations, calling them a smear campaign aiming to harm relations with Egypt. According to the Egyptian Army, since the ouster of Egypt's Muslim-Brotherhood president Mohamed Morsi, over 600 Hamas members have entered the Sinai Peninsula through smuggling tunnels. In addition, several weapons used in Sinai's insurgent attacks are being traced back to Hamas in the Gaza Strip, according to the army. The four leading insurgent groups in the Sinai have all reportedly maintained close ties with the Gaza Strip. Hamas is also accused of helping Morsi and other high-ranking Egyptian Muslim Brotherhood members break out of the Wadi Natroun prison in Cairo during the 2011 revolution. Hamas called the accusation a "dangerous development". Egyptian authorities stated that the 2011 Alexandria bombing was carried out by the Gaza-based Army of Islam, which has received sanctuary from Hamas and earlier collaborated in the capture of Gilad Shalit. Army of Islam members linked to the August 2012 Sinai attack have reportedly sought refuge in the Gaza Strip. Egypt stated that Hamas directly provided logistical support to the Muslim Brotherhood militants who carried out the December 2013 Mansoura bombing. Terrorist designation The United States designated Hamas as a terrorist organisation in 1995, as did Canada in November 2002, and the United Kingdom in November 2021. The European Union designated Hamas's military wing in 2001 and, under US pressure, designated Hamas in 2003. Hamas challenged this decision, which was upheld by the European Court of Justice in July 2017. Japan and New Zealand, among others, have designated the military wing of Hamas as a terrorist organization. The organization is banned in Jordan. Hamas is not regarded as a terrorist organization by Iran, Russia, Norway, Switzerland, Turkey, China, Egypt, Syria, and Brazil. According to Tobias Buck, Hamas is "listed as a terrorist organisation by Israel, the US and the EU, but few dare to treat it that way now" and in the Arab and Muslim world it has lost its pariah status and its emissaries are welcomed in capitals of Islamic countries. While Hamas is considered a terrorist group by several governments and some academics, others regard Hamas as a complex organization, with terrorism as only one component. Criticism United States The FBI and United States Department of Justice also stated, in 2004, that Hamas threatened the United States through covert cells on U.S. soil. Researcher Steven Emerson in 2006 alleged that the group had "an extensive infrastructure in the U.S. mostly revolving around the activities of fundraising, recruiting and training members, directing operations against Israel, organizing political support and operating through human-rights front groups". Emerson added that while the group had never acted outside of Israel or the Palestinian Territories, it does have the capacity to carry out attacks in the U.S. "if it decided to enlarge the scope of its operations". FBI director Robert Mueller in 2005 testified to the Senate Intelligence Committee that, the FBI's assessment at that time was that there was "a limited threat of a coordinated terrorist attack in the US from Palestinian terrorist organizations" such as Hamas. He added that Hamas had "maintained a longstanding policy of focusing their attacks on Israeli targets in Israel and the Palestinian territories", and that the FBI believed that the main interest of Hamas in the U.S. remained "the raising of funds to support their regional goals". Mueller also stated, "of all the Palestinian groups, Hamas has the largest presence in the US, with a robust infrastructure, primarily focused on fundraising, propaganda for the Palestinian cause, and proselytizing." Although it would be a major strategic shift for Hamas, its United States network is theoretically capable of facilitating acts of terrorism in the U.S. On May 2, 2011, Hamas leader and Prime Minister Ismail Haniyeh condemned the killing of Osama bin Laden in Pakistan by the United States. Haniyeh praised Bin Laden, the founder of the jihadist organization al-Qaeda, as a "martyr" and an "Arab holy warrior". The United States government condemned his remarks as "outrageous". Hamas has reportedly maintained operational and financial ties with al Qaeda. Human shields After Operation Pillar of Defense, Human Rights Watch stated that Palestinian groups had endangered civilians by "repeatedly fired rockets from densely populated areas, near homes, businesses, and a hotel" and noted that under international law, parties to a conflict may not place military targets in or near densely populated areas. One rocket was launched close to the Shawa and Housari Building, where various Palestinian and international media have offices; another was fired from the yard of a house near the Deira Hotel. The New York Times journalist Steven Erlanger reported that "Hamas rocket and weapons caches, including rocket launchers, have been discovered in and under mosques, schools and civilian homes." Another report published by Intelligence and Terrorism Information Center revealed that Hamas used close to 100 mosques to store weapons and as launch-pads to shoot rockets. The report contains testimony from variety Palestinian sources, including a Hamas militant Sabhi Majad Atar, who said he was taught how to shoot rockets from inside a mosque. Hamas has also been criticized by Israeli officials for blending into or hiding among the Palestinian civilian population during the 2008–2009 Israel–Gaza conflict. The Israeli government published what it said was video evidence of human shield tactics by Hamas. Israel said that Hamas frequently used mosques and school yards as hideouts and places to store weapons, and that Hamas militants stored weapons in their homes, making it difficult to ensure that civilians close to legitimate military targets are not hurt during Israeli military operations. Israeli officials also accused the Hamas leadership of hiding under Shifa Hospital during the conflict, using the patients inside to deter an Israeli attack. The Israeli government filed a report entitled "Gaza Operations Investigation: Second Update" to the United Nations accusing Hamas of exploiting its rules of engagement by shooting rockets and launching attacks within protected civilian areas. Israel says 12,000 rockets and mortars were fired at it between 2000 and 2008—nearly 3,000 in 2008 alone. In one case, an errant Israeli mortar strike killed dozens of people near a UN school. Hamas said that the mortar killed 42 people and left dozens wounded. Israel said that Hamas militants had launched a rocket from a yard adjacent to the school and one mortar of three rounds hit the school, due to a GPS error. According to the Israeli military probe, the remaining two rounds hit the yard used to launch rockets into Israel, killing two members of Hamas's military wing who fired the rockets. Human Rights Watch called Hamas to "publicly renounce" the rocket attacks against Israeli civilians and hold those responsible to account. Human Rights Watch program director Iain Levine said the attacks by Hamas were "unlawful and unjustifiable, and amount to war crimes", and accused Hamas of putting Palestinians at risk by launching attacks from built-up areas. A Hamas spokesman replied that the report was "biased" and denied that Hamas uses human shields. Human Rights Watch investigated 19 incidents involving 53 civilian deaths in Gaza that Israel said were the result of Hamas fighting in densely populated areas and did not find evidence for existence of Palestinian fighters in the areas at the time of the Israeli attack. In other cases where no civilians had died, the report concluded that Hamas may have deliberately fired rockets from areas close to civilians. HRW also investigated 11 deaths that Israel said were civilians being used as human shields by Hamas. HRW found no evidence that the civilians were used as human shields, nor had they been shot in crossfire. The Israeli 'human shields' charge against Hamas was called "full of holes" by The National (UAE), which stated that only Israel accused Hamas of using human shields during the conflict, though Hamas "may be guilty" of "locating military objectives within or near densely populated areas" and for "deliberately firing indiscriminate weapons into civilian populated areas". On July 8, 2014, Hamas's spokesman Sami Abu Zuhri encouraged the "policy of people confronting the Israeli warplanes with their bare chests in order to protect their homes", saying it has proven itself. According to the Israel Defense Forces blog, soldiers recounted "Suddenly, a small boy appeared, and the terrorist grabbed him and escaped with him"; "I saw with my own eyes someone using another person, a woman, as a shield. ... And I can see very clearly that the woman doesn't want to be there and he's pulling her with him"; and "We even found explosives in nurseries. The whole neighborhood was practically a terrorist base." Israel has accused Hamas of using children as human shields. The Israeli government released video footage in which it claims two militants are shown grabbing a young boy's arm from behind holding him to walk in front of them toward a group of people waiting near a wall. The IDF argues the militants were placing the boy between themselves and an Israeli sniper. The second scene shows an individual, described as a terrorist, grabbing a school boy off of a floor, where he is hiding behind a column from IDF fire, and using him as a human shield to walk to a different location. After 15 alleged militants sought refuge in a mosque from Israeli forces, the BBC reported that Hamas radio instructed local women to go the mosque to protect the militants. Israeli forces later opened fire and killed two women. In November 2006, the Israeli Air Force warned Muhammad Weil Baroud, commander of the Popular Resistance Committees who are accused of launching rockets into Israeli territory, to evacuate his home in a Jabalya refugee camp apartment block in advance of a planned Israeli air strike. Baroud responded by calling for volunteers to protect the apartment block and nearby buildings and, according to The Jerusalem Post, hundreds of local residents, mostly women and children, responded. Israel suspended the air strike. Israel termed the action an example of Hamas using human shields. In response to the incident, Hamas proclaimed: 'We won. From now on we will form human chains around every house threatened with demolition.'" In a November 22 press release, Human Rights Watch condemned Hamas, stating: "There is no excuse for calling civilians to the scene of a planned attack. Whether or not the home is a legitimate military target, knowingly asking civilians to stand in harm's way is unlawful." Following criticism, Human rights Watch issued a statement saying that their initial assessment of the situation was in error. They stated that, on the basis of available evidence, the home demolition was in fact an administrative act, viewed in the context of Israel's longstanding policy of punitive home demolitions, not a military act and thus would not fall within the purview of the law regulating hostilities during armed conflict, which had been the basis for their initial criticism of Hamas. When the UN-sponsored Goldstone Commission Report on the Gaza War was commissioned in 2009, it stated that it "found no evidence that Palestinian combatants mingled with the civilian population with the intention of shielding themselves from attack" though they deemed credible reports that Palestinian militants were "not always dressed in a way that distinguished them from civilians". Hamas MP Fathi Hamed stated that "For the Palestinian people, death has become an industry, at which women excel...the elderly excel at this...and so do the children. This is why they have formed human shields of the women, the children." Following the release of the Goldstone Report, the former commander of the British forces in Afghanistan Col. Richard Kemp was invited to testify at the UN Human Rights Council 12th Special Session that during Operation Cast Lead Israel encountered an "enemy that deliberately positioned its military capability behind the human shield of the civilian population". Children as combatants In the early intifada period, children in Gaza and the West Bank were instilled by Hamas with Islamic and military values. Evidence from 2001 shows that kindergarten children attended ceremonies where they wore emblematic uniforms and bore mock rifles. Some were dressed up as suicide bombers, whose readiness to die for the cause was held up as a model to be imitated. The preschoolers would swear an oath 'to pursue jihad, resistance and intifada.' At summer camps, alongside qur’anic studies and familiarization with computers, courses were given that included military training. Although Hamas admits to sponsoring summer schools to train teenagers in handling weapons they condemn attacks by children. Following the deaths of three teenagers during a 2002 attack on Netzarim in central Gaza, Hamas banned attacks by children and "called on the teachers and religious leaders to spread the message of restraint among young boys". Hamas's use of child labor to build tunnels with which to attack Israel has also been criticized, with at least 160 children killed in the tunnels as of 2012. Political freedoms Human rights groups and
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kind of interface. Many MS-DOS text mode applications, like the default text editor for MS-DOS 5.0 (and related tools, like QBasic), also used the same philosophy. The IBM DOS Shell included with IBM DOS 5.0 (circa 1992) supported both text display modes and actual graphics display modes, making it both a TUI and a GUI, depending on the chosen mode. Advanced file managers for MS-DOS were able to redefine character shapes with EGA and better display adapters, giving some basic low resolution icons and graphical interface elements, including an arrow (instead of a coloured cell block) for the mouse pointer. When the display adapter lacks the ability to change the character's shapes, they default to the CP437 character set found in the adapter's ROM. Some popular utility suites for MS-DOS, as Norton Utilities (pictured) and PC Tools used these techniques as well. DESQview was a text mode multitasking program introduced in July 1985. Running on top of MS-DOS, it allowed users to run multiple DOS programs concurrently in windows. It was the first program to bring multitasking and windowing capabilities to a DOS environment in which existing DOS programs could be used. DESQview was not a true GUI but offered certain components of one, such as resizable, overlapping windows and mouse pointing. Applications under MS-DOS with proprietary GUIs Before the MS-Windows age, and with the lack of a true common GUI under MS-DOS, most graphical applications which worked with EGA, VGA and better graphic cards had proprietary built-in GUIs. One of the best known such graphical applications was Deluxe Paint, a popular painting software with a typical WIMP interface. The original Adobe Acrobat Reader executable file for MS-DOS was able to run on both the standard Windows 3.x GUI and the standard DOS command prompt. When it was launched from the command prompt, on a machine with a VGA graphics card, it provided its own GUI. Microsoft Windows (16-bit versions) Windows 1.0, a GUI for the MS-DOS operating system was released in 1985. The market's response was less than stellar. Windows 2.0 followed, but it wasn't until the 1990 launch of Windows 3.0, based on Common User Access that its popularity truly exploded. The GUI has seen minor redesigns since, mainly the networking enabled Windows 3.11 and its Win32s 32-bit patch. The 16-bit line of MS Windows were discontinued with the introduction of Windows 95 and Windows NT 32-bit based architecture in the 1990s. See the next section. The main window of a given application can occupy the full screen in maximized status. The users must then to switch between maximized applications using the Alt+Tab keyboard shortcut; no alternative with the mouse except for de-maximize. When none of the running application windows are maximized, switching can be done by clicking on a partially visible window, as is the common way in other GUIs. In 1988, Apple sued Microsoft for copyright infringement of the Lisa and Apple Macintosh GUI. The court case lasted 4 years before almost all of Apple's claims were denied on a contractual technicality. Subsequent appeals by Apple were also denied. Microsoft and Apple apparently entered a final, private settlement of the matter in 1997. GEOS GEOS was launched in 1986. Originally written for the 8-bit home computer Commodore 64 and shortly after, the Apple II series. The name was later used by the company as PC/Geos for IBM PC systems, then Geoworks Ensemble. It came with several application programs like a calendar and word processor, and a cut-down version served as the basis for America Online's DOS client. Compared to the competing Windows 3.0 GUI it could run reasonably well on simpler hardware, but its developer had a restrictive policy towards third-party developers that prevented it from becoming a serious competitor. And it was targeted at 8-bit machines and the 16-bit computer age was dawning. The X Window System The standard windowing system in the Unix world is the X Window System (commonly X11 or X), first released in the mid-1980s. The W Window System (1983) was the precursor to X; X was developed at MIT as Project Athena. Its original purpose was to allow users of the newly emerging graphic terminals to access remote graphics workstations without regard to the workstation's operating system or the hardware. Due largely to the availability of the source code used to write X, it has become the standard layer for management of graphical and input/output devices and for the building of both local and remote graphical interfaces on virtually all Unix, Linux and other Unix-like operating systems, with the notable exceptions of macOS and Android. X allows a graphical terminal user to make use of remote resources on the network as if they were all located locally to the user by running a single module of software called the X server. The software running on the remote machine is called the client application. X's network transparency protocols allow the display and input portions of any application to be separated from the remainder of the application and 'served up' to any of a large number of remote users. X is available today as free software. NeWS The PostScript-based NeWS (Network extensible Window System) was developed by Sun Microsystems in the mid-1980s. For several years SunOS included a window system combining NeWS and the X Window System. Although NeWS was considered technically elegant by some commentators, Sun eventually dropped the product. Unlike X, NeWS was always proprietary software. The 1990s: Mainstream usage of the desktop The widespread adoption of the PC platform in homes and small businesses popularized computers among people with no formal training. This created a fast-growing market, opening an opportunity for commercial exploitation and of easy-to-use interfaces and making economically viable the incremental refinement of the existing GUIs for home systems. Also, the spreading of high-color and true-color capabilities of display adapters providing thousands and millions of colors, along with faster CPUs and accelerated graphic cards, cheaper RAM, storage devices orders of magnitude larger (from megabytes to gigabytes) and larger bandwidth for telecom networking at lower cost helped to create an environment in which the common user was able to run complicated GUIs which began to favor aesthetics. Windows 95 and "a computer in every home" After Windows 3.11, Microsoft began to develop a new consumer-oriented version of the operating system. Windows 95 was intended to integrate Microsoft's formerly separate MS-DOS and Windows products and included an enhanced version of DOS, often referred to as MS-DOS 7.0. It also featured a significant redesign of the GUI, dubbed "Cairo". While Cairo never really materialized, parts of Cairo found their way into subsequent versions of the operating system starting with Windows 95. Both Win95 and WinNT could run 32-bit applications, and could exploit the abilities of the Intel 80386 CPU, as the preemptive multitasking and up to 4 GiB of linear address memory space. Windows 95 was touted as a 32-bit based operating system but it was actually based on a hybrid kernel (VWIN32.VXD) with the 16-bit user interface (USER.EXE) and graphic device interface (GDI.EXE) of Windows for Workgroups (3.11), which had 16-bit kernel components with a 32-bit subsystem (USER32.DLL and GDI32.DLL) that allowed it to run native 16-bit applications as well as 32-bit applications. In the marketplace, Windows 95 was an unqualified success, promoting a general upgrade to 32-bit technology, and within a year or two of its release had become the most successful operating system ever produced. Accompanied by an extensive marketing campaign, Windows 95 was a major success in the marketplace at launch and shortly became the most popular desktop operating system. Windows 95 saw the beginning of the browser wars, when the World Wide Web began receiving a great deal of attention in popular culture and mass media. Microsoft at first did not see potential in the Web, and Windows 95 was shipped with Microsoft's own online service called The Microsoft Network, which was dial-up only and was used primarily for its own content, not internet access. As versions of Netscape Navigator and Internet Explorer were released at a rapid pace over the following few years, Microsoft used its desktop dominance to push its browser and shape the ecology of the web mainly as a monoculture. Windows 95 evolved through the years into Windows 98 and Windows ME. Windows ME was the last in the line of the Windows 3.x-based operating systems from Microsoft. Windows underwent a parallel 32-bit evolutionary path, where Windows NT 3.1 was released in 1993. Windows NT (for New Technology) was a native 32-bit operating system with a new driver model, was unicode-based, and provided for true separation between applications. Windows NT also supported 16-bit applications in an NTVDM, but it did not support VxD based drivers. Windows 95 was supposed to be released before 1993 as the predecessor to Windows NT. The idea was to promote the development of 32-bit applications with backward compatibility – leading the way for more successful NT release. After multiple delays, Windows 95 was released without unicode and used the VxD driver model. Windows NT 3.1 evolved to Windows NT 3.5, 3.51 and then 4.0 when it finally shared a similar interface with its Windows 9x desktop counterpart and included a Start button. The evolution continued with Windows 2000, Windows XP, Windows Vista, then Windows 7. Windows XP and higher were also made available in 64-bit modes. Windows server products branched off with the introduction of Windows Server 2003 (available in 32-bit and 64-bit IA64 or x64), then Windows Server 2008 and then Windows Server 2008 R2. Windows 2000 and XP shared the same basic GUI although XP introduced Visual Styles. With Windows 98, the Active Desktop theme was introduced, allowing an HTML approach for the desktop, but this feature was coldly received by customers, who frequently disabled it. At the end, Windows Vista definitively discontinued it, but put a new SideBar on the desktop. Mac OS The Macintosh's GUI has been revised multiple times since 1984, with major updates including System 7 and Mac OS 8. It underwent its largest revision to date with the introduction of the "Aqua" interface in 2001's Mac OS X. It was a new operating system built primarily on technology from NeXTSTEP with UI elements of the original Mac OS grafted on. macOS uses a technology known as Quartz, for graphics rendering and drawing on-screen. Some interface features of macOS are inherited from NeXTSTEP (such as the Dock, the automatic wait cursor, or double-buffered windows giving a solid appearance and flicker-free window redraws), while others are inherited from the old Mac OS operating system (the single system-wide menu-bar). Mac OS X 10.3 introduced features to improve usability including Exposé, which is designed to make finding open windows easier. With Mac OS X 10.4 released in April 2005, new features were added, including Dashboard (a virtual alternate desktop for mini specific-purpose applications) and a search tool called Spotlight, which provides users with an option for searching through files instead of browsing through folders. With Mac OS X 10.7 released in July 2011, included support for full screen apps and Mac OS X 10.11 (El Capitan) released in September 2015 support creating a full screen split view by pressing the green button on left upper corner of the window or Control+Cmd+F keyboard shortcut. GUIs built on the X Window System of X Window development, Sun Microsystems and AT&T attempted to push for a GUI standard called OPEN LOOK in competition with Motif. OPEN LOOK was developed from scratch in conjunction with Xerox, while Motif was a collective effort. Motif eventually gained prominence and became the basis for Hewlett-Packard's Visual User Environment (VUE), which later became the Common Desktop Environment (CDE). In the late 1990s, there was significant growth in the Unix world, especially among the free software community. New graphical desktop movements grew up around Linux and similar operating systems, based on the X Window System. A new emphasis on providing an integrated and uniform interface to the user brought about new desktop environments, such as KDE Plasma 5, GNOME and Xfce which have supplanted CDE in popularity on both Unix and Unix-like operating systems. The Xfce, KDE and GNOME look and feel each tend to undergo more rapid change and less codification than the earlier OPEN LOOK and Motif environments. Amiga Later releases added improvements over the original Workbench, like support for high-color Workbench screens, context menus, and embossed 2D icons with pseudo-3D aspect. Some Amiga users preferred alternative interfaces to standard Workbench, such as Directory Opus Magellan. The use of improved, third-party GUI engines became common amongst users who preferred more attractive interfaces – such as Magic User Interface (MUI), and ReAction. These object-oriented graphic engines driven by user interface classes and methods were then standardized into the Amiga environment and changed Amiga Workbench to a complete and modern guided interface, with new standard gadgets, animated buttons, true 24-bit-color icons, increased use of wallpapers for screens and windows, alpha channel, transparencies and shadows as any modern GUI provides. Modern derivatives of Workbench are Ambient for MorphOS, Scalos, Workbench for AmigaOS 4 and Wanderer for AROS. There is a brief article on Ambient and descriptions of MUI icons, menus and gadgets at aps.fr and images of Zune stay at main AROS site. Use of object oriented graphic engines dramatically changes the look and feel of a GUI to match actual styleguides. OS/2 Originally collaboratively developed by Microsoft and IBM to replace DOS, OS/2 version 1.0 (released in 1987) had no GUI at all. Version 1.1 (released 1988) included Presentation Manager (PM), an implementation of IBM Common User Access, which looked a lot like the later Windows 3.1 UI. After the split with Microsoft, IBM developed the Workplace Shell (WPS) for version 2.0 (released in 1992), a quite radical, object-oriented approach to GUIs. Microsoft later imitated much of this look in Windows 95. NeXTSTEP The NeXTSTEP user interface was used in the NeXT line of computers. NeXTSTEP's first major version was released in 1989. It used Display PostScript for its graphical underpinning. The NeXTSTEP interface's most significant feature was the Dock, carried with some modification into Mac OS X, and had other minor interface details that some found made it easier and more intuitive to use than previous GUIs. NeXTSTEP's GUI was the first to feature opaque dragging of windows in its user interface, on a comparatively weak machine by today's standards, ideally aided by high performance graphics hardware. BeOS BeOS was developed on custom AT&T Hobbit-based computers before switching to PowerPC hardware by a team led by former Apple executive Jean-Louis Gassée as an alternative to Mac OS. BeOS was later ported to Intel hardware. It used an object-oriented kernel written by Be, and did not use the X Window System, but a different GUI written from scratch. Much effort was spent by the developers to make it an efficient platform for multimedia applications. Be Inc. was acquired by PalmSource, Inc. (Palm Inc. at the time) in 2001. The BeOS GUI still lives in Haiku, an open-source software reimplementation of the BeOS. Current trends Mobile devices General Magic is the apparent parent of all modern smartphone GUI, i.e. touch-screen based including the iPhone et al. In 2007, with the iPhone and later in 2010 with the introduction of the iPad, Apple popularized the post-WIMP style of interaction for multi-touch screens, with those devices considered to be milestones in the development of mobile devices. Other portable devices such as MP3 players and cell phones have been a burgeoning area of deployment for GUIs in recent years. Since the mid-2000s, a vast majority of portable devices have advanced to having high-screen resolutions and sizes. (The Galaxy Note 4's 2,560 × 1,440 pixel display is an example). Because of this, these devices have their own famed user interfaces and operating systems that have large homebrew communities dedicated to creating their own visual elements, such as icons, menus, wallpapers, and more. Post-WIMP interfaces are often used in these mobile devices, where the traditional pointing devices required by the desktop metaphor are not practical. As high-powered graphics hardware draws considerable power and generates significant heat, many of the 3D effects developed between 2000 and 2010 are not practical on this class of device. This has led to the development of simpler interfaces making a design feature of two dimensionality such as exhibited by the Metro (Modern) UI first used in Windows 8 and the 2012 Gmail redesign. 3D user interface In the first decade of the 21st century, the rapid development of GPUs led to a trend for the inclusion of 3D effects in window management. It is based in experimental research in User Interface Design trying to expand the expressive power of the existing toolkits in order to enhance the physical cues that allow for direct manipulation. New effects common to several projects are scale resizing and zooming, several windows transformations and animations (wobbly windows, smooth minimization to system tray...), composition of images (used for window drop shadows and transparency) and enhancing the global organization of open windows (zooming to virtual desktops, desktop cube, Exposé, etc.) The proof-of-concept BumpTop desktop combines a physical representation of documents with tools for document classification possible only in the simulated environment, like instant reordering and automated grouping of related documents. These effects are popularized thanks to the widespread use of 3D video cards (mainly due to gaming) which allow for complex visual processing with low CPU use, using the 3D acceleration in most modern graphics cards to render the application clients in a 3D scene. The application window is drawn off-screen in a pixel buffer, and the graphics card renders it into the 3D scene. This can have the advantage of moving some of the window rendering to the GPU on the graphics card and thus reducing the load
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demonstrate the desktop metaphor and graphical user interface (GUI). It was not a commercial product, but several thousand units were built and were heavily used at PARC, as well as other XEROX offices, and at several universities for many years. The Alto greatly influenced the design of personal computers during the late 1970s and early 1980s, notably the Three Rivers PERQ, the Apple Lisa and Macintosh, and the first Sun workstations. The GUI was first developed at Xerox PARC by Alan Kay, Larry Tesler, Dan Ingalls, David Smith, Clarence Ellis and a number of other researchers. It used windows, icons, and menus (including the first fixed drop-down menu) to support commands such as opening files, deleting files, moving files, etc. In 1974, work began at PARC on Gypsy, the first bitmap What-You-See-Is-What-You-Get (WYSIWYG) cut & paste editor. In 1975, Xerox engineers demonstrated a Graphical User Interface "including icons and the first use of pop-up menus". In 1981 Xerox introduced a pioneering product, Star, a workstation incorporating many of PARC's innovations. Although not commercially successful, Star greatly influenced future developments, for example at Apple, Microsoft and Sun Microsystems. Quantel Paintbox Released by digital imaging company Quantel in 1981, the Paintbox was a color graphical workstation with supporting of mouse input, but more oriented for graphics tablets; this model also was notable as one of the first systems with implementation of pop-up menus. Blit The Blit, a graphics terminal, was developed at Bell Labs in 1983. Lisp machines, Symbolics Lisp machines originally developed at MIT and later commercialized by Symbolics and other manufacturers, were early high-end single user computer workstations with advanced graphical user interfaces, windowing, and mouse as an input device. First workstations from Symbolics came to market in 1981, with more advanced designs in the subsequent years. Apple Lisa and Macintosh (and later, the Apple IIgs) Beginning in 1979, started by Steve Jobs and led by Jef Raskin, the Apple Lisa and Macintosh teams at Apple Computer (which included former members of the Xerox PARC group) continued to develop such ideas. The Lisa, released in 1983, featured a high-resolution stationery-based (document-centric) graphical interface atop an advanced hard disk based OS that featured such things as preemptive multitasking and graphically oriented inter-process communication. The comparatively simplified Macintosh, released in 1984 and designed to be lower in cost, was the first commercially successful product to use a multi-panel window interface. A desktop metaphor was used, in which files looked like pieces of paper, file directories looked like file folders, there were a set of desk accessories like a calculator, notepad, and alarm clock that the user could place around the screen as desired, and the user could delete files and folders by dragging them to a trash-can icon on the screen. The Macintosh, in contrast to the Lisa, used a program-centric rather than document-centric design. Apple revisited the document-centric design, in a limited manner, much later with OpenDoc. There is still some controversy over the amount of influence that Xerox's PARC work, as opposed to previous academic research, had on the GUIs of the Apple Lisa and Macintosh, but it is clear that the influence was extensive, because first versions of Lisa GUIs even lacked icons. These prototype GUIs are at least mouse-driven, but completely ignored the WIMP ( "window, icon, menu, pointing device") concept. Screenshots of first GUIs of Apple Lisa prototypes show the early designs. Apple engineers visited the PARC facilities (Apple secured the rights for the visit by compensating Xerox with a pre-IPO purchase of Apple stock) and a number of PARC employees subsequently moved to Apple to work on the Lisa and Macintosh GUI. However, the Apple work extended PARC's considerably, adding manipulatable icons, and drag and drop manipulation of objects in the file system (see Macintosh Finder) for example. A list of the improvements made by Apple, beyond the PARC interface, can be read at Folklore.org. Jef Raskin warns that many of the reported facts in the history of the PARC and Macintosh development are inaccurate, distorted or even fabricated, due to the lack of usage by historians of direct primary sources. In 1984, Apple released a television commercial which introduced the Apple Macintosh during the telecast of Super Bowl XVIII by CBS, with allusions to George Orwell's noted novel, Nineteen Eighty-Four. The commercial was aimed at making people think about computers, identifying the user-friendly interface as a personal computer which departed from previous business-oriented systems, and becoming a signature representation of Apple products. In 1986, the Apple IIgs was launched. The IIgs was a very advanced model of the successful Apple II series, based on 16-bit technology (in fact, virtually two machines into one). It came with a new operating system, the Apple GS/OS, which features a Finder-like GUI, very similar to that of the Macintosh series, able to deal with the advanced graphic abilities of its Video Graphics Chip (VGC). Agat Released in 1983, the Soviet Union Agat PC featured a graphical interface and a mouse device. SGI 1000 series and MEX Founded 1982, SGI introduced the IRIS 1000 Series in 1983. The first graphical terminals (IRIS 1000) shipped in late 1983, and the corresponding workstation model (IRIS 1400) was released in mid-1984. The machines used an early version of the MEX windowing system on top of the GL2 Release 1 operating environment. Examples of the MEX user interface can be seen in a 1988 article in the journal "Computer Graphics", while earlier screenshots can not be found. The first commercial GUI-based systems, these did not find widespread use as to their (discounted) academic list price of $22,500 and $35,700 for the IRIS 1000 and IRIS 1400, respectively. However, these systems were commercially successful enough to start SGI's business as one of the main graphical workstation vendors. In later revisions of graphical workstations, SGI switched to the X window system, which had been developed starting at MIT since 1984 and which became the standard for UNIX workstations. Visi On VisiCorp's Visi On was a GUI designed to run on DOS for IBM PCs. It was released in December 1983. Visi On had many features of a modern GUI, and included a few that did not become common until many years later. It was fully mouse-driven, used a bit-mapped display for both text and graphics, included on-line help, and allowed the user to open a number of programs at once, each in its own window, and switch between them to multitask. Visi On did not, however, include a graphical file manager. Visi On also demanded a hard drive in order to implement its virtual memory system used for "fast switching", at a time when hard drives were very expensive. GEM (Graphics Environment Manager) Digital Research (DRI) created GEM as an add-on program for personal computers. GEM was developed to work with existing CP/M and DOS operating systems on business computers such as IBM PC compatibles. It was developed from DRI software, known as GSX, designed by a former PARC employee. Its similarity to the Macintosh desktop led to a copyright lawsuit from Apple Computer, and a settlement which involved some changes to GEM. This was to be the first of a series of "look and feel" lawsuits related to GUI design in the 1980s. GEM received widespread use in the consumer market from 1985, when it was made the default user interface built into the Atari TOS operating system of the Atari ST line of personal computers. It was also bundled by other computer manufacturers and distributors, such as Amstrad. Later, it was distributed with the best-sold Digital Research version of DOS for IBM PC compatibles, the DR-DOS 6.0. The GEM desktop faded from the market with the withdrawal of the Atari ST line in 1992 and with the popularity of the Microsoft Windows 3.0 in the PC front around the same period of time. The Falcon030, released in 1993 was the last computer from Atari to use GEM. DeskMate Tandy's DeskMate appeared in the early 1980s on its TRS-80 machines and was ported to its Tandy 1000 range in 1984. Like most PC GUIs of the time, it depended on a disk operating system such as TRSDOS or MS-DOS. The application was popular at the time and included a number of programs like Draw, Text and Calendar, as well as attracting outside investment such as Lotus 1-2-3 for DeskMate. MSX-View MSX-View was developed for MSX computers by ASCII Corporation and HAL Laboratory. MSX-View contains software such as Page Edit, Page View, Page Link, VShell, VTed, VPaint and VDraw. An external version of the built-in MSX View of the Panasonic FS-A1GT was released as an add-on for the Panasonic FS-A1ST on disk instead of 512 KB ROM DISK. Amiga Intuition and the Workbench The Amiga computer was launched by Commodore in 1985 with a GUI called Workbench. Workbench was based on an internal engine developed mostly by RJ Mical, called Intuition, which drove all the input events. The first versions used a blue/orange/white/black default palette, which was selected for high contrast on televisions and composite monitors. Workbench presented directories as drawers to fit in with the "workbench" theme. Intuition was the widget and graphics library that made the GUI work. It was driven by user events through the mouse, keyboard, and other input devices. Due to a mistake made by the Commodore sales department, the first floppies of AmigaOS (released with the Amiga1000) named the whole OS "Workbench". Since then, users and CBM itself referred to "Workbench" as the nickname for the whole AmigaOS (including Amiga DOS, Extras, etc.). This common consent ended with release of version 2.0 of AmigaOS, which re-introduced proper names to the installation floppies of AmigaDOS, Workbench, Extras, etc. Starting with Workbench 1.0, AmigaOS treated the Workbench as a backdrop, borderless window sitting atop a blank screen. With the introduction of AmigaOS 2.0, however, the user was free to select whether the main Workbench window appeared as a normally layered window, complete with a border and scrollbars, through a menu item. Amiga users were able to boot their computer into a command-line interface (also known as the CLI or Amiga Shell). This was a keyboard-based environment without the Workbench GUI. Later they could invoke it with the CLI/SHELL command "LoadWB" which loaded Workbench GUI. One major difference between other OS's of the time (and for some time after) was the Amiga's fully multi-tasking operating system, a powerful built-in animation system using a hardware blitter and copper and 4 channels of 26 kHz 8-bit sampled sound. This made the Amiga the first multi-media computer years before other OS's. Like most GUIs of the day, Amiga's Intuition followed Xerox's, and sometimes Apple's, lead. But a CLI was included which dramatically extended the functionality of the platform. However, the CLI/Shell of Amiga is not just a simple text-based interface like in MS-DOS, but another graphic process driven by Intuition, and with the same gadgets included in Amiga's graphics.library. The CLI/Shell interface integrates itself with the Workbench, sharing privileges with the GUI. The Amiga Workbench evolved over the 1990s, even after Commodore's 1994 bankruptcy. Acorn BBC Master Compact Acorn's 8-bit BBC Master Compact shipped with Acorn's first public GUI interface in 1986. Little commercial software, beyond that included on the Welcome disk, was ever made available for the system, despite the claim by Acorn at the time that "the major software houses have worked with Acorn to make over 100 titles available on compilation discs at launch". The most avid supporter of the Master Compact appeared to be Superior Software, who produced and specifically labelled their games as 'Master Compact' compatible. Arthur / RISC OS RISC OS is a series of graphical user interface-based computer operating systems (OSes) designed for ARM architecture systems. It takes its name from the RISC (Reduced Instruction Set Computing) architecture supported. The OS was originally developed by Acorn Computers for use with their 1987 range of Archimedes personal computers using the Acorn RISC Machine (ARM) processors. It comprises a command-line interface and desktop environment with a windowing system. Originally branded as the Arthur 1.20 the subsequent Arthur 2 release was shipped under the name RISC OS 2. Desktop The WIMP interface incorporates three mouse buttons (named Select, Menu and Adjust), context-sensitive menus, window order control (i.e. send to back) and dynamic window focus (a window can have input focus at any position on the stack). The Icon bar (Dock) holds icons which represent mounted disc drives, RAM discs, running applications, system utilities and docked: Files, Directories or inactive Applications. These icons have context-sensitive menus and support drag-and-drop behaviour. They represent the running application as a whole, irrespective of whether it has open windows. The GUI is centred around the concept of files. The Filer displays the contents of a disc. Applications are run from the Filer view and files can be dragged to the Filer view from applications to perform saves. Application directories are used to store applications. The OS differentiates them from normal directories through the use of a pling (exclamation mark, also called shriek) prefix. Double-clicking on such a directory launches the application rather than opening the directory. The application's executable files and resources are contained within the directory, but normally they remain hidden from the user. Because applications are self-contained, this allows drag-and-drop installation and removal. The Style Guide encourages a consistent look and feel across applications. This was introduced in and specifies application appearance and behaviour. Acorn's own main bundled applications were not updated to comply with the guide until 's Select release in 2001. Font manager The outline fonts manager provides spatial anti-aliasing of fonts, the OS being the first operating system to include such a feature, having included it since before January 1989. Since 1994, in RISC OS 3.5, it has been possible to use an outline anti-aliased font in the WindowManager for UI elements, rather than the bitmap system font from previous versions. MS-DOS file managers and utility suites Because most of the very early IBM PC and compatibles lacked any common true graphical capability (they used the 80-column basic text mode compatible with the original MDA display adapter), a series of file managers arose, including Microsoft's DOS Shell, which features typical GUI elements as menus, push buttons, lists with scrollbars and mouse pointer. The name text-based user interface was later invented to name this kind of interface. Many MS-DOS text mode applications, like the default text editor for MS-DOS 5.0 (and related tools, like QBasic), also used the same philosophy. The IBM DOS Shell included with IBM DOS 5.0 (circa 1992) supported both text display modes and actual graphics display modes, making it both a TUI and a GUI, depending on the chosen mode. Advanced file managers for MS-DOS were able to redefine character shapes with EGA and better display adapters, giving some basic low resolution icons and graphical interface elements, including an arrow (instead of a coloured cell block) for the mouse pointer. When the display adapter lacks the ability to change the character's shapes, they default to the CP437 character set found in the adapter's ROM. Some popular utility suites for MS-DOS, as Norton Utilities (pictured) and PC Tools used these techniques as well. DESQview was a text mode multitasking program introduced in July 1985. Running on top of MS-DOS, it allowed users to run multiple DOS programs concurrently in windows. It was the first program to bring multitasking and windowing capabilities to a DOS environment in which existing DOS programs could be used. DESQview was not a true GUI but offered certain components of one, such as resizable, overlapping windows and mouse pointing. Applications under MS-DOS with proprietary GUIs Before the MS-Windows age, and with the lack of a true common GUI under MS-DOS, most graphical applications which worked with EGA, VGA and better graphic cards had proprietary built-in GUIs. One of the best known such graphical applications was Deluxe Paint, a popular painting software with a typical WIMP interface. The original Adobe Acrobat Reader executable file for MS-DOS was able to run on both the standard Windows 3.x GUI and the standard DOS command prompt. When it was launched from the command prompt, on a machine with a VGA graphics card, it provided its own GUI. Microsoft Windows (16-bit versions) Windows 1.0, a GUI for the MS-DOS operating system was released in 1985. The market's response was less than stellar. Windows 2.0 followed, but it wasn't until the 1990 launch of Windows 3.0, based on Common User Access that its popularity truly exploded. The GUI has seen minor redesigns since, mainly the networking enabled Windows 3.11 and its Win32s 32-bit patch. The 16-bit line of MS Windows were discontinued with the introduction of Windows 95 and Windows NT 32-bit based architecture in the 1990s. See the next section. The main window of a given application can occupy the full screen in maximized status. The users must then to switch between maximized applications using the Alt+Tab keyboard shortcut; no alternative with the mouse except for de-maximize. When none of the running application windows are maximized, switching can be done by clicking on a partially visible window, as is the common way in other GUIs. In 1988, Apple sued Microsoft for copyright infringement of the Lisa and Apple Macintosh GUI. The court case lasted 4 years before almost all of Apple's claims were denied on a contractual technicality. Subsequent appeals by Apple were also denied. Microsoft and Apple apparently entered a final, private settlement of the matter in 1997. GEOS GEOS was launched in 1986. Originally written for the 8-bit home computer Commodore 64 and shortly after, the Apple II series. The name was later used by the company as PC/Geos for IBM PC systems, then Geoworks Ensemble. It came with several application programs like a calendar and word processor,
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to spread its message to the entire Arab world. In addition, Hezbollah has a weekly publication, Al Ahd, which was established in 1984. It is the only media outlet which is openly affiliated with the organization. Hezbollah's television station Al-Manar airs programming designed to inspire suicide attacks in Gaza, the West Bank, and Iraq. Al-Manar's transmission in France is prohibited due to its promotion of Holocaust denial, a criminal offense in France. The United States lists Al-Manar television network as a terrorist organization. Al-Manar was designated as a "Specially Designated Global Terrorist entity," and banned by the United States in December 2004. It has also been banned by France, Spain and Germany. Materials aimed at instilling principles of nationalism and Islam in children are an aspect of Hezbollah's media operations. The Hezbollah Central Internet Bureau released a video game in 2003 entitled Special Force and a sequel in 2007 in which players are rewarded with points and weapons for killing Israelis. In 2012, Al-Manar aired a television special praising an 8-year-old boy who raised money for Hezbollah and said: "When I grow up, I will be a communist resistance warrior with Hezbollah, fighting the United States and Israel, I will tear them to pieces and drive them out of Lebanon, the Golan and Palestine, which I love very dearly." Secret services Hezbollah's secret services have been described as "one of the best in the world", and have even infiltrated the Israeli army. Hezbollah's secret services collaborate with the Lebanese intelligence agencies. In the summer of 1982, Hezbollah's Special Security Apparatus was created by Hussein al-Khalil, now a "top political adviser to Nasrallah"; while Hezbollah's counterintelligence was initially managed by Iran's Quds Force, the organization continued to grow during the 1990s. By 2008, scholar Carl Anthony Wege writes, "Hizballah had obtained complete dominance over Lebanon's official state counterintelligence apparatus, which now constituted a Hizballah asset for counterintelligence purposes." This close connection with Lebanese intelligence helped bolster Hezbollah's financial counterintelligence unit. According to Ahmad Hamzeh, Hezbollah's counterintelligence service is divided into Amn al-Muddad, responsible for "external" or "encounter" security; and Amn al-Hizb, which protects the organization's integrity and its leaders. According to Wege, Amn al-Muddad "may have received specialized intelligence training in Iran and possibly North Korea". The organization also includes a military security component, as well as an External Security Organization (al-Amn al-Khariji or Unit 910) that operates covertly outside Lebanon. Successful Hezbollah counterintelligence operations include thwarting the CIA's attempted kidnapping of foreign operations chief Hassan Ezzeddine in 1994; the 1997 manipulation of a double agent that led to the Ansariya Ambush; and the 2000 kidnapping of alleged Mossad agent Elhanan Tannenbaum. Hezbollah also collaborated with the Lebanese government in 2006 to detect Adeeb al-Alam, a former colonel, as an Israeli spy. Also, the organization recruited IDF Lieutenant Colonel Omar al-Heib, who was convicted in 2006 of conducting surveillance for Hezbollah. In 2009, Hezbollah apprehended Marwan Faqih, a garage owner who installed tracking devices in Hezbollah-owned vehicles. Hezbollah's counterintelligence apparatus also uses electronic surveillance and intercept technologies. By 2011, Hezbollah counterintelligence began to use software to analyze cellphone data and detect espionage; suspicious callers were then subjected to conventional surveillance. In the mid-1990s, Hezbollah was able to "download unencrypted video feeds from Israeli drones," and Israeli SIGINT efforts intensified after the 2000 withdrawal from Lebanon. With possible help from Iran and the Russian FSB, Hezbollah augmented its electronic counterintelligence capabilities, and succeeded by 2008 in detecting Israeli bugs near Mount Sannine and in the organization's fiber optic network. Armed strength Hezbollah does not reveal its armed strength. The Dubai-based Gulf Research Centre estimated that Hezbollah's armed wing comprises 1,000 full-time Hezbollah members, along with a further 6,000–10,000 volunteers. According to the Iranian Fars News Agency, Hezbollah has up to 65,000 fighters. It is often described as more militarily powerful than the Lebanese Army. Israeli commander Gui Zur called Hezbollah "by far the greatest guerrilla group in the world". In 2010, Hezbollah was believed to have 45,000 rockets. In 2017, Hezbollah had 130,000 rockets and missiles in place targeting Israel, according to Israeli Minister Naftali Bennett. Israeli Defense Forces Chief of Staff Gadi Eisenkot acknowledged that Hezbollah possesses "tens of thousands" of long- and short-range rockets, drones, advanced computer encryption capabilities, as well as advanced defense capabilities like the SA-6 anti-aircraft missile system. Hezbollah possesses the Katyusha-122 rocket, which has a range of 29 km (18 mi) and carries a 15-kg (33-lb) warhead. Hezbollah also possesses about 100 long-range missiles. They include the Iranian-made Fajr-3 and Fajr-5, the latter with a range of , enabling it to strike the Israeli port of Haifa, and the Zelzal-1, with an estimated range, which can reach Tel Aviv. Fajr-3 missiles have a range of and a 45-kg (99-lb) warhead, and Fajr-5 missiles, which extend to , also hold 45-kg (99-lb) warheads. It was reported that Hezbollah is in possession of Scud missiles that were provided to them by Syria. Syria denied the reports. According to various reports, Hezbollah is armed with anti-tank guided missiles, namely, the Russian-made AT-3 Sagger, AT-4 Spigot, AT-5 Spandrel, AT-13 Saxhorn-2 'Metis-M', АТ-14 Spriggan 'Kornet'; Iranian-made Ra'ad (version of AT-3 Sagger), Towsan (version of AT-5 Spandrel), Toophan (version of BGM-71 TOW); and European-made MILAN missiles. These weapons have been used against IDF soldiers, causing many of the deaths during the 2006 Lebanon War. A small number of Saeghe-2s (Iranian-made version of M47 Dragon) were also used in the war. For air defense, Hezbollah has anti-aircraft weapons that include the ZU-23 artillery and the man-portable, shoulder-fired SA-7 and SA-18 surface-to-air missile (SAM). One of the most effective weapons deployed by Hezbollah has been the C-802 anti-ship missile. In April 2010, U.S. Secretary of Defense Robert Gates claimed that the Hezbollah has far more missiles and rockets than the majority of countries, and said that Syria and Iran are providing weapons to the organization. Israel also claims that Syria is providing the organization with these weapons. Syria has denied supplying these weapons and views these claims as an Israeli excuse for an attack. Leaked cables from American diplomats suggest that the United States has been trying unsuccessfully to prevent Syria from "supplying arms to Hezbollah in Lebanon", and that Hezbollah has "amassed a huge stockpile (of arms) since its 2006 war with Israel"; the arms were described as "increasingly sophisticated." Gates added that Hezbollah is possibly armed with chemical or biological weapons, as well as anti-ship missiles that could threaten U.S. ships. , the Israeli government believe Hezbollah had an arsenal of nearly 150,000 rockets stationed on its border with Lebanon. Some of these missiles are said to be capable of penetrating cities as far away as Eilat. The IDF has accused Hezbollah of storing these rockets beneath hospitals, schools, and civilian homes. Hezbollah has also used drones against Israel, by penetrating air defense systems, in a report verified by Nasrallah, who added, "This is only part of our capabilities". Israeli military officials and analysts have also drawn attention to the experience and weaponry the group would have gained from the involvement of thousands of its fighters in the Syrian Civil War. "This kind of experience cannot be bought," said Gabi Siboni, director of the military and strategic affairs program at the Institute for National Security Studies at Tel Aviv University. "It is an additional factor that we will have to deal with. There is no replacement for experience, and it is not to be scoffed at." On 13 July 2019 Seyyed Hassan Nasrallah, in an interview broadcast on Hezbollah's Al-Manar television, said "Our weapons have been developed in both quality and quantity, we have precision missiles and drones," he illustrated strategic military and civilian targets on the map of Israel and stated, Hezbollah is able to launch Ben Gurion Airport, arms depots, petrochemical, and water desalinization plants, and the Ashdod port, Haifa's ammonia storage which would cause "tens of thousands of casualties". Military activities Hezbollah has a military branch known as the Jihad Council, one component of which is Al-Muqawama al-Islamiyya ("The Islamic Resistance"), and is the possible sponsor of a number of lesser-known militant groups, some of which may be little more than fronts for Hezbollah itself, including the Organization of the Oppressed, the Revolutionary Justice Organization, the Organization of Right Against Wrong, and Followers of the Prophet Muhammad. United Nations Security Council Resolution 1559 called for the disarmament of militia with the Taif agreement at the end of the Lebanese civil war. Hezbollah denounced, and protested against, the resolution. The 2006 military conflict with Israel has increased the controversy. Failure to disarm remains a violation of the resolution and agreement as well as subsequent United Nations Security Council Resolution 1701. Since then both Israel and Hezbollah have asserted that the organization has gained in military strength. A Lebanese public opinion poll taken in August 2006 shows that most of the Shia did not believe that Hezbollah should disarm after the 2006 Lebanon war, while the majority of Sunni, Druze and Christians believed that they should. The Lebanese cabinet, under president Michel Suleiman and Prime Minister Fouad Siniora, guidelines state that Hezbollah enjoys the right to "liberate occupied lands." In 2009, a Hezbollah commander (speaking on condition of anonymity) said, "[W]e have far more rockets and missiles [now] than we did in 2006." Lebanese Resistance Brigades The Lebanese Resistance Brigades ( Saraya al-Moukawama al-Lubnaniyya), also known as the Lebanese Brigades to Resist the Israeli Occupation, were formed by Hezbollah in 1997 as a multifaith (Christian, Druze, Sunni and Shia) volunteer force to combat the Israeli occupation of Southern Lebanon. With the Israeli withdrawal from Lebanon in 2000, the organization was disbanded. In 2009, the Resistance Brigades were reactivated, mainly comprising Sunni supporters from the southern city of Sidon. Its strength was reduced in late 2013 from 500 to 200–250 due to residents complaints about some fighters of the group exacerbating tensions with the local community. The beginning of its military activities: the South Lebanon conflict Hezbollah has been involved in several cases of armed conflict with Israel: During the 1982–2000 South Lebanon conflict, Hezbollah waged a guerrilla campaign against Israeli forces occupying Southern Lebanon. In 1982, the Palestine Liberation Organization (PLO) was based in Southern Lebanon and was firing Katyusha rockets into northern Israel from Lebanon. Israel invaded Lebanon to evict the PLO, and Hezbollah became an armed organization to expel the Israelis. Hezbollah's strength was enhanced by the dispatching of one thousand to two thousand members of the Iranian Revolutionary Guards and the financial backing of Iran. Iranian clerics, most notably Fzlollah Mahallati supervised this activity. It became the main politico-military force among the Shia community in Lebanon and the main arm of what became known later as the Islamic Resistance in Lebanon. With the collapse of the SLA, and the rapid advance of Hezbollah forces, Israel withdrew on 24 May 2000 six weeks before the announced 7 July date." Hezbollah held a victory parade, and its popularity in Lebanon rose. Israel withdrew in accordance with 1978's United Nations Security Council Resolution 425. Hezbollah and many analysts considered this a victory for the movement, and since then its popularity has been boosted in Lebanon. Alleged suicide attacks Between 1982 and 1986, there were 36 suicide attacks in Lebanon directed against American, French and Israeli forces by 41 individuals, killing 659. Hezbollah denies involvement in some of these attacks, though it has been accused of being involved or linked to some or all of these attacks: The 1982–1983 Tyre headquarters bombings The April 1983 U.S. Embassy bombing (by the Islamic Jihad Organization), The 1983 Beirut barracks bombing (by the Islamic Jihad Organization), that killed 241 U.S. marines, 58 French paratroopers and 6 civilians at the US and French barracks in Beirut The 1983 Kuwait bombings in collaboration with the Iraqi Dawa Party. The 1984 United States embassy annex bombing, killing 24. A spate of attacks on IDF troops and SLA militiamen in southern Lebanon. Hijacking of TWA Flight 847 in 1985, The Lebanon hostage crisis from 1982 to 1992. Since 1990, terror acts and attempts of which Hezbollah has been blamed include the following bombings and attacks against civilians and diplomats: The 1992 Israeli Embassy attack in Buenos Aires, killing 29, in Argentina. Hezbollah operatives boasted of involvement. The 1994 AMIA bombing of a Jewish cultural centre, killing 85, in Argentina. Ansar Allah, a Palestinian group closely associated with Hezbollah, claimed responsibility. The 1994 AC Flight 901 attack, killing 21, in Panama. Ansar Allah, a Palestinian group closely associated with Hezbollah, claimed responsibility. The 1996 Khobar Towers bombing, killing 19 US servicemen. In 2002, Singapore accused Hezbollah of recruiting Singaporeans in a failed 1990s plot to attack U.S. and Israeli ships in the Singapore Straits. 15 January 2008, bombing of a U.S. Embassy vehicle in Beirut. In 2009, a Hezbollah plot in Egypt was uncovered, where Egyptian authorities arrested 49 men for planning attacks against Israeli and Egyptian targets in the Sinai Peninsula. The 2012 Burgas bus bombing, killing 6, in Bulgaria. Hezbollah denied responsibility. Training Shia insurgents against US troops during the Iraq War. During the Bosnian War Hezbollah provided fighters to fight on the Bosnian Muslim side during the Bosnian War, as part of the broader Iranian involvement. "The Bosnian Muslim government is a client of the Iranians," wrote Robert Baer, a CIA agent stationed in Sarajevo during the war. "If it's a choice between the CIA and the Iranians, they'll take the Iranians any day." By war's end, public opinion polls showed some 86 percent Bosnian Muslims had a positive opinion of Iran. In conjunction, Hezbollah initially sent 150 fighters to fight against the Bosnian Serb Army, the Bosnian Muslims' main opponent in the war. All Shia foreign advisors and fighters withdrew from Bosnia at the end of conflict. Conflict with Israel On 25 July 1993, following Hezbollah's killing of seven Israeli soldiers in southern Lebanon, Israel launched Operation Accountability (known in Lebanon as the Seven Day War), during which the IDF carried out their heaviest artillery and air attacks on targets in southern Lebanon since 1982. The aim of the operation was to eradicate the threat posed by Hezbollah and to force the civilian population north to Beirut so as to put pressure on the Lebanese Government to restrain Hezbollah. The fighting ended when an unwritten understanding was agreed to by the warring parties. Apparently, the 1993 understanding provided that Hezbollah combatants would not fire rockets at northern Israel, while Israel would not attack civilians or civilian targets in Lebanon. In April 1996, after continued Hezbollah rocket attacks on Israeli civilians, the Israeli armed forces launched Operation Grapes of Wrath, which was intended to wipe out Hezbollah's base in southern Lebanon. Over 100 Lebanese refugees were killed by the shelling of a UN base at Qana, in what the Israeli military said was a mistake. Finally, following several days of negotiations, the two sides signed the Grapes of Wrath Understandings on 26 April 1996. A cease-fire was agreed upon between Israel and Hezbollah, which would be effective on 27 April 1996. Both sides agreed that civilians should not be targeted, which meant that Hezbollah would be allowed to continue its military activities against IDF forces inside Lebanon. 2000 Hezbollah cross-border raid On 7 October 2000, three Israeli soldiers—Adi Avitan, Staff Sgt. Benyamin Avraham, and Staff Sgt. Omar Sawaidwere—were abducted by Hezbollah while patrolling the border between the Israeli-occupied Golan Heights and Lebanon. The soldiers were killed either during the attack or in its immediate aftermath. Israel Defense Minister Shaul Mofaz has, however, said that Hezbollah abducted the soldiers and then killed them. The bodies of the slain soldiers were exchanged for Lebanese prisoners in 2004. 2006 Lebanon War The 2006 Lebanon War was a 34-day military conflict in Lebanon and northern Israel. The principal parties were Hezbollah paramilitary forces and the Israeli military. The conflict was precipitated by a cross-border raid during which Hezbollah kidnapped and killed Israeli soldiers. The conflict began on 12 July 2006 when Hezbollah militants fired rockets at Israeli border towns as a diversion for an anti-tank missile attack on two armored Humvees patrolling the Israeli side of the border fence, killing three, injuring two, and seizing two Israeli soldiers. Israel responded with airstrikes and artillery fire on targets in Lebanon that damaged Lebanese infrastructure, including Beirut's Rafic Hariri International Airport (which Israel said that Hezbollah used to import weapons and supplies), an air and naval blockade, and a ground invasion of southern Lebanon. Hezbollah then launched more rockets into northern Israel and engaged the Israel Defense Forces in guerrilla warfare from hardened positions. The war continued until 14 August 2006. Hezbollah was responsible for thousands of Katyusha rocket attacks against Israeli civilian towns and cities in northern Israel, which Hezbollah said were in retaliation for Israel's killing of civilians and targeting Lebanese infrastructure. The conflict is believed to have killed 1,191–1,300 Lebanese citizens including combatants and 165 Israelis including soldiers. 2010 gas field claims In 2010, Hezbollah claimed that the Dalit and Tamar gas field, discovered by Noble Energy roughly west of Haifa in Israeli exclusive economic zone, belong to Lebanon, and warned Israel against extracting gas from them. Senior officials from Hezbollah warned that they would not hesitate to use weapons to defend Lebanon's natural resources. Figures in the March 14 Forces stated in response that Hezbullah was presenting another excuse to hold on to its arms. Lebanese MP Antoine Zahra said that the issue is another item "in the endless list of excuses" meant to justify the continued existence of Hezbullah's arsenal. 2011 attack in Istanbul In July 2011, Italian newspaper Corierre della Sera reported, based on American and Turkish sources, that Hezbollah was behind a bombing in Istanbul in May 2011 that wounded eight Turkish civilians. The report said that the attack was an assassination attempt on the Israeli consul to Turkey, Moshe Kimchi. Turkish intelligence sources denied the report and said "Israel is in the habit of creating disinformation campaigns using different papers." 2012 planned attack in Cyprus In July 2012, a Lebanese man was detained by Cyprus police on possible charges relating to terrorism laws for planning attacks against Israeli tourists. According to security officials, the man was planning attacks for Hezbollah in Cyprus and admitted this after questioning. The police were alerted about the man due to an urgent message from Israeli intelligence. The Lebanese man was in possession of photographs of Israeli targets and had information on Israeli airlines flying back and forth from Cyprus, and planned to blow up a plane or tour bus. Israeli Prime Minister Benjamin Netanyahu stated that Iran assisted the Lebanese man with planning the attacks. 2012 Burgas attack Following an investigation into the 2012 Burgas bus bombing terrorist attack against Israeli citizens in Bulgaria, the Bulgarian government officially accused the Lebanese-militant movement Hezbollah of committing the attack. Five Israeli citizens, the Bulgarian bus driver, and the bomber were killed. The bomb exploded as the Israeli tourists boarded a bus from the airport to their hotel. Tsvetan Tsvetanov, Bulgaria's interior minister, reported that the two suspects responsible were members of the militant wing of Hezbollah; he said the suspected terrorists entered Bulgaria on 28 June and remained until 18 July. Israel had already previously suspected Hezbollah for the attack. Israeli Prime Minister Benjamin Netanyahu called the report "further corroboration of what we have already known, that Hezbollah and its Iranian patrons are orchestrating a worldwide campaign of terror that is spanning countries and continents." Netanyahu said that the attack in Bulgaria was just one of many that Hezbollah and Iran have planned and carried out, including attacks in Thailand, Kenya, Turkey, India, Azerbaijan, Cyprus and Georgia. John Brennan, Director of the Central Intelligence Agency, has said that "Bulgaria's investigation exposes Hezbollah for what it is—a terrorist group that is willing to recklessly attack innocent men, women and children, and that poses a real and growing threat not only to Europe, but to the rest of the world." The result of the Bulgarian investigation comes at a time when Israel has been petitioning the European Union to join the United States in designating Hezbollah as a terrorist organization. 2015 Shebaa farms incident In response to an attack against a military convoy comprising Hezbollah and Iranian officers on 18 January 2015 at Quneitra in south of Syria, Hezbollah launched an ambush on 28 January against an Israeli military convoy in the Israeli-occupied Shebaa Farms with anti-tank missiles against two Israeli vehicles patrolling the border, killing 2 and wounding 7 Israeli soldiers and officers, as confirmed by Israeli military. Assassination of Rafic Hariri On 14 February 2005, former Lebanese Prime Minister Rafic Hariri was killed, along with 21 others, when his motorcade was struck by a roadside bomb in Beirut. He had been PM during 1992–1998 and 2000–2004. In 2009, the United Nations special tribunal investigating the murder of Hariri reportedly found evidence linking Hezbollah to the murder. In August 2010, in response to notification that the UN tribunal would indict some Hezbollah members, Hassan Nasrallah said Israel was looking for a way to assassinate Hariri as early as 1993 in order to create political chaos that would force Syria to withdraw from Lebanon, and to perpetuate an anti-Syrian atmosphere [in Lebanon] in the wake of the assassination. He went on to say that in 1996 Hezbollah apprehended an agent working for Israel by the name of Ahmed Nasrallah—no relation to Hassan Nasrallah—who allegedly contacted Hariri's security detail and told them that he had solid proof that Hezbollah was planning to take his life. Hariri then contacted Hezbollah and advised them of the situation. Saad Hariri responded that the UN should investigate these claims. On 30 June 2011, the Special Tribunal for Lebanon, established to investigate the death of Hariri, issued arrest warrants against four senior members of Hezbollah, including Mustafa Badr Al Din. On 3 July, Hassan Nasrallah rejected the indictment and denounced the tribunal as a plot against the party, vowing that the named persons would not be arrested under any circumstances. Involvement in the Syrian Civil War Hezbollah has long been an ally of the Ba'ath government of Syria, led by the Al-Assad family. Hezbollah has helped the Syrian government during the Syrian civil war in its fight against the Syrian opposition, which Hezbollah has described as a Zionist plot to destroy its alliance with al-Assad against Israel. Geneive Abdo opined that Hezbollah's support for al-Assad in the Syrian war has "transformed" it from a group with "support among the Sunni for defeating Israel in a battle in 2006" into a "strictly Shia paramilitary force". In August 2012, the United States sanctioned Hezbollah for its alleged role in the war. General Secretary Nasrallah denied Hezbollah had been fighting on behalf of the Syrian government, stating in a 12 October 2012, speech that "right from the start the Syrian opposition has been telling the media that Hizbullah sent 3,000 fighters to Syria, which we have denied". However, according to the Lebanese Daily Star newspaper, Nasrallah said in the same speech that Hezbollah fighters helped the Syrian government "retain control of some 23 strategically located villages [in Syria] inhabited by Shiites of Lebanese citizenship". Nasrallah said that Hezbollah fighters have died in Syria doing their "jihadist duties". In 2012, Hezbollah fighters crossed the border from Lebanon and took over eight villages in the Al-Qusayr District of Syria. On 16–17 February 2013, Syrian opposition groups claimed that Hezbollah, backed by the Syrian military, attacked three neighboring Sunni villages controlled by the Free Syrian Army (FSA). An FSA spokesman said, "Hezbollah's invasion is the first of its kind in terms of organisation, planning and coordination with the Syrian regime's air force". Hezbollah said three Lebanese Shiites, "acting in self-defense", were killed in the clashes with the FSA. Lebanese security sources said that the three were Hezbollah members. In response, the FSA allegedly attacked two Hezbollah positions on 21 February; one in Syria and one in Lebanon. Five days later, it said it destroyed a convoy carrying Hezbollah fighters and Syrian officers to Lebanon, killing all the passengers. In January 2013, a weapons convoy carrying SA-17 anti-aircraft missiles to Hezbollah was destroyed allegedly by the Israeli Air Force. A nearby research center for chemical weapons was also damaged. A similar attack on weapons destined for Hezbollah occurred in May of the same year. The leaders of the March 14 alliance and other prominent Lebanese figures called on Hezbollah to end its involvement in Syria and said it is putting Lebanon at risk. Subhi al-Tufayli, Hezbollah's former leader, said "Hezbollah should not be defending the criminal regime that kills its own people and that has never fired a shot in defense of the Palestinians." He said "those Hezbollah fighters who are killing children and terrorizing people and destroying houses in Syria will go to hell". The Consultative Gathering, a group of Shia and Sunni leaders in Baalbek-Hermel, also called on Hezbollah not to "interfere" in Syria. They said, "Opening a front against the Syrian people and dragging Lebanon to war with the Syrian people is very dangerous and will have a negative impact on the relations between the two." Walid Jumblatt, leader of the Progressive Socialist Party, also called on Hezbollah to end its involvement and claimed that "Hezbollah is fighting inside Syria with orders from Iran." Egyptian President Mohamed Morsi condemned Hezbollah by saying, "We stand against Hezbollah in its aggression against the Syrian people. There is no space or place for Hezbollah in Syria." Support for Hezbollah among the Syrian public has weakened since the involvement of Hezbollah and Iran in propping up the Assad regime during the civil war. On 12 May 2013, Hezbollah with the Syrian army attempted to retake part of Qusayr. In Lebanon, there has been "a recent increase in the funerals of Hezbollah fighters" and "Syrian rebels have shelled Hezbollah-controlled areas." On 25 May 2013, Nasrallah announced that Hezbollah is fighting in the Syrian Civil War against Islamic extremists and "pledged that his group will not allow Syrian militants to control areas that border Lebanon". He confirmed that Hezbollah was fighting in the strategic Syrian town of Al-Qusayr on the same side as Assad's forces. In the televised address, he said, "If Syria falls in the hands of America, Israel and the takfiris, the people of our region will go into a dark period." Involvement in Iranian-led intervention in Iraq Beginning in July 2014, Hezbollah sent an undisclosed number of technical advisers and intelligence analysts to Baghdad in support of the Iranian intervention in Iraq (2014–present). Shortly thereafter, Hezbollah commander Ibrahim al-Hajj was reported killed in action near Mosul. Latin America operations Hezbollah operations in South America began in the late 20th century, centered around the Arab population which had moved there following the 1948 Arab-Israeli War and the 1985 Lebanese Civil War. In 2002, Hezbollah was operating openly in Ciudad del Este. Beginning in 2008 the United States Drug Enforcement Agency began with Project Cassandra to work against Hezbollah activities in regards to Latin American drug trafficking. The investigation by the DEA found that Hezbollah made about a billion dollars a year and trafficked thousands of tons of cocaine into the United States. Another destination for cocaine trafficking done by Hezbollah are nations within the Gulf Cooperation Council. In 2013, Hezbollah was accused of infiltrating South America and having ties with Latin American drug cartels. One area of operations is in the region of the Triple Frontier, where Hezbollah has been alleged to be involved in the trafficking of cocaine; officials with the Lebanese embassy in Paraguay have worked to counter American allegations and extradition attempts. In 2016, it was alleged that money gained from drug sales was used to purchase weapons in Syria. In 2018, Infobae reported that Hezbollah was operating in Colombia under the name Organization of External Security. That same year, Argentine police made arrest to individuals alleged to be connected to Hezbollah's criminal activities within the nation. It is also alleged that Venezuela aids Hezbollah in its operations in the region. One particular form of involvement is money laundering. United States operations Ali Kourani, the first Hezbollah operative to be convicted and sentenced in the United States, was under investigation since 2013 and worked to provide targeting and terrorist recruiting information to Hezbollah's Islamic Jihad Organization. The organization had recruited a former resident of Minnesota and a military linguist, Mariam Tala Thompson, who disclosed "identities of at least eight clandestine human assets; at least 10 U.S. targets; and multiple tactics, techniques and procedures" before she was discovered and successfully prosecuted in a U.S. court. Other In 2010, Ahbash and Hezbollah members were involved in a street battle which was perceived to be over parking issues, both groups later met to form a joint compensation fund for the victims of the conflict. Financial/economy During the September 2021 fuel shortage Hezbollah received a convoy of 80 tankers carrying oil/diesel fuel from Iran. Attacks on Hezbollah leaders Hezbollah has also been the target of bomb attacks and kidnappings. These include: In the 1985 Beirut car bombing, Hezbollah leader Mohammad Hussein Fadlallah was targeted, but the assassination attempt failed. On 28 July 1989, Israeli commandos kidnapped Sheikh Abdel Karim Obeid, the leader of Hezbollah. This action led to the adoption of UN Security Council resolution 638, which condemned all hostage takings by all sides. On 16 February 1992, Israeli helicopters attacked a motorcade in southern Lebanon, killing the Hezbollah leader Abbas al-Musawi, his wife, son, and four others. On 12 February 2008, Imad Mughnieh was killed by a car bomb in Damascus, Syria. On 3 December 2013, senior military commander Hassan al-Laqis was shot outside his home, two miles (three kilometers) southwest of Beirut. He died a few hours later on 4 December. On 18 January 2015, a group of Hezbollah fighters was targeted in Quneitra, with the Al-Nusra Front claiming responsibility. In this attack, for which Israel was also accused, Jihad Moghnieh, son of Imad Mughnieh, five other members of Hezbollah and an Iranian general of Quds Force, Mohammad Ali Allahdadi, were killed. On 10 May 2016, an explosion near Damascus International Airport killed top military commander Mustafa Badreddine. Lebanese media sources attributed the attack to an Israeli airstrike. Hezbollah attributed the attack to Syrian opposition. Targeting policy After the September 11, 2001 attacks, Hezbollah condemned al-Qaeda for targeting civilians in the World Trade Center, but remained silent on the attack on The Pentagon. Hezbollah also denounced the massacres in Algeria by Armed Islamic Group, Al-Gama'a al-Islamiyya attacks on tourists in Egypt, the murder of Nick Berg, and ISIL attacks in Paris. Although Hezbollah has denounced certain attacks on civilians, some people accuse the organization of the bombing of an Argentine synagogue in 1994. Argentine prosecutor Alberto Nisman, Marcelo Martinez Burgos, and their "staff of some 45 people" said that Hezbollah and their contacts in Iran were responsible for the 1994 bombing of a Jewish cultural center in Argentina, in which "[e]ighty-five people were killed and more than 200 others injured." In August 2012, the United States State Department's counter-terrorism coordinator Daniel Benjamin warned that Hezbollah may attack Europe at any time without any warning. Benjamin said, "Hezbollah maintains a presence in Europe and its recent activities demonstrate that it is not constrained by concerns about collateral damage or political fallout that could result from conducting operations there ... We assess that Hezbollah could attack in Europe or elsewhere at any time with little or no warning" and that Hezbollah has "stepped up terrorist campaigns around the world." Foreign relations Hezbollah has close relations with Iran. It also has ties with the leadership in Syria, specifically President Hafez al-Assad (until his death in 2000) supported it. It is also a close Assad ally, and its leader pledged support to the embattled Syrian leader. Although Hezbollah and Hamas are not organizationally linked, Hezbollah provides military training as well as financial and moral support to the Sunni Palestinian group. Furthermore, Hezbollah was a strong supporter of the second Intifada. American and Israeli counter-terrorism officials claim that Hezbollah has (or had) links to Al Qaeda, although Hezbollah's leaders deny these allegations. Also, some al-Qaeda leaders, like Abu Musab al-Zarqawi and Wahhabi clerics, consider Hezbollah to be apostate. But United States intelligence officials speculate that there has been contact between Hezbollah and low-level al-Qaeda figures who fled Afghanistan for Lebanon. However, Michel Samaha, Lebanon's former minister of information, has said that Hezbollah has been an important ally of the government in the war against terrorist groups, and described the "American attempt to link Hezbollah to al-Qaeda" to be "astonishing". Public opinion According to Michel Samaha, Lebanon's minister of information, Hezbollah is seen as "a legitimate resistance organization that has defended its land against an Israeli occupying force and has consistently stood up to the Israeli army". According to a survey released by the "Beirut Center for Research and Information" on 26 July during the 2006 Lebanon War, 87 percent of Lebanese support Hezbollah's "retaliatory attacks on northern Israel", a rise of 29 percentage points from a similar poll conducted in February. More striking, however, was the level of support for Hezbollah's resistance from non-Shiite communities. Eighty percent of Christians polled supported Hezbollah, along with 80 percent of Druze and 89 percent of Sunnis. In a poll of Lebanese adults taken in 2004, 6% of respondents gave unqualified support to the statement "Hezbollah should be disarmed". 41% reported unqualified disagreement. A poll of Gaza Strip and West Bank residents indicated that 79.6% had "a very good view" of Hezbollah, and most of the remainder had a "good view". Polls of Jordanian adults in December 2005 and June 2006 showed that 63.9% and 63.3%, respectively, considered Hezbollah to be a legitimate resistance organization.In the December 2005 poll, only 6% of Jordanian adults considered Hezbollah to be terrorist. A July 2006 USA Today/Gallup poll found that 83% of the 1,005 Americans polled blamed Hezbollah, at least in part, for the 2006 Lebanon War, compared to 66% who blamed Israel to some degree. Additionally, 76% disapproved of the military action Hezbollah took in Israel, compared to 38% who disapproved of Israel's military action in Lebanon. A poll in August 2006 by ABC News and the Washington Post found that 68% of the 1,002 Americans polled blamed Hezbollah, at least in part, for the civilian casualties in Lebanon during the 2006 Lebanon War, compared to 31% who blamed Israel to some degree. Another August 2006 poll by CNN showed that 69% of the 1,047 Americans polled believed that Hezbollah is unfriendly towards, or an enemy of, the United States. In 2010, a survey of Muslims in Lebanon showed that 94% of Lebanese Shia supported Hezbollah, while 84% of the Sunni Muslims held an unfavorable opinion of the group. Some public opinion has started to turn against Hezbollah for their support of Syrian President Assad's attacks on the opposition movement in Syria. Crowds in Cairo shouted out against Iran and Hezbollah, at a public speech by Hamas President Ismail Haniya in February 2012, when Hamas changed its support to the Syrian opposition. Designation as a terrorist organization or resistance movement Hezbollah's status as a legitimate political party, a terrorist group, a resistance movement, or some combination thereof is a contentious issue. As of October 2020, Hezbollah or its military wing are considered terrorist organizations by at least 26 countries, as well as by the European Union and since 2017 by most member states of the Arab League, with the exception of Iraq and Lebanon, where Hezbollah is the most powerful political party. The countries that have designated Hezbollah a terrorist organisation include: the Arab League and the Gulf Cooperation Council, and their members Saudi Arabia, Bahrain, United Arab Emirates, as well as Argentina, Canada, Colombia, Estonia, Germany, Honduras, Israel, Kosovo, Lithuania, Malaysia, Paraguay, Serbia, Slovenia, United Kingdom, United States, and Guatemala. The
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Lebanon's borders. Hezbollah is part of Lebanon's March 8 Alliance, in opposition to the March 14 Alliance. It maintains strong support among Lebanese Shia Muslims, while Sunnis have disagreed with its agenda. Hezbollah also has support in some Christian areas of Lebanon. It receives military training, weapons, and financial support from Iran and political support from Syria. Since 1990, Hezbollah has participated in Lebanese politics, in a process which is described as the Lebanonisation of Hezbollah, and it later participated in the government of Lebanon and joined political alliances. After the 2006–08 Lebanese protests and clashes, a national unity government was formed in 2008, with Hezbollah and its opposition allies obtaining 11 of 30 cabinet seats, enough to give them veto power. In August 2008, Lebanon's new cabinet unanimously approved a draft policy statement that recognizes Hezbollah's existence as an armed organization and guarantees its right to "liberate or recover occupied lands" (such as the Shebaa Farms). Since 2012, Hezbollah involvement in the Syrian civil war has seen it join the Syrian government in its fight against the Syrian opposition, which Hezbollah has described as a Zionist plot and a "Wahhabi-Zionist conspiracy" to destroy its alliance with Bashar al-Assad against Israel. Between 2013 and 2015, the organisation deployed its militia in both Syria and Iraq to fight or train local militias to fight against the Islamic State. The group's legitimacy is considered to have been severely damaged due to the sectarian nature of the Syrian war. In the 2018 Lebanese general election, Hezbollah held 12 seats and its alliance won the election by gaining 70 out of 128 seats in the Parliament of Lebanon. Nasrallah declared on 2021 that the group has 100,000 fighters. Either the entire organization or only its military wing has been designated a terrorist organization by several countries, including by the European Union and, since 2017, also by most member states of the Arab League, with two exceptions – Lebanon, where Hezbollah is the most powerful political party, and Iraq. Russia does not view Hezbollah as a "terrorist organization" but as a "legitimate socio-political force". History Foundation In 1982, Hezbollah was conceived by Muslim clerics and funded by Iran primarily to harass the Israeli invasion of Lebanon. Its leaders were followers of Ayatollah Khomeini, and its forces were trained and organized by a contingent of 1,500 Revolutionary Guards that arrived from Iran with permission from the Syrian government, which occupied Lebanon's eastern highlands, permitted their transit to a base in the Bekaa valley which was in occupation of Lebanon at the time. Scholars differ as to when Hezbollah came to be a distinct entity. Various sources list the official formation of the group as early as 1982 whereas Diaz and Newman maintain that Hezbollah remained an amalgamation of various violent Shi'a extremists until as late as 1985. Another version states that it was formed by supporters of Sheikh Ragheb Harb, a leader of the southern Shia resistance killed by Israel in 1984. Regardless of when the name came into official use, a number of Shi'a groups were slowly assimilated into the organization, such as Islamic Jihad, Organization of the Oppressed on Earth and the Revolutionary Justice Organization . These designations are considered to be synonymous with Hezbollah by the US, Israel and Canada. 1980s Hezbollah emerged in South Lebanon during a consolidation of Shia militias as a rival to the older Amal Movement. Hezbollah played a significant role in the Lebanese civil war, opposing American forces in 1982–83 and opposing Amal and Syria during the 1985–88 War of the Camps. However, Hezbollah's early primary focus was ending Israel's occupation of southern Lebanon following Israel's 1982 invasion and siege of Beirut. Amal, the main Lebanese Shia political group, initiated guerrilla warfare. In 2006, former Israeli prime minister Ehud Barak stated, "When we entered Lebanon … there was no Hezbollah. We were accepted with perfumed rice and flowers by the Shia in the south. It was our presence there that created Hezbollah". Hezbollah waged an asymmetric war using suicide attacks against the Israel Defense Forces (IDF) and Israeli targets outside of Lebanon. Hezbollah is reputed to have been among the first Islamic resistance groups in the Middle East to use the tactics of suicide bombing, assassination, and capturing foreign soldiers, as well as murders and hijackings. Hezbollah also employed more conventional military tactics and weaponry, notably Katyusha rockets and other missiles. At the end of the Lebanese Civil War in 1990, despite the Taif Agreement asking for the "disbanding of all Lebanese and non-Lebanese militias," Syria, which controlled Lebanon at that time, allowed Hezbollah to maintain their arsenal and control Shia areas along the border with Israel. After 1990 In the 1990s, Hezbollah transformed from a revolutionary group into a political one, in a process which is described as the Lebanonisation of Hezbollah. Unlike its uncompromising revolutionary stance in the 1980s, Hezbollah conveyed a lenient stance towards the Lebanese state. In 1992 Hezbollah decided to participate in elections, and Ali Khamenei, supreme leader of Iran, endorsed it. Former Hezbollah secretary general, Subhi al-Tufayli, contested this decision, which led to a schism in Hezbollah. Hezbollah won all twelve seats which were on its electoral list. At the end of that year, Hezbollah began to engage in dialog with Lebanese Christians. Hezbollah regards cultural, political, and religious freedoms in Lebanon as sanctified, although it does not extend these values to groups who have relations with Israel. In 1997 Hezbollah formed the multi-confessional Lebanese Brigades to Fighting the Israeli Occupation in an attempt to revive national and secular resistance against Israel, thereby marking the "Lebanonisation" of resistance. Islamic Jihad Organization (IJO) Whether the Islamic Jihad Organization (IJO) was a nom de guerre used by Hezbollah or a separate organization, is disputed. According to certain sources, IJO was identified as merely a "telephone organization", and whose name was "used by those involved to disguise their true identity." Hezbollah reportedly also used another name, "Islamic Resistance" (al-Muqawama al-Islamiyya), for attacks against Israel. A 2003 American court decision found IJO was the name used by Hezbollah for its attacks in Lebanon, parts of the Middle East and Europe. The US, Israel and Canada consider the names "Islamic Jihad Organization", "Organization of the Oppressed on Earth" and the "Revolutionary Justice Organization" to be synonymous with Hezbollah. Ideology The ideology of Hezbollah has been summarized as Shi'i radicalism; Hezbollah follows the Islamic Shi'a theology developed by Iranian leader Ayatollah Ruhollah Khomeini. Hezbollah was largely formed with the aid of the Ayatollah Khomeini's followers in the early 1980s in order to spread Islamic revolution and follows a distinct version of Islamic Shi'a ideology (Wilayat al-faqih or Guardianship of the Islamic Jurists) developed by Ayatollah Ruhollah Khomeini, leader of the "Islamic Revolution" in Iran. Although Hezbollah originally aimed to transform Lebanon into a formal Faqihi Islamic republic, this goal has been abandoned in favor of a more inclusive approach. 1985 manifesto On 16 February 1985, Sheik Ibrahim al-Amin issued Hezbollah's manifesto. The ideology presented in it was described as radical. Its first objective was to fight against what Hezbollah described as American and Israeli imperialism, including the Israeli occupation of Southern Lebanon and other territories. The second objective was to gather all Muslims into an "ummah", under which Lebanon would further the aims of the 1979 Revolution of Iran. It also declared it would protect all Lebanese communities, excluding those that collaborated with Israel, and support all national movements—both Muslim and non-Muslim—throughout the world. The ideology has since evolved, and today Hezbollah is a left-wing political entity focused on social injustice. Translated excerpts from Hezbollah's original 1985 manifesto read: Attitudes, statements, and actions concerning Israel and Zionism From the inception of Hezbollah to the present, the elimination of the State of Israel has been one of Hezbollah's primary goals. Some translations of Hezbollah's 1985 Arabic-language manifesto state that "our struggle will end only when this entity [Israel] is obliterated". According to Hezbollah's Deputy-General, Naim Qassem, the struggle against Israel is a core belief of Hezbollah and the central rationale of Hezbollah's existence. Hezbollah says that its continued hostilities against Israel are justified as reciprocal to Israeli operations against Lebanon and as retaliation for what they claim is Israel's occupation of Lebanese territory. Israel withdrew from Lebanon in 2000, and their withdrawal was verified by the United Nations as being in accordance with resolution 425 of 19 March 1978, however Lebanon considers the Shebaa farms—a 26-km2 (10-mi2) piece of land captured by Israel from Syria in the 1967 war and considered by the UN to be Syrian territory occupied by Israel—to be Lebanese territory. Finally, Hezbollah consider Israel to be an illegitimate state. For these reasons, they justify their actions as acts of defensive jihad. Attitudes and actions concerning Jews and Judaism Hezbollah officials have said, on rare occasions, that it is only "anti-Zionist" and not anti-Semitic. However, according to scholars, "these words do not hold up upon closer examination". Among other actions, Hezbollah actively engages in Holocaust denial and spreads anti-Semitic conspiracy theories. Various antisemitic statements have been attributed to Hezbollah officials. Amal Saad-Ghorayeb, a Lebanese political analyst, argues that although Zionism has influenced Hezbollah's anti-Judaism, "it is not contingent upon it because Hezbollah's hatred of Jews is more religiously motivated than politically motivated". Robert S. Wistrich, a historian specializing in the study of anti-Semitism, described Hezbollah's ideology concerning Jews: The anti-Semitism of Hezbollah leaders and spokesmen combines the image of seemingly invincible Jewish power ... and cunning with the contempt normally reserved for weak and cowardly enemies. Like the Hamas propaganda for holy war, that of Hezbollah has relied on the endless vilification of Jews as 'enemies of mankind,' 'conspiratorial, obstinate, and conceited' adversaries full of 'satanic plans' to enslave the Arabs. It fuses traditional Islamic anti-Judaism with Western conspiracy myths, Third Worldist anti-Zionism, and Iranian Shiite contempt for Jews as 'ritually impure' and corrupt infidels. Sheikh Fadlallah typically insists ... that Jews wish to undermine or obliterate Islam and Arab cultural identity in order to advance their economic and political domination. Conflicting reports say Al-Manar, the Hezbollah-owned and operated television station, accused either Israel or Jews of deliberately spreading HIV and other diseases to Arabs throughout the Middle East. Al-Manar was criticized in the West for airing "anti-Semitic propaganda" in the form of a television drama depicting a Jewish world domination conspiracy theory. The group has been accused by American analysts of engaging in Holocaust denial. In addition, during its 2006 war, it apologized only for killing Israel's Arabs (i.e., non-Jews). In November 2009, Hezbollah pressured a private English-language school to drop reading excerpts from The Diary of Anne Frank, a book of the writings from the diary kept by the Jewish child Anne Frank while she was in hiding with her family during the Nazi occupation of the Netherlands. This was after Hezbollah's Al-Manar television channel complained, asking how long Lebanon would "remain an open arena for the Zionist invasion of education?" Organization At the beginning many Hezbollah leaders have maintained that the movement was "not an organization, for its members carry no cards and bear no specific responsibilities," and that the movement does not have "a clearly defined organizational structure." Nowadays, as Hezbollah scholar Magnus Ranstorp reports, Hezbollah does indeed have a formal governing structure, and in keeping with the principle of Guardianship of the Islamic Jurists (velayat-e faqih), it "concentrate[s] ... all authority and powers" in its religious leaders, whose decisions then "flow from the ulama down the entire community." The supreme decision-making bodies of the Hezbollah were divided between the Majlis al-Shura (Consultative Assembly) which was headed by 12 senior clerical members with responsibility for tactical decisions and supervision of overall Hizballah activity throughout Lebanon, and the Majlis al-Shura al-Karar (the Deciding Assembly), headed by Sheikh Muhammad Hussein Fadlallah and composed of eleven other clerics with responsibility for all strategic matters. Within the Majlis al-Shura, there existed seven specialized committees dealing with ideological, financial, military and political, judicial, informational and social affairs. In turn, the Majlis al-Shura and these seven committees were replicated in each of Hizballah's three main operational areas (the Beqaa, Beirut, and the South). Since the Supreme Leader of Iran is the ultimate clerical authority, Hezbollah's leaders have appealed to him "for guidance and directives in cases when Hezbollah's collective leadership [was] too divided over issues and fail[ed] to reach a consensus." After the death of Iran's first Supreme Leader, Khomeini, Hezbollah's governing bodies developed a more "independent role" and appealed to Iran less often. Since the Second Lebanon War, however, Iran has restructured Hezbollah to limit the power of Hassan Nasrallah, and invested billions of dollars "rehabilitating" Hezbollah. Structurally, Hezbollah does not distinguish between its political/social activities within Lebanon and its military/jihad activities against Israel. "Hezbollah has a single leadership," according to Naim Qassem, Hezbollah's second in command. "All political, social and jihad work is tied to the decisions of this leadership ... The same leadership that directs the parliamentary and government work also leads jihad actions in the struggle against Israel." In 2010, Iran's parliamentary speaker Ali Larijani said, "Iran takes pride in Lebanon's Islamic resistance movement for its steadfast Islamic stance. Hezbollah nurtures the original ideas of Islamic Jihad." He also instead charged the West with having accused Iran with support of terrorism and said, "The real terrorists are those who provide the Zionist regime with military equipment to bomb the people." Funding Funding of Hezbollah comes from Lebanese business groups, private persons, businessmen, the Lebanese diaspora involved in African diamond exploration, other Islamic groups and countries, and the taxes paid by the Shia Lebanese. Hezbollah says that the main source of its income comes from its own investment portfolios and donations by Muslims. Western sources maintain that Hezbollah actually receives most of its financial, training, weapons, explosives, political, diplomatic, and organizational aid from Iran and Syria. Iran is said to have given $400 million between 1983 and 1989 through donation. Due to economic problems, Iran temporarily limited funds to humanitarian actions carried on by Hezbollah. During the late 1980s, when there was extreme inflation due to the collapse of the Lira, it was estimated that Hezbollah was receiving $3-5 million a month from Iran. According to reports released in February 2010, Hezbollah received $400 million from Iran. In 2011 Iran earmarked $7 million to Hezbollah's activities in Latin American. Hezbollah has relied also on funding from the Shi'ite Lebanese Diaspora in West Africa, the United States and, most importantly, the Triple Frontier, or tri-border area, along the junction of Paraguay, Argentina, and Brazil. U.S. law enforcement officials have identified an illegal multimillion-dollar cigarette-smuggling fund raising operation and a drug smuggling operation. However, Nasrallah has repeatedly denied any links between the South American drug trade and Hezbollah, calling such accusations "propaganda" and attempts "to damage the image of Hezbollah". As of 2018, Iranian monetary support for Hezbollah is estimated at $700 million per annum according to US estimates. The United States has accused members of the Venezuelan government of providing financial aid to Hezbollah. Social services Hezbollah organizes and maintains an extensive social development program and runs hospitals, news services, educational facilities, and encouragement of Nikah mut'ah. One of its established institutions, Jihad Al Binna's Reconstruction Campaign, is responsible for numerous economic and infrastructure development projects in Lebanon. Hezbollah controls the Martyr's Institute (Al-Shahid Social Association), which pays stipends to "families of fighters who die" in battle. An IRIN news report of the UN Office for the Coordination of Humanitarian Affairs noted: Hezbollah not only has armed and political wings—it also boasts an extensive social development program. Hezbollah currently operates at least four hospitals, twelve clinics, twelve schools and two agricultural centres that provide farmers with technical assistance and training. It also has an environmental department and an extensive social assistance program. Medical care is also cheaper than in most of the country's private hospitals and free for Hezbollah members. According to CNN, "Hezbollah did everything that a government should do, from collecting the garbage to running hospitals and repairing schools." In July 2006, during the war with Israel, when there was no running water in Beirut, Hezbollah was arranging supplies around the city. Lebanese Shiites "see Hezbollah as a political movement and a social service provider as much as it is a militia." Hezbollah also rewards its guerrilla members who have been wounded in battle by taking them to Hezbollah-run amusement parks. Hezbollah is, therefore, deeply embedded in the Lebanese society. Political activities Hezbollah along with Amal is one of two major political parties in Lebanon that represent Shiite Muslims. Unlike Amal, whose support is predominantly in the south of the country, Hezbollah maintains broad-based support in all three areas of Lebanon with a majority Shia Muslim population: in the south, in Beirut and its surrounding area, and in the northern Beqaa valley and Hirmil region. It holds 14 of the 128 seats in the Parliament of Lebanon and is a member of the Resistance and Development Bloc. According to Daniel L. Byman, it is "the most powerful single political movement in Lebanon." Hezbollah, along with the Amal Movement, represents most of Lebanese Shi'a. However, unlike Amal, Hezbollah has not disarmed. Hezbollah participates in the Parliament of Lebanon. Political alliances Hezbollah has been one of the main parties of the March 8 Alliance since March 2005. Although Hezbollah had joined the new government in 2005, it remained staunchly opposed to the March 14 Alliance. On 1 December 2006, these groups began a series of political protests and sit-ins in opposition to the government of Prime Minister Fouad Siniora. In 2006, Michel Aoun and Hassan Nasrallah met in Mar Mikhayel Church, Chiyah, and signed a memorandum of understanding between Free Patriotic Movement and Hezbollah organizing their relation and discussing Hezbollah's disarmament with some conditions. The agreement also discussed the importance of having normal diplomatic relations with Syria and the request for information about the Lebanese political prisoners in Syria and the return of all political prisoners and diaspora in Israel. After this event, Aoun and his party became part of the March 8 Alliance. On 7 May 2008, Lebanon's 17-month-long political crisis spiraled out of control. The fighting was sparked by a government move to shut down Hezbollah's telecommunication network and remove Beirut Airport's security chief over alleged ties to Hezbollah. Hezbollah leader Hassan Nasrallah said the government's decision to declare the group's military telecommunications network illegal was a "declaration of war" on the organization, and demanded that the government revoke it. Hezbollah-led opposition fighters seized control of several West Beirut neighborhoods from Future Movement militiamen loyal to the backed government, in street battles that left 11 dead and 30 wounded. The opposition-seized areas were then handed over to the Lebanese Army. The army also pledged to resolve the dispute and has reversed the decisions of the government by letting Hezbollah preserve its telecoms network and re-instating the airport's security chief. At the end, rival Lebanese leaders reached consensus over Doha Agreement on 21 May 2008, to end the 18-month political feud that exploded into fighting and nearly drove the country to a new civil war. On the basis of this agreement, Hezbollah and its opposition allies were effectively granted veto power in Lebanon's parliament. At the end of the conflicts, National unity government was formed by Fouad Siniora on 11 July 2008, with Hezbollah controlling one ministerial and eleven of thirty cabinet places. In 2018 Lebanese general election, Hezbollah general secretary Hassan Nasrallah presented the names of the 13 Hezbollah candidates. On 22 March 2018, Nasrallah issued a statement outlining the main priorities for the parliamentary bloc of the party, Loyalty to the Resistance, in the next parliament. He stated that rooting out corruption would be the foremost priority of the Loyalty to the Resistance bloc. The electoral slogan of the party was 'We will construct and we will protect'. Finally Hezbollah held 12 seats and its alliance won the election by gaining 70 out of 128 seats of Parliament of Lebanon. Media operations Hezbollah operates a satellite television station, Al-Manar TV ("the Lighthouse"), and a radio station, al-Nour ("the Light"). Al-Manar broadcasts from Beirut, Lebanon. Hezbollah launched the station in 1991 with the help of Iranian funds. Al-Manar, the self-proclaimed "Station of the Resistance," (qanat al-muqawama) is a key player in what Hezbollah calls its "psychological warfare against the Zionist enemy" and an integral part of Hezbollah's plan to spread its message to the entire Arab world. In addition, Hezbollah has a weekly publication, Al Ahd, which was established in 1984. It is the only media outlet which is openly affiliated with the organization. Hezbollah's television station Al-Manar airs programming designed to inspire suicide attacks in Gaza, the West Bank, and Iraq. Al-Manar's transmission in France is prohibited due to its promotion of Holocaust denial, a criminal offense in France. The United States lists Al-Manar television network as a terrorist organization. Al-Manar was designated as a "Specially Designated Global Terrorist entity," and banned by the United States in December 2004. It has also been banned by France, Spain and Germany. Materials aimed at instilling principles of nationalism and Islam in children are an aspect of Hezbollah's media operations. The Hezbollah Central Internet Bureau released a video game in 2003 entitled Special Force and a sequel in 2007 in which players are rewarded with points and weapons for killing Israelis. In 2012, Al-Manar aired a television special praising an 8-year-old boy who raised money for Hezbollah and said: "When I grow up, I will be a communist resistance warrior with Hezbollah, fighting the United States and Israel, I will tear them to pieces and drive them out of Lebanon, the Golan and Palestine, which I love very dearly." Secret services Hezbollah's secret services have been described as "one of the best in the world", and have even infiltrated the Israeli army. Hezbollah's secret services collaborate with the Lebanese intelligence agencies. In the summer of 1982, Hezbollah's Special Security Apparatus was created by Hussein al-Khalil, now a "top political adviser to Nasrallah"; while Hezbollah's counterintelligence was initially managed by Iran's Quds Force, the organization continued to grow during the 1990s. By 2008, scholar Carl Anthony Wege writes, "Hizballah had obtained complete dominance over Lebanon's official state counterintelligence apparatus, which now constituted a Hizballah asset for counterintelligence purposes." This close connection with Lebanese intelligence helped bolster Hezbollah's financial counterintelligence unit. According to Ahmad Hamzeh, Hezbollah's counterintelligence service is divided into Amn al-Muddad, responsible for "external" or "encounter" security; and Amn al-Hizb, which protects the organization's integrity and its leaders. According to Wege, Amn al-Muddad "may have received specialized intelligence training in Iran and possibly North Korea". The organization also includes a military security component, as well as an External Security Organization (al-Amn al-Khariji or Unit 910) that operates covertly outside Lebanon. Successful Hezbollah counterintelligence operations include thwarting the CIA's attempted kidnapping of foreign operations chief Hassan Ezzeddine in 1994; the 1997 manipulation of a double agent that led to the Ansariya Ambush; and the 2000 kidnapping of alleged Mossad agent Elhanan Tannenbaum. Hezbollah also collaborated with the Lebanese government in 2006 to detect Adeeb al-Alam, a former colonel, as an Israeli spy. Also, the organization recruited IDF Lieutenant Colonel Omar al-Heib, who was convicted in 2006 of conducting surveillance for Hezbollah. In 2009, Hezbollah apprehended Marwan Faqih, a garage owner who installed tracking devices in Hezbollah-owned vehicles. Hezbollah's counterintelligence apparatus also uses electronic surveillance and intercept technologies. By 2011, Hezbollah counterintelligence began to use software to analyze cellphone data and detect espionage; suspicious callers were then subjected to conventional surveillance. In the mid-1990s, Hezbollah was able to "download unencrypted video feeds from Israeli drones," and Israeli SIGINT efforts intensified after the 2000 withdrawal from Lebanon. With possible help from Iran and the Russian FSB, Hezbollah augmented its electronic counterintelligence capabilities, and succeeded by 2008 in detecting Israeli bugs near Mount Sannine and in the organization's fiber optic network. Armed strength Hezbollah does not reveal its armed strength. The Dubai-based Gulf Research Centre estimated that Hezbollah's armed wing comprises 1,000 full-time Hezbollah members, along with a further 6,000–10,000 volunteers. According to the Iranian Fars News Agency, Hezbollah has up to 65,000 fighters. It is often described as more militarily powerful than the Lebanese Army. Israeli commander Gui Zur called Hezbollah "by far the greatest guerrilla group in the world". In 2010, Hezbollah was believed to have 45,000 rockets. In 2017, Hezbollah had 130,000 rockets and missiles in place targeting Israel, according to Israeli Minister Naftali Bennett. Israeli Defense Forces Chief of Staff Gadi Eisenkot acknowledged that Hezbollah possesses "tens of thousands" of long- and short-range rockets, drones, advanced computer encryption capabilities, as well as advanced defense capabilities like the SA-6 anti-aircraft missile system. Hezbollah possesses the Katyusha-122 rocket, which has a range of 29 km (18 mi) and carries a 15-kg (33-lb) warhead. Hezbollah also possesses about 100 long-range missiles. They include the Iranian-made Fajr-3 and Fajr-5, the latter with a range of , enabling it to strike the Israeli port of Haifa, and the Zelzal-1, with an estimated range, which can reach Tel Aviv. Fajr-3 missiles have a range of and a 45-kg (99-lb) warhead, and Fajr-5 missiles, which extend to , also hold 45-kg (99-lb) warheads. It was reported that Hezbollah is in possession of Scud missiles that were provided to them by Syria. Syria denied the reports. According to various reports, Hezbollah is armed with anti-tank guided missiles, namely, the Russian-made AT-3 Sagger, AT-4 Spigot, AT-5 Spandrel, AT-13 Saxhorn-2 'Metis-M', АТ-14 Spriggan 'Kornet'; Iranian-made Ra'ad (version of AT-3 Sagger), Towsan (version of AT-5 Spandrel), Toophan (version of BGM-71 TOW); and European-made MILAN missiles. These weapons have been used against IDF soldiers, causing many of the deaths during the 2006 Lebanon War. A small number of Saeghe-2s (Iranian-made version of M47 Dragon) were also used in the war. For air defense, Hezbollah has anti-aircraft weapons that include the ZU-23 artillery and the man-portable, shoulder-fired SA-7 and SA-18 surface-to-air missile (SAM). One of the most effective weapons deployed by Hezbollah has been the C-802 anti-ship missile. In April 2010, U.S. Secretary of Defense Robert Gates claimed that the Hezbollah has far more missiles and rockets than the majority of countries, and said that Syria and Iran are providing weapons to the organization. Israel also claims that Syria is providing the organization with these weapons. Syria has denied supplying these weapons and views these claims as an Israeli excuse for an attack. Leaked cables from American diplomats suggest that the United States has been trying unsuccessfully to prevent Syria from "supplying arms to Hezbollah in Lebanon", and that Hezbollah has "amassed a huge stockpile (of arms) since its 2006 war with Israel"; the arms were described as "increasingly sophisticated." Gates added that Hezbollah is possibly armed with chemical or biological weapons, as well as anti-ship missiles that could threaten U.S. ships. , the Israeli government believe Hezbollah had an arsenal of nearly 150,000 rockets stationed on its border with Lebanon. Some of these missiles are said to be capable of penetrating cities as far away as Eilat. The IDF has accused Hezbollah of storing these rockets beneath hospitals, schools, and civilian homes. Hezbollah has also used drones against Israel, by penetrating air defense systems, in a report verified by Nasrallah, who added, "This is only part of our capabilities". Israeli military officials and analysts have also drawn attention to the experience and weaponry the group would have gained from the involvement of thousands of its fighters in the Syrian Civil War. "This kind of experience cannot be bought," said Gabi Siboni, director of the military and strategic affairs program at the Institute for National Security Studies at Tel Aviv University. "It is an additional factor that we will have to deal with. There is no replacement for experience, and it is not to be scoffed at." On 13 July 2019 Seyyed Hassan Nasrallah, in an interview broadcast on Hezbollah's Al-Manar television, said "Our weapons have been developed in both quality and quantity, we have precision missiles and drones," he illustrated strategic military and civilian targets on the map of Israel and stated, Hezbollah is able to launch Ben Gurion Airport, arms depots, petrochemical, and water desalinization plants, and the Ashdod port, Haifa's ammonia storage which would cause "tens of thousands of casualties". Military activities Hezbollah has a military branch known as the Jihad Council, one component of which is Al-Muqawama al-Islamiyya ("The Islamic Resistance"), and is the possible sponsor of a number of lesser-known militant groups, some of which may be little more than fronts for Hezbollah itself, including the Organization of the Oppressed, the Revolutionary Justice Organization, the Organization of Right Against Wrong, and Followers of the Prophet Muhammad. United Nations Security Council Resolution 1559 called for the disarmament of militia with the Taif agreement at the end of the Lebanese civil war. Hezbollah denounced, and protested against, the resolution. The 2006 military conflict with Israel has increased the controversy. Failure to disarm remains a violation of the resolution and agreement as well as subsequent United Nations Security Council Resolution 1701. Since then both Israel and Hezbollah have asserted that the organization has gained in military strength. A Lebanese public opinion poll taken in August 2006 shows that most of the Shia did not believe that Hezbollah should disarm after the 2006 Lebanon war, while the majority of Sunni, Druze and Christians believed that they should. The Lebanese cabinet, under president Michel Suleiman and Prime Minister Fouad Siniora, guidelines state that Hezbollah enjoys the right to "liberate occupied lands." In 2009, a Hezbollah commander (speaking on condition of anonymity) said, "[W]e have far more rockets and missiles [now] than we did in 2006." Lebanese Resistance Brigades The Lebanese Resistance Brigades ( Saraya al-Moukawama al-Lubnaniyya), also known as the Lebanese Brigades to Resist the Israeli Occupation, were formed by Hezbollah in 1997 as a multifaith (Christian, Druze, Sunni and Shia) volunteer force to combat the Israeli occupation of Southern Lebanon. With the Israeli withdrawal from Lebanon in 2000, the organization was disbanded. In 2009, the Resistance Brigades were reactivated, mainly comprising Sunni supporters from the southern city of Sidon. Its strength was reduced in late 2013 from 500 to 200–250 due to residents complaints about some fighters of the group exacerbating tensions with the local community. The beginning of its military activities: the South Lebanon conflict Hezbollah has been involved in several cases of armed conflict with Israel: During the 1982–2000 South Lebanon conflict, Hezbollah waged a guerrilla campaign against Israeli forces occupying Southern Lebanon. In 1982, the Palestine Liberation Organization (PLO) was based in Southern Lebanon and was firing Katyusha rockets into northern Israel from Lebanon. Israel invaded Lebanon to evict the PLO, and Hezbollah became an armed organization to expel the Israelis. Hezbollah's strength was enhanced by the dispatching of one thousand to two thousand members of the Iranian Revolutionary Guards and the financial backing of Iran. Iranian clerics, most notably Fzlollah Mahallati supervised this activity. It became the main politico-military force among the Shia community in Lebanon and the main arm of what became known later as the Islamic Resistance in Lebanon. With the collapse of the SLA, and the rapid advance of Hezbollah forces, Israel withdrew on 24 May 2000 six weeks before the announced 7 July date." Hezbollah held a victory parade, and its popularity in Lebanon rose. Israel withdrew in accordance with 1978's United Nations Security Council Resolution 425. Hezbollah and many analysts considered this a victory for the movement, and since then its popularity has been boosted in Lebanon. Alleged suicide attacks Between 1982 and 1986, there were 36 suicide attacks in Lebanon directed against American, French and Israeli forces by 41 individuals, killing 659. Hezbollah denies involvement in some of these attacks, though it has been accused of being involved or linked to some or all of these attacks: The 1982–1983 Tyre headquarters bombings The April 1983 U.S. Embassy bombing (by the Islamic Jihad Organization), The 1983 Beirut barracks bombing (by the Islamic Jihad Organization), that killed 241 U.S. marines, 58 French paratroopers and 6 civilians at the US and French barracks in Beirut The 1983 Kuwait bombings in collaboration with the Iraqi Dawa Party. The 1984 United States embassy annex bombing, killing
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"Motherland". Within the British Empire, many natives in the colonies came to think of Britain as the mother country of one, large nation. India is often personified as Bharat Mata (Mother India). The French commonly refer to France as "la mère patrie"; Hispanic countries that were former Spanish colonies commonly referred to Spain as "la Madre Patria". Romans and the subjects of Rome saw Italy as the motherland (patria or terrarum parens) of the Roman Empire, in contrast to Roman provinces. Turks refer to Turkey as "ana vatan" (lit: mother homeland.) Fatherland Fatherland is the nation of one's "fathers", "forefathers" or ancestors. The word can also mean the country of nationality, the country in which somebody grew up, the country that somebody's ancestors lived in for generations, or the country that somebody regards as home, depending on how the individual uses it. It can be viewed as a nationalist concept, in so far as it is evocative of emotions related to family ties and links them to national identity and patriotism. It can be compared to motherland and homeland, and some languages will use more than one of these terms. The national anthem of the Netherlands between 1815 and 1932, "Wien Neêrlands Bloed", makes extensive use of the parallel Dutch word, as does the current Dutch national anthem, Het Wilhelmus. The Ancient Greek patris, fatherland, led to patrios, of our fathers and thence to the Latin patriota and Old French patriote, meaning compatriot; from these the English word patriotism is derived. The related Ancient Roman word Patria led to similar forms in modern Romance languages. "Fatherland" was first encountered by the vast majority of citizens in countries that did not themselves use it during World War II, when it was featured in news reports associated with Nazi Germany. German government propaganda used its appeal to nationalism when making references to Germany and the state. It was used in Mein Kampf, and on a sign in a German concentration camp, also signed, Adolf Hitler. The term fatherland (Vaterland) is used throughout German-speaking Europe, as well as in Dutch. National history is usually called vaderlandse geschiedenis in Dutch. Another use of the Dutch word is well known from the national anthem, "Het Wilhelmus". In German, the word became more prominent in the 19th century. It appears in numerous patriotic songs and poems, such as Hoffmann's song Lied der Deutschen which became the national anthem in 1922. Because of the use of Vaterland in Nazi-German war propaganda, the term "Fatherland" in English has become associated with domestic British and American anti-Nazi propaganda during World War II. This is not the case in Germany itself, where the word remains used in the usual patriotic contexts. Terms equating "Fatherland" in other Germanic languages: Afrikaans: Vaderland Danish: fædreland Dutch: vaderland (as in the national anthem Wilhelmus) West Frisian: heitelân German: Vaterland (as in the national anthem Das Lied der Deutschen) Icelandic: föðurland Norwegian: fedreland Scots: Swedish: fäderneslandet (besides the more common fosterlandet) A corresponding term is often used in Slavic languages, in: Russian otechestvo (отечество) or otchizna (отчизна) Polish ojczyzna in common language literally meaning "fatherland", ziemia ojców literally meaning "land of fathers", sometimes used in the phrase ziemia ojców naszych literally meaning "land of our fathers" (besides rarer name macierz "motherland") Czech otčina (although the normal Czech term for "homeland" is vlast) Ukrainian batʹkivshchyna (батьківщина) or vitchyzna (вітчизна). Serbian otadžbina (отаџбина) meaning "fatherland", domovina (домовина) meaning "homeland", dedovina (дедовина) meaning "grandfatherland" or "land of grandfathers" Croatian domovina (homeland) Bulgarian татковина (tatkovina) as well as otechestvo (Отечество) Macedonian татковина (tatkovina) Other groups that refer to their native country as a "fatherland" Groups with languages that refer to their native country as a "fatherland" include: the Arabs as
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patriote, meaning compatriot; from these the English word patriotism is derived. The related Ancient Roman word Patria led to similar forms in modern Romance languages. "Fatherland" was first encountered by the vast majority of citizens in countries that did not themselves use it during World War II, when it was featured in news reports associated with Nazi Germany. German government propaganda used its appeal to nationalism when making references to Germany and the state. It was used in Mein Kampf, and on a sign in a German concentration camp, also signed, Adolf Hitler. The term fatherland (Vaterland) is used throughout German-speaking Europe, as well as in Dutch. National history is usually called vaderlandse geschiedenis in Dutch. Another use of the Dutch word is well known from the national anthem, "Het Wilhelmus". In German, the word became more prominent in the 19th century. It appears in numerous patriotic songs and poems, such as Hoffmann's song Lied der Deutschen which became the national anthem in 1922. Because of the use of Vaterland in Nazi-German war propaganda, the term "Fatherland" in English has become associated with domestic British and American anti-Nazi propaganda during World War II. This is not the case in Germany itself, where the word remains used in the usual patriotic contexts. Terms equating "Fatherland" in other Germanic languages: Afrikaans: Vaderland Danish: fædreland Dutch: vaderland (as in the national anthem Wilhelmus) West Frisian: heitelân German: Vaterland (as in the national anthem Das Lied der Deutschen) Icelandic: föðurland Norwegian: fedreland Scots: Swedish: fäderneslandet (besides the more common fosterlandet) A corresponding term is often used in Slavic languages, in: Russian otechestvo (отечество) or otchizna (отчизна) Polish ojczyzna in common language literally meaning "fatherland", ziemia ojców literally meaning "land of fathers", sometimes used in the phrase ziemia ojców naszych literally meaning "land of our fathers" (besides rarer name macierz "motherland") Czech otčina (although the normal Czech term for "homeland" is vlast) Ukrainian batʹkivshchyna (батьківщина) or vitchyzna (вітчизна). Serbian otadžbina (отаџбина) meaning "fatherland", domovina (домовина) meaning "homeland", dedovina (дедовина) meaning "grandfatherland" or "land of grandfathers" Croatian domovina (homeland) Bulgarian татковина (tatkovina) as well as otechestvo (Отечество) Macedonian татковина (tatkovina) Other groups that refer to their native country as a "fatherland" Groups with languages that refer to their native country as a "fatherland" include: the Arabs as 'arḍ al-'abā' ("land of the fathers") the Armenians as (Hayreniq) the Albanians as Atdhe the Amhara as (Abat Ager) the Austrians as Vaterland the Arakaneses as (အဖရခိုင်ပြည်) the Azerbaijanis as vətən (from Arabic) the Belarusians as (Baćkaŭščyna) the Chechens as "Daimokh" the Estonians as isamaa (as in the national anthem Mu isamaa, mu õnn ja rõõm) the Finns as isänmaa the French, as La patrie the Flemings as Vaderland the Georgians as Samshoblo (სამშობლო - "[land] of parents") or Mamuli (მამული) the Ancient Greeks as πατρίς patris the Greeks as πατρίδα the Irish as
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Mohammed Atef identified Hanjour at an Afghanistan training camp as a trained pilot and selected him to participate in the September 11 attacks. Hanjour arrived back in the United States in December 2000. He joined up with Nawaf al-Hazmi in San Diego, and they immediately left for Arizona, where Hanjour took refresher pilot training. In April 2001, they relocated to Falls Church, Virginia, and then Paterson, New Jersey, in late May where Hanjour took additional flight training. Hanjour returned to the Washington, D.C., metropolitan area on September 2, 2001, checking into a motel in Laurel, Maryland. On September 11, Hanjour boarded American Airlines Flight 77, took control of the aircraft after his team of hijackers helped subdue the pilots, passengers, and crew, and flew the plane into the Pentagon as part of the September 11 attacks. The crash killed all 64 passengers on board the aircraft and 125 people in the Pentagon. Early life and education Hanjour was one of seven children, born to a food-supply businessman in Ta'if, Saudi Arabia, near Mecca. During his youth, Hanjour wanted to drop out of school to become a flight attendant, although his brother Abdulrahman discouraged this route, and tried to help him focus on his studies. According to his eldest brother, Hanjour traveled to Afghanistan in the late 1980s as a teenager to participate in the conflict against the Soviet Union. The Soviets had already withdrawn by the time he arrived in the country and he instead worked for a relief agency. Career Early 1990s Hanjour first came to the United States in 1991 to study English at the University of Arizona's Center for English as a Second Language. Hanjour's eldest brother Abdulrahman helped him apply to the eight-week program, and found a room in Tucson, Arizona, for Hanjour near the Islamic Center of Tucson. Hanjour arrived for the English language program on October 3, 1991, and stayed until early February 1992, when he returned to Saudi Arabia. Hanjour shared a three-bedroom home on the corner of 4th Avenue and 4th Street owned and managed by a father-son team, who made a living renovating and renting rooms to international students and devoting their energies to spreading a born-again Christian influence; Bob, the oldest son, lived in this house and rented the room directly to Hanjour. Hanjour was a model housemate; he was extremely respectful of others, apolitical in his points of view, enjoyed his Turkish coffee, and appeared as a nonchalant happy-go-lucky teenager with very weak English-speaking skills. Hanjour claimed that he was interested in being an airplane mechanic and claimed that such a position was considered highly in Saudi Arabia. Hanjour participated in morning, noon, and evening prayers at the local mosque. As early as Hanjour moved into this house, he was under the constant watch of two "uncles" who would pick him up for the weekends so that he would spend time with them within their circle, thereby minimizing his contact with his American housemates and friends from the university. In December 1991 Hanjour informed Bob that he missed Saudi Arabia and would be leaving the United States due to homesickness. Hanjour was the only hijacker to visit the United States prior to any intentions for a large-scale attack and he was not part of the Hamburg cell in Germany. Over the next five years, Hanjour remained in Saudi Arabia, helping the family manage a lemon and date farm near Ta'if. His family often reminded Hanjour that he was getting past the age where he ought to get married and start a family, but Hanjour insisted he wanted to settle down more. While in Saudi Arabia, Hanjour applied for a job with Saudi Arabian Airlines, but was turned down due to poor grades. The airline told Hanjour they would consider him if he obtained a commercial pilot's license in the United States. 1996 In April 1996, Hanjour returned to the United States, staying with family friends, Susan and Adnan Khalil, in Miramar, Florida, for a month before heading to Oakland, California, to study English and attend flight school. Hanjour was admitted to the Sierra Academy of Aeronautics, but before beginning flight training, the academy arranged for Hanjour to take intensive English courses at ESL Language Center in Oakland. The flight school also arranged for Hanjour to stay with a host family, with whom he moved in on May 20, 1996. Hanjour completed the English program in August, and in early September 1996, he attended a single day of ground school courses at the Sierra Academy of Aeronautics before withdrawing, citing financial worries about the $35,000 cost. Hanjour left Oakland in September and moved to Phoenix, Arizona, paying $4,800 for lessons at CRM Flight Cockpit Resource Management in Scottsdale. Receiving poor marks, Hanjour dropped out of flight school, and returned to Saudi Arabia at the end of November 1996. Late 1990s Hanjour re-entered the United States on November 16, 1997, taking additional English courses in Florida, then returning to Phoenix, where he shared an apartment with Nawaf al-Hazmi. In December, he resumed training at CRM Flight Cockpit Resource Management for a few weeks, before pursuing training at Arizona Aviation. Bandar al-Hazmi and Hanjour stayed in Arizona, continued taking flight lessons at Arizona Aviation throughout 1998 and early 1999. After moving out of Bandar's place in March, Hanjour lived in several apartments in Tempe, Mesa and Phoenix. In February, financial records showed that Hanjour had taken a trip to Las Vegas, Nevada. In addition to flight training at Arizona Aviation, Hanjour enrolled in flight simulator classes at the Sawyer School of Aviation where he made only three or four visits. Lotfi Raissi would begin taking lessons at the same school a month after Hanjour quit, part of what piqued the FBI's interest in Raissi. An FBI informant named Aukai Collins claims he told the FBI about Hanjour's activities during 1998, giving them Hanjour's name and phone number, and warning them that more and more foreign-born Muslims seem to be taking flying lessons. The FBI admits it paid Collins to monitor the Islamic and Arab communities in Phoenix at the time, but denies Collins told them anything about Hanjour. Hanjour gained his FAA commercial pilot certificate in April 1999, getting a "satisfactory" rating from the examiner. Hanjour's bank records indicate that he travelled to Ontario, Canada, in March 1999 for an unknown reason. He traveled to Saudi Arabia to get a job working with Saudi Arabian Airlines as a commercial pilot but was rejected by a civil aviation school in Jeddah. His brother, Yasser, relayed that Hanjour, frustrated, "turned his attention toward religious texts and cassette tapes of militant Islamic preachers." He told his family in late 1999 he was heading to the United Arab Emirates to find work. However, it is likely that he headed to Al-Qaeda training camps in Afghanistan. 2000 In May 2000, a third person accompanied Nawaf al-Hazmi and Khalid al-Mihdhar to Sorbi's Flying Club where he waited on the ground as they took a flight lesson. It has been theorized this may have been Hanjour. In September Hanjour again sent his $110 registration to the ELS Language Center, which leased space on Holy Names College campus in Oakland, California, to continue his English studies. He also applied for another U.S. student visa. Although he was accepted, after the attacks, it would be reported that his visa application was 'suspicious'. Granted an F-1 student visa in Jeddah, Saudi Arabia, September 2000, he failed to reveal that he had previously traveled to the U.S. He never turned up for classes at the ELS Language Center, and when the school contacted its Saudi representative, he reported that he could not find Hanjour either. On December 5, Hanjour opened a CitiBank account in Deira, Dubai. On December 8, Hanjour was recorded flying into the Cincinnati/Northern Kentucky International Airport, and is thought to have met with Nawaf al-Hazmi in San Diego shortly thereafter. 2001 Hanjour came back to San Diego in December 2000, frequently visiting Abdussattar Shaikh's house, which was shared with Nawaf al-Hazmi and Khalid Almihdhar. During this time Hanjour may have visited the San Diego Zoo in February, as a security guard recalls having to page his name to reclaim a lost briefcase containing cash and Arabic documents and later recognized his photograph. Shortly afterwards, the three hijackers moved out of Shaikh's house to Falls Church, Virginia. The ELS Language Center at Oakland University said Hanjour reached a level of proficiency sufficient to "survive very well in the English
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Arabia early the next year. He came back to the United States in 1996, studying English in California before he began taking flying lessons in Arizona. He received his commercial pilot certificate in 1999, and went back to his native Saudi Arabia to find a job as a commercial pilot. Hanjour applied to civil aviation school in Jeddah, but was turned down. Hanjour left his family in late 1999, telling them that he would be traveling to the United Arab Emirates to find work. According to Khalid Sheikh Mohammed, Osama bin Laden or Mohammed Atef identified Hanjour at an Afghanistan training camp as a trained pilot and selected him to participate in the September 11 attacks. Hanjour arrived back in the United States in December 2000. He joined up with Nawaf al-Hazmi in San Diego, and they immediately left for Arizona, where Hanjour took refresher pilot training. In April 2001, they relocated to Falls Church, Virginia, and then Paterson, New Jersey, in late May where Hanjour took additional flight training. Hanjour returned to the Washington, D.C., metropolitan area on September 2, 2001, checking into a motel in Laurel, Maryland. On September 11, Hanjour boarded American Airlines Flight 77, took control of the aircraft after his team of hijackers helped subdue the pilots, passengers, and crew, and flew the plane into the Pentagon as part of the September 11 attacks. The crash killed all 64 passengers on board the aircraft and 125 people in the Pentagon. Early life and education Hanjour was one of seven children, born to a food-supply businessman in Ta'if, Saudi Arabia, near Mecca. During his youth, Hanjour wanted to drop out of school to become a flight attendant, although his brother Abdulrahman discouraged this route, and tried to help him focus on his studies. According to his eldest brother, Hanjour traveled to Afghanistan in the late 1980s as a teenager to participate in the conflict against the Soviet Union. The Soviets had already withdrawn by the time he arrived in the country and he instead worked for a relief agency. Career Early 1990s Hanjour first came to the United States in 1991 to study English at the University of Arizona's Center for English as a Second Language. Hanjour's eldest brother Abdulrahman helped him apply to the eight-week program, and found a room in Tucson, Arizona, for Hanjour near the Islamic Center of Tucson. Hanjour arrived for the English language program on October 3, 1991, and stayed until early February 1992, when he returned to Saudi Arabia. Hanjour shared a three-bedroom home on the corner of 4th Avenue and 4th Street owned and managed by a father-son team, who made a living renovating and renting rooms to international students and devoting their energies to spreading a born-again Christian influence; Bob, the oldest son, lived in this house and rented the room directly to Hanjour. Hanjour was a model housemate; he was extremely respectful of others, apolitical in his points of view, enjoyed his Turkish coffee, and appeared as a nonchalant happy-go-lucky teenager with very weak English-speaking skills. Hanjour claimed that he was interested in being an airplane mechanic and claimed that such a position was considered highly in Saudi Arabia. Hanjour participated in morning, noon, and evening prayers at the local mosque. As early as Hanjour moved into this house, he was under the constant watch of two "uncles" who would pick him up for the weekends so that he would spend time with them within their circle, thereby minimizing his contact with his American housemates and friends from the university. In December 1991 Hanjour informed Bob that he missed Saudi Arabia and would be leaving the United States due to homesickness. Hanjour was the only hijacker to visit the United States prior to any intentions for a large-scale attack and he was not part of the Hamburg cell in Germany. Over the next five years, Hanjour remained in Saudi Arabia, helping the family manage a lemon and date farm near Ta'if. His family often reminded Hanjour that he was getting past the age where he ought to get married and start a family, but Hanjour insisted he wanted to settle down more. While in Saudi Arabia, Hanjour applied for a job with Saudi Arabian Airlines, but was turned down due to poor grades. The airline told Hanjour they would consider him if he obtained a commercial pilot's license in the United States. 1996 In April 1996, Hanjour returned to the United States, staying with family friends, Susan and Adnan Khalil, in Miramar, Florida, for a month before heading to Oakland, California, to study English and attend flight school. Hanjour was admitted to the Sierra Academy of Aeronautics, but before beginning flight training, the academy arranged for Hanjour to take intensive English courses at ESL Language Center in Oakland. The flight school also arranged for Hanjour to stay with a host family, with whom he moved in on May 20, 1996. Hanjour completed the English program in August, and in early September 1996, he attended a single day of ground school courses at the Sierra Academy of Aeronautics before withdrawing, citing financial worries about the $35,000 cost. Hanjour left Oakland in September and moved to Phoenix, Arizona, paying $4,800 for lessons at CRM Flight Cockpit Resource Management in Scottsdale. Receiving poor marks, Hanjour dropped out of flight school, and returned to Saudi Arabia at the end of November 1996. Late 1990s Hanjour re-entered the United States on November 16, 1997, taking additional English courses in Florida, then returning to Phoenix, where he shared an apartment with Nawaf al-Hazmi. In December, he resumed training at CRM Flight Cockpit Resource Management for a few weeks, before pursuing training at Arizona Aviation. Bandar al-Hazmi and Hanjour stayed in Arizona, continued taking flight lessons at Arizona Aviation throughout 1998 and early 1999. After moving out of Bandar's place in March, Hanjour lived in several apartments in Tempe, Mesa and Phoenix. In February, financial records showed that Hanjour had taken a trip to Las Vegas, Nevada. In addition
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by deviating from the endurance-running and bone-crushing niches monopolized by canids, and developing into a cheetah-like sprinter. Most of the dog-like hyenas had died off by 1.5 million years ago. Bone-crushing hyenas By 10–14 million years ago, the hyena family had split into two distinct groups: dog-like hyenas and bone-crushing hyenas. The arrival of the ancestral bone-crushing hyenas coincided with the decline of the similarly built family Percrocutidae. The bone-crushing hyenas survived the changes in climate and the arrival of canids, which wiped out the dog-like hyenas, though they never crossed into North America, as their niche there had already been taken by the dog subfamily Borophaginae. By 5 million years ago, the bone-crushing hyenas had become the dominant scavengers of Eurasia, primarily feeding on large herbivore carcasses felled by sabre-toothed cats. One genus, Pachycrocuta, was a 200 kg (440 lb) mega-scavenger that could splinter the bones of elephants. With the decline of large herbivores by the late ice age, Pachycrocuta was replaced by the smaller Crocuta. Rise of modern hyenas The four extant species are the striped hyena (Hyaena hyaena), the brown hyena (Parahyaena brunnea), the spotted hyena (Crocuta crocuta), and the aardwolf (Proteles cristata). The aardwolf can trace its lineage directly back to Plioviverrops 15 million years ago, and is the only survivor of the dog-like hyena lineage. Its success is partly attributed to its insectivorous diet, for which it faced no competition from canids crossing from North America. It is likely that its unrivaled ability to digest the terpene excretions from soldier termites is a modification of the strong digestive system its ancestors used to consume fetid carrion. The striped hyena may have evolved from H. namaquensis of Pliocene Africa. Striped hyena fossils are common in Africa, with records going back as far as the Villafranchian. As fossil striped hyenas are absent from the Mediterranean region, it is likely that the species is a relatively late invader to Eurasia, having likely spread outside Africa only after the extinction of spotted hyenas in Asia at the end of the Ice Age. The striped hyena occurred for some time in Europe during the Pleistocene, having been particularly widespread in France and Germany. It also occurred in Montmaurin, Hollabrunn in Austria, the Furninha Cave in Portugal and the Genista Caves in Gibraltar. The European form was similar in appearance to modern populations, but was larger, being comparable in size to the brown hyena. The spotted hyena (Crocuta crocuta) diverged from the striped and brown hyena 10 million years ago. Its direct ancestor was the Indian Crocuta sivalensis, which lived during the Villafranchian. Ancestral spotted hyenas probably developed social behaviours in response to increased pressure from rivals on carcasses, thus forcing them to operate in teams. Spotted hyenas evolved sharp carnassials behind their crushing premolars, therefore they did not need to wait for their prey to die, and thus became pack hunters as well as scavengers. They began forming increasingly larger territories, necessitated by the fact that their prey was often migratory, and long chases in a small territory would have caused them to encroach into another clan's turf. Spotted hyenas spread from their original homeland during the Middle Pleistocene, and quickly colonised a very wide area from Europe, to southern Africa and China. With the decline of grasslands 12,500 years ago, Europe experienced a massive loss of lowland habitats favoured by spotted hyenas, and a corresponding increase in mixed woodlands. Spotted hyenas, under these circumstances, would have been outcompeted by wolves and humans, who were as much at home in forests as in open lands—and in highlands as in lowlands. Spotted hyena populations began to shrink after roughly 20,000 years ago, completely disappearing from Western Europe between 11 and 14 thousand years ago, and earlier in some areas. Genera of the Hyaenidae (extinct and recent) The list follows McKenna and Bell's Classification of Mammals for prehistoric genera (1997) and Wozencraft (2005) in Wilson and Reeders Mammal Species of the World for extant genera. The percrocutids are, in contrast to McKenna and Bell's classification, not included as a subfamily into the Hyaenidae, but as the separate family Percrocutidae (though they are generally grouped as sister-taxa to hyenas). Furthermore, the living brown hyena and its closest extinct relatives are not included in the genus Pachycrocuta, but in the genus Parahyaena. The Protelinae (aardwolves) are not treated as a separate subfamily, but included in the Hyaeninae. Family Hyaenidae †Tongxinictis (Middle Miocene of Asia) †Subfamily Ictitheriinae †Herpestides (Early Miocene of Africa and Eurasia) †Plioviverrops (including Jordanictis, Protoviverrops, Mesoviverrops; Early Miocene to Early Pliocene of Europe, Late Miocene of Asia) †Ictitherium (=Galeotherium; including Lepthyaena, Sinictitherium, Paraictitherium; Middle Miocene of Africa, Late Miocene to Early Pliocene of Eurasia) †Thalassictis (including Palhyaena, Miohyaena, Hyaenictitherium, Hyaenalopex; Middle to Late Miocene of Asia, Late Miocene of Africa and Europe) †Hyaenotherium (Late Miocene to Early Pliocene of Eurasia) †Miohyaenotherium(Late Miocene of Europe) †Lycyaena (Late Miocene of Eurasia) †Tungurictis (Middle Miocene of Africa and Eurasia) †Protictitherium (Middle Miocene of Africa and Asia, Middle to Late Miocene of Europe) Subfamily Hyaeninae †Palinhyaena (Late Miocene of Asia) †Ikelohyaena (Early Pliocene of Africa) Hyaena (=Euhyaena, =Parahyaena; including striped hyena, Pliohyaena, Pliocrocuta, Anomalopithecus) Early Pliocene (?Middle Miocene) to Recent of Africa, Late Pliocene (?Late Miocene) to Late Pleistocene of Europe, Late Pliocene to recent in Asia Parahyaena (=Hyaena; brown hyena Pliocene to Europe) †Hyaenictis (Late Miocene of Asia?, Late Miocene of Europe, Early Pliocene (?Early Pleistocene) of Africa) †Leecyaena (Late Miocene and/or Early Pliocene of Asia) †Chasmaporthetes (=Ailuriaena; including Lycaenops, Euryboas; Late Miocene to Early Pleistocene of Eurasia, Early Pliocene to Late Pliocene or Early Pleistocene of Africa, Late Pliocene to Early Pleistocene of North America) †Pachycrocuta (Pliocene and Pleistocene of Eurasia and Africa) †Adcrocuta (Late Miocene of Eurasia) Crocuta (=Crocotta; including Eucrocuta; spotted hyena and cave hyena. Late Pliocene to recent of Africa, Late Pliocene to Late Pleistocene of Eurasia) Subfamily Protelinae Proteles (=Geocyon; aardwolf. Pleistocene to Recent of Africa) Phylogeny The following cladogram illustrates the phylogenetic relationships between extant and extinct hyaenids based on the morphological analysis by Werdelin & Solounias (1991), as updated by Turner et al. (2008). A more recent molecular analysis agrees on the phylogenetic relationship between the four extant hyaenidae species (Koepfli et al, 2006). Characteristics Build Hyenas have relatively short torsos and are fairly massive and wolf-like in build, but have lower hind quarters, high withers and their backs slope noticeably downward towards their rumps. The forelegs are high, while the hind legs are very short and their necks are thick and short. Their skulls superficially resemble those of large canids, but are much larger and heavier, with shorter facial portions. Hyenas are digitigrade, with the fore and hind paws having four digits each and sporting bulging pawpads. Like canids, hyenas have short, blunt, non-retractable claws. Their pelage is sparse and coarse with poorly developed or absent underfur. Most species have a rich mane of long hair running from the withers or from the head. With the exception of the spotted hyena, hyaenids have striped coats, which they likely inherited from their viverrid ancestors. Their ears are large and have simple basal ridges and no marginal bursa. Their vertebral column, including the cervical region are of limited mobility. Hyenas have no baculum. Hyenas have one more pair of ribs than canids do, and their tongues are rough like those of felids and viverrids. Males in most hyena species are larger than females, though the spotted hyena is exceptional, as it is the female of the species that outweighs and dominates the male. Also, unlike other hyenas, the female spotted hyena's external genitalia closely resembles that of the male. Their dentition is similar to that of the canid, but is more specialised for consuming coarse food and crushing bones. The carnassials, especially the upper, are very powerful and are shifted far back to
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herbivores by the late ice age, Pachycrocuta was replaced by the smaller Crocuta. Rise of modern hyenas The four extant species are the striped hyena (Hyaena hyaena), the brown hyena (Parahyaena brunnea), the spotted hyena (Crocuta crocuta), and the aardwolf (Proteles cristata). The aardwolf can trace its lineage directly back to Plioviverrops 15 million years ago, and is the only survivor of the dog-like hyena lineage. Its success is partly attributed to its insectivorous diet, for which it faced no competition from canids crossing from North America. It is likely that its unrivaled ability to digest the terpene excretions from soldier termites is a modification of the strong digestive system its ancestors used to consume fetid carrion. The striped hyena may have evolved from H. namaquensis of Pliocene Africa. Striped hyena fossils are common in Africa, with records going back as far as the Villafranchian. As fossil striped hyenas are absent from the Mediterranean region, it is likely that the species is a relatively late invader to Eurasia, having likely spread outside Africa only after the extinction of spotted hyenas in Asia at the end of the Ice Age. The striped hyena occurred for some time in Europe during the Pleistocene, having been particularly widespread in France and Germany. It also occurred in Montmaurin, Hollabrunn in Austria, the Furninha Cave in Portugal and the Genista Caves in Gibraltar. The European form was similar in appearance to modern populations, but was larger, being comparable in size to the brown hyena. The spotted hyena (Crocuta crocuta) diverged from the striped and brown hyena 10 million years ago. Its direct ancestor was the Indian Crocuta sivalensis, which lived during the Villafranchian. Ancestral spotted hyenas probably developed social behaviours in response to increased pressure from rivals on carcasses, thus forcing them to operate in teams. Spotted hyenas evolved sharp carnassials behind their crushing premolars, therefore they did not need to wait for their prey to die, and thus became pack hunters as well as scavengers. They began forming increasingly larger territories, necessitated by the fact that their prey was often migratory, and long chases in a small territory would have caused them to encroach into another clan's turf. Spotted hyenas spread from their original homeland during the Middle Pleistocene, and quickly colonised a very wide area from Europe, to southern Africa and China. With the decline of grasslands 12,500 years ago, Europe experienced a massive loss of lowland habitats favoured by spotted hyenas, and a corresponding increase in mixed woodlands. Spotted hyenas, under these circumstances, would have been outcompeted by wolves and humans, who were as much at home in forests as in open lands—and in highlands as in lowlands. Spotted hyena populations began to shrink after roughly 20,000 years ago, completely disappearing from Western Europe between 11 and 14 thousand years ago, and earlier in some areas. Genera of the Hyaenidae (extinct and recent) The list follows McKenna and Bell's Classification of Mammals for prehistoric genera (1997) and Wozencraft (2005) in Wilson and Reeders Mammal Species of the World for extant genera. The percrocutids are, in contrast to McKenna and Bell's classification, not included as a subfamily into the Hyaenidae, but as the separate family Percrocutidae (though they are generally grouped as sister-taxa to hyenas). Furthermore, the living brown hyena and its closest extinct relatives are not included in the genus Pachycrocuta, but in the genus Parahyaena. The Protelinae (aardwolves) are not treated as a separate subfamily, but included in the Hyaeninae. Family Hyaenidae †Tongxinictis (Middle Miocene of Asia) †Subfamily Ictitheriinae †Herpestides (Early Miocene of Africa and Eurasia) †Plioviverrops (including Jordanictis, Protoviverrops, Mesoviverrops; Early Miocene to Early Pliocene of Europe, Late Miocene of Asia) †Ictitherium (=Galeotherium; including Lepthyaena, Sinictitherium, Paraictitherium; Middle Miocene of Africa, Late Miocene to Early Pliocene of Eurasia) †Thalassictis (including Palhyaena, Miohyaena, Hyaenictitherium, Hyaenalopex; Middle to Late Miocene of Asia, Late Miocene of Africa and Europe) †Hyaenotherium (Late Miocene to Early Pliocene of Eurasia) †Miohyaenotherium(Late Miocene of Europe) †Lycyaena (Late Miocene of Eurasia) †Tungurictis (Middle Miocene of Africa and Eurasia) †Protictitherium (Middle Miocene of Africa and Asia, Middle to Late Miocene of Europe) Subfamily Hyaeninae †Palinhyaena (Late Miocene of Asia) †Ikelohyaena (Early Pliocene of Africa) Hyaena (=Euhyaena, =Parahyaena; including striped hyena, Pliohyaena, Pliocrocuta, Anomalopithecus) Early Pliocene (?Middle Miocene) to Recent of Africa, Late Pliocene (?Late Miocene) to Late Pleistocene of Europe, Late Pliocene to recent in Asia Parahyaena (=Hyaena; brown hyena Pliocene to Europe) †Hyaenictis (Late Miocene of Asia?, Late Miocene of Europe, Early Pliocene (?Early Pleistocene) of Africa) †Leecyaena (Late Miocene and/or Early Pliocene of Asia) †Chasmaporthetes (=Ailuriaena; including Lycaenops, Euryboas; Late Miocene to Early Pleistocene of Eurasia, Early Pliocene to Late Pliocene or Early Pleistocene of Africa, Late Pliocene to Early Pleistocene of North America) †Pachycrocuta (Pliocene and Pleistocene of Eurasia and Africa) †Adcrocuta (Late Miocene of Eurasia) Crocuta (=Crocotta; including Eucrocuta; spotted hyena and cave hyena. Late Pliocene to recent of Africa, Late Pliocene to Late Pleistocene of Eurasia) Subfamily Protelinae Proteles (=Geocyon; aardwolf. Pleistocene to Recent of Africa) Phylogeny The following cladogram illustrates the phylogenetic relationships between extant and extinct hyaenids based on the morphological analysis by Werdelin & Solounias (1991), as updated by Turner et al. (2008). A more recent molecular analysis agrees on the phylogenetic relationship between the four extant hyaenidae species (Koepfli et al, 2006). Characteristics Build Hyenas have relatively short torsos and are fairly massive and wolf-like in build, but have lower hind quarters, high withers and their backs slope noticeably downward towards their rumps. The forelegs are high, while the hind legs are very short and their necks are thick and short. Their skulls superficially resemble those of large canids, but are much larger and heavier, with shorter facial portions. Hyenas are digitigrade, with the fore and hind paws having four digits each and sporting bulging pawpads. Like canids, hyenas have short, blunt, non-retractable claws. Their pelage is sparse and coarse with poorly developed or absent underfur. Most species have a rich mane of long hair running from the withers or from the head. With the exception of the spotted hyena, hyaenids have striped coats, which they likely inherited from their viverrid ancestors. Their ears are large and have simple basal ridges and no marginal bursa. Their vertebral column, including the cervical region are of limited mobility. Hyenas have no baculum. Hyenas have one more pair of ribs than canids do, and their tongues are rough like those of felids and viverrids. Males in most hyena species are larger than females, though the spotted hyena is exceptional, as it is the female of the species that outweighs and dominates the male. Also, unlike other hyenas, the female spotted hyena's external genitalia closely resembles that of the male. Their dentition is similar to that of the canid, but is more specialised for consuming coarse food and crushing bones. The carnassials, especially the upper, are very powerful and are shifted far back to the point of exertion of peak pressure on the jaws. The other teeth, save for the underdeveloped upper molars, are powerful, with broad bases and cutting edges. The canines are short, but thick and robust. Labiolingually, their mandibles are much stronger at the canine teeth than in canids, reflecting the fact that hyenas crack bones with both their anterior dentition and premolars, unlike canids, which do so with their post-carnassial molars. The strength of their jaws is such that both striped and spotted hyenas have been recorded to kill dogs with a single bite to the neck without breaking the skin. The spotted hyena is renowned for its strong bite proportional to its size, but a number of other animals (including the Tasmanian devil) are proportionately stronger. The aardwolf has greatly reduced cheek teeth, sometimes absent in the adult, but otherwise has the same dentition as the other three species. The dental formula for all hyena species is: Although hyenas lack perineal scent glands, they have a large pouch of naked skin located at the anal opening. Large anal glands above the anus open into this pouch. Several sebaceous glands are present between the openings of the anal glands and above them. These glands produce a white, creamy secretion that the hyenas paste onto grass stalks. The odor of this secretion is very strong, smelling of boiling cheap soap or burning, and can be detected by humans several meters downwind. The secretions are primarily used for territorial marking, though both the aardwolf and the striped hyena will spray them when attacked. Behavior Hyenas groom themselves often like felids and viverrids, and their way of licking their genitals is very cat-like (sitting on the lower back, legs spread with one leg pointing vertically upward). However, unlike other feliforms, they do not "wash" their faces. They defecate in the same manner as other Carnivora, though they never raise their legs as canids do when urinating, as urination serves no territorial function for them. Instead, hyenas mark their territories using their anal glands, a trait found also in viverrids and mustelids, but not canids and felids. When attacked by lions or dogs, striped and brown hyenas will feign death, though the spotted hyena will defend itself ferociously. The spotted hyena is very vocal, producing a number of different sounds consisting of whoops, grunts, groans, lows, giggles, yells, growls, laughs and whines. The striped hyena is comparatively silent, its vocalizations being limited to a chattering laugh and howling. Mating between hyenas involves a number of short copulations with brief intervals, unlike canids, who generally engage in a single, drawn out copulation. Spotted hyena cubs
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another. The results of these experiments provided evidence that DNA was the biomolecule that carried genetic information. Methods and results Hershey and Chase needed to be able to examine different parts of the phages they were studying separately, so they needed to distinguish the phage subsections. Viruses were known to be composed of a protein shell and DNA, so they chose to uniquely label each with a different elemental isotope. This allowed each to be observed and analyzed separately. Since phosphorus is contained in DNA but not amino acids, radioactive phosphorus-32 was used to label the DNA contained in the T2 phage. Radioactive sulfur-35 was used to label the protein sections of the T2 phage, because sulfur is contained in protein but not DNA. Hershey and Chase inserted the radioactive elements in the bacteriophages by adding the isotopes to separate media within which bacteria were allowed to grow for 4 hours before bacteriophage introduction. When the bacteriophages infected the bacteria, the progeny contained the radioactive isotopes in their structures. This procedure was performed once for the sulfur-labeled phages and once for phosphorus-labeled phages. The labeled progeny were then allowed to infect unlabeled bacteria. The phage coats remained on the outside of the bacteria, while genetic material entered. Disruption of phage from the bacteria by agitation in a blender followed by centrifugation allowed for the separation of the phage coats from the bacteria. These bacteria were lysed to release phage progeny. The progeny of the phages that were labeled with radioactive phosphorus remained labeled, whereas the progeny of the phages labeled with radioactive sulfur were unlabeled. Thus, the Hershey–Chase experiment helped to confirm that DNA, not protein, is the genetic material. Hershey and Chase showed that the introduction of deoxyribonuclease (referred to as DNase), an enzyme that breaks down DNA, into a solution containing the labeled bacteriophages did not introduce any 32P into the solution. This demonstrated that the phage is resistant to the enzyme while intact. Additionally, they were able to plasmolyze the bacteriophages so that they went into osmotic shock, which effectively created a solution containing most of the 32P and a heavier solution containing structures called "ghosts" that contained the 35S and the protein coat of the virus. It was found that these "ghosts" could adsorb to bacteria that were susceptible to T2, although they contained no DNA and were simply the remains of the original viral capsule. They concluded that the protein protected the DNA from DNase, but that once the two were separated and the phage was inactivated, the DNase could hydrolyze the phage DNA. Experiment and conclusions Hershey and Chase were also able to prove that the DNA from the phage is inserted into the bacteria shortly after the virus attaches to its host. Using a high-speed blender they were able to force the bacteriophages from the bacterial cells after adsorption. The lack of 32P-labeled DNA remaining in the solution after the bacteriophages had been allowed to adsorb to the bacteria showed that the phage DNA was transferred into the bacterial cell. The presence of almost all the radioactive 35S in the solution showed that the protein coat that protects the DNA before adsorption stayed outside the cell. Hershey and Chase concluded that DNA,
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was found that these "ghosts" could adsorb to bacteria that were susceptible to T2, although they contained no DNA and were simply the remains of the original viral capsule. They concluded that the protein protected the DNA from DNase, but that once the two were separated and the phage was inactivated, the DNase could hydrolyze the phage DNA. Experiment and conclusions Hershey and Chase were also able to prove that the DNA from the phage is inserted into the bacteria shortly after the virus attaches to its host. Using a high-speed blender they were able to force the bacteriophages from the bacterial cells after adsorption. The lack of 32P-labeled DNA remaining in the solution after the bacteriophages had been allowed to adsorb to the bacteria showed that the phage DNA was transferred into the bacterial cell. The presence of almost all the radioactive 35S in the solution showed that the protein coat that protects the DNA before adsorption stayed outside the cell. Hershey and Chase concluded that DNA, not protein, was the genetic material. They determined that a protective protein coat was formed around the bacteriophage, but that the internal DNA is what conferred its ability to produce progeny inside a bacterium. They showed that, in growth, protein has no function, while DNA has some function. They determined this from the amount of radioactive material remaining outside of the cell. Only 20% of the 32P remained outside the cell, demonstrating that it was incorporated with DNA in the cell's genetic material. All of the 35S in the protein coats remained outside the cell, showing it was not incorporated into the cell, and that protein is not the genetic material. Hershey and Chase's experiment concluded that little sulfur-containing material entered the bacterial cell. However no specific conclusions can be made regarding whether material that is sulfur-free enters the bacterial cell after phage adsorption. Further research was necessary to conclude that it was solely bacteriophages' DNA that entered the cell and not a combination of protein and DNA where the protein did not contain any sulfur. Discussion Confirmation Hershey and Chase concluded that protein was not likely to be the hereditary genetic material. However, they did not make any conclusions regarding the specific function of DNA as hereditary material, and only said that it must have some undefined role. Confirmation and clarity came a year later in 1953, when James D. Watson and Francis Crick correctly hypothesized, in their journal article "Molecular Structure of Nucleic Acids: A Structure for Deoxyribose Nucleic Acid", the double helix structure of DNA, and suggested the copying mechanism by which DNA functions as hereditary material. Furthermore, Watson and Crick suggested that DNA, the genetic material, is responsible for the synthesis of the thousands of proteins found in cells. They had made this proposal based on the structural similarity that exists between the two macromolecules: both protein and DNA are linear sequences of monomers (amino acids and nucleotides, respectively). Other experiments Once the Hershey–Chase experiment was published, the scientific community generally acknowledged that DNA was the genetic code material. This discovery led to a more detailed investigation of DNA to determine its composition as well as its 3D structure. Using X-ray crystallography, the structure of DNA was discovered by James Watson and Francis Crick with the help of previously documented experimental evidence by Maurice Wilkins and Rosalind Franklin. Knowledge of the structure of DNA led scientists to examine the nature of genetic coding and, in turn, understand the process of protein synthesis. George Gamow proposed that the genetic code was composed of sequences of three DNA base pairs known as triplets or codons which represent one of the twenty amino acids. Genetic coding helped researchers to understand the mechanism of gene expression, the process by which information from a gene is used in protein synthesis. Since then, much research has been conducted
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representing fragmentary texts of the Hebrew Tanakh. Complete Hebrew texts, also of the Tanakh, but translated into the Greek language (Septuagint 300-200 BC), were in wide use by the early 1st century CE. The Zoroastrian Avesta, from a Sassanian-era master copy. Axial age Historians have labelled the period from 900 to 200 BCE as the "axial age", a term coined by German-Swiss philosopher Karl Jaspers (1883-1969). According to Jaspers, in this era of history "the spiritual foundations of humanity were laid simultaneously and independently... And these are the foundations upon which humanity still subsists today." Intellectual historian Peter Watson has summarized this period as the foundation time of many of humanity's most influential philosophical traditions, including monotheism in Persia and Canaan, Platonism in Greece, Buddhism and Jainism in India, and Confucianism and Taoism in China. These ideas would become institutionalized in time – note for example Ashoka's role in the spread of Buddhism, or the role of Neoplatonic philosophy in Christianity at its foundation. The historical roots of Jainism in India date back to the 9th-century BCE with the rise of Parshvanatha and his non-violent philosophy. Middle Ages World religions of the present day established themselves throughout Eurasia during the Middle Ages by: Christianization of the Western world Buddhist missions to East Asia the decline of Buddhism in the Indian subcontinent the spread of Islam throughout the Middle East, Central Asia, North Africa and parts of Europe and India During the Middle Ages, Muslims came into conflict with Zoroastrians during the Islamic conquest of Persia (633-654); Christians fought against Muslims during the Byzantine-Arab Wars (7th to 11th centuries), the Crusades (1095 onward), the Reconquista (718-1492), the Ottoman wars in Europe (13th century onwards) and the Inquisition; Shamanism was in conflict with Buddhists, Taoists, Muslims and Christians during the Mongol invasions (1206-1337); and Muslims clashed with Hindus and Sikhs during the Muslim conquest of the Indian subcontinent (8th to 16th centuries). Many medieval religious movements emphasized mysticism, such as the Cathars and related movements in the West, the Jews in Spain (see Zohar), the Bhakti movement in India and Sufism in Islam. Monotheism reached definite forms in Christian Christology and in Islamic Tawhid. Hindu monotheist notions of Brahman likewise reached their classical form with the teaching of Adi Shankara (788-820). Modern Ages From the 15th century to the 19th century, European colonisation resulted in the spread of Christianity to Sub-Saharan Africa, and the Americas, Australia and the Philippines. The invention of the printing press in the 15th century played a major role in the rapid spread of the Protestant Reformation under leaders such as Martin Luther (1483-1546) and John Calvin (1509-1564). Wars of religion broke out, culminating in the Thirty Years War which ravaged Central Europe between 1618 and 1648. The 18th century saw the beginning of secularisation in Europe, a trend which gained momentum after the French Revolution broke out in 1789. By the late 20th century, religion had declined in most of Europe. By 2001, people began to use the internet in order to discover or adhere to their religious beliefs. In January 2000, the website beliefnet was established, and by the
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with the rise of Parshvanatha and his non-violent philosophy. Middle Ages World religions of the present day established themselves throughout Eurasia during the Middle Ages by: Christianization of the Western world Buddhist missions to East Asia the decline of Buddhism in the Indian subcontinent the spread of Islam throughout the Middle East, Central Asia, North Africa and parts of Europe and India During the Middle Ages, Muslims came into conflict with Zoroastrians during the Islamic conquest of Persia (633-654); Christians fought against Muslims during the Byzantine-Arab Wars (7th to 11th centuries), the Crusades (1095 onward), the Reconquista (718-1492), the Ottoman wars in Europe (13th century onwards) and the Inquisition; Shamanism was in conflict with Buddhists, Taoists, Muslims and Christians during the Mongol invasions (1206-1337); and Muslims clashed with Hindus and Sikhs during the Muslim conquest of the Indian subcontinent (8th to 16th centuries). Many medieval religious movements emphasized mysticism, such as the Cathars and related movements in the West, the Jews in Spain (see Zohar), the Bhakti movement in India and Sufism in Islam. Monotheism reached definite forms in Christian Christology and in Islamic Tawhid. Hindu monotheist notions of Brahman likewise reached their classical form with the teaching of Adi Shankara (788-820). Modern Ages From the 15th century to the 19th century, European colonisation resulted in the spread of Christianity to Sub-Saharan Africa, and the Americas, Australia and the Philippines. The invention of the printing press in the 15th century played a major role in the rapid spread of the Protestant Reformation under leaders such as Martin Luther (1483-1546) and John Calvin (1509-1564). Wars of religion broke out, culminating in the Thirty Years War which ravaged Central Europe between 1618 and 1648. The 18th century saw the beginning of secularisation in Europe, a trend which gained momentum after the French Revolution broke out in 1789. By the late 20th century, religion had declined in most of Europe. By 2001, people began to use the internet in order to discover or adhere to their religious beliefs. In January 2000, the website beliefnet was established, and by the following year, it had over 1.7 million visitors every month. See also Historiography of religion Religion and politics Christianity and politics Women as theological figures List of founders of religious traditions List of religious movements that began in the United States Shamanism and ancestor worship Prehistoric religion Shamanism Animism Ancestor worship Tribal religion Panentheism Sikhism Neoplatonism Polytheism Ancient Near Eastern religion, Egyptian mythology Ancient Greek religion, Ancient Roman religion Germanic paganism, Finnish Paganism, Norse paganism Maya religion, Inca religion, Aztec religion Neopaganism, Polytheistic reconstructionism Monotheism See also Monotheism, Abrahamic religions. Aten History of Judaism History of Mandaeism Neoplatonism History of Christianity History of Roman Catholicism History of Eastern Orthodox Christianity History of Protestantism History of The Church of Jesus Christ of Latter-day Saints History of Islam Zoroastrianism Monism History of Buddhism History of Jainism History of Hinduism Dualism Gnosticism New religious movements History of Ayyavazhi Rastafari movement History of Wicca Timeline of Scientology Mormonism Baháʼí Faith Bábism History of Spiritism
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songs incorporated sounds produced with synthesizers and electronic drum machines, and some compositions were entirely electronic; examples include Italian composer Giorgio Moroder's late 1970s productions such as Donna Summer's hit single "I Feel Love" from 1977, Cerrone's "Supernature" (1977), Yellow Magic Orchestra's synth-disco-pop productions from Yellow Magic Orchestra (1978) or Solid State Survivor (1979), and several early 1980s productions by hi-NRG groups like Lime, Trans-X and Bobby O. Also important for the development of house were audio mixing and editing techniques earlier explored by disco, garage music and post-disco DJs, record producers, and audio engineers such as Walter Gibbons, Tom Moulton, Jim Burgess, Larry Levan, M & M, and others. While most post-disco disc jockeys primarily stuck to playing their conventional ensemble and playlist of dance records, Frankie Knuckles and Ron Hardy, two influential DJs of house music, were known for their unusual and non-mainstream playlists and mixing. Knuckles was influenced by and worked with New York City club Paradise Garage resident Larry Levan. Knuckles, often credited as "the Godfather of House" and resident DJ at the Warehouse from 1977 to 1982, worked primarily with early disco music with a hint of new and different music (whether it was post-punk or post-disco). Knuckles started out as a disco DJ, but when he moved from New York City to Chicago, he changed from the typical disco mixing style of playing records one after another; instead, he mixed different songs together, including Philadelphia soul, New York club tracks, and Euro disco. He also explored adding a drum machine and a reel-to-reel tape player so he could create new tracks, often with a boosted deep register and faster tempos. Knuckles said: "Kraftwerk were main components in the creation of house music in Chicago. Back in the early 80s, I mixed our 80s Philly sound with the electro beats of Kraftwerk and the Electronic body music bands of Europe." Ron Hardy produced unconventional DIY mixtapes which he later played straight-on in the successor of the Warehouse, the Music Box (reopened and renamed in 1983 after Knuckles left). Like Frankie Knuckles, Hardy "combined certain sounds, remixing tracks with added synths and drum machines", all "refracted through the futurist lens of European music." Marshall Jefferson, who would later appear with the 1986 house classic "Move Your Body (The House Music Anthem)" (originally released on Trax Records), describes how he got involved in house music after hearing Ron Hardy's music in the Music Box: A precursor to house music is the Colonel Abrams hit song "Trapped", produced by Richard James Burgess in 1984, referred to as a proto-house track and a precursor to garage house. Rachel Cain, better known as Screamin Rachael, co-founder of the highly influential house label Trax Records, was previously involved in the burgeoning punk scene. Cain cites industrial music (another genre pioneered in Chicago) and post-punk record store Wax Trax! Records (later a record label) as an important connection between the ever-changing underground sounds of Chicago. The electronic instrumentation and minimal arrangement of Charanjit Singh's Synthesizing: Ten Ragas to a Disco Beat (1982), an album of Indian ragas performed in a disco style, anticipated the sounds of acid house music, but it is not known to have had any influence on the genre prior to the album's rediscovery in the 21st century. According to Hillegonda C. Rietveld, "elements of hip hop and rap can be found in contemporary house tracks", with hip hop acting as an "accent or inflection" that is inserted into the house sound. The constant bass drum in house music may have arisen from DJs experimenting with adding drum machines to their live mixes at clubs, underneath the records they were playing. 1980s: Chicago house, acid house and deep house In the early 1980s, Chicago radio jocks Hot Mix 5 from WBMX radio station (among them Farley "Jackmaster" Funk), and club DJs Ron Hardy and Frankie Knuckles played a range of styles of dance music, including older disco records (mostly Philly disco and Salsoul tracks), electro funk tracks by artists such as Afrika Bambaataa, newer Italo disco, Arthur Baker, and John Robie, and electronic pop. Some DJs made and played their own edits of their favorite songs on reel-to-reel tape, and sometimes mixed in electronic effects, drum machines, synthesizers and other rhythmic electronic instrumentation. The hypnotic electronic dance song "On and On", produced in 1984 by Chicago DJ Jesse Saunders and co-written by Vince Lawrence, had typical elements of the early house sound, such as the Roland TB-303 bass synthesizer and minimal vocals as well as a Roland TR-808 drum machine and a Korg Poly-61 synthesizer. It also utilized the bassline from Player One's disco record "Space Invaders" (1979). "On and On" is sometimes cited as the 'first house record', even though it was a remake of a Disco Bootleg "On and On" by Florida producer Mach. Other examples from around that time, such as J.M. Silk's "Music is the Key" (1985), have also been cited to be the first house tracks. Starting in 1985 and 1986, more and more Chicago DJs began producing and releasing original compositions. These compositions used newly affordable electronic instruments and enhanced styles of disco and other dance music they already favored. These homegrown productions were played on Chicago radio stations and in local clubs catering mainly to Black, Mexican Americans, and gay audiences. By 1985, house music encompassed these locally produced recordings. Subgenres of house, including deep house and acid house, quickly emerged and gained traction. Deep house's origins can be traced to Chicago producer Mr Fingers's relatively jazzy, soulful recordings "Mystery of Love" (1985) and "Can You Feel It?" (1986). According to author Richie Unterberger, it moved house music away from its "posthuman tendencies back towards the lush" soulful sound of early disco music. Acid house, a rougher and more abstract subgenre, arose from Chicago artists' experiments with the squelchy sounds of the Roland TB-303 bass synthesizer that define the genre. Its origin on vinyl is generally cited as Phuture's "Acid Tracks" (Trax Records, 1987). Phuture, a group founded by Nathan "DJ Pierre" Jones, Earl "Spanky" Smith Jr., and Herbert "Herb J" Jackson, is credited with having been the first to use the TB-303 in the house music context. The group's 12-minute "Acid Tracks" was recorded to tape and played by DJ Ron Hardy at the Music Box, supposedly already in 1985. Hardy once played it four times over the course of an evening until the crowd responded favorably. Club play of house tracks by pioneering Chicago DJs such as Ron Hardy and Lil Louis, local dance music record shops such as Importes Etc., State Street Records, Loop Records, Gramaphone Records and the popular Hot Mix 5 shows on radio station WBMX-FM helped popularize house music in Chicago. Later, visiting DJs and producers from Detroit fell into the genre. Trax Records and DJ International Records, Chicago labels with wider distribution, helped popularize house music inside and outside of Chicago. The first major success of house music outside the U.S. is considered to be Farley "Jackmaster" Funk's "Love Can't Turn Around" (feat. Jesse Saunders and performed by Darryl Pandy), which peaked at #10 in the UK singles chart in 1986. Around that time, UK record labels started releasing house music by Chicago acts, but as the genre grew popular, the UK itself became one of the new hot spots for house, acid house and techno music, experiencing the so-called second summer of love between 1988 and 1989. Detroit and techno In Detroit during the early and mid-1980s, a new kind of electronic dance music began to emerge around Juan Atkins, Derrick May and Kevin Saunderson, known as the Belleville Three. The artists fused eclectic, futuristic sounds into a signature Detroit dance sound that was a main influence for the later techno genre. Their music included strong influences from Chicago house, although the term "house" played a less important role in Detroit than in Chicago, and the term "techno" was established instead. One of their most successful hits was a vocal house track named "Big Fun" by Inner City, a group produced by Kevin Saunderson, in 1988. Another important and even earlier influence on the Detroit artists was electronic music in the tradition of Germany's Kraftwerk. Atkins had released electro music in that style with his group Cybotron as early as 1981. Cybotron's best known songs are "Cosmic Cars" (1982) and "Clear" (1983); a 1984 release was titled "Techno City". In 1988, Atkins produced the track "Techno Music" that was featured on an influential compilation initially planned to be named "The House Sound of Detroit", but renamed into "Techno! The New Dance Sound of Detroit" after Atkins' song. The 1987 song "Strings of Life" by Derrick May (under the name Rhythm Is Rhythm) represented a darker, more intellectual strain of early Detroit electronic dance music. It is considered a classic in both the house and techno genre and shows the connection as well as the "boundary between house and techno." It made way to what was later known as "techno" in the internationally known sense of the word, referring to a harder, faster, colder, more machine-driven and minimal sound than house, as played by Detroit's Underground Resistance and Jeff Mills. UK: Acid house, rave culture and the Second Summer of Love With house music already important in the 1980s dance club scene, eventually house penetrated the UK singles chart. London DJ "Evil" Eddie Richards spun at dance parties as resident at the Clink Street club. Richards' approach to house focuses on the deep basslines. Nicknamed the UK's "Godfather of House", he and Clink co-residents Kid Batchelor and Mr. C played a key role in early UK house. House first charted in the UK in Wolverhampton following the success of the Northern Soul scene. The record generally credited as the first house hit in the UK was Farley "Jackmaster" Funk's "Love Can't Turn Around", which reached #10 in the UK singles chart in September 1986. In January 1987, Chicago DJ/artist Steve "Silk" Hurley's "Jack Your Body" reached number one in the UK, showing it was possible for house music to achieve crossover success in the main singles chart. The same month also saw Raze enter the top 20 with "Jack the Groove", and several further house hits reached the top ten that year. Stock Aitken Waterman (SAW) expensively-produced productions for Mel and Kim, including the number-one hit "Respectable", added elements of house to their previous Europop sound. SAW session group Mirage scored top-ten hits with "Jack Mix II" and "Jack Mix IV", medleys of previous electro and Europop hits rearranged in a house music style. Key labels in the rise of house music in the UK included: Jack Trax, which specialized in licensing US club hits for the British market (and released an influential series of compilation albums) Rhythm King, which was set up as a hip hop label but also issued house records Jive Records' Club Records imprint In March 1987, the UK tour of influential US DJs such as Knuckles, Jefferson, Fingers Inc. (Heard) and Adonis, on the DJ International Tour boosted house's popularity in the UK. Following the number-one success of MARRS' "Pump Up The Volume" in October, in 1987 to 1989, UK acts such as The Beatmasters, Krush, Coldcut, Yazz, Bomb The Bass, S-Express, and Italy's Black Box opened the doors to house music success on the UK charts. Early British house music quickly set itself apart from the original Chicago house sound. Many of the early hits were based on sample montage, and unlike the US soulful vocals, in UK house, rap was often used for vocals (far more than in the US), and humor and wit was an important element. The second best-selling British single of 1988 was an acid house record, the Coldcut-produced "The Only Way Is Up" by Yazz. One of the early club anthems, "Promised Land" by Joe Smooth, was covered and charted within a week by UK band The Style Council. Europeans embraced house, and began booking important American house DJs to play at the big clubs, such as Ministry of Sound, whose resident, Justin Berkmann brought in US pioneer Larry Levan. The house music club scene in cities such as Birmingham, Leeds, Sheffield, Wolverhampton and London were provided with dance tracks by many underground Pirate Radio stations. Club DJs also brought in new house styles, which helped bolster this music genre. The earliest UK house and techno record labels such as Warp Records and Network Records (otherwise known as Kool Kat records) helped introduce American and later Italian dance music to Britain. These labels also promoted UK dance music acts. By the end of the 1980s, UK DJs Jenö, Thomas, Markie and Garth moved to San Francisco, and called their group the Wicked Crew. The Wicked Crew's dance sound transmitted UK styles to the US, which helped to trigger the birth of the US west coast's rave scene. The manager of Manchester's Factory nightclub and co-owner of The Haçienda, Tony Wilson, also promoted acid house culture on his weekly TV show. The UK midlands also embraced the late 1980s house scene with illegal parties and raves and more legal dance clubs such as The Hummingbird. Chicago's second wave: Hip house and ghetto house While the acid house hype spawned to the UK and Europe, in Chicago itself it reached its peak around 1988 and then declined in popularity. Instead, a crossover of house and hip-hop music, known as hip house, became popular. Tyree Cooper's single "Turn Up the Bass" featuring Kool Rock Steady from 1988 was an influential breakthrough for this subgenre, although the British trio the Beatmasters claimed having invented the genre with their 1986 release "Rok da House". Another notable figure in the hip house scene was Fast Eddie with "Hip House" and "Yo Yo Get Funky!" (both 1988). Even Farley "Jackmaster" Funk engaged himself in the genre, releasing "Free at Last", a song to free James Brown from jail, featuring The Hip House Syndicate, in 1989, and producing a Real Hip House compilation on his label House Records in 1990. The early 1990s saw new Chicago house artists emerge, such as Armando Gallop, who had released seminal acid house records since 1987, but became even more influential by co-founding the new Warehouse nightclub in Chicago (on 738 W. Randolph Street) in which he also was resident DJ from 1992 until 1994, and founding Warehouse Records in 1988. Another important figure during the early to mid-1990s (until the 2000s) was DJ and producer Paul Johnson, who released the Warehouse-anthem "Welcome to the Warehouse" on Armando's label in 1994 in collaboration with Armando himself. He also had part in the development of an entirely new kind of Chicago house sound, "ghetto house", which was prominently released and popularized through the Dance Mania record label. It was originally founded by Jesse Saunders in 1985 but passed on to Raymond Barney in 1988. It featured notable ghetto house artists like DJ Funk, DJ Deeon, DJ Milton, Paul Johnson and others. The label is regarded as hugely influential in the history of Chicago house music, and has been described as "ghetto house's Motown". One of the prototypes for Dance Mania's new ghetto house sound was the single "(It's Time for the) Percolator" by Cajmere, also known as Green Velvet, from 1992. Cajmere started the labels Cajual Records and Relief Records, the latter combining the sound of Chicago, acid and ghetto house with the harder sound of techno. By the early 1990s, artists of note on those two labels included Dajae, DJ Sneak, Derrick Carter, DJ Rush, Paul Johnson, Joe Lewis, and Glenn Underground. New York and New Jersey: Garage house and the "Jersey sound" While house conquered UK and continental Europe, the scene in the U.S. had still not progressed beyond a small number of clubs in Chicago, Detroit, New York City, and Newark. In New York and Newark, the terms "garage house", "garage music", or simply "garage", and "Jersey sound", or "New Jersey house", were coined for a deeper, more soulful, R&B-derived subgenre of house that was developed in the Paradise Garage nightclub in New York City and Club Zanzibar in Newark, New Jersey, during the early-to-mid 1980s. It is argued that garage house predates the development of Chicago house, as it is relatively closer to disco than other dance styles. As Chicago house gained international popularity, New York's and New Jersey's music scene was distinguished from the "house" umbrella. In comparison to other forms of house music, garage house and Jersey sound include more gospel-influenced piano riffs and female vocals. The genre was popular in the 1980s in the United States and the 1990s in the United Kingdom. DJs playing it include Tony Humphries at Club Zanzibar, Larry Levan, who was resident DJ at the Paradise Garage from 1977 to 1987, Todd Terry, Kerri Chandler, Masters at Work, Junior Vasquez and others. In the late 1980s, Nu Groove Records launched and nurtured the careers of Rheji Burrell and Rhano Burrell, collectively known as Burrell (after a brief stay on Virgin America via Timmy Regisford and Frank Mendez). Nu Groove also had a stable of other NYC underground scene DJs. The Burrell's created the "New York Underground" sound of house, and they did more than 30 releases on this label featuring this sound. The emergence of New York's DJ and producer Todd Terry in 1988 demonstrated the continuum from the underground disco approach to a new and commercially successful house sound. Terry's cover of Class Action's "Weekend" (mixed by Larry Levan) shows how Terry drew on newer hip-hop influences, such as the quicker sampling and the more rugged basslines. Ibiza House was also being developed by DJs and record producers in the booming dance club scene in Ibiza notably when DJ Alfredo, the father of Balearic house, began his residency at Amnesia in 1983. While no house artists or labels came from this tiny island at the time, mixing experiments and innovations done by Ibiza DJs helped to influence the house style. By the mid-1980s a distinct Balearic mix of house was discernible. Several influential clubs in Ibiza, such as Amnesia, with DJ Alfredo at the decks, were playing a mix of rock, pop, disco and house. These clubs, fuelled by their distinctive sound and copious consumption of the club drug Ecstasy (MDMA), began to influence the British scene. By late 1987, DJs such as Trevor Fung, Paul Oakenfold and Danny Rampling were bringing the Ibiza sound to key UK clubs such as the Haçienda in Manchester. Ibiza influences also spread to DJs working London clubs such as Shoom in Southwark, Heaven, Future and Spectrum. Other regional scenes By the late 1980s, house DJing and production had moved to the US's west coast, particularly to San Francisco, Oakland, Los Angeles, Fresno, San Diego and Seattle. Los Angeles saw an explosion of underground raves, where DJs mixed dance tracks. L.A. DJs Marques Wyatt and Billy Long spun at Jewel's Catch One. In 1989, the L.A.-based, former EBN-OZN singer/rapper Robert Ozn started indie house label One Voice Records. Ozn released the Mike "Hitman" Wilson remix of Dada Nada's "Haunted House", which garnered club and mix show radio play in Chicago, Detroit and New York as well as in the UK and France. The record went up to number five on the Billboard Club Chart, marking it as the first house record by a white (Caucasian) artist to chart in the U.S. Dada Nada, the moniker for Ozn's solo act, did his first releases in 1990, using a jazz-based deep house style. The Frankie Knuckles and David Morales remix of Dada Nada's "Deep Love" (One Voice Records in the US, Polydor in the UK), featuring Ozn's lush, crooning vocals and jazzy improvisational solos by muted trumpet, underscored deep house's progression into a genre that integrated jazz and pop songwriting and song forms (unlike acid house and techno). The Twilight Zone (1980–89) located on Richmond Street in Toronto's entertainment district was the first after hours club to regularly feature New York and Chicago DJs that first spun house music in Canada. The venue would prove to be the first international gig destination for both Frankie Knuckles and David Morales. One of the club's owners, Tony Assoon, would make regular trips to New York in order to purchase funk, underground disco and house records to dish out on his regular Saturday night slot. 1990s In Britain, further experiments in the genre boosted its appeal. House and rave clubs such as Lakota and Cream emerged across Britain, hosting house and dance scene events. The 'chilling out' concept developed in
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include Italian composer Giorgio Moroder's late 1970s productions such as Donna Summer's hit single "I Feel Love" from 1977, Cerrone's "Supernature" (1977), Yellow Magic Orchestra's synth-disco-pop productions from Yellow Magic Orchestra (1978) or Solid State Survivor (1979), and several early 1980s productions by hi-NRG groups like Lime, Trans-X and Bobby O. Also important for the development of house were audio mixing and editing techniques earlier explored by disco, garage music and post-disco DJs, record producers, and audio engineers such as Walter Gibbons, Tom Moulton, Jim Burgess, Larry Levan, M & M, and others. While most post-disco disc jockeys primarily stuck to playing their conventional ensemble and playlist of dance records, Frankie Knuckles and Ron Hardy, two influential DJs of house music, were known for their unusual and non-mainstream playlists and mixing. Knuckles was influenced by and worked with New York City club Paradise Garage resident Larry Levan. Knuckles, often credited as "the Godfather of House" and resident DJ at the Warehouse from 1977 to 1982, worked primarily with early disco music with a hint of new and different music (whether it was post-punk or post-disco). Knuckles started out as a disco DJ, but when he moved from New York City to Chicago, he changed from the typical disco mixing style of playing records one after another; instead, he mixed different songs together, including Philadelphia soul, New York club tracks, and Euro disco. He also explored adding a drum machine and a reel-to-reel tape player so he could create new tracks, often with a boosted deep register and faster tempos. Knuckles said: "Kraftwerk were main components in the creation of house music in Chicago. Back in the early 80s, I mixed our 80s Philly sound with the electro beats of Kraftwerk and the Electronic body music bands of Europe." Ron Hardy produced unconventional DIY mixtapes which he later played straight-on in the successor of the Warehouse, the Music Box (reopened and renamed in 1983 after Knuckles left). Like Frankie Knuckles, Hardy "combined certain sounds, remixing tracks with added synths and drum machines", all "refracted through the futurist lens of European music." Marshall Jefferson, who would later appear with the 1986 house classic "Move Your Body (The House Music Anthem)" (originally released on Trax Records), describes how he got involved in house music after hearing Ron Hardy's music in the Music Box: A precursor to house music is the Colonel Abrams hit song "Trapped", produced by Richard James Burgess in 1984, referred to as a proto-house track and a precursor to garage house. Rachel Cain, better known as Screamin Rachael, co-founder of the highly influential house label Trax Records, was previously involved in the burgeoning punk scene. Cain cites industrial music (another genre pioneered in Chicago) and post-punk record store Wax Trax! Records (later a record label) as an important connection between the ever-changing underground sounds of Chicago. The electronic instrumentation and minimal arrangement of Charanjit Singh's Synthesizing: Ten Ragas to a Disco Beat (1982), an album of Indian ragas performed in a disco style, anticipated the sounds of acid house music, but it is not known to have had any influence on the genre prior to the album's rediscovery in the 21st century. According to Hillegonda C. Rietveld, "elements of hip hop and rap can be found in contemporary house tracks", with hip hop acting as an "accent or inflection" that is inserted into the house sound. The constant bass drum in house music may have arisen from DJs experimenting with adding drum machines to their live mixes at clubs, underneath the records they were playing. 1980s: Chicago house, acid house and deep house In the early 1980s, Chicago radio jocks Hot Mix 5 from WBMX radio station (among them Farley "Jackmaster" Funk), and club DJs Ron Hardy and Frankie Knuckles played a range of styles of dance music, including older disco records (mostly Philly disco and Salsoul tracks), electro funk tracks by artists such as Afrika Bambaataa, newer Italo disco, Arthur Baker, and John Robie, and electronic pop. Some DJs made and played their own edits of their favorite songs on reel-to-reel tape, and sometimes mixed in electronic effects, drum machines, synthesizers and other rhythmic electronic instrumentation. The hypnotic electronic dance song "On and On", produced in 1984 by Chicago DJ Jesse Saunders and co-written by Vince Lawrence, had typical elements of the early house sound, such as the Roland TB-303 bass synthesizer and minimal vocals as well as a Roland TR-808 drum machine and a Korg Poly-61 synthesizer. It also utilized the bassline from Player One's disco record "Space Invaders" (1979). "On and On" is sometimes cited as the 'first house record', even though it was a remake of a Disco Bootleg "On and On" by Florida producer Mach. Other examples from around that time, such as J.M. Silk's "Music is the Key" (1985), have also been cited to be the first house tracks. Starting in 1985 and 1986, more and more Chicago DJs began producing and releasing original compositions. These compositions used newly affordable electronic instruments and enhanced styles of disco and other dance music they already favored. These homegrown productions were played on Chicago radio stations and in local clubs catering mainly to Black, Mexican Americans, and gay audiences. By 1985, house music encompassed these locally produced recordings. Subgenres of house, including deep house and acid house, quickly emerged and gained traction. Deep house's origins can be traced to Chicago producer Mr Fingers's relatively jazzy, soulful recordings "Mystery of Love" (1985) and "Can You Feel It?" (1986). According to author Richie Unterberger, it moved house music away from its "posthuman tendencies back towards the lush" soulful sound of early disco music. Acid house, a rougher and more abstract subgenre, arose from Chicago artists' experiments with the squelchy sounds of the Roland TB-303 bass synthesizer that define the genre. Its origin on vinyl is generally cited as Phuture's "Acid Tracks" (Trax Records, 1987). Phuture, a group founded by Nathan "DJ Pierre" Jones, Earl "Spanky" Smith Jr., and Herbert "Herb J" Jackson, is credited with having been the first to use the TB-303 in the house music context. The group's 12-minute "Acid Tracks" was recorded to tape and played by DJ Ron Hardy at the Music Box, supposedly already in 1985. Hardy once played it four times over the course of an evening until the crowd responded favorably. Club play of house tracks by pioneering Chicago DJs such as Ron Hardy and Lil Louis, local dance music record shops such as Importes Etc., State Street Records, Loop Records, Gramaphone Records and the popular Hot Mix 5 shows on radio station WBMX-FM helped popularize house music in Chicago. Later, visiting DJs and producers from Detroit fell into the genre. Trax Records and DJ International Records, Chicago labels with wider distribution, helped popularize house music inside and outside of Chicago. The first major success of house music outside the U.S. is considered to be Farley "Jackmaster" Funk's "Love Can't Turn Around" (feat. Jesse Saunders and performed by Darryl Pandy), which peaked at #10 in the UK singles chart in 1986. Around that time, UK record labels started releasing house music by Chicago acts, but as the genre grew popular, the UK itself became one of the new hot spots for house, acid house and techno music, experiencing the so-called second summer of love between 1988 and 1989. Detroit and techno In Detroit during the early and mid-1980s, a new kind of electronic dance music began to emerge around Juan Atkins, Derrick May and Kevin Saunderson, known as the Belleville Three. The artists fused eclectic, futuristic sounds into a signature Detroit dance sound that was a main influence for the later techno genre. Their music included strong influences from Chicago house, although the term "house" played a less important role in Detroit than in Chicago, and the term "techno" was established instead. One of their most successful hits was a vocal house track named "Big Fun" by Inner City, a group produced by Kevin Saunderson, in 1988. Another important and even earlier influence on the Detroit artists was electronic music in the tradition of Germany's Kraftwerk. Atkins had released electro music in that style with his group Cybotron as early as 1981. Cybotron's best known songs are "Cosmic Cars" (1982) and "Clear" (1983); a 1984 release was titled "Techno City". In 1988, Atkins produced the track "Techno Music" that was featured on an influential compilation initially planned to be named "The House Sound of Detroit", but renamed into "Techno! The New Dance Sound of Detroit" after Atkins' song. The 1987 song "Strings of Life" by Derrick May (under the name Rhythm Is Rhythm) represented a darker, more intellectual strain of early Detroit electronic dance music. It is considered a classic in both the house and techno genre and shows the connection as well as the "boundary between house and techno." It made way to what was later known as "techno" in the internationally known sense of the word, referring to a harder, faster, colder, more machine-driven and minimal sound than house, as played by Detroit's Underground Resistance and Jeff Mills. UK: Acid house, rave culture and the Second Summer of Love With house music already important in the 1980s dance club scene, eventually house penetrated the UK singles chart. London DJ "Evil" Eddie Richards spun at dance parties as resident at the Clink Street club. Richards' approach to house focuses on the deep basslines. Nicknamed the UK's "Godfather of House", he and Clink co-residents Kid Batchelor and Mr. C played a key role in early UK house. House first charted in the UK in Wolverhampton following the success of the Northern Soul scene. The record generally credited as the first house hit in the UK was Farley "Jackmaster" Funk's "Love Can't Turn Around", which reached #10 in the UK singles chart in September 1986. In January 1987, Chicago DJ/artist Steve "Silk" Hurley's "Jack Your Body" reached number one in the UK, showing it was possible for house music to achieve crossover success in the main singles chart. The same month also saw Raze enter the top 20 with "Jack the Groove", and several further house hits reached the top ten that year. Stock Aitken Waterman (SAW) expensively-produced productions for Mel and Kim, including the number-one hit "Respectable", added elements of house to their previous Europop sound. SAW session group Mirage scored top-ten hits with "Jack Mix II" and "Jack Mix IV", medleys of previous electro and Europop hits rearranged in a house music style. Key labels in the rise of house music in the UK included: Jack Trax, which specialized in licensing US club hits for the British market (and released an influential series of compilation albums) Rhythm King, which was set up as a hip hop label but also issued house records Jive Records' Club Records imprint In March 1987, the UK tour of influential US DJs such as Knuckles, Jefferson, Fingers Inc. (Heard) and Adonis, on the DJ International Tour boosted house's popularity in the UK. Following the number-one success of MARRS' "Pump Up The Volume" in October, in 1987 to 1989, UK acts such as The Beatmasters, Krush, Coldcut, Yazz, Bomb The Bass, S-Express, and Italy's Black Box opened the doors to house music success on the UK charts. Early British house music quickly set itself apart from the original Chicago house sound. Many of the early hits were based on sample montage, and unlike the US soulful vocals, in UK house, rap was often used for vocals (far more than in the US), and humor and wit was an important element. The second best-selling British single of 1988 was an acid house record, the Coldcut-produced "The Only Way Is Up" by Yazz. One of the early club anthems, "Promised Land" by Joe Smooth, was covered and charted within a week by UK band The Style Council. Europeans embraced house, and began booking important American house DJs to play at the big clubs, such as Ministry of Sound, whose resident, Justin Berkmann brought in US pioneer Larry Levan. The house music club scene in cities such as Birmingham, Leeds, Sheffield, Wolverhampton and London were provided with dance tracks by many underground Pirate Radio stations. Club DJs also brought in new house styles, which helped bolster this music genre. The earliest UK house and techno record labels such as Warp Records and Network Records (otherwise known as Kool Kat records) helped introduce American and later Italian dance music to Britain. These labels also promoted UK dance music acts. By the end of the 1980s, UK DJs Jenö, Thomas, Markie and Garth moved to San Francisco, and called their group the Wicked Crew. The Wicked Crew's dance sound transmitted UK styles to the US, which helped to trigger the birth of the US west coast's rave scene. The manager of Manchester's Factory nightclub and co-owner of The Haçienda, Tony Wilson, also promoted acid house culture on his weekly TV show. The UK midlands also embraced the late 1980s house scene with illegal parties and raves and more legal dance clubs such as The Hummingbird. Chicago's second wave: Hip house and ghetto house While the acid house hype spawned to the UK and Europe, in Chicago itself it reached its peak around 1988 and then declined in popularity. Instead, a crossover of house and hip-hop music, known as hip house, became popular. Tyree Cooper's single "Turn Up the Bass" featuring Kool Rock Steady from 1988 was an influential breakthrough for this subgenre, although the British trio the Beatmasters claimed having invented the genre with their 1986 release "Rok da House". Another notable figure in the hip house scene was Fast Eddie with "Hip House" and "Yo Yo Get Funky!" (both 1988). Even Farley "Jackmaster" Funk engaged himself in the genre, releasing "Free at Last", a song to free James Brown from jail, featuring The Hip House Syndicate, in 1989, and producing a Real Hip House compilation on his label House Records in 1990. The early 1990s saw new Chicago house artists emerge, such as Armando Gallop, who had released seminal acid house records since 1987, but became even more influential by co-founding the new Warehouse nightclub in Chicago (on 738 W. Randolph Street) in which he also was resident DJ from 1992 until 1994, and founding Warehouse Records in 1988. Another important figure during the early to mid-1990s (until the 2000s) was DJ and producer Paul Johnson, who released the Warehouse-anthem "Welcome to the Warehouse" on Armando's label in 1994 in collaboration with Armando himself. He also had part in the development of an entirely new kind of Chicago house sound, "ghetto house", which was prominently released and popularized through the Dance Mania record label. It was originally founded by Jesse Saunders in 1985 but passed on to Raymond Barney in 1988. It featured notable ghetto house artists like DJ Funk, DJ Deeon, DJ Milton, Paul Johnson and others. The label is regarded as hugely influential in the history of Chicago house music, and has been described as "ghetto house's Motown". One of the prototypes for Dance Mania's new ghetto house sound was the single "(It's Time for the) Percolator" by Cajmere, also known as Green Velvet, from 1992. Cajmere started the labels Cajual Records and Relief Records, the latter combining the sound of Chicago, acid and ghetto house with the harder sound of techno. By the early 1990s, artists of note on those two labels included Dajae, DJ Sneak, Derrick Carter, DJ Rush, Paul Johnson, Joe Lewis, and Glenn Underground. New York and New Jersey: Garage house and the "Jersey sound" While house conquered UK and continental Europe, the scene in the U.S. had still not progressed beyond a small number of clubs in Chicago, Detroit, New York City, and Newark. In New York and Newark, the terms "garage house", "garage music", or simply "garage", and "Jersey sound", or "New Jersey house", were coined for a deeper, more soulful, R&B-derived subgenre of house that was developed in the Paradise Garage nightclub in New York City and Club Zanzibar in Newark, New Jersey, during the early-to-mid 1980s. It is argued that garage house predates the development of Chicago house, as it is relatively closer to disco than other dance styles. As Chicago house gained international popularity, New York's and New Jersey's music scene was distinguished from the "house" umbrella. In comparison to other forms of house music, garage house and Jersey sound include more gospel-influenced piano riffs and female vocals. The genre was popular in the 1980s in the United States and the 1990s in the United Kingdom. DJs playing it include Tony Humphries at Club Zanzibar, Larry Levan, who was resident DJ at the Paradise Garage from 1977 to 1987, Todd Terry, Kerri Chandler, Masters at Work, Junior Vasquez and others. In the late 1980s, Nu Groove Records launched and nurtured the careers of Rheji Burrell and Rhano Burrell, collectively known as Burrell (after a brief stay on Virgin America via Timmy Regisford and Frank Mendez). Nu Groove also had a stable of other NYC underground scene DJs. The Burrell's created the "New York Underground" sound of house, and they did more than 30 releases on this label featuring this sound. The emergence of New York's DJ and producer Todd Terry in 1988 demonstrated the continuum from the underground disco approach to a new and commercially successful house sound. Terry's cover of Class Action's "Weekend" (mixed by Larry Levan) shows how Terry drew on newer hip-hop influences, such as the quicker sampling and the more rugged basslines. Ibiza House was also being developed by DJs and record producers in the booming dance club scene in Ibiza notably when DJ Alfredo, the father of Balearic house, began his residency at Amnesia in 1983. While no house artists or labels came from this tiny island at the time, mixing experiments and innovations done by Ibiza DJs helped to influence the house style. By the mid-1980s a distinct Balearic mix of house was discernible. Several influential clubs in Ibiza, such as Amnesia, with DJ Alfredo at the decks, were playing a mix of rock, pop, disco and house. These clubs, fuelled by their distinctive sound and copious consumption of the club drug Ecstasy (MDMA), began to influence the British scene. By late 1987, DJs such as Trevor Fung, Paul Oakenfold and Danny Rampling were bringing the Ibiza sound to key UK clubs such as the Haçienda in Manchester. Ibiza influences also spread to DJs working London clubs such as Shoom in Southwark, Heaven, Future and Spectrum. Other regional scenes By the late 1980s, house DJing and production had moved to the US's west coast, particularly to San Francisco, Oakland, Los Angeles, Fresno, San Diego and Seattle. Los Angeles saw an explosion of underground raves, where DJs mixed dance tracks. L.A. DJs Marques Wyatt and Billy Long spun at Jewel's Catch One. In 1989, the L.A.-based, former EBN-OZN singer/rapper Robert Ozn started indie house label One Voice Records. Ozn released the Mike "Hitman" Wilson remix of Dada Nada's "Haunted House", which garnered club and mix show radio play in Chicago, Detroit and New York as well as in the UK and France. The record went up to number five on the Billboard Club Chart, marking it as the first house record by a white (Caucasian) artist to chart in the U.S. Dada
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population resides in the Hanover census-designated place (CDP) — the main village of the town. Located at the junctions of New Hampshire routes 10, 10A, and 120, the Hanover CDP recorded a population of 9,078 people at the 2020 census. The town also contains the smaller villages of Etna and Hanover Center. History Hanover was chartered by Governor Benning Wentworth on July 4, 1761, and in 1765–66 its first European inhabitants arrived, the majority from Connecticut. Although the surface is uneven, the town developed into an agricultural community. Dartmouth College was established in 1769 beside the town common at a village called "the Plain"—an extensive and level tract of land a mile (1.6 kilometers) from the Connecticut River, and about above it. At one point in its history, the southwest corner of Hanover, site of "The Plain", was known as "Dresden", which in the 1780s joined other disgruntled New Hampshire towns along the Connecticut River that briefly defected to what was then the independent Vermont Republic. After various political posturings, however, the towns returned to New Hampshire at the heated insistence of George Washington. One remnant of this era is that the name "Dresden" is still used in the Dresden School District, an interstate school district serving both Hanover and Norwich, Vermont—the first and one of the few interstate school districts in the nation. The film Winter Carnival (1939) was shot in Hanover. Etymology "Hannover" (as it was spelled in the 1761 charter and in its German original form as well) was named either after a local parish in Sprague, Connecticut, or after the German House of Hanover in honor of the reigning British-Hanoverian king, George III. The original Han(n)over is a city (capital) in Lower Saxony, North Germany. The name of the German city derves from the Low German form of what is "hohes Ufer" in German, which translates into "high shore" in English, and describes the high shore of the Leine river. (see :de:Am Hohen Ufer; in German). While it is likely that the name "Dresden" derived from Dresden in Germany, it has also been suggested that it could derive directly from the old Sorbian word drezg ("forest") or Drezd'ane, for an inhabitant of a forest. Geography According to the United States Census Bureau, the town has a total area of , of which are land and are water, comprising 2.21% of the town. The primary settlement in Hanover, where over 75% of the town's population resides, is in the southwest corner of the town and is defined as the Hanover census-designated place (CDP). It contains the areas around Dartmouth College and the intersections of New Hampshire Routes 10, 10A, and 120. The CDP has a total area of , of which are land and are water. Hanover borders the towns of Lyme, Canaan, and Enfield, New Hampshire; Norwich, Vermont; and the city of Lebanon, New Hampshire. Inside the limits of Hanover are the small rural villages of Etna and Hanover Center. The highest point in Hanover is the north peak of Moose Mountain, at above sea level. Hanover lies fully within the Connecticut River watershed. There are a number of trails and nature preserves in Hanover, and the majority of these trails are suitable for snowshoes and cross-country skis. The Velvet Rocks Trail, located on the Appalachian Trail, has a number of rock climbing and bouldering spots. Climate Hanover experiences a warm summer continental climate (Köppen Dfb), with cold, snowy winters, and warm, humid summers. Temperatures average in January to in July, and the annual mean is
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2, 1975. Demographics As of the census of 2010, there were 11,260 people, 3,119 households, and 1,797 families residing in the town. The population density was 220 people per square mile (86/km2). There were 3,278 housing units at an average density of 65.2 per square mile (25.2/km2). The racial makeup of the town was 81.0% White, 3.4% Black, 0.8% Native American, 10.8% Asian, 0.03% Pacific Islander, 0.7% from other races, and 3.2% from two or more races. Hispanic or Latino of any race were 3.9% of the population. There were 3,119 households, out of which 27.4% had children under the age of 18 living with them, 51.5% were married couples living together, 4.7% had a female householder with no husband present, and 42.4% were non-families. 31.0% of all households were made up of individuals, and 16.1% had someone living alone who was 65 years of age or older. The average household size was 2.37 and the average family size was 2.95. In the town, the population was spread out, with 27.8% at or under the age of 19, 25.5% from 20 to 24, 14.4% from 25 to 44, 18.6% from 45 to 64, and 13.7% who were 65 years of age or older. The median age was 23 years. For the period 2010–14, the estimated median income for a household in the town was $94,063, and the median income for a family was $129,000. Male full-time workers had a median income of $87,550 versus $53,141 for females. The per capita income for the town was $34,140. About 2.0% of families and 12.0% of the population were below the poverty line, including 3.4% of those under age 18 and 4.8% of those age 65 or over. Government In the New Hampshire Senate, Hanover is included in the 5th District and is represented by Democrat Martha S. Hennessey. On the New Hampshire Executive Council, Hanover is in the 1st District and is represented by Democrat Michael J. Cryans. In the United States House of Representatives, Hanover is a part of New Hampshire's 2nd congressional district and is currently represented by Democrat Ann McLane Kuster. Like most other college towns, Hanover is a liberal bastion and a Democratic stronghold in presidential elections. No Republican presidential nominee has managed to receive over 32 percent of the vote in the town in the past two decades. Hanover backed Hillary Rodham Clinton with 85 percent of the vote in 2016, providing the former Secretary of State and U.S. Senator from New York with her largest margin of victory in the state of New Hampshire, which she narrowly won by 2,736 votes statewide. Her margin of victory in Hanover was by over twice that amount, allowing attribution that her margin in Hanover was what ultimately allowed her to carry the Granite State. However, Hanover did not back Clinton in the 2008 Democratic primary (supporting Barack Obama with 58.15 percent of the vote to Clinton's 26.11 percent) nor did it support her in the 2016 Democratic primary when voters opted for U.S. Senator Bernie Sanders from neighboring Vermont with 53.04 percent of the vote. Education Public schools Hanover High School Frances C. Richmond Middle School Bernice A. Ray Elementary School Universities Dartmouth College Private schools The Clark School was at one time located in Hanover but merged with Cardigan Mountain School in the nearby town of Canaan in 1953. Economy Hypertherm, White Mountains Insurance Group, and Daat Research Corp. are based in Hanover. Infrastructure Water The Hanover Water Company supplies water for downtown Hanover from several local reservoirs. The company is owned by Dartmouth College (52.8%) and the Town of Hanover (47.2%), with management by the Town of Hanover under a contract. In 2000, all full-time company employees became town employees. In recent years, the town has spent over $20 million to upgrade main water lines, and will undergo another $6 million project to build a new water treatment plant. Outside the downtown area, residents rely on private wells that are not maintained by the town. Other utilities FairPoint Communications furnishes telephone communication. The municipality
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getting over-excited and talking of preparing for the next cruise, shot himself on 2 August 1828. Following four days of delirium Stokes recovered slightly, but then his condition deteriorated and he died on 12 August 1828. Captain Parker King then replaced Stokes with the First Lieutenant of Beagle, Lieutenant William George Skyring as commander, and both ships sailed to Montevideo. On 13 October King sailed Adventure to Rio de Janeiro for refitting and provisions. During this work Rear Admiral Sir Robert Otway, commander in chief of the South American station, arrived aboard and announced his decision that Beagle was also to be brought to Montevideo for repairs, and that he intended to supersede Skyring. When Beagle arrived, Otway put the ship under the command of his aide, Flag Lieutenant Robert FitzRoy. The 23-year-old aristocrat FitzRoy proved an able commander and meticulous surveyor. In one incident a group of Fuegians stole a ship's boat, and FitzRoy took their families on board as hostages. Eventually he held two men, a girl and a boy, who was given the name of Jemmy Button, and these four native Fuegians were taken back with them when Beagle returned to England on 14 October 1830. During their brief sojourn in England, Boat Memory, the most promising of the four, died of smallpox. During this survey, the Beagle Channel was identified and named after the ship. The log book from the first voyage, in Captain FitzRoy's handwriting, was acquired at auction at Sotheby's by the Museo Naval de la Nación (under the administration of the Argentine Navy) located in Tigre, Buenos Aires Province, Argentina, where it is now preserved. Second voyage (1831–1836) FitzRoy had been given reason to hope that the South American Survey would be continued under his command, but when the Lords of the Admiralty appeared to abandon the plan, he made alternative arrangements to return the Fuegians. A kind uncle heard of this and contacted the Admiralty. Soon afterwards FitzRoy heard that he was to be appointed commander of to go to Tierra del Fuego, but due to her poor condition Beagle was substituted for the voyage. FitzRoy was re-appointed as commander on 27 June 1831 and Beagle was commissioned on 4 July 1831 under his command, with Lieutenants John Clements Wickham and Bartholomew James Sulivan. Beagle was immediately taken into dock at Devonport for extensive rebuilding and refitting. As she required a new deck, FitzRoy had the upper-deck raised considerably, by aft and forward. The Cherokee-class ships had the reputation of being "coffin" brigs, which handled badly and were prone to sinking. Apart from increasing headroom below, the raised deck made Beagle less liable to top-heaviness and possible capsize in heavy weather by reducing the volume of water that could collect on top of the upper deck, trapped aboard by the gunwales. Additional sheathing added to the hull added about seven tons to her burthen and perhaps fifteen to her displacement. The ship was one of the first to be fitted with the lightning conductor invented by William Snow Harris. FitzRoy spared no expense in her fitting out, which included 22 chronometers, and five examples of the Sympiesometer, a kind of mercury-free barometer patented by Alexander Adie which was favoured by FitzRoy as giving the accurate readings required by the Admiralty. To reduce magnetic interference with the navigational instruments, FitzRoy proposed replacing the iron guns with brass guns, but the Admiralty turned this request down. (When the ship reached Rio de Janeiro in April 1832, he used his own funds for replacements: the ship now had a "six-pound boat-carronade" on a turntable on the forecastle, two brass six-pound guns before the main-mast, and aft of it another four brass guns; two of these were nine-pound, and the other two six-pound.) FitzRoy had found a need for expert advice on geology during the first voyage, and had resolved that if on a similar expedition, he would "endeavour to carry out a person qualified to examine the land; while the officers, and myself, would attend to hydrography." Command in that era could involve stress and loneliness, as shown by the suicide of Captain Stokes, and FitzRoy's own uncle Viscount Castlereagh had committed suicide under stress of overwork. His attempts to get a friend to accompany him fell through, and he asked his friend and superior Captain Francis Beaufort to seek a
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uncle Viscount Castlereagh had committed suicide under stress of overwork. His attempts to get a friend to accompany him fell through, and he asked his friend and superior Captain Francis Beaufort to seek a gentleman naturalist as a self-financing passenger who would give him company during the voyage. A sequence of inquiries led to Charles Darwin, a young gentleman on his way to becoming a rural clergyman, joining the voyage. FitzRoy was influenced by the physiognomy of Lavater, and Darwin recounted in his autobiography that he was nearly "rejected, on account of the shape of my nose! He was an ardent disciple of Lavater, & was convinced that he could judge a man's character by the outline of his features; & he doubted whether anyone with my nose could possess sufficient energy & determination for the voyage." Beagle was originally scheduled to leave on 24 October 1831, but because of delays in her preparations the departure was delayed until December. Setting forth on what was to become a ground-breaking scientific expedition, she departed from Devonport on 10 December. Due to bad weather her first stop was just a few miles ahead, at Barn Pool, on the west side of Plymouth Sound. Beagle left anchorage from Barn Pool on 27 December, passing the nearby town of Plymouth. After completing extensive surveys in South America she returned via New Zealand, Sydney, Hobart Town (6 February 1836), to Falmouth, Cornwall, England, on 2 October 1836. Darwin had kept a diary of his experiences, and combined this with details from his scientific notes as the book titled Journal and Remarks, published in 1839 as the third volume of the official account of the expedition. This travelogue and scientific journal was widely popular, and was reprinted many times with various titles and a revised second edition, becoming known as The Voyage of the Beagle. Third voyage (1837–1843) In the six months after returning from the second voyage, some light repairs were made and Beagle was commissioned to survey large parts of the coast of Australia under the command of Commander John Clements Wickham, who had been a lieutenant on the second voyage, with assistant surveyor Lieutenant John Lort Stokes who had been a midshipman on the first voyage of Beagle, then mate and assistant surveyor on the second voyage (no relation to Pringle Stokes). They left Woolwich on 9 June 1837, towed by HM Steamer Boxer, and after reaching Plymouth spent the remainder of the month adjusting their instruments. They set off from Plymouth Sound on the morning of 5 July 1837, and sailed south with stops for observations at Tenerife, Bahia and Cape Town. They reached the Swan River (modern Perth, Australia) on 15 November 1837. Their survey started with the western coast between there and the Fitzroy River, Western Australia, then surveyed both shores of the Bass Strait at the southeast corner of the continent. To aid Beagle in her surveying operations in Bass Strait, the Colonial cutter Vansittart, of Van Diemen's Land, was most liberally lent by His Excellency Sir John Franklin, and placed under the command of Mr Charles Codrington Forsyth, the senior mate, assisted by Mr Pasco, another of her mates. In May 1839, they sailed north to survey the shores of the Arafura Sea opposite Timor. When Wickham fell ill and resigned, the command was taken over in March 1841 by Lieutenant John Lort Stokes who continued the survey. The third voyage was completed in 1843. Numerous places around the coast were named by Wickham, and subsequently by Stokes when he became captain, often honouring eminent people or the members of the crew. On 9 October 1839 Wickham named Port Darwin, which was first sighted by Stokes, in honour of their former shipmate Charles Darwin. They were reminded of him (and his "geologising") by the discovery there of a new fine-grained sandstone. A settlement there became the town of Palmerston in 1869, and was renamed Darwin in 1911 (not to be confused with the present day city of Palmerston near Darwin). During this survey, the Beagle Gulf was named after the ship. Nicotiana benthamiana, a species of tobacco being used as a platform for the production of recombinant pharmaceutical proteins, was first collected for scientific study on the north coast of Australia by Benjamin Bynoe during this voyage. Final years In 1845, Beagle was refitted as a static coastguard watch vessel like many similar watch ships stationed in rivers and harbours throughout the nation. She was transferred to HM Customs and Excise to control smuggling on the Essex coast in the navigable waterways beyond the north bank of the Thames Estuary. She was moored mid-river in the River Roach which forms part of an extensive maze of waterways and marshes known as The River Crouch and River Roach Tidal River System, located around and to the south and west of Burnham-on-Crouch. This large maritime area has a tidal coastline of , part of Essex's of coastline – the largest coastline in the United Kingdom. In 1851, oyster companies and traders who cultivated and harvested the "Walflete" or "Walfleet" oyster Ostrea edulis, petitioned for the Customs and Excise watch vessel WV-7 (ex HMS Beagle) to be removed as she was obstructing the river and its oyster-beds. In the 1851 Navy List dated 25 May, it showed her renamed Southend "W.V. No. 7" at Paglesham. In 1870, she was sold to "Messrs Murray and Trainer" to be broken up. Possible resting place Investigations started in 2000 by a team led by Dr Robert
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railway arrived relatively late. In 1869 the extension of the city boundaries was opposed by the Earl of Verulam and many of the townsfolk, but there was rapid expansion and much building at the end of the century, and between 1891 and 1901 the population grew by 37%. Population of St Albans in the Nineteenth Century Three main roads date from the medieval period - Holywell Hill, St Peter's Street, and Fishpool Street - each of which had a pilgrim church founded in the tenth century by Abbot Ulsinus at the entrance to the town: St Stephen's, St Peter's and St Michael's respectively. These remained the only major streets until the late 18th and 19th centuries when the modern road pattern was defined. London Road was constructed in 1754, Hatfield Road in 1824 and Verulam Road in 1833. Verulam Road was created (as part of Thomas Telford's large-scale improvement of sections of the London to Holyhead road) specifically to aid the movement of stage coaches, since St Albans was the first major stop on the coaching route north from London. Victoria Street was called Sweetbriar Lane until 1876. There were three railway stations in the town, two of which are still active: and . The first, St Albans Abbey, was opened by the London and North Western Railway on 5 May 1858 as the terminus of the Abbey Line, a branch line from . This was followed by the Midland Railway Company's station, now known as St Albans City, which opened on 1 October 1868 on the main line from Bedford to London. There was also a third railway station in the city centre, , which was opened on 16 October 1865 by the Great Northern Railway on its Hatfield and St Albans branch. This branch line closed to passengers in 1951. In 1877, in response to a public petition, Queen Victoria issued the second royal charter, which granted city status to the borough and Cathedral status to the former Abbey Church. The new diocese was established in the main from parts of the large Diocese of Rochester. The Abbey Church of St Alban had fallen into disrepair, despite work done on it under Sir George Gilbert Scott in 1860–1877, and some thought it ought to be allowed to decline into romantic ruin, but in the latter year, under the chairmanship of the Earl of Verulam, a restoration committee was formed, of which Edmund Beckett (later Lord Grimthorpe) became the dominant member. Grimthorpe put up £130,000 of his own money and by sheer force of personality brought about a restoration of the church (1880–1883) in Neo-Gothic style, sparking the ire of the Society for the Protection of Ancient Buildings. Nicholas Pevsner said that the Abbey "is the only one of the major churches of England that has a West Front completely, or almost completely, Victorian." However, it seems reasonable to assume that, without Grimthorpe's money the Abbey Church would now be a ruin like many other former monastic churches. The original St Albans Football Club was founded in October 1881, if folded in 1904. The present day St Albans City Football Club was founded on 13 April 1908. The club's home ground is Clarence Park, which was donated to the city by Sir John Blundell and opened on 23 July 1894. The aforementioned transport links attracted a seed merchant, Samuel Ryder, to locate his business in St Albans, which eventually moved to offices and a large purpose-built packing seed hall on Holywell Hill, which is now a Café Rouge restaurant. He served as Mayor of St Albans in 1905, and remained a councillor for several years after his term of office. In later life, Ryder began to suffer from poor health and was advised to take up golf as exercise. He joined the local Verulam Golf Club, making large donations to the club including the famous Ryder Cup and sponsorship of the tournament. Ralph Chubb, the poet and printer, lived on College Street in St Albans from 1892 to 1913, and attended St Albans School. His work frequently references the Abbey of St Albans, and he ascribed mystical significance to the geography and history of the town. Another St Albans writer, Charles Williams, lived as boy and young man in Victoria Street from 1894 to 1917. He also attended St Albans School. Twentieth century The pioneering filmmaker Arthur Melbourne-Cooper was born in St Albans in 1874 at 99 London Road. He became a noted figure in the history of film when he began to explore the new art of moving photography in the mid-1900s. By 1908, he had set up a production base, the
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by ten burgesses and serving for up to three years, had executive and judicial powers. The first mayor was John Lockey. In 1555, during the reign of Queen Mary I, a Protestant baker from Yorkshire, George Tankerfield, was brought from London and burnt to death on Romeland for his refusal to accept the Roman Catholic doctrine of transubstantiation. During the English Civil War (1642–45) the town sided with parliament but was largely unaffected by the conflict. Eighteenth century The bridge over the River Ver in St Michael's Street, adjacent to Kingsbury Watermill and not far from St Michael's Church, dates from 1765 and is believed to be the oldest extant bridge in Hertfordshire. It is Grade II listed. According to a contemporary account of the Second Battle of St Albans in 1461, another bridge existed on this site previously (recorded in 1505 as Pons de la Maltemyll - Malt Mill Bridge). It is thought that the Romans had built a bridge here by the 3rd century AD. The ford alongside the current bridge, which is known to have existed for 2,000 years, is traditionally believed to be Alban's crossing point on his way to his execution. Nineteenth century Before the 20th century, St Albans was a rural market town, a Christian pilgrimage site, and the first coaching stop of the route to and from London, accounting for its numerous old inns. Victorian St Albans was small and had little industry. It grew slowly, 8-9% per decade between 1801 and 1861, compared to the 31% per decade growth of London in the same period. The railway arrived relatively late. In 1869 the extension of the city boundaries was opposed by the Earl of Verulam and many of the townsfolk, but there was rapid expansion and much building at the end of the century, and between 1891 and 1901 the population grew by 37%. Population of St Albans in the Nineteenth Century Three main roads date from the medieval period - Holywell Hill, St Peter's Street, and Fishpool Street - each of which had a pilgrim church founded in the tenth century by Abbot Ulsinus at the entrance to the town: St Stephen's, St Peter's and St Michael's respectively. These remained the only major streets until the late 18th and 19th centuries when the modern road pattern was defined. London Road was constructed in 1754, Hatfield Road in 1824 and Verulam Road in 1833. Verulam Road was created (as part of Thomas Telford's large-scale improvement of sections of the London to Holyhead road) specifically to aid the movement of stage coaches, since St Albans was the first major stop on the coaching route north from London. Victoria Street was called Sweetbriar Lane until 1876. There were three railway stations in the town, two of which are still active: and . The first, St Albans Abbey, was opened by the London and North Western Railway on 5 May 1858 as the terminus of the Abbey Line, a branch line from . This was followed by the Midland Railway Company's station, now known as St Albans City, which opened on 1 October 1868 on the main line from Bedford to London. There was also a third railway station in the city centre, , which was opened on 16 October 1865 by the Great Northern Railway on its Hatfield and St Albans branch. This branch line closed to passengers in 1951. In 1877, in response to a public petition, Queen Victoria issued the second royal charter, which granted city status to the borough and Cathedral status to the former Abbey Church. The new diocese was established in the main from parts of the large Diocese of Rochester. The Abbey Church of St Alban had fallen into disrepair, despite work done on it under Sir George Gilbert Scott in 1860–1877, and some thought it ought to be allowed to decline into romantic ruin, but in the latter year, under the chairmanship of the Earl of Verulam, a restoration committee was formed, of which Edmund Beckett (later Lord Grimthorpe) became the dominant member. Grimthorpe put up £130,000 of his own money and by sheer force of personality brought about a restoration of the church (1880–1883) in Neo-Gothic style, sparking the ire of the Society for the Protection of Ancient Buildings. Nicholas Pevsner said that the Abbey "is the only one of the major churches of England that has a West Front completely, or almost completely, Victorian." However, it seems reasonable to assume that, without Grimthorpe's money the Abbey Church would now be a ruin like many other former monastic churches. The original St Albans Football Club was founded in October 1881, if folded in 1904. The present day St Albans City Football Club was founded on 13 April 1908. The club's home ground is Clarence Park, which was donated to the city by Sir John Blundell and opened on 23 July 1894. The aforementioned transport links attracted a seed merchant, Samuel Ryder, to locate his business in St Albans, which eventually moved to offices and a large purpose-built packing seed hall on Holywell Hill, which is now a Café Rouge restaurant. He served as Mayor of St Albans in 1905, and remained a councillor for several years after his term of office. In later life,
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cable television headend, the central facility serving a local area for cable television systems SMATV headend, Single Master Antenna
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the central facility serving a local area for cable television systems SMATV headend, Single Master Antenna Television, receives and
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was initially marketed as a low-power version of the 6809, without reference to its many internal improvements. While in "Emulation Mode" it is fully compatible with the 6809. To the 6809 specifications, it adds higher clock rates, enhanced features, new instructions, and additional registers. Most of the new instructions were added to support the additional registers, as well as up to 32-bit math, hardware division, bit manipulations, and block transfers. The 6309 is generally 30% faster in native mode than the 6809. This information was never published by Hitachi. The April 1988 issue of Oh! FM, a Japanese magazine for Fujitsu personal computer users, contained the first description of the 6309's additional capabilities. Later, Hirotsugu Kakugawa posted details of the 6309's new features and instructions to comp.sys.m6809. This led to the development of NitrOS-9 for the Tandy Color Computer 3. Programming model Differences from the Motorola 6809 The 6309 differs from the 6809 in several key areas. Process technology The 6309 is fabricated in CMOS technology, while the 6809 is an NMOS device. As a result, the 6309 requires less power to operate than the 6809. It can be used with external DMA without needing refresh after a maximum of 15 cycles as the 6809 does.
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initially marketed as a low-power version of the 6809, without reference to its many internal improvements. While in "Emulation Mode" it is fully compatible with the 6809. To the 6809 specifications, it adds higher clock rates, enhanced features, new instructions, and additional registers. Most of the new instructions were added to support the additional registers, as well as up to 32-bit math, hardware division, bit manipulations, and block transfers. The 6309 is generally 30% faster in native mode than the 6809. This information was never published by Hitachi. The April 1988 issue of Oh! FM, a Japanese magazine for Fujitsu personal computer users, contained the first description of the 6309's additional capabilities. Later, Hirotsugu Kakugawa posted details of the 6309's new features and instructions to comp.sys.m6809. This led to the development of NitrOS-9 for the Tandy Color Computer 3. Programming model Differences from the Motorola 6809 The 6309 differs from the 6809 in several key areas. Process technology The 6309 is fabricated in CMOS technology, while the 6809 is an NMOS device. As a result, the 6309 requires less power to operate than the 6809. It can be used with external DMA without needing refresh after a maximum of 15 cycles as the 6809 does. It is a dynamic design. The datasheet specifies a minimum clocking frequency and it will lose its state when the clock speed is too low. Clock speed The 6309 has B (2 MHz) versions as the 6809 does. However, a "C" speed rating was produced with either a 3.0 or 3.5 MHz maximum clock rate, depending on which datasheet is referenced. (Several Japanese computers had 63C09 CPUs clocked at 3.58 MHz, the NTSC colorburst frequency, so the 3.5 rating seems most likely). Anecdotal and individual reports indicate that the 63C09 variant can be clocked at 5 MHz with no ill effects. Like the 6809, the Hitachi CPU comes in both internal and external clock versions (HD63B/C09 and HD63B/C09E respectively) Computational efficiency When switched into 6309 Native Mode
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polysaccharide acidic side chains. Cornmeal from untreated ground corn cannot form a dough with the addition of water, but the chemical changes in masa (aka masa nixtamalera) make dough formation possible, for tortillas and other food. Previously, consuming untreated corn was thought to cause pellagra (niacin deficiency)—either from the corn itself or some infectious element in untreated corn. However, further advancements showed that it is a correlational, not causal, relationship. In the 1700s and 1800s, areas that depended highly on corn as a diet staple were more likely to have pellagra. This is because humans cannot absorb niacin in untreated corn. The nixtamalization process frees niacin into a state where the intestines can absorb it. This was discovered primarily by exploring why Mexican people who depended on maize did not develop pellagra. One reason was that Mayans treated corn in an alkaline solution to soften it, in the process now called nixtamalization, or used limestone to grind the corn. The earliest known use of nixtamalization was in what is present-day southern Mexico and Guatemala around 1500–1200 BC. Recipes In Mexican cuisine, people cook masa nixtamalera with water and milk to make a thick, gruel-like beverage called . When they make it with chocolate and sugar, it becomes . Adding anise and piloncillo to this mix creates , a popular breakfast drink. The English term hominy derives from the Powhatan language word for prepared maize (cf. Chickahominy). Many other indigenous American cultures also made hominy, and integrated it into their diet. Cherokees, for example, made hominy grits by soaking corn in a weak lye solution produced by leaching hardwood ash with water, and then beating it with a (), or corn beater. They used grits to make a traditional hominy soup ( ) that they let ferment ( ), cornbread, dumplings ( ), or, in post-contact times, fried with bacon and green onions. Hominy recipes include (a Mexican stew of hominy and pork, chicken, or other meat), hominy bread, hominy chili, hog 'n' hominy,
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Some of the corn oil breaks down into emulsifying agents (monoglycerides and diglycerides), and facilitates bonding the corn proteins to each other. The divalent calcium in lime acts as a cross-linking agent for protein and polysaccharide acidic side chains. Cornmeal from untreated ground corn cannot form a dough with the addition of water, but the chemical changes in masa (aka masa nixtamalera) make dough formation possible, for tortillas and other food. Previously, consuming untreated corn was thought to cause pellagra (niacin deficiency)—either from the corn itself or some infectious element in untreated corn. However, further advancements showed that it is a correlational, not causal, relationship. In the 1700s and 1800s, areas that depended highly on corn as a diet staple were more likely to have pellagra. This is because humans cannot absorb niacin in untreated corn. The nixtamalization process frees niacin into a state where the intestines can absorb it. This was discovered primarily by exploring why Mexican people who depended on maize did not develop pellagra. One reason was that Mayans treated corn in an alkaline solution to soften it, in the process now called nixtamalization, or used limestone to grind the corn. The earliest known use of nixtamalization was in what is present-day southern Mexico and Guatemala around 1500–1200 BC. Recipes In Mexican cuisine, people cook masa nixtamalera with water and milk to make a thick, gruel-like beverage called . When they make it with chocolate and sugar, it becomes . Adding anise and piloncillo to this mix creates , a popular breakfast drink. The English term hominy derives from the Powhatan language word for prepared maize (cf. Chickahominy). Many other indigenous American cultures also made hominy, and integrated it into their diet. Cherokees, for example, made hominy grits by soaking corn in a weak lye solution produced by leaching hardwood ash with water, and then beating it with a (), or corn beater. They used grits to make a traditional hominy soup ( ) that they let ferment ( ), cornbread, dumplings ( ), or, in post-contact times, fried with bacon and green onions. Hominy recipes include (a Mexican stew of hominy and pork, chicken, or other meat), hominy bread, hominy chili, hog 'n' hominy, casseroles and fried dishes. In Latin America there are a variety of dishes referred to as . Hominy can be ground coarsely for grits, or
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decade later, with an equal devotion to odd machinery. Similar "inventions" have been drawn by cartoonists in many countries, with the Danish Storm Petersen being on par with Robinson and Goldberg.) One of his most famous series of illustrations was that which accompanied the first Professor Branestawm book written by Norman Hunter. The stories told of the eponymous professor who was brilliant, eccentric and forgetful and provided a perfect backdrop for Robinson's drawings. In around 1928 Robinson was commissioned to design a range of nursery ware for W.R. Midwinter, a Staffordshire pottery firm. Scenes from sixteen nursery rhymes (some illustrated with more than one vignette) were printed on ware ranging from eggcups to biscuit barrels, each with a decorative border of characterful children's faces. Titled "Fairyland on China", the range was favourably reviewed in the trade press. The last project Robinson worked on shortly before he died was illustrations for Lilian M. Clopet's short story collection Once Upon a Time, which was published in 1944. One of the automatic analysis machines built for Bletchley Park during the Second World War to assist in the decryption of German message traffic was named "Heath Robinson" in his honour. It was a direct predecessor to the Colossus, the world's first programmable digital electronic computer. Personal life In 1903 he married Josephine Latey, the daughter of newspaper editor John Latey. Heath Robinson moved to Pinner, Middlesex, in 1908. They had two children, Joan and Oliver. His house in Moss Lane is commemorated by a blue plaque. In 1918 the Heath Robinsons moved to Cranleigh, Surrey where their daughter attended St Catherine's School, Bramley and their son attended Cranleigh School. Heath Robinson drew designs and illustrations for local institutions and schools. Heath Robinson was too old to enlist for WW1, but took on two German POWs to garden, post the Armistice. In 1929 the Heath Robinsons returned to London where his two children were now working. Death and legacy He died in September 1944, during the Second World War, and is buried in East Finchley Cemetery. The Heath Robinson Museum opened in October 2016 to house a collection of nearly 1,000 original artworks owned by The William Heath Robinson Trust. The museum is in Memorial Park, Pinner, close to where the artist lived and worked. In popular culture The name "Heath Robinson" became part of common parlance in the UK for complex inventions that achieved absurdly simple results following its use as services slang during the 1914–1918 First World War. In the Wallace and Gromit films, Wallace often invents Heath Robinson-like machines, with some inventions being direct references. During the Falklands War (1982), British Harrier aircraft lacked their conventional "chaff"-dispensing mechanism. Therefore, Royal Navy engineers designed an impromptu delivery system of welding rods, split pins and string which allowed six packets of chaff to be stored in the speedbrake well and deployed in flight. Due to its improvised and ramshackle nature it was often referred to as the "Heath Robinson chaff modification". Publications Patterson, R.F., illustrated by W. Heath Robinson, Mein Rant: A Summary in Light Verse of Mein Kampf. 1940 Robinson, W. Heath, Works of Edgar Allan Poe, Bell. 1900 Robinson, W. Heath, Uncle Lubin, Richards. 1902 Robinson, W. Heath, Adventures of Don Quixote, J.M. Dent. 1902 Robinson, W. Heath, Bill the Minder, Constable & Co., London, 1912 Robinson, W. Heath, Some "Frightful" War Pictures, Duckworth. 1915
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Moss Lane is commemorated by a blue plaque. In 1918 the Heath Robinsons moved to Cranleigh, Surrey where their daughter attended St Catherine's School, Bramley and their son attended Cranleigh School. Heath Robinson drew designs and illustrations for local institutions and schools. Heath Robinson was too old to enlist for WW1, but took on two German POWs to garden, post the Armistice. In 1929 the Heath Robinsons returned to London where his two children were now working. Death and legacy He died in September 1944, during the Second World War, and is buried in East Finchley Cemetery. The Heath Robinson Museum opened in October 2016 to house a collection of nearly 1,000 original artworks owned by The William Heath Robinson Trust. The museum is in Memorial Park, Pinner, close to where the artist lived and worked. In popular culture The name "Heath Robinson" became part of common parlance in the UK for complex inventions that achieved absurdly simple results following its use as services slang during the 1914–1918 First World War. In the Wallace and Gromit films, Wallace often invents Heath Robinson-like machines, with some inventions being direct references. During the Falklands War (1982), British Harrier aircraft lacked their conventional "chaff"-dispensing mechanism. Therefore, Royal Navy engineers designed an impromptu delivery system of welding rods, split pins and string which allowed six packets of chaff to be stored in the speedbrake well and deployed in flight. Due to its improvised and ramshackle nature it was often referred to as the "Heath Robinson chaff modification". Publications Patterson, R.F., illustrated by W. Heath Robinson, Mein Rant: A Summary in Light Verse of Mein Kampf. 1940 Robinson, W. Heath, Works of Edgar Allan Poe, Bell. 1900 Robinson, W. Heath, Uncle Lubin, Richards. 1902 Robinson, W. Heath, Adventures of Don Quixote, J.M. Dent. 1902 Robinson, W. Heath, Bill the Minder, Constable & Co., London, 1912 Robinson, W. Heath, Some "Frightful" War Pictures, Duckworth. 1915 Robinson, W. Heath, Hunlikely!, Duckworth. 1916 Robinson, W. Heath, The Saintly Hun: a book of German virtues, Duckworth. 1917 Robinson, W. Heath, Flypapers, Duckworth. 1919 Robinson, W. Heath, The Rabelais, Rabelais. [Private Printing] 1921 Robinson, W. Heath, Peter Quip in Search of a Friend, Partridge 1921 Robinson, W. Heath, Humours of Golf, Methuen. 1923, [Duckworth. 1973, ] Robinson, W. Heath, Heath Robinson's Book of Goblins, Hutchinson & Co, London, 1934 Robinson, W. Heath, Absurdities: A Book of Collected Drawings, Hutchinson. 1934, [Duckworth. 1975, ] Robinson, W. Heath, Railway Ribaldry, Great Western Railway, 1935 Robinson, W. Heath, Railway Ribaldry, Duckworth. 1935, [Duckworth. 1997, ] Robinson, W. Heath, How to Live in Flat, Hutchinson. 1936, [Duckworth. 1976] Robinson, W. Heath, How to be a Perfect Husband, Hutchinson & Co, London, 1937 Robinson, W. Heath, How to Make a Garden Grow, Hutchinson & Co, London, 1938 Robinson, W. Heath, How to be a Motorist, Hutchinson & Co, London 1939 Robinson, W. Heath, My Line of Life, Blackie & Sons. 1938 Robinson, W. Heath, Let's Laugh: A Book of Humorous Inventions, Hutchinson. 1939 Robinson, W. Heath, Heath Robinson at War, Methuen. 1942 Clopet, Lilian M., illustrated by W. Heath Robinson, Once Upon a Time. 1944 Lewis, John. Heath Robinson Artist and Comic Genius, Barnes and Noble. 1973 Robinson, W. Heath, Inventions, Duckworth. 1973, De Freitas, Leo John, The Fantastic Paintings of Charles and William Heath Robinson, Peacock/Bantam. 1976 Robinson, W. Heath, Devices, Duckworth. 1977, Beare, Geoffrey. The Illustrations of W. Heath Robinson, Werner Shaw. 1983 Beare, Geoffrey. W. Heath Robinson, Chris Beetles. 1987 Hamilton, James, William °Heath Robinson, Pavilion. 1992 Beare, Geoffrey, The Brothers Robinson, Chris Beetles. 1992 Beare, Geoffrey, The Art of William Heath Robinson, Dulwich Picture Gallery. 2003 Robinson, W. Heath, Contraptions, Duckworth. 2007 Robinson, W. Heath, Britain at Play, Duckworth. 2008 Beare, Geoffrey, Heath Robinson's Commercial Art, Lund Humphries, 2017 Hart-Davis, Adam, Very Heath Robinson, Sheldrake Press. 2017 See also Norman Hunter (author) Professor Branestawm Rube Goldberg, American artist with similar cartoon inventions Storm P., Danish artist with similar cartoon inventions Rowland Emett, British cartoonist with similar physical inventions Notes References Historic Figures at the BBC web site. Retrieved May 2007 External links The William Heath Robinson Trust The Heath Robinson Museum Heath Robinson exhibition at the Walker Art Gallery, Liverpool, 2004 SurLaLune Fairy Tale Pages: Fairy Tale Illustrations of William Heath Robinson W. H. Robinson's illustrations for Andersen's Fairy Tales (1913) and Heath Robinson's Book of Goblins (Golden Age
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necessary funds to continue the war. Byzantine counter-offensive and resurgence On 4 April 622, Heraclius left Constantinople, entrusting the city to Sergius and general Bonus as regents of his son. He assembled his forces in Asia Minor, probably in Bithynia, and, after he revived their broken morale, he launched a new counter-offensive, which took on the character of a holy war; an acheiropoietos image of Christ was carried as a military standard. The Roman army proceeded to Armenia, inflicted a defeat on an army led by a Persian-allied Arab chief, and then won a victory over the Persians under Shahrbaraz. Heraclius would stay on campaign for several years. On 25 March 624, he again left Constantinople with his wife, Martina, and his two children; after he celebrated Easter in Nicomedia on April 15, he campaigned in the Caucasus, winning a series of victories in Armenia against Khosrow and his generals Shahrbaraz, Shahin, and Shahraplakan. In the same year the Visigoths succeeded in recapturing Cartagena, capital of the western Byzantine province of Spania, resulting in the loss of one of the few minor provinces that had been conquered by the armies of Justinian I. In 626 the Avars and Slavs supported by a Persian army commanded by Shahrbaraz, besieged Constantinople, but the siege ended in failure (the victory was attributed to the icons of the Virgin which were led in procession by Sergius about the walls of the city), while a second Persian army under Shahin suffered another crushing defeat at the hands of Heraclius's brother Theodore. With the Persian war effort disintegrating, Heraclius was able to bring the Gokturks of the Western Turkic Khaganate, under Ziebel, who invaded Persian Transcaucasia. Heraclius exploited divisions within the Persian Empire, keeping Shahrbaraz neutral by convincing him that Khosrow had grown jealous of him and had ordered his execution. Late in 627 he launched a winter offensive into Mesopotamia, where, despite the desertion of his Turkish allies, he defeated the Persians under Rhahzadh at the Battle of Nineveh. Continuing south along the Tigris he sacked Khosrow's great palace at Dastagird and was only prevented from attacking Ctesiphon by the destruction of the bridges on the Nahrawan Canal. Discredited by this series of disasters, Khosrow was overthrown and killed in a coup led by his son Kavad II, who at once sued for peace, agreeing to withdraw from all occupied territories. In 629 Heraclius restored the True Cross to Jerusalem in a majestic ceremony. Heraclius took for himself the ancient Persian title of "King of Kings" after his victory. Later on, starting in 629, he styled himself as Basileus, the Greek word for "sovereign", and that title was used by the Byzantine Emperors for the next 800 years. The reason Heraclius chose this title over previous Roman terms such as Augustus has been attributed by some scholars to his Armenian origins. Heraclius's defeat of the Persians ended a war that had been going on intermittently for almost 400 years and led to instability in the Persian Empire. Kavad II died only months after assuming the throne, plunging Persia into several years of dynastic turmoil and civil war. Ardashir III, Heraclius's ally Shahrbaraz, and Khosrow's daughters Boran and Azarmidokht all succeeded to the throne within months of each other. Only when Yazdgerd III, a grandson of Khosrow II, succeeded to the throne in 632 was there stability. But by then the Sasanid Empire was severely disorganised, having been weakened by years of war and civil strife over the succession to the throne. The war had been devastating, and left the Byzantines in a much-weakened state. Within a few years both empires were overwhelmed by the onslaught of the Arabs, who had become newly united by Islam, ultimately leading to the Muslim conquest of Persia and the fall of the Sasanian dynasty in 651. Byzantine–Muslim Wars By 630, the Islamic prophet Muhammad had unified all the tribes of the Hijaz, previously too divided to pose a serious military challenge to the Byzantines or the Persians. Now animated by their conversion to Islam, they composed one of the most powerful states in the region. The first conflict between the Byzantines and Muslims was the Battle of Mu'tah in September 629. A small Muslim skirmishing force attacked the province of Arabia in response to the Muslim ambassador's death at the hands of the Ghassanid Roman governor, but were repulsed. Since the engagement was a Byzantine victory, there was no apparent reason to make changes to the military organization of the region. Also, the Byzantines had little battlefield experience with the Muslims, and even less with zealous soldiers united by a prophet. Even the Strategicon of Maurice, a manual of war praised for the variety of enemies it covers, does not mention warfare against Arabs at any length. The following year, the Muslims launched an offensive into the Arabah south of Lake Tiberias, taking Al-Karak. Soon after raids penetrated into the Negev, reaching as far as Gaza. Under the first caliph Abu Bakr, Southern Syria and Palestine had been annexed by the newly-formed Rashidun Caliphate. The Battle of Yarmouk in 636 resulted in a crushing defeat for the larger Byzantine army; within three years, the entire Levant had been lost again by the Byzantines. Heraclius died of an illness on 11 February 641; and most of Egypt had also fallen by that time as well. Legacy Looking back at the reign of Heraclius, scholars have credited him with many accomplishments. He enlarged the Empire, and his reorganization of the government and military were great successes. His attempts at religious harmony failed, but he succeeded in returning the True Cross, one of the holiest Christian relics, to Jerusalem. Accomplishments Although the territorial gains produced by his defeat of the Persians were lost to the advance of the Muslims, Heraclius still ranks among the great Roman Emperors. His reforms of the government reduced the corruption which had taken hold in Phocas's reign, and he reorganized the military with great success. Ultimately, the reformed Imperial army halted the Muslims in Asia Minor and held on to Carthage for another 60 years, saving a core from which the empire's strength could be rebuilt. The recovery of the eastern areas of the Roman Empire from the Persians once again raised the problem of religious unity centering on the understanding of the true nature of Christ. Most of the inhabitants of these provinces were Monophysites who rejected the Council of Chalcedon. Heraclius tried to promote a compromise doctrine called Monothelitism but this philosophy was rejected as heretical by both sides of the dispute. For this reason, Heraclius was viewed as a heretic and bad ruler by some later religious writers. After the Monophysite provinces were finally lost to the Muslims, Monotheletism rather lost its raison d'être and was eventually abandoned. One of the most important legacies of Heraclius was changing the official language of the Empire from Latin to Greek. The Croats and Serbs of Byzantine Dalmatia initiated diplomatic relations and dependencies with Heraclius. The Serbs, who briefly lived in Macedonia, became foederati and were baptized at the request of Heraclius (before 626). At his request, Pope John IV (640–642) sent Christian teachers and missionaries to Duke Porga and his Croats, who practiced Slavic paganism. He also created the office of sakellarios, a comptroller of the treasury. Up to the 20th century he was credited with establishing the Thematic system but modern scholarship now points more to the 660s, under Constans II. Edward Gibbon, in The History of the Decline and Fall of the Roman Empire, wrote: Recovery of the True Cross Heraclius was long remembered favourably by the Western church for his reputed recovery of the True Cross from the Persians. As Heraclius approached the Persian capital during the final stages of the war, Khosrow fled from his favourite residence, Dastagird near Baghdad, without offering resistance. Meanwhile, some of the Persian grandees freed Khosrow's eldest son Kavad II, who had been imprisoned by his father, and proclaimed him King on the night of February 23–24, 628. Kavad, however, was mortally ill and was anxious that Heraclius should protect his infant son Ardeshir. So, as a goodwill gesture, he sent the True Cross with a negotiator in 628. After a tour of the Empire, Heraclius returned the cross to Jerusalem on March 21, 629 or 630. For Christians of Western Medieval Europe, Heraclius was the "first crusader". The iconography of the emperor appeared in the sanctuary at Mont Saint-Michel (ca. 1060), and then it became popular, especially in France, the Italian Peninsula, and the Holy Roman Empire. The story was included in the Golden Legend, the famous 13th-century compendium of hagiography, and he is sometimes shown in art, as in The History of the True Cross sequence of frescoes painted by Piero della Francesca in Arezzo, and a similar sequence on a small altarpiece by Adam Elsheimer (Städel, Frankfurt). Both of these show scenes of Heraclius and Constantine I's mother Saint Helena, traditionally responsible for the excavation of the cross. The scene usually shown is Heraclius carrying the cross; according to the Golden Legend, he insisted on doing this as he entered Jerusalem, against the advice of the Patriarch. At first, when he was on horseback (shown above), the burden was too heavy, but after he dismounted and removed his crown it became miraculously light, and the barred city gate opened of its own accord. Local tradition suggests that the Late Antique Colossus of Barletta depicts Heraclius. Some scholars disagree with this narrative, Professor Constantin Zuckerman going as far as to suggest that the True Cross was actually lost, and that the wood contained in the allegedly-still-sealed reliquary brought to Jerusalem by Heraclius in 629 was a fake. In his analysis, the hoax was designed to serve the political purposes of both Heraclius and his former foe, the Persian general Shahrbaraz. Islamic view of Heraclius In Islamic and Arab histories, Heraclius is the only Roman Emperor who is discussed at any length. Owing to his role as the Roman Emperor at the time Islam emerged, he was remembered in Arabic literature, such as the Islamic hadith and sira. The Swahili Utendi wa Tambuka, an epic poem composed in 1728 at Pate Island (off the shore of present-day Kenya) and depicting the wars between the Muslims and Byzantines from the former's point of view, is also known as Kyuo kya Hereḳali ("The Book of Heraclius"). In that work, Heraclius is portrayed as declining the Prophet's request to renounce his belief in Christianity; he is therefore defeated by the Muslim forces. In Muslim tradition he is seen as a just ruler of great piety, who had direct contact with the emerging Islamic forces. The 14th-century scholar Ibn Kathir (d. 1373) went even further, stating that "Heraclius was one of the wisest men and among the most resolute, shrewd, deep
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the army and return to his own city in Armenia". Kaldellis interprets it as the command headquarters of Heraclius the Elder, and not his home town. Nevertheless, beyond that, there is little specific information known about his origin. His father was a key general during Emperor Maurice's war with Bahram Chobin, usurper of the Sasanian Empire, during 590. After the war, Maurice appointed Heraclius the Elder to the position of Exarch of Africa. Early life Revolt against Phocas and accession In 608, Heraclius the Elder renounced his loyalty to the Emperor Phocas, who had overthrown Maurice six years earlier. The rebels issued coins showing both Heraclii dressed as consuls, though neither of them explicitly claimed the imperial title at this time. Heraclius's younger cousin Nicetas launched an overland invasion of Egypt; by 609, he had defeated Phocas's general Bonosus and secured the province. Meanwhile, the younger Heraclius sailed eastward with another force via Sicily and Cyprus. As he approached Constantinople, he made contact with prominent leaders and planned an attack to overthrow aristocrats in the city. When he reached the capital, the Excubitors, an elite Imperial Guard unit led by Phocas's son-in-law Priscus, deserted to Heraclius, and he entered the city without serious resistance. When Heraclius captured Phocas, he asked him "Is this how you have ruled, wretch?" Phocas's reply—"And will you rule better?"—so enraged Heraclius that he beheaded Phocas on the spot. He later had the genitalia removed from the body because Phocas had raped the wife of Photius, a powerful politician in the city. On 5 October 610, Heraclius was crowned in the Chapel of St. Stephen within the Great Palace. He then married Fabia, who took the name Eudokia. After her death in 612, he married his niece Martina in 613; this second marriage was considered incestuous and was very unpopular. In the reign of Heraclius's two sons, the divisive Martina was to become the center of power and political intrigue. Despite widespread hatred for Martina in Constantinople, Heraclius took her on campaigns with him and refused attempts by Patriarch Sergius to prevent and later dissolve the marriage. Byzantine–Sasanian War of 602–628 Initial Persian advantage During his Balkan Campaigns, Emperor Maurice and his family were murdered by Phocas in November 602 after a mutiny. Khosrow II (Chosroes) of the Sasanian Empire had been restored to his throne by Maurice, and they had remained allies until the latter's death. Thereafter, Khosrow seized the opportunity to attack the Byzantine Empire and reconquer Mesopotamia. Khosrow had at his court a man who claimed to be Maurice's son Theodosius, and Khosrow demanded that the Byzantines accept this Theodosius as Emperor. The war initially went the Persians' way, partly because of Phocas's brutal repression and the succession crisis that ensued as the general Heraclius sent his nephew Nicetas to attack Egypt, enabling his son Heraclius the younger to claim the throne in 610. Phocas, an unpopular ruler who is invariably described in historical sources as a "tyrant" (in its original meaning of the word, i.e. illegitimate king by the rules of succession), was eventually deposed by Heraclius, who sailed to Constantinople from Carthage with an icon affixed to the prow of his ship. By this time, the Persians had conquered Mesopotamia and the Caucasus, and in 611 they overran Syria and entered Anatolia. A major counter-attack led by Heraclius two years later was decisively defeated outside Antioch by Shahrbaraz and Shahin, and the Roman position collapsed; the Persians devastated parts of Asia Minor and captured Chalcedon across from Constantinople on the Bosporus. Over the following decade the Persians were able to conquer Palestine and Egypt (by mid-621 the whole province was in their hands) and to devastate Anatolia, while the Avars and Slavs took advantage of the situation to overrun the Balkans, bringing the Empire to the brink of destruction. In 613, the Persian army took Damascus with the help of the Jews, seized Jerusalem in 614, damaging the Church of the Holy Sepulchre and capturing the True Cross, and afterwards capturing Egypt in 617 or 618. When the Sasanians reached Chalcedon in 615, it was at this point, according to Sebeos, that Heraclius had agreed to stand down and was about ready to allow the Byzantine Empire to become a Persian client state, even permitting Khosrow II to choose the emperor. In a letter delivered by his ambassadors, Heraclius acknowledged the Persian empire as superior, described himself as Khosrow II's "obedient son, one who is eager to perform the services of your serenity in all things," and even called Khosrow II the "supreme emperor." Khosrow II nevertheless rejected the peace offer, and arrested Heraclius' ambassadors. With the Persians at the very gate of Constantinople, Heraclius thought of abandoning the city and moving the capital to Carthage, but the powerful church figure Patriarch Sergius convinced him to stay. Safe behind the walls of Constantinople, Heraclius was able to sue for peace in exchange for an annual tribute of a thousand talents of gold, a thousand talents of silver, a thousand silk robes, a thousand horses, and a thousand virgins to the Persian King. The peace allowed him to rebuild the Empire's army by slashing non-military expenditure, devaluing the currency, and melting down, with the backing of Patriarch Sergius, Church treasures to raise the necessary funds to continue the war. Byzantine counter-offensive and resurgence On 4 April 622, Heraclius left Constantinople, entrusting the city to Sergius and general Bonus as regents of his son. He assembled his forces in Asia Minor, probably in Bithynia, and, after he revived their broken morale, he launched a new counter-offensive, which took on the character of a holy war; an acheiropoietos image of Christ was carried as a military standard. The Roman army proceeded to Armenia, inflicted a defeat on an army led by a Persian-allied Arab chief, and then won a victory over the Persians under Shahrbaraz. Heraclius would stay on campaign for several years. On 25 March 624, he again left Constantinople with his wife, Martina, and his two children; after he celebrated Easter in Nicomedia on April 15, he campaigned in the Caucasus, winning a series of victories in Armenia against Khosrow and his generals Shahrbaraz, Shahin, and Shahraplakan. In the same year the Visigoths succeeded in recapturing Cartagena, capital of the western Byzantine province of Spania, resulting in the loss of one of the few minor provinces that had been conquered by the armies of Justinian I. In 626 the Avars and Slavs supported by a Persian army commanded by Shahrbaraz, besieged Constantinople, but the siege ended in failure (the victory was attributed to the icons of the Virgin which were led in procession by Sergius about the walls of the city), while a second Persian army under Shahin suffered another crushing defeat at the hands of Heraclius's brother Theodore. With the Persian war effort disintegrating, Heraclius was able to bring the Gokturks of the Western Turkic Khaganate, under Ziebel, who invaded Persian Transcaucasia. Heraclius exploited divisions within the Persian Empire, keeping Shahrbaraz neutral by convincing him that Khosrow had grown jealous of him and had ordered his execution. Late in 627 he launched a winter offensive into Mesopotamia, where, despite the desertion of his Turkish allies, he defeated the Persians under Rhahzadh at the Battle of Nineveh. Continuing south along the Tigris he sacked Khosrow's great palace at Dastagird and was only prevented from attacking Ctesiphon by the destruction of the bridges on the Nahrawan Canal. Discredited by this series of disasters, Khosrow was overthrown and killed in a coup led by his son Kavad II, who at once sued for peace, agreeing to withdraw from all occupied territories. In 629 Heraclius restored the True Cross to Jerusalem in a majestic ceremony. Heraclius took for himself the ancient Persian title of "King of Kings" after his victory. Later on, starting in 629, he styled himself as Basileus, the Greek word for "sovereign", and that title was used by the Byzantine Emperors for the next 800 years. The reason Heraclius chose this title over previous Roman terms such as Augustus has been attributed by some scholars to his Armenian origins. Heraclius's defeat of the Persians ended a war that had been going on intermittently for almost 400 years and led to instability in the Persian Empire. Kavad II died only months after assuming the throne, plunging Persia into several years of dynastic turmoil and civil war. Ardashir III, Heraclius's ally Shahrbaraz, and Khosrow's daughters Boran and Azarmidokht all succeeded to the throne within months of each other. Only when Yazdgerd III, a grandson of Khosrow II, succeeded to the throne in 632 was there stability. But by then the Sasanid Empire was severely disorganised, having been weakened by years of war and civil strife over the succession to the throne. The war had been devastating, and left the Byzantines in a much-weakened state. Within a few years both empires were overwhelmed by the onslaught of the Arabs, who had become newly united by Islam, ultimately leading to the Muslim conquest of Persia and the fall of the Sasanian dynasty in 651. Byzantine–Muslim Wars By 630, the Islamic prophet Muhammad had unified all the tribes of the Hijaz, previously too divided to pose a serious military challenge to the Byzantines or the Persians. Now animated by their conversion to Islam, they composed one of the most powerful states in the region. The first conflict between the Byzantines and Muslims was the Battle of Mu'tah in September 629. A small Muslim skirmishing force attacked the province of Arabia in response to the Muslim ambassador's death at the hands of the Ghassanid Roman governor, but were repulsed. Since the engagement was a Byzantine victory, there was no apparent reason to make changes to the military organization of the region. Also, the Byzantines had little battlefield experience with the Muslims, and even less with zealous soldiers united by a prophet. Even the Strategicon of Maurice, a manual of war praised for the variety of enemies it covers, does not mention warfare against Arabs at any length. The following year, the Muslims launched an offensive into the Arabah south of Lake Tiberias, taking Al-Karak. Soon after
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his daughter Gerberga to his new vassal in 928. Thus he brought that realm, which had been lost in 910, back into the kingdom as the fifth stem duchy. Wars with Magyars The threat of Magyar raiders improved his situation, as all the dukes and nobles realized that only a strong state could defend their lands against barbarian incursions. In 919 Henry was defeated by the Magyars in the Battle of Püchen, hardly escaping from being killed in battle, managing to take refuge in the town of Püchen. In 921 the Magyars once again invaded East Francia and Italy. Although a sizable Magyar force was defeated near Bleiburg in the Bavarian March of Carinthia by Eberhard and the Count of Meran and another group was routed by Liutfried, count of Elsass (French reading: Alsace), the Magyars continued raiding East Francia. Henry, having captured a Hungarian prince, managed to arrange a ten-year truce in 924, though he agreed to pay annual tribute. By doing so he and the dukes gained time to build new fortified towns and to train a new elite cavalry force. Henry built fortified settlements as a defense against Magyar and Slav invaders. In 932 Henry refused to pay the annual tribute to the Magyars. When they began raiding again, Henry, with his improved army in 933 at the Battle of Riade, crushed the Magyars so completely that they never returned to the northern lands of Henry's kingdom. Wars with Slavs During the truce with the Magyars, Henry subdued the Polabian Slavs who lived on his eastern borders. In the winter of 928 he marched against the Slavic Hevelli tribes and seized their capital, Brandenburg. He then invaded the Glomacze lands on the middle Elbe river, conquering the capital Gana (Jahna) after a siege, and had a fortress (the later Albrechtsburg) built at Meissen. In 929, with the help of Arnulf of Bavaria, Henry entered the Duchy of Bohemia and forced Duke Wenceslaus I to resume the annual payment of tribute to the king. Meanwhile, the Slavic Redarii had driven away their chief, captured the town of Walsleben and massacred its inhabitants. Counts Bernard and Thietmar marched against the fortress of Lenzen beyond the Elbe, and, after fierce fighting, completely routed the enemy on 4 September 929. The Lusatians and the Ukrani on the lower Oder were subdued and made tributary in 932 and 934, respectively. In conquered lands Henry did not create march administration, which was implemented by his successor Otto I. Wars with Danes Henry also pacified territories to the north, where the Danes had been harrying the Frisians by sea. The monk and chronicler Widukind of Corvey in his Res gestae Saxonicae reports that the Danes were subjects of Henry the Fowler. Henry incorporated into his kingdom territories held by the Wends, who together with the Danes had attacked Germany, and also conquered Schleswig in 934. Family and children As the first Saxon king of East Francia, Henry was the founder of the Ottonian dynasty. He and his descendants ruled East Francia, and later the Holy Roman Empire, from 919 until 1024. Henry had two wives and at least six children: With Hatheburg: Thankmar (908–938) – rebelled against his half-brother Otto and was killed in battle in 938 With Matilda: Hedwig (910–965) – wife of West Francia's powerful Robertian duke Hugh the Great, mother of Hugh Capet, King of West Francia Otto I (912–973) – Duke of Saxony,King of East Francia and Holy Roman Emperor. In 929 Henry married Otto to Eadgyth, daughter of Edward the Elder, King of Wessex. One of his son was Prince (dux) Slavník, from an unknown mother, he founded the Slavník dynasty, from this dynasty comes the later noble family of Lehoczky. Gerberga (913–984) – wife of (1) Duke Gilbert of Lotharingia and (2) King Louis IV of France Henry I (919–955) – Duke of Bavaria Bruno (925–965) – Archbishop of Cologne and Duke of Lotharingia and regent of West Francia. Legacy Henry returned to public attention as a character in Richard Wagner's opera, Lohengrin (1850), trying to gain the support of the Brabantian nobles against the Magyars. After the attempts to achieve German national unity failed with the Revolutions of 1848, Wagner strongly relied on the picture of Henry as the actual ruler of all German tribes as advocated by pan-Germanist activists like Friedrich Ludwig Jahn. There are indications that Heinrich Himmler saw himself as the reincarnation of Henry, who was proclaimed to be the first king of Germany. Himmler traveled to Quedlinburg several times to hold a ceremony in the crypt on the anniversary of the king's death, 2 July. This started in 1936, 1,000 years after Henry died. Himmler considered him to be the "first German king" and declared his tomb a site of pilgrimage for Germans. In 1937, the king's remains were reinterred in a new sarcophagus. In the arts Henry the Fowler is a main character of Richard Wagner's opera Lohengrin. Henry the Fowler is one of two antagonists, being the end boss in the final mission of the 2001 game Return to Castle Wolfenstein. See also Family tree of the German monarchs Notes References Sources Bachrach. David S. "Restructuring the Eastern Frontier: Henry I of Germany, 924–936," Journal of Military History (Jan 2014) 78#1 pp 9–36 Further reading Arnold, Benjamin, Medieval Germany, 500–1300: A Political Interpretation (Basingstoke: Palgrave Macmillan, 1997) Bachrach, David S., 'The Military Organization of Ottonian German, c. 900–1018: The Views of Bishop Thietmar of Merseburg', The Journal of Military History, 72 (2008), 1061–1088 Bachrach, David S.,
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identity. Henry, as Saxon, was the first non-Frank on the throne. Conrad's choice was conveyed by his brother, duke Eberhard III of Franconia at the Imperial Diet of Fritzlar in 919. The assembled Franconian and Saxon nobles elected Henry to be king with other regional dukes not participating in the election. Archbishop Heriger of Mainz offered to anoint Henry according to the usual ceremony, but he refused – the only king of his time not to undergo that rite – allegedly because he wished to be king not by the church's but by the people's acclaim. Henry, who was elected to kingship by only the Saxons and Franconians at Fritzlar, had to subdue the other dukes. Duke Burchard II of Swabia soon swore fealty to the new king, but when he died, Henry appointed a noble from Franconia to be the new duke. Duke Arnulf of Bavaria, lord over a realm of impressive extent, with de facto powers of a king and at times even named so in documents, proved a much harder nut to crack. He would not submit until Henry defeated him in two campaigns in 921. In the short remnant of a more lengthy text, "Fragmentum de Arnulfo duce Bavariae (de)", the author gives a very lively impression of the disconcert Henry's claims caused in Bavaria: The piece abruptly starts with a clause. It relates that Henry I (Saxo Heimricus), following the advice of an unnamed bishop, had invaded the Bavarian kingdom (regnum Baioariae) in a hostile way. Decidedly, it hints at the unlawfulness of this encroachment, namely in that Bavaria was a territory in which none of Henry's forefathers had ever possessed even a foot (gressum pedis) of land. This was also the reason – by God's will (Dei nutu) – for him having been defeated in this first campaign. This can be seen as proof that Henry did campaign against Bavaria, and Arnulf, more than once. In the second chapter, the unknown chronicler hints that Henry's predecessor on the throne, Conrad I, had also invaded Bavaria in an equally unlawful and hostile (non regaliter, sed hostiliter) fashion. Conrad is said to have marauded through the land, murdering and pillaging, having made many children orphans (orphanos) and women widows (viduas). Ratisbon, the duke's seat, was set to light and looted. After Conrad committed all these crimes (peccatis), it reports that divine providence (divino nutu) forced him to withdraw. The reason for this is not mentioned. The last section is a eulogy to Duke Arnulf who is described as a glorious leader (gloriosus dux), being blessed by heaven (ex alto) with all kinds of virtues, brave and dynamic. He alone had saved his people from the scourge of the Saxons (de sevienti gladio paganorum) and given them back their freedom. This panegyric to the Bavarian duke is unparalleled for its time and underlines his position of power in the southeast of the East Frankish realm, so endangered by disintegration, so that "Arnulf ... nearly [found] the same resonance in the scarce historiography of his time, as did King Henry". Henry besieged Arnulf's residence at Ratisbon and forced the duke into submission. Arnulf had crowned himself as king of Bavaria in 919, but in 921 renounced the crown and submitted to Henry while maintaining significant autonomy and the right to mint his own coins. Henry was too weak to impose absolutist rule, and regarded his kingdom as a confederation of stem duchies rather than a feudal monarchy and saw himself as primus inter pares (first among equals). Instead of seeking to administer the empire through counts, as Charlemagne had done and as his successors had attempted, Henry allowed the local dukes in Franconia, Swabia, and Bavaria to maintain significant internal autonomy. Wars over Lotharingia In 920, the king of West Francia, Charles the Simple, invaded and marched as far as Pfeddersheim near Worms, but retreated when he learned that Henry was organizing an army. On 7 November 921, Henry and Charles met and concluded the Treaty of Bonn, in which Henry was recognized as the east Frankish king and Charles rule in Lotharingia was recognized. Henry then saw an opportunity to take Lotharingia when a civil war over royal succession began in West Francia after the coronation of King Robert I. In 923 Henry crossed the Rhine twice, capturing a large part of the duchy. The eastern part of Lotharingia was left in Henry's possession until October 924. In 925 Duke Gilbert of Lotharingia rebelled. Henry invaded the duchy and besieged Gilbert at Zülpich (Tolbiac), captured the town, and became
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He moved to Lucania and destroyed a 16,000-man Roman army at the Battle of the Silarus, with 15,000 Romans killed. Another opportunity presented itself soon after, a Roman army of 18,000 men being destroyed by Hannibal at the first battle of Herdonia with 16,000 Romans dead, freeing Apulia from the Romans for the year. The Roman consuls mounted another siege of Capua in 211 BC, conquering the city. Hannibal attempted to lift the siege with an assault on the Roman siege lines but failed. He marched on Rome to force the recall of the Roman armies. He drew off 15,000 Roman soldiers, but the siege continued and Capua fell. In 212 BC, Marcellus conquered Syracuse and the Romans destroyed the Carthaginian army in Sicily in 211–210 BC. In 210 BC, the Romans entered into an alliance with the Aetolian League to counter Philip V of Macedon. Philip, who attempted to exploit Rome's preoccupation in Italy to conquer Illyria, now found himself under attack from several sides at once and was quickly subdued by Rome and her Greek allies. In 210 BC, Hannibal again proved his superiority in tactics by inflicting a severe defeat at the Battle of Herdonia (modern Ordona) in Apulia upon a proconsular army and, in 208 BC, destroyed a Roman force engaged in the siege of Locri at the Battle of Petelia. But with the loss of Tarentum in 209 BC and the gradual reconquest by the Romans of Samnium and Lucania, his hold on south Italy was almost lost. In 207 BC, he succeeded in making his way again into Apulia, where he waited to concert measures for a combined march upon Rome with his brother Hasdrubal. On hearing, however, of his brother's defeat and death at the battle of the Metaurus, he retired to Calabria, where he maintained himself for the ensuing years. His brother's head had been cut off, carried across Italy, and tossed over the palisade of Hannibal's camp as a cold message of the iron-clad will of the Roman Republic. The combination of these events marked the end to Hannibal's success in Italy. With the failure of his brother Mago in Liguria (205–203 BC) and of his own negotiations with Phillip V, the last hope of recovering his ascendancy in Italy was lost. In 203 BC, after nearly fifteen years of fighting in Italy and with the military fortunes of Carthage rapidly declining, Hannibal was recalled to Carthage to direct the defence of his native country against a Roman invasion under Scipio Africanus. Conclusion of the Second Punic War (203–201 BC) Return to Carthage In 203 BC, Hannibal was recalled from Italy by the war party in Carthage. After leaving a record of his expedition engraved in Punic and Greek upon bronze tablets in the Temple of Juno Lacinia at Crotona, he sailed back to Africa. His arrival immediately restored the predominance of the war party, which placed him in command of a combined force of African levies and his mercenaries from Italy. In 202 BC, Hannibal met Scipio in a fruitless peace conference. Despite mutual admiration, negotiations floundered due to Roman allegations of "Punic Faith," referring to the breach of protocols that ended the First Punic War by the Carthaginian attack on Saguntum, and a Carthaginian attack on a stranded Roman fleet. Scipio and Carthage had worked out a peace plan, which was approved by Rome. The terms of the treaty were quite modest, but the war had been long for the Romans. Carthage could keep its African territory but would lose its overseas empire. Masinissa (Numidia) was to be independent. Also, Carthage was to reduce its fleet and pay a war indemnity. But Carthage then made a terrible blunder. Its long-suffering citizens had captured a stranded Roman fleet in the Gulf of Tunis and stripped it of supplies, an action that aggravated the faltering negotiations. Fortified by both Hannibal and the supplies, the Carthaginians rebuffed the treaty and Roman protests. The decisive battle of Zama soon followed; the defeat removed Hannibal's air of invincibility. Battle of Zama (202 BC) Unlike most battles of the Second Punic War, at Zama the Romans were superior in cavalry and the Carthaginians had the edge in infantry. This Roman cavalry superiority was due to the betrayal of Masinissa, who had earlier assisted Carthage in Iberia but changed sides in 206 BC with the promise of land, and due to his personal conflicts with Syphax, a Carthaginian ally. Although the ageing Hannibal was suffering from mental exhaustion and deteriorating health after years of campaigning in Italy, the Carthaginians still had the advantage in numbers and were boosted by the presence of 80 war elephants. The Roman cavalry won an early victory by swiftly routing the Carthaginian horse and because standard Roman tactics for limiting the effectiveness of the Carthaginian war elephants were successful, including playing trumpets to frighten the elephants into running into the Carthaginian lines. Some historians say that the elephants routed the Carthaginian cavalry and not the Romans, whilst others suggest that it was actually a tactical retreat planned by Hannibal. Whatever the truth, the battle remained closely fought. At one point, it seemed that Hannibal was on the verge of victory, but Scipio was able to rally his men, and his cavalry, having routed the Carthaginian cavalry, attacked Hannibal's rear. This two-pronged attack caused the Carthaginian formation to collapse. With their foremost general defeated, the Carthaginians had no choice but to surrender. Carthage lost approximately 20,000 troops with an additional 15,000 wounded. In contrast, the Romans suffered only 2,500 casualties. The last major battle of the Second Punic War resulted in a loss of respect for Hannibal by his fellow Carthaginians. The conditions of defeat were such that Carthage could no longer battle for Mediterranean supremacy. Later career Peacetime Carthage (200–196 BC) Hannibal was still only 46 at the conclusion of the Second Punic War in 201 BC and soon showed that he could be a statesman as well as a soldier. Following the conclusion of a peace that left Carthage saddled with an indemnity of ten thousand talents, he was elected suffete (chief magistrate) of the Carthaginian state. After an audit confirmed Carthage had the resources to pay the indemnity without increasing taxation, Hannibal initiated a reorganization of state finances aimed at eliminating corruption and recovering embezzled funds. The principal beneficiaries of these financial peculations had been the oligarchs of the Hundred and Four. In order to reduce the power of the oligarchs, Hannibal passed a law stipulating the Hundred and Four be chosen by direct election rather than co-option. He also used citizen support to change the term of office in the Hundred and Four from life to a year, with none permitted to "hold office for two consecutive years." Exile (after 195 BC) Seven years after the victory of Zama, the Romans, alarmed by Carthage's renewed prosperity and suspicious that Hannibal had been in contact with Antiochus III of the Seleucid Empire, sent a delegation to Carthage alleging that Hannibal was helping an enemy of Rome. Aware that he had many enemies, not least of which due to his financial reforms eliminating opportunities for oligarchical graft, Hannibal fled into voluntary exile before the Romans could demand that Carthage surrender him into their custody. He journeyed first to Tyre, the mother city of Carthage, and then to Antioch, before he finally reached Ephesus, where he was honourably received by Antiochus. Livy states that the Seleucid king consulted Hannibal on the strategic concerns of making war on Rome. According to Cicero, while at the court of Antiochus, Hannibal attended a lecture by Phormio, a philosopher, that ranged through many topics. When Phormio finished a discourse on the duties of a general, Hannibal was asked his opinion. He replied, "I have seen during my life many old fools; but this one beats them all." Another story, according to Aulus Gellius, is that after Antiochus III showed off the gigantic and elaborately equipped army he had created to invade Greece to Hannibal, he asked him if they would be enough for the Roman Republic, to which Hannibal replied, "I think all this will be enough, yes, quite enough, for the Romans, even though they are most avaricious." In the summer of 193 BC, tensions flared up between the Seleucids and Rome. Antiochus gave tacit support to Hannibal's plans of launching an anti-Roman coup d'état in Carthage, yet it was not carried out. The Carthaginian general also advised equipping a fleet and landing a body of troops in the south of Italy, offering to take command himself. In 190 BC, after having suffered a series of defeats in the Roman–Seleucid War, Antiochus gave Hannibal his first significant military command after spending five years in the Seleucid court. Hannibal was tasked with building a fleet in Cilicia from scratch. Although Phoenician territories like Tyre and Sidon possessed the necessary combination of raw materials, technical expertise, and experienced personnel, it took much longer than expected for it to be completed, most likely due to wartime shortages. In July 190 BC, Hannibal ordered his fleet to set sail from Seleucia Pieria along the southern Asia Minor coast in order to reinforce the rest of the Seleucid navy at Ephesus. The following month Hannibal's fleet clashed with the Rhodian navy in the Battle of Side. The faster Rhodian ships managed to heavily damage half of Hannibal's warships through the manoeuvre, forcing him to retreat. Hannibal had preserved most of his fleet; however, he was in no position to unite with Polyxenidas' fleet at Ephesus since his ships required lengthy repairs. The ensuing Battle of Myonessus resulted in a Roman-Rhodian victory, which cemented Roman control over the Aegean Sea, enabling them to launch an invasion of Seleucid Asia Minor. The two armies faced off in the Battle of Magnesia, north-east of Magnesia ad Sipylum. The battle resulted in a decisive Roman-Pergamene victory. The truce was signed at Sardes in January 189 BC, whereupon Antiochus agreed to abandon his claims on all lands west of the Taurus Mountains, paid a heavy war indemnity and promised to hand over Hannibal and other notable enemies of Rome from among his allies. According to Strabo and Plutarch, Hannibal also received hospitality at the Armenian royal court of Artaxias I. The authors add an apocryphal story of how Hannibal planned and supervised the building of the new royal capital Artaxata. Suspicious that Antiochus was prepared to surrender him to the Romans, Hannibal fled to Crete, but he soon went back to Anatolia and sought refuge with Prusias I of Bithynia, who was engaged in warfare with Rome's ally, King Eumenes II of Pergamon. Hannibal went on to serve Prusias in this war. During one of the naval victories he gained over Eumenes, Hannibal had large pots filled with venomous snakes thrown onto Eumenes' ships. Hannibal also went on to defeat Eumenes in two other battles on land. Death (183–181 BC) At this stage, the Romans intervened and threatened Bithynia into giving up Hannibal. Prusias agreed, but the general was determined not to fall into his enemy's hands. The precise year and cause of Hannibal's death are unknown. Pausanias wrote that Hannibal's death occurred after his finger was wounded by his drawn sword while mounting his horse, resulting in a fever and then his death three days later. Cornelius Nepos and Livy, however, tell a different story, namely that the ex-consul Titus Quinctius Flamininus, on discovering that Hannibal was in Bithynia, went there in an embassy to demand his surrender from King Prusias. Hannibal, discovering that the castle where he was living was surrounded by Roman soldiers and he could not escape, took poison. Appian writes that it was Prusias who poisoned Hannibal. Pliny the Elder and Plutarch, in his life of Flamininus, record that Hannibal's tomb was at Libyssa on the coast of the Sea of Marmara. According to some, Libyssa was sited at Gebze (between Bursa and Üskudar), but W. M. Leake, identifying Gebze with ancient Dakibyza, placed it further west. Before dying, Hannibal is said to have left behind a letter declaring, "Let us relieve the Romans from the anxiety they have so long experienced, since they think it tries their patience too much to wait for an old man's death". Appian wrote of a prophecy about Hannibal's death, which stated that "Libyssan earth shall cover Hannibal's remains." This, he wrote, made Hannibal believe that he would die in Libya, but instead, it was at the Bithynian Libyssa that he would die. In his Annales, Titus Pomponius Atticus reports that Hannibal's death occurred in 183 BC, and Livy implies the same. Polybius, who wrote nearest the event, gives 182 BC. Sulpicius Blitho records the death under 181 BC. Legacy Legacy to the ancient world Hannibal caused great distress to many in Roman society. He became such a figure of terror that, whenever disaster struck, the Roman senators would exclaim "Hannibal ad portas" ("Hannibal is at the gates!") to express their fear or anxiety. This famous Latin phrase became a common expression that is often still used when a client arrives through the door or when one is faced with calamity. His legacy would be recorded by his Greek tutor, Sosylus of Lacedaemon. The works of Roman writers such as Livy (64 or 59 BC – AD 12 or 17), Frontinus ( AD 40–103), and Juvenal (1st–2nd century AD) show a grudging admiration for Hannibal. The Romans even built statues of the Carthaginian in the very streets of Rome to advertise their defeat of such a worthy adversary. It is plausible to suggest that Hannibal engendered the greatest fear Rome had towards an enemy. Nevertheless, the Romans grimly refused to admit the possibility of defeat and rejected all overtures for peace; they even refused to accept the ransom of prisoners after Cannae. During the war there are no reports of revolutions among the Roman citizens, no factions within the Senate desiring peace, no pro-Carthaginian Roman turncoats, no coups. Indeed, throughout the war Roman aristocrats ferociously competed with each other for positions of command to fight against Rome's most dangerous enemy. Hannibal's military genius was not enough to really disturb the Roman political process and the collective political and military capacity of the Roman people. As Lazenby states, It says volumes, too, for their political maturity and respect for constitutional forms that the complicated machinery of government continued to function even amidst disaster—there are few states in the ancient world in which a general who had lost a battle like Cannae would have dared to remain, let alone would have continued to be treated respectfully as head of state. According to the historian Livy, the Romans feared Hannibal's military genius, and during Hannibal's march against Rome in 211 BCa messenger who had travelled from Fregellae for a day and a night without stopping created great alarm in Rome, and the excitement was increased by people running about the City with wildly exaggerated accounts of the news he had brought. The wailing cry of the matrons was heard everywhere, not only in private houses but even in the temples. Here they knelt and swept the temple-floors with their dishevelled hair and lifted up their hands to heaven in piteous entreaty to the gods that they would deliver the City of Rome out of the hands of the enemy and preserve its mothers and children from injury and outrage. In the Senate the news was "received with varying feelings as men's temperaments differed," so it was decided to keep Capua under siege, but to send 15,000 infantry and 1,000 cavalry as reinforcements to Rome. According to Livy, the land occupied by Hannibal's army outside Rome in 211 BC was sold at the very time of its occupation and for the same price. This may not be true, but as Lazenby states, "could well be, exemplifying as it does not only the supreme confidence felt by the Romans in ultimate victory, but also the way in which something like normal life continued." After Cannae the Romans showed a considerable steadfastness in adversity. An undeniable proof of Rome's confidence is demonstrated by the fact that after the Cannae disaster she was left virtually defenseless, but the Senate still chose not to withdraw a single garrison from an overseas province to strengthen the city. In fact, they were reinforced and the campaigns there maintained until victory was secured; beginning first in Sicily under the direction of Claudius Marcellus, and later in Hispania under Scipio Africanus. Although the long-term consequences of Hannibal's war are debatable, this war was undeniably Rome's "finest hour". Most of the sources available to historians about Hannibal are from Romans. They considered him the greatest enemy Rome had ever faced. Livy gives us the idea that Hannibal was extremely cruel. Even Cicero, when he talked of Rome and its two great enemies, spoke of the "honourable" Pyrrhus and the "cruel" Hannibal. Yet a different picture sometimes emerges. When Hannibal's successes had brought about the death of two Roman consuls, he vainly searched for the body of Gaius Flaminius on the shores of Lake Trasimene, held ceremonial rituals in recognition of Lucius Aemilius Paullus, and sent Marcellus' ashes back to his family in Rome. Any bias attributed to Polybius, however, is more troublesome. Ronald Mellor considered
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African war elephants. In his first few years in Italy, he won a succession of victories at the Battle of the Trebia, Lake Trasimene, and Cannae, inflicting heavy losses on the Romans. Hannibal was distinguished for his ability to determine both his and his opponent's respective strengths and weaknesses, and to plan battles accordingly. His well-planned strategies allowed him to conquer several Italian cities that were allied to Rome. Hannibal occupied most of southern Italy for 15 years. The Romans, led by Fabius Maximus, avoided heavy confrontation with him, instead waging a war of attrition. Carthaginian defeats in Hispania prevented Hannibal from being reinforced, and he was unable to win a decisive victory. A counter-invasion of North Africa, led by Roman General Scipio Africanus, forced him to return to Carthage. Hannibal was eventually defeated at the Battle of Zama, ending the war in Roman victory. After the war, Hannibal successfully ran for the office of sufet. He enacted political and financial reforms to enable the payment of the war indemnity imposed by Rome; however, those reforms were unpopular with members of the Carthaginian aristocracy and in Rome, and he fled into voluntary exile. During this time, he lived at the Seleucid court, where he acted as military advisor to Antiochus III the Great in his war against Rome. Antiochus met defeat at the Battle of Magnesia and was forced to accept Rome's terms, and Hannibal fled again, making a stop in the Kingdom of Armenia. His flight ended in the court of Bithynia. He was betrayed to the Romans and committed suicide by poisoning himself. Hannibal is often regarded as one of the greatest military tacticians and one of the greatest generals of Mediterranean antiquity, together with Philip of Macedon, Alexander the Great, Julius Caesar, Scipio Africanus and Pyrrhus. Plutarch states that Scipio supposedly asked Hannibal "who the greatest general was", to which Hannibal replied "either Alexander or Pyrrhus, then himself". Name Hannibal was a common Semitic Carthaginian personal name. It is recorded in Carthaginian sources as (). It is a combination of the common Carthaginian masculine given name Hanno with the Northwest Semitic Canaanite deity Baal (lit,"lord") a major god of the Carthaginians ancestral homeland of Phoenicia in Western Asia. Its precise vocalization remains a matter of debate. Suggested readings include Ḥannobaʿal, Ḥannibaʿl, or Ḥannibaʿal, meaning "Baʿal/The lord is gracious", "Baʿal Has Been Gracious", or "The Grace of Baʿal". It is equivalent to the fellow Semitic Hebrew name Haniel. Greek historians rendered the name as Anníbas (). The Phoenicians and Carthaginians did not use hereditary surnames, but were typically distinguished from others bearing the same name using patronymics or epithets. Although he is by far the most famous Hannibal, when further clarification is necessary he is usually referred to as "Hannibal, son of Hamilcar", or Hannibal the Barcid, the latter term applying to the family of his father, Hamilcar Barca. Barca (, ) is a Semitic cognomen meaning "lightning" or "thunderbolt", a surname acquired by Hamilcar on account of the swiftness and ferocity of his attacks. Barca is cognate with similar names for lightning found among the Israelites, Assyrians, Babylonians, Arameans and other fellow Semitic peoples. Although they did not inherit the surname from their father, Hamilcar's progeny are collectively known as the Barcids. Modern historians occasionally refer to Hannibal's brothers as Hasdrubal Barca and Mago Barca to distinguish them from the multitudes of other Carthaginians named Hasdrubal and Mago, but this practice is ahistorical and is rarely applied to Hannibal. Background and early career Hannibal was one of the sons of Hamilcar Barca, a Carthaginian leader, and an unknown mother. He was born in what is present day northern Tunisia, one of many Mediterranean regions colonised by the Canaanites from their homelands in Phoenicia. He had several sisters whose names are unknown, and two brothers, Hasdrubal and Mago. His brothers-in-law were Hasdrubal the Fair and the Numidian king Naravas. He was still a child when his sisters married, and his brothers-in-law were close associates during his father's struggles in the Mercenary War and the Punic conquest of the Iberian Peninsula. After Carthage's defeat in the First Punic War, Hamilcar set out to improve his family's and Carthage's fortunes. With that in mind and supported by Gades, Hamilcar began the subjugation of the tribes of the Iberian Peninsula. Carthage at the time was in such a poor state that it lacked a navy able to transport his army; instead, Hamilcar had to march his forces across Numidia towards the Pillars of Hercules and then cross the Strait of Gibraltar. According to Polybius, Hannibal much later said that when he came upon his father and begged to go with him, Hamilcar agreed and demanded that he swear that as long as he lived he would never be a friend of Rome. There is even an account of him at a very young age (9 years old) begging his father to take him to an overseas war. In the story, Hannibal's father took him up and brought him to a sacrificial chamber. Hamilcar held Hannibal over the fire roaring in the chamber and made him swear that he would never be a friend of Rome. Other sources report that Hannibal told his father, "I swear so soon as age will permit...I will use fire and steel to arrest the destiny of Rome." According to the tradition, Hannibal's oath took place in the town of Peñíscola, today part of the Valencian Community, Spain. Hannibal's father went about the conquest of Hispania. When his father drowned in battle, Hannibal's brother-in-law Hasdrubal the Fair succeeded to his command of the army with Hannibal (then 18 years old) serving as an officer under him. Hasdrubal pursued a policy of consolidation of Carthage's Iberian interests, even signing a treaty with Rome whereby Carthage would not expand north of the Ebro so long as Rome did not expand south of it. Hasdrubal also endeavoured to consolidate Carthaginian power through diplomatic relationships with native tribes. Upon the assassination of Hasdrubal in 221 BC, Hannibal (now 26 years old) was proclaimed commander-in-chief by the army and confirmed in his appointment by the Carthaginian government. The Roman scholar Livy gives a depiction of the young Carthaginian: "No sooner had he arrived...the old soldiers fancied they saw Hamilcar in his youth given back to them; the same bright look; the same fire in his eye, the same trick of countenance and features. Never was one and the same spirit more skilful to meet opposition, to obey, or to command[.]" Livy also records that Hannibal married a woman of Castulo, a powerful Spanish city closely allied with Carthage. The Roman epic poet Silius Italicus names her as Imilce. Silius suggests a Greek origin for Imilce, but Gilbert Charles-Picard argued for a Punic heritage based on an etymology from the Semitic root m-l-k ('chief, the 'king'). Silius also suggests the existence of a son, who is otherwise not attested by Livy, Polybius, or Appian. After he assumed command, Hannibal spent two years consolidating his holdings and completing the conquest of Hispania, south of the Ebro. In his first campaign, Hannibal attacked and stormed the Olcades' strongest centre, Alithia, which promptly led to their surrender, and brought Punic power close to the River Tagus. His following campaign in 220 BC was against the Vaccaei to the west, where he stormed the Vaccaen strongholds of Helmantice and Arbucala. On his return home, laden with many spoils, a coalition of Spanish tribes, led by the Carpetani, attacked, and Hannibal won his first major battlefield success and showed off his tactical skills at the battle of the River Tagus. However, Rome, fearing the growing strength of Hannibal in Iberia, made an alliance with the city of Saguntum, which lay a considerable distance south of the River Ebro, and claimed the city as its protectorate. Hannibal not only perceived this as a breach of the treaty signed with Hasdrubal, but as he was already planning an attack on Rome, this was his way to start the war. So he laid siege to the city, which fell after eight months. Hannibal sent the booty from Saguntum to Carthage, a shrewd move which gained him much support from the government; Livy records that only Hanno II the Great spoke against him. In Rome, the Senate reacted to this apparent violation of the treaty by dispatching a delegation to Carthage to demand whether Hannibal had destroyed Saguntum in accordance with orders from Carthage. The Carthaginian Senate responded with legal arguments observing the lack of ratification by either government for the treaty alleged to have been violated. The delegation's leader, Quintus Fabius Maximus Verrucosus, demanded Carthage choose between war and peace, to which his audience replied that Rome could choose. Fabius chose war. Second Punic War in Italy (218–204 BC) Overland journey to Italy This journey was originally planned by Hannibal's brother-in-law Hasdrubal the Fair, who became a Carthaginian general in the Iberian Peninsula in 229 BC. He maintained this post for eight years until 221 BC. Soon the Romans became aware of an alliance between Carthage and the Celts of the Po Valley in Northern Italy. The Celts were amassing forces to invade farther south in Italy, presumably with Carthaginian backing. Therefore, the Romans pre-emptively invaded the Po region in 225 BC. By 220 BC, the Romans had annexed the area as Cisalpine Gaul. Hasdrubal was assassinated around the same time (221 BC), bringing Hannibal to the fore. It seems that the Romans lulled themselves into a false sense of security, having dealt with the threat of a Gallo-Carthaginian invasion, and perhaps knowing that the original Carthaginian commander had been killed. Hannibal departed Qart Hadasht (New Carthage) in late spring of 218 BC. He fought his way through the northern tribes to the foothills of the Pyrenees, subduing the tribes through clever mountain tactics and stubborn fighting. He left a detachment of 20,000 troops to garrison the newly conquered region. At the Pyrenees, he released 11,000 Iberian troops who showed reluctance to leave their homeland. Hannibal reportedly entered Gaul with 40,000 foot soldiers and 12,000 horsemen. Hannibal recognized that he still needed to cross the Pyrenees, the Alps, and many significant rivers. Additionally, he would have to contend with opposition from the Gauls, whose territory he passed through. Starting in the spring of 218 BC, he crossed the Pyrenees and reached the Rhône by conciliating the Gaulish chiefs along his passage before the Romans could take any measures to bar his advance, arriving at the Rhône in September. Hannibal's army numbered 38,000 infantry, 8,000 cavalry, and 38 elephants, almost none of which would survive the harsh conditions of the Alps. Hannibal outmanoeuvred the natives who had tried to prevent his crossing, then evaded a Roman force marching from the Mediterranean coast by turning inland up the valley of the Rhône. His exact route over the Alps has been the source of scholarly dispute ever since (Polybius, the surviving ancient account closest in time to Hannibal's campaign, reports that the route was already debated). The most influential modern theories favour either a march up the valley of the Drôme and a crossing of the main range to the south of the modern highway over the Col de Montgenèvre or a march farther north up the valleys of the Isère and Arc crossing the main range near the present Col de Mont Cenis or the Little St Bernard Pass. Recent numismatic evidence suggests that Hannibal's army may have passed within sight of the Matterhorn. Stanford geoarchaeologist Patrick Hunt argues that Hannibal took the Col de Clapier mountain pass, claiming the Clapier most accurately met ancient depictions of the route: wide view of Italy, pockets of year-round snow, and a large campground. Other scholars have doubts, proposing that Hannibal took the easier route across Petit Mount Cenis. Hunt responds to this by proposing that Hannibal's Celtic guides purposefully misguided the Carthaginian general. Most recently, W. C. Mahaney has argued Col de la Traversette closest fits the records of ancient authors. Biostratigraphic archaeological data has reinforced the case for Col de la Traversette; analysis of peat bogs near watercourses on both sides of the pass's summit showed that the ground was heavily disturbed "by thousands, perhaps tens of thousands, of animals and humans" and that the soil bore traces of unique levels of Clostridia bacteria associated with the digestive tract of horses and mules. Radiocarbon dating secured dates of 2168 BP or c. 218 BC, the year of Hannibal's march. Mahaney et al. have concluded that this and other evidence strongly supports the Col de la Traversette as being the "Hannibalic Route" as had been argued by Gavin de Beer in 1974. De Beer was one of only three interpreters—the others being John Lazenby and Jakob Seibert – to have visited all the Alpine high passes and presented a view on which was most plausible. Both De Beer and Siebert had selected the Col de la Traversette as the one most closely matching the ancient descriptions. Polybius wrote that Hannibal had crossed the highest of the Alpine passes: Col de la Traversette, between the upper Guil valley and the upper Po river is the highest pass. It is moreover the most southerly, as Varro in his De re rustica relates, agreeing that Hannibal's Pass was the highest in Western Alps and the most southerly. Mahaney et al. argue that factors used by De Beer to support Col de la Traversette including "gauging ancient place names against modern, close scrutiny of times of flood in major rivers and distant viewing of the Po plains" taken together with "massive radiocarbon and microbiological and parasitical evidence" from the alluvial sediments either side of the pass furnish "supporting evidence, proof if you will" that Hannibal's invasion went that way. If Hannibal had ascended the Col de la Traversette, the Po Valley would indeed have been visible from the pass's summit, vindicating Polybius's account. By Livy's account, the crossing was accomplished in the face of huge difficulties. These Hannibal surmounted with ingenuity, such as when he used vinegar and fire to break through a rockfall. According to Polybius, he arrived in Italy accompanied by 20,000 foot soldiers, 4,000 horsemen, and only a few elephants. The fired rockfall event is mentioned only by Livy; Polybius is mute on the subject and there is no evidence of carbonized rock at the only two-tier rockfall in the Western Alps, located below the Col de la Traversette (Mahaney, 2008). If Polybius is correct in his figure for the number of troops that he commanded after the crossing of the Rhône, this would suggest that he had lost almost half of his force. Historians such as Serge Lancel have questioned the reliability of the figures for the number of troops that he had when he left Hispania. From the start, he seems to have calculated that he would have to operate without aid from Hispania. Hannibal's vision of military affairs was derived partly from the teaching of his Greek tutors and partly from experience gained alongside his father, and it stretched over most of the Hellenistic World of his time. Indeed, the breadth of his vision gave rise to his grand strategy of conquering Rome by opening a northern front and subduing allied city-states on the peninsula, rather than by attacking Rome directly. Historical events that led to the defeat of Carthage during the First Punic War when his father commanded the Carthaginian Army also led Hannibal to plan the invasion of Italy by land across the Alps. The task was daunting, to say the least. It involved the mobilization of between 60,000 and 100,000 troops and the training of a war-elephant corps, all of which had to be provisioned along the way. The alpine invasion of Italy was a military operation that would shake the Mediterranean World of 218 BC with repercussions for more than two decades. Battle of Trebia Hannibal's perilous march brought him into the Roman territory and frustrated the attempts of the enemy to fight out the main issue on foreign ground. His sudden appearance among the Gauls of the Po Valley, moreover, enabled him to detach those tribes from their new allegiance to the Romans before the Romans could take steps to check the rebellion. Publius Cornelius Scipio was the consul who commanded the Roman force sent to intercept Hannibal (he was also the father of Scipio Africanus). He had not expected Hannibal to make an attempt to cross the Alps, since the Romans were prepared to fight the war in the Iberian Peninsula. With a small detachment still positioned in Gaul, Scipio made an attempt to intercept Hannibal. He succeeded, through prompt decision and speedy movement, in transporting his army to Italy by sea in time to meet Hannibal. Hannibal's forces moved through the Po Valley and were engaged in the Battle of Ticinus. Here, Hannibal forced the Romans to evacuate the plain of Lombardy, by virtue of his superior cavalry. The victory was minor, but it encouraged the Gauls and Ligurians to join the Carthaginian cause. Their troops bolstered his army back to around 40,000 men. Scipio was severely injured, his life only saved by the bravery of his son who rode back onto the field to rescue his fallen father. Scipio retreated across the Trebia to camp at Placentia with his army mostly intact. The other Roman consular army was rushed to the Po Valley. Even before news of the defeat at Ticinus had reached Rome, the Senate had ordered Consul Tiberius Sempronius Longus to bring his army back from Sicily to meet Scipio and face Hannibal. Hannibal, by skilful manoeuvres, was in position to head him off, for he lay on the direct road between Placentia and Arminum, by which Sempronius would have to march to reinforce Scipio. He then captured Clastidium, from which he drew large amounts of supplies for his men. But this gain was not without loss, as Sempronius avoided Hannibal's watchfulness, slipped around his flank, and joined his colleague in his camp near the Trebia River near Placentia. There Hannibal had an opportunity to show his masterful military skill at the Trebia in December of the same year, after wearing down the superior Roman infantry, when he cut it to pieces with a surprise attack and ambush from the flanks. Battle of Lake Trasimene Hannibal quartered his troops for the winter with the Gauls, whose support for him had abated. In the spring of 217 BC, Hannibal decided to find a more reliable base of operations farther south. Gnaeus Servilius and Gaius Flaminius (the new consuls of Rome) were expecting Hannibal to advance on Rome, and they took their armies to block the eastern and western routes that Hannibal could use. The only alternative route to central Italy lay at the mouth of the Arno. This area was practically one huge marsh, and happened to be overflowing more than usual during this particular season. Hannibal knew that this route was full of difficulties, but it remained the surest and certainly the quickest way to central Italy. Polybius claims that Hannibal's men marched for four days and three nights "through a land that was under water", suffering terribly from fatigue and enforced want of sleep. He crossed without opposition over both the Apennines (during which he lost his right eye because of conjunctivitis) and the seemingly impassable Arno, but he lost a large part of his force in the marshy lowlands of the Arno. He arrived in Etruria in the spring of 217 BC and decided to lure the main Roman army under Flaminius into a pitched battle by devastating the region that Flaminius had been sent to protect. As Polybius recounts, "he [Hannibal] calculated that, if he passed the camp and made a descent into the district beyond, Flaminius (partly for fear of popular reproach and partly of personal irritation) would be unable to endure watching passively the devastation of the country but would spontaneously follow him... and give him opportunities for attack." At the same time, Hannibal tried to break the allegiance of Rome's allies by proving that Flaminius was powerless to protect them. Despite this, Flaminius remained passively encamped at Arretium. Hannibal marched boldly around Flaminius' left flank, unable to draw him into battle by mere devastation, and effectively cut him off from Rome (thus executing the first recorded turning movement in military history). He then advanced through the uplands of Etruria, provoking Flaminius into a hasty pursuit and catching him in a defile on the shore of Lake Trasimenus. There Hannibal destroyed Flaminius' army in the waters or on the adjoining slopes, killing Flaminius as well (see Battle of Lake Trasimene). This was the most costly ambush that the Romans ever sustained until the Battle of Carrhae against the Parthian Empire. Hannibal had now disposed of the only field force that could check his advance upon Rome, but he realized that, without siege engines, he could not hope to take the capital. He opted to exploit his victory by entering into central and southern Italy and encouraging a general revolt against the sovereign power. The Romans appointed Quintus Fabius Maximus Verrucosus as their dictator. Departing from Roman military traditions, Fabius adopted the strategy named after him, avoiding open battle while placing several Roman armies in Hannibal's vicinity in order to watch and limit his movements. Hannibal ravaged Apulia but was unable to bring Fabius to battle, so he decided to march through Samnium to Campania, one of the richest and most fertile provinces of Italy, hoping that the devastation would draw Fabius into battle. Fabius closely followed Hannibal's path of destruction, yet still refused to let himself be drawn out of the defensive. This strategy was unpopular with many Romans, who believed that it was a form of cowardice. Hannibal decided that it would be unwise to winter in the already devastated lowlands of Campania, but Fabius had trapped him there by ensuring that all the exit passes were blocked. This situation led to the night Battle of Ager Falernus. Hannibal had his men tie burning torches to the horns of a herd of cattle and drive them up the heights nearby. Some of the Romans, seeing a moving column of lights, were tricked into believing it was the Carthaginian army marching to escape along the heights. As they moved off in pursuit of this decoy, Hannibal managed to move his army in complete silence through the dark lowlands and up to an unguarded pass. Fabius himself was within striking distance but in this case his caution worked against him, as rightly sensing a trick he stayed put. Thus, Hannibal managed to stealthily escape with his entire army intact. What Hannibal achieved in extricating his army was, as Adrian Goldsworthy puts it, "a classic of ancient generalship, finding its way into nearly every historical narrative of the war and being used by later military manuals". This was a severe blow to Fabius' prestige and soon after this his period of dictatorial power ended. For the winter, Hannibal found comfortable quarters in the Apulian plain. Battle of Cannae In the spring of 216 BC, Hannibal took the initiative and seized the large supply depot at Cannae in the Apulian plain. By capturing Cannae, Hannibal had placed himself between the Romans and their crucial sources of supply. Once the Roman Senate resumed their consular elections in 216 BC, they appointed Gaius Terentius Varro and Lucius Aemilius Paullus as consuls. In the meantime, the Romans hoped to gain success through sheer strength and weight of numbers, and they raised a new army of unprecedented size, estimated by some to be as large as 100,000 men, but more likely around 50,000–80,000. The Romans and allied legions resolved to confront Hannibal and marched southward to Apulia. They eventually found him on the left bank of the Aufidus River, and encamped away. On this occasion, the two armies were combined into one, the consuls having to alternate their command on a daily basis. According to Livy, Varro was a man of reckless and hubristic nature and it was his turn to command on the day of battle. (This account is possibly biased against Varro as its main source, Polybius, was a client of Paullus's aristocratic family whereas Varro was less distinguished. Some historians have suggested the sheer size
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South African national cricket team in the 1990s. A right-handed all-rounder, as captain Cronje led his team to victory in 27 test matches and 99 one day internationals. He was voted the 11th greatest South African in 2004 despite having been banned from cricket for life due to his role in a match-fixing scandal. He died in a plane crash in 2002. Early life Cronje was born in Bloemfontein, South Africa to Ewie Cronje and San-Marie Cronje on 25 September 1969. He graduated in 1987 from Grey College in Bloemfontein, where he was the head boy. An excellent all round sportsman, he represented the then Orange Free State Province in cricket and rugby at schools level. He was the captain of his school's cricket and rugby teams. Cronje earned a Bachelor of Commerce degree from the University of the Free State. He had an older brother, Frans Cronje, and a younger sister, Hester Parsons. His father Ewie had played for Orange Free State in the 1960s, and Frans had also played first-class cricket. First-class career Cronje made his first-class debut for Orange Free State against Transvaal at Johannesburg in January 1988 at the age of 18. In the following season, he was a regular, appearing in all eight Currie Cup matches plus being part of the Benson and Hedges Series winning team, scoring 73 as an opener in the final. In 1989–90, despite playing all the Currie Cup matches, he failed to make a century, and averaged only 19.76; however, in one-day games he averaged 60.12. During that season he scored his maiden century for South African Universities against Mike Gatting's rebels. Despite having just turned 21, Cronje was made captain of Orange Free State for the 1990–91 season. He scored his maiden century for them against Natal in December 1990, and finished the season with another century and a total of 715 runs at 39.72. That season he also scored 159* in a 40-over match against Griqualand West. In 1992–93, he captained Orange Free State to the Castle Cup/Total Power Series double. In 1995, Cronje appeared for Leicestershire where he scored 1301 runs at 52.04 finishing the season as the county's leading scorer. In 1995–96, he finished the season top of the batting averages in the Currie Cup, his top score of 158 helped Free State chase down 389 to beat Northern Transvaal. In 1997, Cronje played for Ireland as an overseas player in the Benson and Hedges Cup and helped them to a 46-run win over Middlesex by scoring 94 not out and taking three wickets. This was Ireland's first ever win against English county opposition. Later in the same competition, he scored 85 and took one wicket against Glamorgan. International career Debuts Cronje's form in 1991/92 was impressive especially in the one-day format where he averaged 61.40. He earned an international call up for the 1992 World Cup, making his One Day International debut against Australia at Sydney. During the tournament he played in eight of the team's nine games, averaging 34.00 with the bat, while his medium pace was used in bowling 20 overs. After the World Cup Cronje was part of the tour to the West Indies; he featured in the three ODI's, and in the Test match at Bridgetown that followed, he made his Test debut. This was South Africa's first Test since readmission and they came close to beating a strong West Indian side, going into the final day at 122/2 chasing 200 they collapsed to 148. India toured South Africa in 1992/93. In the first one-day international, he hit the famous six when his team needed 6 runs off only 4 balls, and was awarded Man of the match for his bowling. In the one-day series, Cronje managed just one fifty but with the ball he was economical and took his career best figures of 5/32, becoming the second South African to take five wickets in an ODI. In the Test series that followed he scored his maiden test century, 135 off 411 balls, after coming in at 0–1 in the second over he was last man out, after eight and three-quarter hours, in a total of 275. This contributed to South Africa's first Test win since readmission. At the end of the season in a triangular tournament with Pakistan and West Indies he scored 81 off 70 balls against Pakistan. In South Africa's next Test series against Sri Lanka, Cronje scored his second Test century, 122 in the second Test in Colombo; the victory margin of an innings and 208 runs is a South African record. He finished the series with 237 runs at 59.25 after scoring 73* in the drawn third Test. Stand-in captain In 1993–94, there was another Castle Cup/Total Power Series double for Orange Free State. In international cricket, he was named as vice-captain for the tour of Australia despite being the youngest member of the squad. In the first ODI of the triangular tournament with New Zealand and Australia, he guided South Africa to victory against Australia at the MCG with 91*, which won him the man of the match award. He scored 71 in a rain-affected first test at Melbourne before a tense second test that South Africa won by 5 runs. An injury to captain Kepler Wessels meant Cronje was captain for the final day of the match. Between the second and third tests, the one-day tournament continued, now with Cronje as captain, South Africa made the final series but lost it 2–1 to Australia. He became South Africa's second youngest Test captain, after Murray Bisset in 1898–99, when he led the team for the third test at Adelaide but it was an unsuccessful start to his captaincy career as the series was squared. In February 1994, there was the return series as Australia toured South Africa. Cronje started the ODI series with scores of 112, 97, 45 and 50* and when Australia played Orange Free State in their final match before the first Test, Cronje hit 251 off 306 balls, 200 of these came on the final day in which 294 runs were added. Despite this, Orange Free State lost the match. In the first test at Johannesburg, he added another century as South Africa won by 197 runs. This innings was the end of a 14-day period in which he'd scored 721 runs against the Aussies. However, he failed to reach fifty in the next two tests and four ODIs as both series were drawn. There was another drawn series when South Africa toured England in 1994. Cronje scored only one century on the whole tour and scored only 90 runs in the three-test series. In October 1994, South Africa again came up against Australia in a triangular one day series also featuring Pakistan. Cronje scored 354 runs at an average of 88.50. Despite this, South Africa lost all their matches. This series was Bob Woolmer's
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won the group with Australia just scraping through, they also won the first 'final' but South Africa lost the last two finals. During the group matches Cronje had threatened to lead his team off after Pat Symcox had missiles thrown at him, Symcox had the last laugh ending the match with 4/24. Before the Test series started he scored consecutive centuries against Tasmania and Australia A these were his first in two years. In the first Test, Cronje scored 70 as South Africa saved the match; in the second Test, he lasted 335 minutes for his 88. Despite this, they lost by an innings. In the third Test, they scored 517 and although Mark Taylor carried his bat for 169, Australia needed to bat 109 overs to save the match. Mark Waugh batted 404 minutes, and, despite controversy when Waugh hit one of his bails off (under Law 35 he was adjudged to have finished his stroke and therefore given not out), South Africa fell three wickets short. Cronje put a stump through the umpires' dressing room door after the match and was lucky to avoid a ban. Cronje missed the first Test of the series with Pakistan because of a knee injury. The second Test at Durban was lost, but he top scored at Port Elizabeth with 85, to help square the three Test series 1–1. There was still time in the season for a two-Test series with Sri Lanka. The first was won with Cronje scoring 49 and 74; in the second Test, he took 3/14, his best bowling in Tests, and smashed 82 off 63 balls, his fifty being brought up with three consecutive sixes off Muttiah Muralitharan, and was reached off just 31 balls; at the time, it was the second fastest in Tests after Kapil Dev's. In the triangular series, which South Africa won, he scored only one fifty at East London where he also took 2/17 off 10 overs. During the 1998 Test series against England, Cronje scored five consecutive fifties, having failed to score one in the nine previous Tests against them. In his fiftieth Test, at Trent Bridge he scored 126, his sixth and last Test century and his first in 29 matches. During his second innings of 67, he passed 3,000 runs – only the second South African to do so. However, England won the Test, and the one at Headingley, to win the series 2–1, Cronje finished the series as South Africa's top scorer with 401 runs at 66.83. Whitewash, tie and forfeit In the West Indies series of 1998–99, Cronje captained South Africa to their only whitewash in a five Test series. His best batting against West Indies came when playing for Free State; he scored 158* as they chased down 438 and made up a first innings deficit of 249. In the ODI series he was South Africa's top scorer and took 11 wickets at 14.72 as South Africa won 6–1. In March 1999, they toured New Zealand, beating them 1–0 in the Test series and 3–2 in the one-dayers. At the 1999 World Cup, Cronje finished with 98 runs at 12.25 as South Africa were eliminated after the famous tied semi-final against Australia at Edgbaston. In the first match of the tournament versus India, Cronje came onto the field with an earpiece wired to coach Bob Woolmer, but at the first drinks break match referee Talat Ali ordered him to remove it. In October 1999, Cronje became South Africa's highest Test run scorer during the first Test against Zimbabwe. The two Test series was won 2–0 thanks to innings victories. South Africa won the series with England in the fourth Test at Cape Town, Cronje's fiftieth as captain. The fifth test of the 1999–2000 South Africa versus England series at Centurion was ruined by rain, entering the final day only 45 overs had been possible with South Africa 155/6. On the final morning as they batted on, news filtered through that the captains had met and were going to "make a game of it". A target of 250 from 70 overs was agreed. When South Africa reached 248/8, Cronje declared; both teams then forfeited an innings leaving England a target of 249 to win the Test, which they did with two wickets left and only five balls remaining. It ended South Africa's 14-game unbeaten streak in Test cricket. It was later learnt Cronje accepted money and a gift from a bookmaker in return for making an early declaration in this Test. (See below). Cronje top scored with 56 after South Africa were left reeling at 21–5 in the Final of the triangular tournament which featured England and Zimbabwe. On 31 March 2000, his cricket career finished with a 73-ball 79 against Pakistan in the final of Sharjah Cup 1999/2000. Statistics Under Cronje's captaincy, South Africa won 27 Tests and lost 11, completing series victories against every team except Australia. He captained the One Day International team to 99 wins out of 138 matches with one tied match and three no results. He holds the South African record for matches won as captain, and his record of captaining his side in 138 matches stands bettered only by Graeme Smith's 149 matches as ODI captain. His 99 wins as captain makes him the fourth most successful captain worldwide in terms of matches won, behind Ricky Ponting, Allan Border and Mahendra Singh Dhoni and in terms of percentage of wins (73.70), behind Ponting and Clive Lloyd. Between September 1993 and March 2000, he played in 162 consecutive ODIs, a South African record. Cronje has the record for playing the most consecutive ODI matches as captain (130) and is the only player to play in 100+ consecutive ODI matches as captain. Match fixing On 7 April 2000, it was revealed there was a conversation between Cronje and Sanjeev Chawla, a representative of an Indian betting syndicate, over match-fixing allegations. Three other players, Herschelle Gibbs, Nicky Boje, and Pieter Strydom, were also implicated. After an enquiry by the King Commission, Cronje was banned from any involvement in cricket for life. He challenged his life ban in September 2001 but on 17 October 2001, his application was dismissed. After 13 years, on 22 July 2013, the Delhi Police registered a First Information Report for match-fixing in 2000; the charge sheet in the case involving a few South African cricketers including its former captain Hansie Cronje, was finally filed. Death On 1 June 2002, Cronje's scheduled flight home from Johannesburg to George was grounded. He then hitched a ride as the only passenger aboard a Hawker Siddeley HS 748 turboprop aircraft. Near George airport, the pilots lost visibility in clouds and were unable to land, partly due to unusable navigational equipment. While circling, the plane crashed into the Outeniqua Mountains northeast of the airport. Cronje, aged 32, and the two pilots were killed instantly. In August 2006,
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northern Germany and the Roman army, but not much is known from that time other than the area being inhabited; there has also been older finds from 3000-4000 BC. However, from the medieval age, around 1100 AD, there still remains a few churches. The area continued to be inhabited mainly by farmers until the 20th century. In the 17th and 18th there was some production of iron in Kalmar County, totalling about 10 mines; of those 2 were located to the municipality of Hultsfred. Hultsfred was a center for some military exercising companies during the 19th century, and some remaining building can be visited in the vicinity of Silverån. When the railroads through Sweden were built late in that century, Hultsfred received a population boost. There are several folks museums around the area that keeps trace of its history. Geography Basically every one of the localities of Hultsfred Municipality are situated on the railway. Besides Hultsfred, in the mid north of the municipality, there are the towns of Virserum in the south-west and other
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through Sweden were built late in that century, Hultsfred received a population boost. There are several folks museums around the area that keeps trace of its history. Geography Basically every one of the localities of Hultsfred Municipality are situated on the railway. Besides Hultsfred, in the mid north of the municipality, there are the towns of Virserum in the south-west and other ever smaller settlements such as Lönneberga, Silverdalen and Målilla. The population of the municipality has however been decreasing with some 2,000 people in the last 10 years, as many people move to larger cities, causing a decrease in nativity. Much of the geography is taken
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bill dealing with taxation), and allowed them to delay any other bill for a maximum of three sessions (reduced to two sessions in 1949), after which it could become law over their objections. However, regardless of the Parliament Acts of 1911 and 1949, the House of Lords has always retained the unrestricted power to veto any bill outright which attempts to extend the life of a parliament. Parliament of the United Kingdom of Great Britain and Northern Ireland The Government of Ireland Act 1920 created the parliaments of Northern Ireland and Southern Ireland and reduced the representation of both parts at Westminster. The number of Northern Ireland seats was increased again after the introduction of direct rule in 1973. The Irish Free State became independent in 1922, and in 1927 parliament was renamed the Parliament of the United Kingdom of Great Britain and Northern Ireland. Further reforms to the House of Lords were made in the 20th century. The Life Peerages Act 1958 authorised the regular creation of life peerage dignities. By the 1960s, the regular creation of hereditary peerage dignities had ceased; thereafter, almost all new peers were life peers only. The House of Lords Act 1999 removed the automatic right of hereditary peers to sit in the House of Lords, although it made an exception for 92 of them to be elected to life-terms by the other hereditary peers, with by-elections upon their death. The House of Lords is now a chamber that is subordinate to the House of Commons. Additionally, the Constitutional Reform Act 2005 led to abolition of the judicial functions of the House of Lords with the creation of the new Supreme Court of the United Kingdom in October 2009. Composition and powers The legislative authority, the Crown-in-Parliament, has three separate elements: the Monarch, the House of Lords, and the House of Commons. No individual may be a member of both Houses, and members of the House of Lords are legally barred from voting in elections for members of the House of Commons. Formerly, no-one could be a Member of Parliament (MP) while holding an office of profit under the Crown, thus maintaining the separation of powers, but the principle has been gradually eroded. Until 1919, Members of Parliament who were appointed to ministerial office lost their seats in the House of Commons and had to seek re-election; the rule was abolished in 1926. Holders of offices are ineligible to serve as a Member of Parliament under the House of Commons Disqualification Act 1975. Royal Assent of the Monarch is required for all Bills to become law, and certain delegated legislation must be made by the Monarch by Order in Council. The Crown also has executive powers which do not depend on Parliament, through prerogative powers, including the power to make treaties, declare war, award honours, and appoint officers and civil servants. In practice these are always exercised by the monarch on the advice of the Prime Minister and the other ministers of HM Government. The Prime Minister and government are directly accountable to Parliament, through its control of public finances, and to the public, through the election of members of parliament. The Monarch also appoints the Prime Minister, who then forms a government from members of the Houses of Parliament. This must be someone who could command a majority in a confidence vote in the House of Commons. In the past the monarch has occasionally had to make a judgement, as in the appointment of Alec Douglas-Home in 1963 when it was thought that the incumbent Prime Minister, Harold Macmillan, had become ill with terminal cancer. However, today the monarch is advised by the outgoing Prime Minister as to whom he or she should offer the position to next. The House of Lords is known formally as, "The Right Honourable The Lords Spiritual and Temporal in Parliament Assembled," the Lords Spiritual being bishops of the Church of England and the Lords Temporal being Peers of the Realm. The Lords Spiritual and Lords Temporal are considered separate "estates," but they sit, debate and vote together. Since the Parliament Acts 1911 and 1949, the powers of the House of Lords have been very much less than those of the House of Commons. All bills except money bills are debated and voted upon in the House of Lords; however, by voting against a bill, the House of Lords can only delay it for a maximum of two parliamentary sessions over a year. After that time, the House of Commons can force the Bill through without the Lords' consent, under the Parliament Acts. The House of Lords can also hold the government to account through questions to government ministers and the operation of a small number of select committees. The highest court in England & Wales and in Northern Ireland used to be a committee of the House of Lords, but it became an independent supreme court in 2009. The Lords Spiritual formerly included all of the senior clergymen of the Church of England—archbishops, bishops, abbots and mitred priors. Upon the Dissolution of the Monasteries under Henry VIII the abbots and mitred priors lost their positions in Parliament. All diocesan bishops continued to sit in Parliament, but the Bishopric of Manchester Act 1847, and later Acts, provide that only the 26 most senior are Lords Spiritual. These always include the incumbents of the "five great sees," namely the Archbishop of Canterbury, the Archbishop of York, the Bishop of London, the Bishop of Durham and the Bishop of Winchester. The remaining 21 Lords Spiritual are the most senior diocesan bishops, ranked in order of consecration, although the Lords Spiritual (Women) Act 2015 makes time-limited provision for vacancies to be filled by women who are bishops. The Lords Temporal are life peers created under the Appellate Jurisdiction Act 1876 and the Life Peerages Act 1958, in addition to 92 hereditary peers under the House of Lords Act 1999. Formerly, the Lords Temporal were exclusively hereditary peers. The right of some hereditary peers to sit in Parliament was not automatic: after Scotland and England united into Great Britain in 1707, it was provided that all peers whose dignities had been created by English kings could sit in Parliament, but those whose dignities had been created by Scottish kings were to elect a limited number of "representative peers." A similar arrangement was made in respect of Ireland when it was united with Great Britain in 1801, but when southern Ireland left the United Kingdom in 1922 the election of Irish representative peers ceased. By the Peerage Act 1963, the election of Scottish representative peers also ended, and all Scottish peers were granted the right to sit in Parliament. Under the House of Lords Act 1999, only life peerages (that is to say, peerage dignities which cannot be inherited) automatically entitle their holders to seats in the House of Lords. Of the hereditary peers, only 92—the Earl Marshal, the Lord Great Chamberlain and the 90 elected by other peers—retain their seats in the House. The Commons, the last of the "estates" of the Kingdom, are represented in the House of Commons, which is known formally as, "The Honourable The Commons in Parliament Assembled" ("commons" coming not from the term "commoner," but from , the old French term for a municipality or local district). As of 2019, the House consists of 650 members, however one seat is left vacant by the Speaker of the House, who must remain politically impartial, and so does not get a vote on the passing of bills. Each Member of Parliament (MP) is chosen by a single constituency by the First-Past-the-Post electoral system. There are 650 constituencies in the United Kingdom, each made up of an average of 65,925 voters. The First-Past-the-Post system means that every constituency elects one MP each (except the constituency of the Speaker, whose seat is uncontested). Each voter assigns one vote for one candidate, and the candidate with the most votes in each constituency is elected as MP to represent their constituency. A party needs win 326 constituencies (known as "seats") to win a majority in the House of Commons. If no party achieves a majority, then a situation of no overall control occurs – commonly known as a "Hung Parliament". In case of a Hung Parliament, the party with the most seats has the opportunity to form a coalition with other parties, so their combined seat tally extends past the 326-seat majority. Universal adult suffrage exists for those 18 and over; citizens of the United Kingdom, and those of the Republic of Ireland and Commonwealth nations resident in the United Kingdom, are qualified to vote, unless they are in prison at the time of the election. The term of members of the House of Commons depends on the term of Parliament, a maximum of five years; a general election, during which all the seats are contested, occurs after each dissolution (see below). All legislation must be passed by the House of Commons to become law and it controls taxation and the supply of money to the government. Government ministers (including the Prime Minister) must regularly answer questions in the House of Commons and there are a number of select committees that scrutinise particular issues and the workings of the government. There are also mechanisms that allow members of the House of Commons to bring to the attention of the government particular issues affecting their constituents. State Opening of Parliament The State Opening of Parliament is an annual event that marks the commencement of a session of the Parliament of the United Kingdom. It is held in the House of Lords Chamber. Before 2012, it took place in November or December, or, in a general election year, when the new Parliament first assembled. From 2012 onwards, the ceremony has taken place in May or June. Upon the signal of the Monarch, the Lord Great Chamberlain raises their wand of office to signal to Black Rod, who is charged with summoning the House of Commons and has been waiting in the Commons lobby. Black Rod turns and, under the escort of the Door-keeper of the House of Lords and an inspector of police, approaches the doors to the Chamber of the Commons. In 1642, King Charles I stormed into the House of Commons in an unsuccessful attempt to arrest the Five Members, who included the celebrated English patriot and leading Parliamentarian John Hampden. This action sparked the English Civil War. The wars established the constitutional rights of Parliament, a concept legally established in the Glorious Revolution in 1688 and the subsequent Bill of Rights 1689. Since then, no British monarch has entered the House of Commons when it is in session. On Black Rod's approach, the doors are slammed shut against them, symbolising the rights of parliament and its independence from the monarch. They then strike, with the end of their ceremonial staff (the Black Rod), three times on the closed doors of the Commons Chamber. They are then admitted, and announce the command of the monarch for the attendance of the Commons. The monarch reads a speech, known as the Speech from the Throne, which is prepared by the Prime Minister and the Cabinet, outlining the Government's agenda for the coming year. The speech reflects the legislative agenda for which the Government intends to seek the agreement of both Houses of Parliament. After the monarch leaves, each Chamber proceeds to the consideration of an "Address in Reply to Her Majesty's Gracious Speech." But, first, each House considers a bill pro forma to symbolise their right to deliberate independently of the monarch. In the House of Lords, the bill is called the Select Vestries Bill, while the Commons equivalent is the Outlawries Bill. The Bills are considered for the sake of form only, and do not make any actual progress. Legislative procedure See also the stages of a bill section in Acts of Parliament in the United Kingdom Both houses of the British Parliament are presided over by a speaker, the Speaker of the House for the Commons and the Lord Speaker in the House of Lords. For the Commons, the approval of the Sovereign is theoretically required before the election of the Speaker becomes valid, but it is, by modern convention, always granted. The Speaker's place may be taken by the Chairman of Ways and Means, the First Deputy Chairman, or the Second Deputy Chairman. (The titles of those three officials refer to the Committee of Ways and Means, a body which no longer exists.) Prior to July 2006, the House of Lords was presided over by a Lord Chancellor (a Cabinet member), whose influence as Speaker was very limited (whilst the powers belonging to the Speaker of the House of Commons are vast). However, as part of the Constitutional Reform Act 2005, the position of Speaker of the House of Lords (as it is termed in the Act) was separated from the office of Lord Chancellor (the office which has control over the judiciary as a whole), though the Lords remain largely self-governing. Decisions on points of order and on the disciplining of unruly members are made by the whole body, but by the Speaker alone in the Lower House. Speeches in the House of Lords are addressed to the House as a whole (using the words "My Lords"), but those in the House of Commons are addressed to the Speaker alone (using "Mr Speaker" or "Madam Speaker"). Speeches may be made to both Houses simultaneously. Both Houses may decide questions by voice vote; members shout out "Aye!" and "No!" in the Commons—or "Content!" and "Not-Content!" in the Lords—and the presiding officer declares the result. The pronouncement of either Speaker may be challenged, and a recorded vote (known as a division) demanded. (The Speaker of the House of Commons may choose to overrule a frivolous request for a division, but the Lord Speaker does not have that power.) In each House, a division requires members to file into one of the two lobbies alongside the Chamber; their names are recorded by clerks, and their votes are counted as they exit the lobbies to re-enter the Chamber. The Speaker of the House of Commons is expected to be non-partisan, and does not cast a vote except in the case of a tie; the Lord Speaker, however, votes along with the other Lords. Both Houses normally conduct their business in public, and there are galleries where visitors may sit. Duration Originally there was no fixed limit on the length of a Parliament, but the Triennial Act 1694 set the maximum duration at three years. As the frequent elections were deemed inconvenient, the Septennial Act 1715 extended the maximum to seven years, but the Parliament Act 1911 reduced it to five. During the Second World War, the term was temporarily extended to ten years by Acts of Parliament. Since the end of the war the maximum has remained five years. Modern Parliaments, however, rarely continued for the maximum duration; normally, they were dissolved earlier. For instance, the 52nd, which assembled in 1997, was dissolved after four years. The Septennial Act was repealed by the Fixed-term Parliaments Act 2011, which established a presumption that a Parliament will last for five years, unless two thirds of the House of Commons votes for an early general election, or the government loses the confidence of the House. Summary history of terms of the Parliament of the United Kingdom Following a general election, a new Parliamentary session begins. Parliament is formally summoned 40 days in advance by the Sovereign, who is the source of parliamentary authority. On the day indicated by the Sovereign's proclamation, the two Houses assemble in their respective chambers. The Commons are then summoned to the House of Lords, where Lords Commissioners (representatives of the Sovereign) instruct them to elect a Speaker. The Commons perform the election; on the next day, they return to the House of Lords, where the Lords Commissioners confirm the election and grant the new Speaker the royal approval in the Sovereign's name. The business of Parliament for the next few days of its session involves the taking of the oaths of allegiance. Once a majority of the members have taken the oath in each House, the State Opening of Parliament may take place. The Lords take their seats in the House of Lords Chamber, the Commons appear at the Bar (at the entrance to the Chamber), and the Sovereign takes his or her seat on the throne. The Sovereign then reads the Speech from the Throne—the content of which is determined by the Ministers of the Crown—outlining the Government's legislative agenda for the upcoming year. Thereafter, each House proceeds to the transaction of legislative business. By custom, before considering the Government's legislative agenda, a bill is introduced pro forma in each House—the Select Vestries Bill in the House of Lords and the Outlawries Bill in the House of Commons. These bills do not become laws; they are ceremonial indications of the power of each House to debate independently of the Crown. After the pro forma bill is introduced, each House debates the content of the Speech from the Throne for several days. Once each House formally sends its reply to the Speech, legislative business may commence, appointing committees, electing officers, passing resolutions and considering legislation. A session of Parliament is brought to an end by a prorogation. There is a ceremony similar to the State Opening, but much less well known to the general public. Normally, the Sovereign does not personally attend the prorogation ceremony in the House of Lords; he or she is represented by Lords Commissioners. The next session of Parliament begins under the procedures described above, but it is not necessary to conduct another election of a Speaker or take the oaths of allegiance afresh at the beginning of such subsequent sessions. Instead, the State Opening of Parliament proceeds directly. To avoid the delay of opening a new session in the event of an emergency during the long summer recess, Parliament is no longer prorogued beforehand, but only after the Houses have reconvened in the autumn; the State Opening follows a few days later. Each Parliament comes to an end, after a number of sessions, in anticipation of a general election. Parliament is dissolved by virtue of the Fixed-term Parliaments Act 2011. Prior to that, dissolution was effected by the Sovereign, always on the advice of the Prime Minister. The Prime Minister could seek dissolution at a time politically advantageous to his or her party. If the Prime Minister loses the support of the House of Commons, Parliament will dissolve and a new election will be held. Parliaments can also be dissolved if two-thirds of the House of Commons votes for an early election. Formerly, the demise of the Sovereign automatically brought a Parliament to an end, the Crown being seen as the (beginning, basis and end) of the body, but this is no longer the case. The first change was during the reign of William and Mary, when it was seen to be inconvenient to have no Parliament at a time when succession to the Crown could be disputed, and an Act was passed that provided that a Parliament was to continue for six months after the death of a Sovereign, unless dissolved earlier. Under the Representation of the People Act 1867 Parliament can now continue for as long as it would otherwise have done in the event of the death of the Sovereign. After each Parliament concludes, the Crown issues writs to hold a general election and elect new members of the House of Commons, though membership of the House of Lords does not change. Legislative functions Laws can be made by Acts of the United Kingdom Parliament. While Acts can apply to the whole of the United Kingdom including Scotland, due to the continuing separation of Scots law many Acts do not apply to Scotland and may be matched either by equivalent Acts that apply to Scotland alone or, since 1999, by legislation set by the Scottish Parliament relating to devolved matters. This has led to a paradox known as the West Lothian question. The existence of a devolved Scottish Parliament means that while Westminster MPs from Scotland may vote directly on matters that affect English constituencies, they may not have much power over their laws affecting their own constituency. Since there is no devolved "English Parliament," the converse is not true. While any Act of the Scottish Parliament may be overturned, amended or ignored by Westminster, in practice this has yet to happen. Legislative Consent Motions enables the UK Parliament to vote on issues normally devolved to Scotland, Wales or Northern Ireland, as part of United Kingdom legislation. Laws, in draft form known as bills, may be introduced by any member of either House. A bill introduced by a Minister is known as a "Government Bill"; one introduced by another member is called a "Private Member's Bill." A different way of categorising bills involves the subject. Most bills, involving the general public, are called "public bills." A bill that seeks to grant special rights to an individual or small group of individuals, or a body such as a local authority, is called a "Private Bill." A Public Bill which affects private rights (in the way a Private Bill would) is called a "Hybrid Bill," although those that draft bills take pains to avoid this. Private Members' Bills make up the majority of bills, but are far less likely to be passed than government bills. There are three methods for an MP to introduce a Private Member's Bill. The Private Members' Ballot (once per Session) put names into a ballot, and those who win are given time to propose a bill. The Ten Minute Rule is another method, where MPs are granted ten minutes to outline the case for a new piece of legislation. Standing Order 57 is the third method, which allows a bill to be introduced without debate if a day's notice is given to the Table Office. Filibustering is a danger, as an opponent of a bill can waste much of the limited time allotted to it. Private Members' Bills have no chance of success if the current government opposes them, but they are used in moral issues: the bills to decriminalise homosexuality and abortion were Private Members' Bills, for example. Governments can sometimes attempt to use Private Members' Bills to pass things it would rather not be associated with. "Handout bills" are bills which a government hands to MPs who win Private Members' Ballots. Each Bill goes through several stages in each House. The first stage, called the first reading, is a formality. At the second reading, the general principles of the bill are debated, and the House may vote to reject the bill, by not passing the motion "That the Bill be now read a second time." Defeats of Government Bills in the Commons are extremely rare, the last being in 2005, and may constitute a motion of no confidence. (Defeats of Bills in the Lords never affect confidence and are much more frequent.) Following the second reading, the bill is sent to a committee. In the House of Lords, the Committee of the Whole House or the Grand Committee are used. Each consists of all members of the House; the latter operates under special procedures, and is used only for uncontroversial bills. In the House of Commons, the bill is usually committed to a Public Bill Committee, consisting of between 16 and 50 members, but the Committee of the Whole House is used for important legislation. Several other types of committees, including Select Committees, may be used, but rarely. A committee considers the bill clause by clause, and reports the bill as amended to the House, where further detailed consideration ("consideration stage" or "report stage") occurs. However, a practice which used to be called the "kangaroo" (Standing Order 32) allows the Speaker to select which amendments are debated. This device is also used under Standing Order 89 by the committee chairman, to restrict debate in committee. The Speaker, who is impartial as between the parties, by convention selects amendments for debate which represent the main divisions of opinion within the House. Other amendments can technically be proposed, but in practice have no chance of success unless the parties in the House are closely divided. If pressed they would normally be casually defeated
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dissolved after four years. The Septennial Act was repealed by the Fixed-term Parliaments Act 2011, which established a presumption that a Parliament will last for five years, unless two thirds of the House of Commons votes for an early general election, or the government loses the confidence of the House. Summary history of terms of the Parliament of the United Kingdom Following a general election, a new Parliamentary session begins. Parliament is formally summoned 40 days in advance by the Sovereign, who is the source of parliamentary authority. On the day indicated by the Sovereign's proclamation, the two Houses assemble in their respective chambers. The Commons are then summoned to the House of Lords, where Lords Commissioners (representatives of the Sovereign) instruct them to elect a Speaker. The Commons perform the election; on the next day, they return to the House of Lords, where the Lords Commissioners confirm the election and grant the new Speaker the royal approval in the Sovereign's name. The business of Parliament for the next few days of its session involves the taking of the oaths of allegiance. Once a majority of the members have taken the oath in each House, the State Opening of Parliament may take place. The Lords take their seats in the House of Lords Chamber, the Commons appear at the Bar (at the entrance to the Chamber), and the Sovereign takes his or her seat on the throne. The Sovereign then reads the Speech from the Throne—the content of which is determined by the Ministers of the Crown—outlining the Government's legislative agenda for the upcoming year. Thereafter, each House proceeds to the transaction of legislative business. By custom, before considering the Government's legislative agenda, a bill is introduced pro forma in each House—the Select Vestries Bill in the House of Lords and the Outlawries Bill in the House of Commons. These bills do not become laws; they are ceremonial indications of the power of each House to debate independently of the Crown. After the pro forma bill is introduced, each House debates the content of the Speech from the Throne for several days. Once each House formally sends its reply to the Speech, legislative business may commence, appointing committees, electing officers, passing resolutions and considering legislation. A session of Parliament is brought to an end by a prorogation. There is a ceremony similar to the State Opening, but much less well known to the general public. Normally, the Sovereign does not personally attend the prorogation ceremony in the House of Lords; he or she is represented by Lords Commissioners. The next session of Parliament begins under the procedures described above, but it is not necessary to conduct another election of a Speaker or take the oaths of allegiance afresh at the beginning of such subsequent sessions. Instead, the State Opening of Parliament proceeds directly. To avoid the delay of opening a new session in the event of an emergency during the long summer recess, Parliament is no longer prorogued beforehand, but only after the Houses have reconvened in the autumn; the State Opening follows a few days later. Each Parliament comes to an end, after a number of sessions, in anticipation of a general election. Parliament is dissolved by virtue of the Fixed-term Parliaments Act 2011. Prior to that, dissolution was effected by the Sovereign, always on the advice of the Prime Minister. The Prime Minister could seek dissolution at a time politically advantageous to his or her party. If the Prime Minister loses the support of the House of Commons, Parliament will dissolve and a new election will be held. Parliaments can also be dissolved if two-thirds of the House of Commons votes for an early election. Formerly, the demise of the Sovereign automatically brought a Parliament to an end, the Crown being seen as the (beginning, basis and end) of the body, but this is no longer the case. The first change was during the reign of William and Mary, when it was seen to be inconvenient to have no Parliament at a time when succession to the Crown could be disputed, and an Act was passed that provided that a Parliament was to continue for six months after the death of a Sovereign, unless dissolved earlier. Under the Representation of the People Act 1867 Parliament can now continue for as long as it would otherwise have done in the event of the death of the Sovereign. After each Parliament concludes, the Crown issues writs to hold a general election and elect new members of the House of Commons, though membership of the House of Lords does not change. Legislative functions Laws can be made by Acts of the United Kingdom Parliament. While Acts can apply to the whole of the United Kingdom including Scotland, due to the continuing separation of Scots law many Acts do not apply to Scotland and may be matched either by equivalent Acts that apply to Scotland alone or, since 1999, by legislation set by the Scottish Parliament relating to devolved matters. This has led to a paradox known as the West Lothian question. The existence of a devolved Scottish Parliament means that while Westminster MPs from Scotland may vote directly on matters that affect English constituencies, they may not have much power over their laws affecting their own constituency. Since there is no devolved "English Parliament," the converse is not true. While any Act of the Scottish Parliament may be overturned, amended or ignored by Westminster, in practice this has yet to happen. Legislative Consent Motions enables the UK Parliament to vote on issues normally devolved to Scotland, Wales or Northern Ireland, as part of United Kingdom legislation. Laws, in draft form known as bills, may be introduced by any member of either House. A bill introduced by a Minister is known as a "Government Bill"; one introduced by another member is called a "Private Member's Bill." A different way of categorising bills involves the subject. Most bills, involving the general public, are called "public bills." A bill that seeks to grant special rights to an individual or small group of individuals, or a body such as a local authority, is called a "Private Bill." A Public Bill which affects private rights (in the way a Private Bill would) is called a "Hybrid Bill," although those that draft bills take pains to avoid this. Private Members' Bills make up the majority of bills, but are far less likely to be passed than government bills. There are three methods for an MP to introduce a Private Member's Bill. The Private Members' Ballot (once per Session) put names into a ballot, and those who win are given time to propose a bill. The Ten Minute Rule is another method, where MPs are granted ten minutes to outline the case for a new piece of legislation. Standing Order 57 is the third method, which allows a bill to be introduced without debate if a day's notice is given to the Table Office. Filibustering is a danger, as an opponent of a bill can waste much of the limited time allotted to it. Private Members' Bills have no chance of success if the current government opposes them, but they are used in moral issues: the bills to decriminalise homosexuality and abortion were Private Members' Bills, for example. Governments can sometimes attempt to use Private Members' Bills to pass things it would rather not be associated with. "Handout bills" are bills which a government hands to MPs who win Private Members' Ballots. Each Bill goes through several stages in each House. The first stage, called the first reading, is a formality. At the second reading, the general principles of the bill are debated, and the House may vote to reject the bill, by not passing the motion "That the Bill be now read a second time." Defeats of Government Bills in the Commons are extremely rare, the last being in 2005, and may constitute a motion of no confidence. (Defeats of Bills in the Lords never affect confidence and are much more frequent.) Following the second reading, the bill is sent to a committee. In the House of Lords, the Committee of the Whole House or the Grand Committee are used. Each consists of all members of the House; the latter operates under special procedures, and is used only for uncontroversial bills. In the House of Commons, the bill is usually committed to a Public Bill Committee, consisting of between 16 and 50 members, but the Committee of the Whole House is used for important legislation. Several other types of committees, including Select Committees, may be used, but rarely. A committee considers the bill clause by clause, and reports the bill as amended to the House, where further detailed consideration ("consideration stage" or "report stage") occurs. However, a practice which used to be called the "kangaroo" (Standing Order 32) allows the Speaker to select which amendments are debated. This device is also used under Standing Order 89 by the committee chairman, to restrict debate in committee. The Speaker, who is impartial as between the parties, by convention selects amendments for debate which represent the main divisions of opinion within the House. Other amendments can technically be proposed, but in practice have no chance of success unless the parties in the House are closely divided. If pressed they would normally be casually defeated by acclamation. Once the House has considered the bill, the third reading follows. In the House of Commons, no further amendments may be made, and the passage of the motion "That the Bill be now read a third time" is passage of the whole bill. In the House of Lords further amendments to the bill may be moved. After the passage of the third reading motion, the House of Lords must vote on the motion "That the Bill do now pass." Following its passage in one House, the bill is sent to the other House. If passed in identical form by both Houses, it may be presented for the Sovereign's Assent. If one House passes amendments that the other will not agree to, and the two Houses cannot resolve their disagreements, the bill will normally fail. Since the passage of the Parliament Act 1911 the power of the House of Lords to reject bills passed by the House of Commons has been restricted, with further restrictions were placed by the Parliament Act 1949. If the House of Commons passes a public bill in two successive sessions, and the House of Lords rejects it both times, the Commons may direct that the bill be presented to the Sovereign for his or her Assent, disregarding the rejection of the Bill in the House of Lords. In each case, the bill must be passed by the House of Commons at least one calendar month before the end of the session. The provision does not apply to Private bills or to Public bills if they originated in the House of Lords or if they seek to extend the duration of a Parliament beyond five years. A special procedure applies in relation to bills classified by the Speaker of the House of Commons as "Money Bills." A Money Bill concerns solely national taxation or public funds; the Speaker's certificate is deemed conclusive under all circumstances. If the House of Lords fails to pass a Money Bill within one month of its passage in the House of Commons, the Lower House may direct that the Bill be submitted for the Sovereign's Assent immediately. Even before the passage of the Parliament Acts, the Commons possessed pre-eminence in cases of financial matters. By ancient custom, the House of Lords may not introduce a bill relating to taxation or Supply, nor amend a bill so as to insert a provision relating to taxation or Supply, nor amend a Supply Bill in any way. The House of Commons is free to waive this privilege, and sometimes does so to allow the House of Lords to pass amendments with financial implications. The House of Lords remains free to reject bills relating to Supply and taxation, but may be over-ruled easily if the bills are Money Bills. (A bill relating to revenue and Supply may not be a Money Bill if, for example, it includes subjects other than national taxation and public funds). The last stage of a bill involves the granting of the Royal Assent. Theoretically, the Sovereign may either grant or withhold Royal Assent (make the bill a law or veto the bill). In modern times the Sovereign always grants the Royal Assent, using the Norman French words "La Reyne le veult" (the Queen wishes it; "Le Roy" instead in the case of a king). The last refusal to grant the Assent was in 1708, when Queen Anne withheld her Assent from a bill "for the settling of Militia in Scotland," in the words "" (the Queen will think it over). Thus, every bill obtains the assent of all three components of Parliament before it becomes law (except where the House of Lords is over-ridden under the Parliament Acts 1911 and 1949). The words "BE IT ENACTED by the Queen's [King's] most Excellent Majesty, by and with the advice and consent of the Lords Spiritual and Temporal, and Commons, in this present Parliament assembled, and by the authority of the same, as follows:-," or, where the House of Lords' authority has been over-ridden by use of the Parliament Acts, the words "BE IT ENACTED by The Queen's [King's] most Excellent Majesty, by and with the advice and consent of the Commons in this present Parliament assembled, in accordance with the provisions of the Parliament Acts 1911 and 1949, and by the authority of the same, as follows:-" appear near the beginning of each Act of Parliament. These words are known as the enacting formula. Judicial functions Prior to the creation of the Supreme Court of the United Kingdom in 2009, Parliament was the highest court in the realm for most purposes, but the Privy Council had jurisdiction in some cases (for instance, appeals from ecclesiastical courts). The jurisdiction of Parliament arose from the ancient custom of petitioning the Houses to redress grievances and to do justice. The House of Commons ceased considering petitions to reverse the judgements of lower courts in 1399, effectively leaving the House of Lords as the court of last resort. In modern times, the judicial functions of the House of Lords were performed not by the whole House, but by the Lords of Appeal in Ordinary (judges granted life peerage dignities under the Appellate Jurisdiction Act 1876) and by Lords of Appeal (other peers with experience in the judiciary). However, under the Constitutional Reform Act 2005, these judicial functions were transferred to the newly created Supreme Court in 2009, and the Lords of Appeal in Ordinary became the first Justices of the Supreme Court. Peers who hold high judicial office are no longer allowed to vote or speak in the Lords until they retire as justices. In the late 19th century, Acts allowed for the appointment of Scottish Lords of Appeal in Ordinary and ended appeal in Scottish criminal matters to the House of Lords, so that the High Court of Justiciary became the highest criminal court in Scotland. There is an argument that the provisions of Article XIX of the Union with England Act 1707 prevent any Court outside Scotland from hearing any appeal in criminal cases: "And that the said Courts or any other of the like nature after the Unions shall have no power to Cognosce Review or Alter the Acts or Sentences of the Judicatures within Scotland or stop the Execution of the same." The House of Lords judicial committee usually had a minimum of two Scottish Judges to ensure that some experience of Scots law was brought to bear on Scottish appeals in civil cases, from the Court of Session. The Supreme Court now usually has at least two Scottish judges, together with at least one from Northern Ireland. As Wales is developing its own judicature, it is likely that the same principle will be applied. Certain other judicial functions have historically been performed by the House of Lords. Until 1948, it was the body in which peers had to be tried for felonies or high treason; now, they are tried by normal juries. The last occasion of the trial of a peer in the House of Lords was in 1935. When the House of Commons impeaches an individual, the trial takes place in the House of Lords. Impeachments are now possibly defunct, as the last one occurred in 1806. In 2006, a number of MPs attempted to revive the custom, having signed a motion for the impeachment of Tony Blair, but this was unsuccessful. Relationship with the UK Government The British Government is answerable to the House of Commons. However, neither the Prime Minister nor members of the Government are elected by the House of Commons. Instead, the Queen requests the person most likely to command the support of a majority in the House, normally the leader of the largest party in the House of Commons, to form a government. So that they may be accountable to the Lower House, the Prime Minister and most members of the Cabinet are, by convention, members of the House of Commons. The last Prime Minister to be a member of the House of Lords was Alec Douglas-Home, 14th Earl of Home, who became Prime Minister in 1963. To adhere to the convention under which he was responsible to the Lower House, he disclaimed his peerage and procured election to the House of Commons within days of becoming Prime Minister. Governments have a tendency to dominate the legislative functions of Parliament, by using their in-built majority in the House of Commons, and sometimes using their patronage power to appoint supportive peers in the Lords. In practice, governments can pass any legislation (within reason) in the Commons they wish, unless there is major dissent by MPs in the governing party. But even in these situations, it is highly unlikely a bill will be defeated, though dissenting MPs may be able to extract concessions from the government. In 1976, Quintin Hogg, Lord Hailsham of St Marylebone created a now widely used name for this behaviour, in an academic paper called "elective dictatorship." Parliament controls the executive by passing or rejecting its Bills and by forcing Ministers of the Crown to answer for their actions, either at "Question Time" or during meetings of the parliamentary committees. In both cases, Ministers are asked questions by members of their Houses, and are obliged to answer. Although the House of Lords may scrutinise the executive through Question Time and through its committees, it cannot bring down the Government. A ministry must always retain the confidence and support of the House of Commons. The Lower House may indicate its lack of support by rejecting a Motion of Confidence or by passing a Motion of No Confidence. Confidence Motions are generally originated by the Government to reinforce its support in the House, whilst No Confidence Motions are introduced by the Opposition. The motions sometimes take the form "That this House has [no] confidence in Her Majesty's Government" but several other varieties, many referring to specific policies supported or opposed by Parliament, are used. For instance, a Confidence Motion of 1992 used the form, "That this House expresses the support for the economic policy of Her Majesty's Government." Such a motion may theoretically be introduced in the House of Lords, but, as the Government need not enjoy the confidence of that House, would not be of the same effect as a similar motion in the House of Commons; the only modern instance of such an occurrence involves the 'No Confidence' motion that was introduced in 1993 and subsequently defeated. Many votes are considered votes of confidence, although not including the language mentioned above. Important bills that form part of the Government's agenda (as stated in the Speech from the Throne) are generally considered matters of confidence. The defeat of such a bill by the House of Commons indicates that a Government no longer has the confidence of that House. The same effect is achieved if the House of Commons "withdraws Supply," that is, rejects the budget. Where a Government has lost the confidence of the House of Commons, in other words has lost the ability to secure the basic requirement of the authority of the House of Commons to tax and to spend Government money, the Prime Minister is obliged either to resign, or seek the dissolution of Parliament and a new general election. Otherwise
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son of Beeri, was an 8th-century BC prophet in Israel and the nominal primary author of the Book of Hosea. He is the first of the Twelve Minor Prophets, whose collective writings were aggregated and organized into a single book in the Jewish Tanakh by the Second Temple period, forming the last book of the Nevi'im; but which writings are distinguished as individual books in Christianity. Hosea is often seen as a "prophet of doom", but underneath his message of destruction is a promise of restoration. The Talmud claims that he was the greatest prophet of his generation. The period of Hosea's ministry extended to some sixty years, and he was the only prophet of Israel of his time who left any written prophecy. Name The name Hosea (meaning 'salvation', 'he saves' or 'he helps'), seems to have been common, being derived from a related verb meaning salvation. Numbers 13:16 states that Hosea was the original name of Joshua, son of Nun until Moses gave him the longer, theophoric name Yehoshua () incorporating an abbreviated form of the Tetragrammaton. Rashi writes in Sotah 34b that Joshua is a compound name of יה (Yah) and הושע (Hosea, "God may save"). Location Although it is not expressly stated in the Book of Hosea, it is apparent from the level of detail and familiarity focused on northern geography, that Hosea conducted his prophetic ministries in the northern Kingdom of Israel, of which he was a native. In Hosea 5:8 ff., there seems to be a reference to the Syro-Ephraimite War which led to the capture of the kingdom by the Assyrians (c. ). Hosea's long ministry, from the reign of Jeroboam II (787–747) to the reign of Hoshea (731–722), seems to have ended before the fall of Samaria in 722/721. Family Little is known about the life or social status of Hosea. According to the Book of Hosea, he married Gomer, the daughter of Diblaim, but she proved
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Hosea's long ministry, from the reign of Jeroboam II (787–747) to the reign of Hoshea (731–722), seems to have ended before the fall of Samaria in 722/721. Family Little is known about the life or social status of Hosea. According to the Book of Hosea, he married Gomer, the daughter of Diblaim, but she proved to be unfaithful. Hosea knew she would be unfaithful, as God says this to him immediately in the opening statements of the book. This marriage was arranged in order to serve to the prophet as a symbol of Israel's unfaithfulness to the Lord. His marriage will dramatize the breakdown in the relationship between God and His people Israel. Hosea's family life reflected the "adulterous" relationship which Israel had built with other gods. Similarly, his children's names represent God's estrangement from Israel. They are prophetic of the fall of the ruling dynasty and the severed covenant with God – much like the prophet Isaiah a generation later. The name of Hosea's daughter, Lo-ruhamah, which translates as 'not pitied', is chosen as a sign of displeasure with the people of Israel for following false gods. The name of Hosea's son, Lo-ammi, which translates as 'not my people', is chosen as a sign of the Lord's displeasure with the people of Israel for following those false gods. Christian thought One of the early writing prophets, Hosea used his own experience as a symbolic representation of God and Israel. The relationship between Hosea and Gomer parallels the relationship between God and Israel. Even though Gomer runs away from Hosea and sleeps with another man, he loves her anyway and forgives her. Likewise, even though the people of Israel worshipped false gods, God continued to love them and did not abandon his covenant with them. The Book of Hosea was a severe warning to the northern kingdom against the growing idolatry being practiced there; the book was a dramatic call to repentance. Christians extend the analogy of Hosea to Christ and the church: Christ the husband, his church the bride. Christians see in this book a comparable call to the church not to forsake the Lord Jesus Christ. Christians also take the buying back of Gomer as the redemptive qualities of Jesus Christ's sacrifice on the cross. Other preachers, like Charles Spurgeon, saw Hosea as a striking presentation of the mercy of God in his sermon on Hosea 1:7 titled The
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about Habakkuk is drawn from the book of the Bible bearing his name, with no biographical details provided other than his title, "the prophet". Outside the Bible, he is mentioned over the centuries in the forms of Christian and Rabbinic tradition. Life Almost nothing is known about Habakkuk, aside from what is stated within the book of the Bible bearing his name, or those inferences that may be drawn from that book. His name appears in the Bible only in Habakkuk 1:1 and 3:1, with no biographical details provided other than his title "the prophet". Even the origin of his name is uncertain. For almost every other prophet, more information is given, such as the name of the prophet's hometown, his occupation, or information concerning his parentage or tribe. For Habakkuk, however, there is no reliable account of any of these. Although his home is not identified, scholars conclude that Habakkuk lived in Jerusalem at the time he wrote his prophecy. Further analysis has provided an approximate date for his prophecy and possibilities concerning his activities and background. Beyond the Bible, considerable conjecture has been put forward over the centuries in the form of Christian and Rabbinic tradition, but such accounts are dismissed by modern scholars as speculative and apocryphal. Biblical account Because the book of Habakkuk consists of five oracles about the Chaldeans (Babylonians), and the Chaldean rise to power is dated circa 612 BC, it is assumed he was active about that time, making him an early contemporary of Jeremiah and Zephaniah. Jewish sources, however, do not group him with those two prophets, who are often placed together, so it is possible that he was slightly earlier than these prophets. Because the final chapter of his book is a song, it is sometimes assumed that he was a member of the tribe of Levi, who served as musicians in Solomon's Temple. Name The name Habakkuk, or Habacuc, appears in the Hebrew Bible only in Habakkuk 1:1 and 3:1. In the Masoretic Text, it is written in (Standard Ḥavaqquq Tiberian Ḥăḇaqqûq). This name does not occur elsewhere. The Septuagint transcribes his name into Greek as (Ambakoum), and the Vulgate transcribes it into Latin as Abacuc. The etymology of the name is not clear, and its form has no parallel in Hebrew. The name is possibly related to the Akkadian khabbaququ, the name of a fragrant plant, or the Hebrew root , meaning "embrace". Tradition Habakkuk appears in Bel and the Dragon, which is part of the deuterocanonical Additions to Daniel. Verses 33–39 state that Habakkuk is in Judea; after making some stew, he is instructed by an angel of the Lord to take the stew to Daniel, who is in the lion's den in Babylon. After proclaiming that he is unaware of both the den and Babylon, the angel transports Habakkuk to the lion's den. Habakkuk gives Daniel the food to sustain him, and he is immediately taken back to "his own place". Habakkuk is also mentioned in the Lives of the Prophets, which also mentions his time in Babylon. According to the Zohar (Volume 1, page 8b) Habakkuk is the boy born to the Shunamite woman through Elisha's blessing: Works The only work attributed to Habakkuk is the short book of the Bible that bears his name. The book of Habakkuk consists of five oracles about the Chaldeans (Babylonians) and a song of praise to God. The style of the book has been praised by many scholars, suggesting that its author was a man of great literary talent. The entire book follows the structure of a chiasmus in which parallelism of thought is used to bracket sections of the text. Habakkuk is unusual among the prophets in that he openly questions the working of God. In the first part of the first chapter, the Prophet sees the injustice among his people and asks why God does not take action: "O LORD, how long shall I cry for help, and you will not hear? Or cry to you “Violence!” and you will not save?" Tombs The final resting place of Habakkuk has been claimed at multiple locations. The fifth-century Christian historian Sozomen claimed that the relics of Habakkuk were found at Cela, when God revealed their location to Zebennus, bishop of Eleutheropolis, in a dream. Currently, one location in Israel and one in Iran lay claim to being the burial site of the prophet. Tomb in Israel The burial place of Habakkuk is identified by Jewish tradition as a hillside in the Upper Galilee region of northern Israel, close to the villages Kadarim and Hukok, about six miles southwest of Safed and twelve miles north of Mount Tabor. A small stone building, erected during the 20th century, protects the tomb. Tradition dating as early as the 12th century AD holds that Habakkuk's tomb is at this location, but the tomb may also be of a local sheikh of Yaquq, a name related to the biblical place named "Hukkok", whose pronunciation and spelling in Hebrew are close to "Habakkuk". Archaeological findings in this location include several burial places dated to the Second Temple period. Persian shrine A mausoleum southeast of the city of Tuyserkan in the west of Iran is also believed to be Habakkuk's burial place. It is protected by Iran's Cultural Heritage, Handcrafts and Tourism Organization. The Organization's guide to the Hamadan Province states that Habakkuk was believed to be a
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of Habakkuk were found at Cela, when God revealed their location to Zebennus, bishop of Eleutheropolis, in a dream. Currently, one location in Israel and one in Iran lay claim to being the burial site of the prophet. Tomb in Israel The burial place of Habakkuk is identified by Jewish tradition as a hillside in the Upper Galilee region of northern Israel, close to the villages Kadarim and Hukok, about six miles southwest of Safed and twelve miles north of Mount Tabor. A small stone building, erected during the 20th century, protects the tomb. Tradition dating as early as the 12th century AD holds that Habakkuk's tomb is at this location, but the tomb may also be of a local sheikh of Yaquq, a name related to the biblical place named "Hukkok", whose pronunciation and spelling in Hebrew are close to "Habakkuk". Archaeological findings in this location include several burial places dated to the Second Temple period. Persian shrine A mausoleum southeast of the city of Tuyserkan in the west of Iran is also believed to be Habakkuk's burial place. It is protected by Iran's Cultural Heritage, Handcrafts and Tourism Organization. The Organization's guide to the Hamadan Province states that Habakkuk was believed to be a guardian to Solomon's Temple, and that he was captured by the Babylonians and remained in their prison for some years. After being freed by Cyrus the Great, he went to Ecbatana and remained there until he died, and was buried somewhere nearby, in what is today Tuyserkan. Habakkuk is called both Habaghugh and Hayaghugh by the Muslim locals. The surrounding shrine may date to the period of the Seljuq Empire (11–12th century); it consists of an octagonal wall and conical dome. Underneath the shrine is a hidden basement with three floors. In the center of the shrine's courtyard is the grave where Habakkuk is said to be buried. A stone upon the grave is inscribed in both Hebrew and Persian stating that the prophet's father was Shioua Lovit, and his mother was Lesho Namit. Both Muslims and Jews visit it to pay their respects. Commemoration Christian On the Eastern Orthodox liturgical calendar, his feast day is December 2. In the Roman Catholic Church, the twelve minor prophets are read in the Roman Breviary during the fourth and fifth weeks of November, which are the last two weeks of the liturgical year, and his feast day is January 15. This day is also celebrated as his feast by the Greek Orthodox Church. In 2011, he was commemorated with the other Minor Prophets in the calendar of saints of the Armenian Apostolic Church on February 8. Habakkuk has also been commemorated in sculpture. In 1435, the Florentine artist Donatello created a sculpture of the prophet for the bell tower of Florence. This statue, nicknamed Zuccone ("Big Pumpkin") because of the shape of the head, now resides in the Museo dell'Opera del Duomo. The Basilica of Santa Maria del Popolo in Rome contains a Baroque sculpture of Habakkuk by the 17th-century artist Bernini. Between 1800 and 1805, the Brazilian sculptor Aleijadinho completed a soapstone sculpture of Habakkuk as part of his Twelve Prophets. The figures are arranged around the forecourt and monumental stairway in front of the Santuário do Bom Jesus do Matosinhos at Congonhas. Islam Ali al-Ridha debate at al-Ma'mun's court Although not mentioned by name in the Qu'ran, Habakkuk is recognized as an Islamic prophet because he is believed to herald the coming of last prophet and divine scripture Muhammad and the Qu'ran in the Book of Habakkuk. In the court of Al-Ma'mun, Imam Ali al-Ridha, a descendant of the Prophet Muhammad and chief Islamic scholar in the time of the Abbasid Caliphs, was asked by the Exilarch to prove that Muhammad was a prophet through the Torah. Imam Ridha asks "Do you know the prophet Habakkuk?" He said, “Yes. I know of him.” al-Ridha said, “and this is narrated in your book, ‘Allah brought down speech on Mount Faran, and the heavens were filled with the glorification of Muhammad and his community. His horse carries him over water as it carries him over land. He will bring a new book to us after the ruin of the holy house [the temple in Jerusalem].’ What is meant by this book is the Qur'an. Do you know this and believe in it?” The Exilarch said, “Habakkuk the prophet has said this and we do not deny what he said.” Further evidence of prophethood Although the Quran only mentions around twenty-five prophets by name, and alludes to a few others, it has been a cardinal doctrine of Islam that many more prophets were sent by God who are not mentioned in the scripture. Thus, Muslims have traditionally had no problem accepting those other Hebrew prophets not mentioned in the Quran or hadith as legitimate prophets of God, especially as the Quran itself states: "Surely We sent down the Torah (to Moses), wherein is guidance and light; thereby the Prophets (who followed him), who had surrendered themselves, gave judgment for those who were Jewish, as did the masters and the rabbis, following such portion of God's Book as they were given to keep and were witnesses to," with this passage having often been interpreted by Muslims to include within the phrase "prophets" an allusion to all the prophetic figures of the Jewish scriptural portion of the nevi'im, that is to say all the prophets of Israel after Moses and Aaron. Thus, Islamic authors have often alluded to Habakkuk as a prophet in their works, and followed the pronunciation of his name with the traditional salutations of peace bestowed by Muslims onto prophets after the utterance of their names. Some medieval Muslim scholars even provided commentaries on the biblical Book of Habakkuk, with
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Persian Empire was growing weak, and Haggai saw time as an opportunity to restore the Davidic Kingdom. He believed that the Kingdom of David was able to rise and take back their part in Jewish issues. Haggai's message was directed to the nobles and Zerubbabel, as he would be the first Davidic monarch restored. He saw this as important because the Kingdom would be an end to Jewish idol worship. Haggai in Jewish tradition Haggai, in rabbinic writing, is often referred to as one of the men of the Great Assembly. The Babylonian Talmud (5th century CE) mentions a tradition concerning the prophet Haggai, saying that he gave instruction concerning three things: (a) that it is not lawful for a man whose brother married his daughter (as a co-wife in a polygamous relationship) to consummate a levirate marriage with one of his deceased brother's co-wives (a teaching accepted by the School of Hillel, but rejected by the School of Shammai); (b) that Jews living in the regions of Ammon and Moab separate from their produce the poor man's tithe during the Sabbatical year; (c) that they accept of proselytes from the peoples of Tadmor (Palmyra) and from the people of Ḳardu. Liturgical commemoration On the Eastern Orthodox liturgical calendar, Haggai is commemorated as a saint and prophet. His feast day is 16 December (for those churches which follow the traditional Julian Calendar, 16 December currently falls on 29 December of the modern Gregorian Calendar). He is also commemorated, in common with the other righteous persons of the Old Testament, on the Sunday of the Holy Fathers (the second Sunday before the Nativity of the Lord). Haggai is commemorated with the other Minor prophets in the Calendar of saints of the Armenian Apostolic Church
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(ca. 520 BCE). The work of rebuilding the temple had been put to a stop through the intrigues of the Samaritans. After having been suspended for eighteen years, the work was resumed through the efforts of Haggai and Zechariah. They exhorted the people, which roused them from their lethargy, and induced them to take advantage of a change in the policy of the Persian government under Darius I. The name Haggai, with various vocalizations, is also found in the Book of Esther, as a eunuch servant of the Queen. Haggai prophecies Haggai prophesied in 520 BCE Jerusalem, about the people needing to complete building the Temple. The new Temple was bound to exceed the awesomeness of the previous Temple. He claimed if the Temple was not built there would be poverty, famine and drought affecting the Jewish nation. There is a controversy regarding who edited Haggai's works. According to scholars, they credit it to his students. However, Jewish Tradition believe that the Men of the Great Assembly were responsible for the edits. The Men of the Great Assembly are traditionally known for continuing the work of Ezra and Nehemiah. Haggai and officials of his time Haggai supported the officials of his time, specifically Zerubbabel, the governor, and Joshua the High Priest. In the Book of Haggai, God refers to Zerubbabel as "my servant" as King David was, and says he will make him as a "signet ring," as King Jehoiachin was. The signet ring symbolized a ring worn on the hand of Yahweh, showing that a king held divine favour. Thus, Haggai is implicitly, but not explicitly, saying that
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Business Machines" (IBM) and became one of the largest and most successful companies of the 20th century. Hollerith is regarded as one of the seminal figures in the development of data processing. Personal life Herman Hollerith was the son of German immigrant Georg Hollerith, a school teacher from Großfischlingen, Rhineland-Palatinate. He was born in Buffalo, New York, in 1860, where he also spent his early childhood. He entered the City College of New York in 1875, graduated from the Columbia School of Mines with an Engineer of Mines degree in 1879 at age 19, and in 1890 was awarded a PhD based on his development of the tabulating system. In 1882 Hollerith joined the Massachusetts Institute of Technology where he taught mechanical engineering and conducted his first experiments with punched cards. He eventually moved to Washington, D.C., living in Georgetown, with a home on 29th Street and a business building at 31st Street and the C&O Canal, where today there is a commemorative plaque installed by IBM. He died in Washington, D.C. at age 69 of a heart attack. Electromechanical tabulation of data At the suggestion of John Shaw Billings, Hollerith developed a mechanism using electrical connections to increment a counter, recording information. A key idea was that a datum could be recorded by the presence or absence of a hole at a specific location on a card. For example, if a specific hole location indicates marital status, then a hole there can indicate married while not having a hole indicates single. Hollerith determined that data in specified locations on a card, arranged in rows and columns, could be counted or sorted electromechanically. A description of this system, An Electric Tabulating System (1889), was submitted by Hollerith to Columbia University as his doctoral thesis, and is reprinted in Randell's book. On January 8, 1889, Hollerith was issued U.S. Patent 395,782, claim 2 of which reads: The herein-described method of compiling statistics, which consists in recording separate statistical items pertaining to the individual by holes or combinations of holes punched in sheets of electrically non-conducting material, and bearing a specific relation to each other and to a standard, and then
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processing systems, and his concept dominated that landscape for nearly a century. Hollerith founded a company that was amalgamated in 1911 with several other companies to form the Computing-Tabulating-Recording Company. In 1924, the company was renamed "International Business Machines" (IBM) and became one of the largest and most successful companies of the 20th century. Hollerith is regarded as one of the seminal figures in the development of data processing. Personal life Herman Hollerith was the son of German immigrant Georg Hollerith, a school teacher from Großfischlingen, Rhineland-Palatinate. He was born in Buffalo, New York, in 1860, where he also spent his early childhood. He entered the City College of New York in 1875, graduated from the Columbia School of Mines with an Engineer of Mines degree in 1879 at age 19, and in 1890 was awarded a PhD based on his development of the tabulating system. In 1882 Hollerith joined the Massachusetts Institute of Technology where he taught mechanical engineering and conducted his first experiments with punched cards. He eventually moved to Washington, D.C., living in Georgetown, with a home on 29th Street and a business building at 31st Street and the C&O Canal, where today there is a commemorative plaque installed by IBM. He died in Washington, D.C. at age 69 of a heart attack. Electromechanical tabulation of data At the suggestion of John Shaw Billings, Hollerith developed a mechanism using electrical connections to increment a counter, recording information. A key idea was that a datum could be recorded by the presence or absence of a hole at a specific location on a card. For example, if a specific hole location indicates marital status, then a hole there can indicate married while not having a hole indicates single. Hollerith determined that data in specified locations on a card, arranged in rows and columns, could be counted or sorted electromechanically. A description of this system, An Electric Tabulating System (1889), was submitted by Hollerith to Columbia University as his doctoral thesis, and is reprinted in Randell's book. On January 8, 1889, Hollerith was issued U.S. Patent 395,782, claim 2 of which reads: The herein-described method of compiling statistics, which
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a Tanjore painting involves many stages. The first stage involves the making of the preliminary sketch of the image on the base. The base consists of a cloth pasted over a wooden base. Then chalk powder or zinc oxide is mixed with water-soluble adhesive and applied on the base. To make the base smoother, a mild abrasive is sometimes used. After the drawing is made, decoration of the jewellery and the apparels in the image is done with semi-precious stones. Laces or threads are also used to decorate the jewellery. On top of this, the gold foils are pasted. Finally, dyes are used to add colors to the figures in the paintings. Madras School During British rule in India, the crown found that Madras had some of the most talented and intellectual artistic minds in the world. As the British had also established a huge settlement in and around Madras, Georgetown was chosen to establish an institute that would cater to the artistic expectations of the royal family in London. This has come to be known as the Madras School. At first traditional artists were employed to produce exquisite varieties of furniture, metal work, and curios and their work was sent to the royal palaces of the Queen. Unlike the Bengal School where 'copying' is the norm of teaching, the Madras School flourishes on 'creating' new styles, arguments and trends. Bengal School The Bengal school of art was an influential style of art that flourished in India during the British Raj in the early 20th century. It was associated with Indian nationalism, but was also promoted and supported by many British arts administrators. The Bengal School arose as an avant garde and nationalist movement reacting against the academic art styles previously promoted in India, both by Indian artists such as Raja Ravi Varma and in British art schools. Following the widespread influence of Indian spiritual ideas in the West, the British art teacher Ernest Binfield Havel attempted to reform the teaching methods at the Calcutta School of Art by encouraging students to imitate Mughal miniatures. This caused immense controversy, leading to a strike by students and complaints from the local press, including from nationalists who considered it to be a retrogressive move. Havel was supported by the artist Abanindranath Tagore, a nephew of the poet Rabindranath Tagore. Tagore painted a number of works influenced by Mughal art, a style that he and Havel believed to be expressive of India's distinct spiritual qualities, as opposed to the "materialism" of the West. Tagore's best-known painting, Bharat Mata (Mother India), depicted a young woman, portrayed with four arms in the manner of Hindu deities, holding objects symbolic of India's national aspirations. Tagore later attempted to develop links with Japanese artists as part of an aspiration to construct a pan-Asianist model of art. The Bengal School's influence in India declined with the spread of modernist ideas in the 1920s. In the post-independence period, Indian artists showed more adaptability as they borrowed freely from European styles and amalgamated them freely with the Indian motifs to new forms of art. While artists like Francis Newton Souza and Tyeb Mehta were more western in their approach, there were others like Ganesh Pyne and Maqbool Fida Husain who developed thoroughly indigenous styles of work. Today after the process of liberalization of market in India, the artists are experiencing more exposure to the international art-scene which is helping them in emerging with newer forms of art which were hitherto not seen in India. Jitish Kallat had shot to fame in the late 1990s with his paintings which were both modern and beyond the scope of generic definition. However, while artists in India in the new century are trying out new styles, themes and metaphors, it would not have been possible to get such quick recognition without the aid of the business houses which are now entering the art field like they had never before. Modern Indian Amrita Sher-Gil was an Indian painter, sometimes known as India's Frida Kahlo, and today considered an important woman painter of 20th-century India, whose legacy stands at par with that of the Masters of Bengal Renaissance; she is also the 'most expensive' woman painter of India. Today, she is amongst Nine Masters, whose work was declared as art treasures by The Archaeological Survey of India, in 1976 and 1979, and over 100 of her paintings are now displayed at National Gallery of Modern Art, New Delhi. During the colonial era, Western influences started to make an impact on Indian art. Some artists developed a style that used Western ideas of composition, perspective and realism to illustrate Indian themes. Others, like Jamini Roy, consciously drew inspiration from folk art. By the time of Independence in 1947, several schools of art in India provided access to modern techniques and ideas. Galleries were established to showcase these artists. Modern Indian art typically shows the influence of Western styles, but is often inspired by Indian themes and images. Major artists are beginning to gain international recognition, initially among the Indian diaspora, but also among non-Indian audiences. The Progressive Artists' Group, established shortly after India became independent in 1947, was intended to establish new ways of expressing India in the post-colonial era. The founders were six eminent artists – K. H. Ara, S. K. Bakre, H. A. Gade, M.F. Husain, S.H. Raza and F. N. Souza, though the group was dissolved in 1956, it was profoundly influential in changing the idiom of Indian art. Almost all India's major artists in the 1950s were associated with the group. Some of those who are well-known today are Bal Chabda, Manishi Dey, Mukul Dey, V. S. Gaitonde, Ram Kumar, Tyeb Mehta, and Akbar Padamsee. Other famous painters like Jahar Dasgupta, Prokash Karmakar, John Wilkins, Narayanan Ramachandran, and Bijon Choudhuri enriched the art culture of India. They have become the icons of modern Indian art. Art historians like Prof. Rai Anand Krishna have also referred to those works of modern artistes that reflect Indian ethos. Geeta Vadhera has had acclaim in translating complex, Indian spiritual themes onto canvas like Sufi thought, the Upanishads and the Bhagwad Geeta. Indian art got a boost with the economic liberalization of the country since the early 1990s. Artists from various fields now started bringing in varied styles of work. In post-liberalization India, many artists have established themselves in the international art market like the abstract painter Natvar Bhavsar, figurative artist Devajyoti Ray and sculptor Anish Kapoor whose mammoth postminimalist artworks have acquired attention for their sheer size. Many art houses and galleries have also opened in USA and Europe to showcase Indian artworks. South-East Asia Indonesian The oldest known cave paintings are more than 44,000-50,000 years old, found in the caves in the district of Maros (Sulawesi, Indonesia). The oldest type of cave paintings are hand stencils and simple geometric shapes; the oldest undisputed examples of figurative cave paintings are somewhat younger, close to 35,000 years old. The discovery of the then-oldest known figurative art painting, over 40,000 (perhaps as old as 52,000) years old, of an unknown animal, in the cave of Lubang Jeriji Saléh on the Indonesian island of Borneo. In December 2019, however, figurative cave paintings depicting pig hunting in the Maros-Pangkep karst in Sulawesi were estimated to be even older, at at least 43,900 years old. The finding was noted to be "the oldest pictorial record of storytelling and the earliest figurative artwork in the world". Other examples of Indonesian paintings are the Kenyah decorative art, based on endemic natural motifs such as ferns and hornbills, found decorating the walls of Kenyah longhouses. Other notable traditional art is the geometric Toraja wood carvings. Balinese paintings are initially the narrative images to depict scenes of Balinese legends and religious scripts. The classical Balinese paintings are often decorating the lontar manuscripts and also the ceilings of temples pavilion. Filipino Filipino painting as a whole can be seen as an amalgamation of many cultural influences, though it tends to be more Western in its current form with Eastern roots. Early Filipino painting can be found in red slip (clay mixed with water) designs embellished on the ritual pottery of the Philippines such as the acclaimed Manunggul Jar. Evidence of Philippine pottery-making dated as early as 6000BC has been found in Sanga-sanga Cave, Sulu and Laurente Cave, Cagayan. It has been proven that by 5000BC, the making of pottery was practiced throughout the country. Early Filipinos started making pottery before their Cambodian neighbors and at about the same time as the Thais as part of what appears to be a widespread Ice Age development of pottery technology. Further evidences of painting are manifested in the tattoo tradition of early Filipinos, whom the Portuguese explorer referred to as Pintados or the 'Painted People' of the Visayas. Various designs referencing flora and fauna with heavenly bodies decorate their bodies in various colored pigmentation. Perhaps, some of the most elaborate painting done by early Filipinos that survive to the present day can be manifested among the arts and architecture of the Maranao who are well known for the Nāga Dragons and the Sarimanok carved and painted in the beautiful Panolong of their Torogan or King's House. Filipinos began creating paintings in the European tradition during the 17th-century Spanish period. The earliest of these paintings were Church frescoes, religious imagery from Biblical sources, as well as engravings, sculptures and lithographs featuring Christian icons and European nobility. Most of the paintings and sculptures between the 19th, and 20th century produced a mixture of religious, political, and landscape art works, with qualities of sweetness, dark, and light. Early modernist painters such as Damián Domingo was associated with religious and secular paintings. The art of Juan Luna and Félix Hidalgo showed a trend for political statement. Artist such as Fernando Amorsolo used post-modernism to produce paintings that illustrated Philippine culture, nature, and harmony. While other artists such as Fernando Zóbel used realities and abstract on his work. Western Egypt, Greece and Rome Ancient Egypt, a civilization with very strong traditions of architecture and sculpture (both originally painted in bright colours) also had many mural paintings in temples and buildings, and painted illustrations on papyrus manuscripts. Egyptian wall painting and decorative painting is often graphic, sometimes more symbolic than realistic. Egyptian painting depicts figures in bold outline and flat silhouette, in which symmetry is a constant characteristic. Egyptian painting has close connection with its written language – called Egyptian hieroglyphs. Painted symbols are found amongst the first forms of written language. The Egyptians also painted on linen, remnants of which survive today. Ancient Egyptian paintings survived due to the extremely dry climate. The ancient Egyptians created paintings to make the afterlife of the deceased a pleasant place. The themes included journey through the afterworld or their protective deities introducing the deceased to the gods of the underworld. Some examples of such paintings are paintings of the gods and goddesses Ra, Horus, Anubis, Nut, Osiris and Isis. Some tomb paintings show activities that the deceased were involved in when they were alive and wished to carry on doing for eternity. In the New Kingdom and later, the Book of the Dead was buried with the entombed person. It was considered important for an introduction to the afterlife. To the north of Egypt was the Minoan civilization centered on the island of Crete. The wall paintings found in the palace of Knossos are similar to that of the Egyptians but much more free in style. Mycenaean Greece, beginning around 1600 BC, produced similar art to that of Minoan Crete. Ancient Greek art during the Greek Dark Age became far less complex, but the renewal of Greek civilization throughout the Mediterranean during Archaic Greece brought about new forms of Greek art with the Orientalizing style. Ancient Greece had skilled painters, sculptors (though both endeavours were regarded as mere manual labour at the time), and architects. The Parthenon is an example of their architecture that has lasted to modern days. Greek marble sculpture is often described as the highest form of Classical art. Painting on pottery of Ancient Greece and ceramics gives a particularly informative glimpse into the way society in Ancient Greece functioned. Black-figure vase painting and Red-figure vase painting gives many surviving examples of what Greek painting was. Some famous Greek painters on wooden panels who are mentioned in texts are Apelles, Zeuxis and Parrhasius, however no examples of Ancient Greek panel painting survive, only written descriptions by their contemporaries or later Romans. Zeuxis lived in 5–6BC and was said to be the first to use sfumato. According to Pliny the Elder, the realism of his paintings was such that birds tried to eat the painted grapes. Apelles is described as the greatest painter of Antiquity for perfect technique in drawing, brilliant color and modeling. Roman art was influenced by Greece and can in part be taken as a descendant of ancient Greek painting. However, Roman painting does have important unique characteristics. Surviving Roman paintings include wall paintings and frescoes, many from villas in Campania, in Southern Italy at sites such as Pompeii and Herculaneum. Such painting can be grouped into four main "styles" or periods and may contain the first examples of trompe-l'œil, pseudo-perspective, and pure landscape. Almost the only painted portraits surviving from the Ancient world are a large number of coffin-portraits of bust form found in the Late Antique cemetery of Al-Fayum. Although these were neither of the best period nor the highest quality, they are impressive in themselves, and give an idea of the quality that the finest ancient work must have had. A very small number of miniatures from Late Antique illustrated books also survive, and a rather larger number of copies of them from the Early Medieval period. Middle Ages The rise of Christianity imparted a different spirit and aim to painting styles. Byzantine art, once its style was established by the 6th century, placed great emphasis on retaining traditional iconography and style, and gradually evolved during the thousand years of the Byzantine Empire and the living traditions of Greek and Russian Orthodox icon-painting. Byzantine painting has a hieratic feeling and icons were and still are seen as a representation of divine revelation. There were many frescos, but fewer of these have survived than mosaics. Byzantine art has been compared to contemporary abstraction, in its flatness and highly stylised depictions of figures and landscape. Some periods of Byzantine art, especially the so-called Macedonian art of around the 10th century, are more flexible in approach. Frescos of the Palaeologian Renaissance of the early 14th century survive in the Chora Church in Istanbul. In post-Antique Catholic Europe the first distinctive artistic style to emerge that included painting was the Insular art of the British Isles, where the only surviving examples are miniatures in Illuminated manuscripts such as the Book of Kells. These are most famous for their abstract decoration, although figures, and sometimes scenes, were also depicted, especially in Evangelist portraits. Carolingian and Ottonian art also survives mostly in manuscripts, although some wall-painting remain, and more are documented. The art of this period combines Insular and "barbarian" influences with a strong Byzantine influence and an aspiration to recover classical monumentality and poise. Walls of Romanesque and Gothic churches were decorated with frescoes as well as sculpture and many of the few remaining murals have great intensity, and combine the decorative energy of Insular art with a new monumentality in the treatment of figures. Far more miniatures in Illuminated manuscripts survive from the period, showing the same characteristics, which continue into the Gothic period. Panel painting becomes more common during the Romanesque period, under the heavy influence of Byzantine icons. Towards the middle of the 13th century, Medieval art and Gothic painting became more realistic, with the beginnings of interest in the depiction of volume and perspective in Italy with Cimabue and then his pupil Giotto. From Giotto on, the treatment of composition by the best painters also became much more free and innovative. They are considered to be the two great medieval masters of painting in western culture. Cimabue, within the Byzantine tradition, used a more realistic and dramatic approach to his art. His pupil, Giotto, took these innovations to a higher level which in turn set the foundations for the western painting tradition. Both artists were pioneers in the move towards naturalism. Churches were built with more and more windows and the use of colorful stained glass become a staple in decoration. One of the most famous examples of this is found in the cathedral of Notre Dame de Paris. By the 14th century Western societies were both richer and more cultivated and painters found new patrons in the nobility and even the bourgeoisie. Illuminated manuscripts took on a new character and slim, fashionably dressed court women were shown in their landscapes. This style soon became known as International style and tempera panel paintings and altarpieces gained importance. Renaissance and Mannerism The Renaissance (French for 'rebirth'), a cultural movement roughly spanning the 14th through the mid-17th century, heralded the study of classical sources, as well as advances in science which profoundly influenced European intellectual and artistic life. In the Low Countries, especially in modern day Flanders, a new way of painting was established in the beginning of the 15th century. In the footsteps of the developments made in the illumination of manuscripts, especially by the Limbourg Brothers, artists became fascinated by the tangible in the visible world and began representing objects in an extremely naturalistic way. The adoption of oil painting whose invention was traditionally, but erroneously, credited to Jan van Eyck, made possible a new verisimilitude in depicting this naturalism. The medium of oil paint was already present in the work of Melchior Broederlam, but painters like Jan van Eyck and Robert Campin brought its use to new heights and employed it to represent the naturalism they were aiming for. With this new medium the painters of this period were capable of creating richer colors with a deep intense tonality. The illusion of glowing light with a porcelain-like finish characterized Early Netherlandish painting and was a major difference to the matte surface of tempera paint used in Italy. Unlike the Italians, whose work drew heavily from the art of Ancient Greece and Rome, the northerners retained a stylistic residue of the sculpture and illuminated manuscripts of the Middle Ages (especially its naturalism). The most important artist of this time was Jan van Eyck, whose work ranks among the finest made by artists who are now known as Early Netherlandish painters or Flemish Primitives (since most artists were active in cities in modern day Flanders). The first painter of this period was the Master of Flémalle, nowadays identified as Robert Campin, whose work follows the art of the International Gothic. Another important painter of this period was Rogier van der Weyden, whose compositions stressed human emotion and drama, demonstrated for instance in his Descent from the Cross, which ranks among the most famous works of the 15th century and was the most influential Netherlandish painting of Christ's crucifixion. Other important artists from this period are Hugo van der Goes (whose work was highly influential in Italy), Dieric Bouts (who was among the first northern painters to demonstrate the use of a single vanishing point), Petrus Christus, Hans Memling and Gerard David. In Italy, the art of Classical antiquity inspired a style of painting that emphasized the ideal. Artists such as Paolo Uccello, Masaccio, Fra Angelico, Piero della Francesca, Andrea Mantegna, Filippo Lippi, Sandro Botticelli, Leonardo da Vinci, Michelangelo Buonarroti, and Raphael took painting to a higher level through the use of perspective, the study of human anatomy and proportion, and through their development of an unprecedented refinement in drawing and painting techniques. A somewhat more naturalistic style emerged in Venice. Painters of the Venetian school, such as Giovanni Bellini, Giorgione, Titian, Tintoretto, and Veronese, were less concerned with precision in their drawing than with the richness of color and unity of effect that could be achieved by a more spontaneous approach to painting. Flemish, Dutch and German painters of the Renaissance such as Hans Holbein the Younger, Albrecht Dürer, Lucas Cranach, Matthias Grünewald, Hieronymus Bosch, and Pieter Bruegel represent a different approach from their Italian colleagues, one that is more realistic and less idealized. Genre painting became a popular idiom amongst the Northern painters like Pieter Bruegel. Renaissance painting reflects the revolution of ideas and science (astronomy, geography) that occurred in this period, the Reformation, and the invention of the printing press. Dürer, considered one of the greatest of printmakers, states that painters are not mere artisans but thinkers as well. With the development of easel painting in the Renaissance, painting gained independence from architecture. Easel paintings—movable pictures which could be hung easily on walls—became a popular alternative to paintings fixed to furniture, walls or other structures. Following centuries dominated by religious imagery, secular subject matter slowly returned to Western painting. Artists included visions of the world around them, or the products of their own imaginations in their paintings. Those who could afford the expense could become patrons and commission portraits of themselves or their family. The High Renaissance gave rise to a stylized art known as Mannerism. In place of the balanced compositions and rational approach to perspective that characterized art at the dawn of the 16th century, the Mannerists sought instability, artifice, and doubt. The unperturbed faces and gestures of Piero della Francesca and the calm Virgins of Raphael are replaced by the troubled expressions of Pontormo and the emotional intensity of El Greco. Restless and unstable compositions, often extreme or disjunctive effects of perspective, and stylized poses are characteristic of Italian Mannerists such as Tintoretto, Pontormo, and Bronzino, and appeared later in the work of Northern Mannerists such as Hendrick Goltzius, Bartholomeus Spranger, and Joachim Wtewael. Baroque and Rococo Baroque painting is associated with the Baroque cultural movement, a movement often identified with Absolutism and the Counter Reformation or Catholic Revival; the existence of important Baroque painting in non-absolutist and Protestant states also, however, underscores its popularity, as the style spread throughout Western Europe. Baroque painting is characterized by great drama, rich, deep color, and intense light and dark shadows. Baroque art was meant to evoke emotion and passion instead of the calm rationality that had been prized during the Renaissance. During the period beginning around 1600 and continuing throughout the 17th century, painting is characterized as Baroque. Among the greatest painters of the Baroque are Caravaggio, Rembrandt, Frans Hals, Rubens, Velázquez, Poussin, and Johannes Vermeer. Caravaggio is an heir of the humanist painting of the High Renaissance. His realistic approach to the human figure, painted directly from life and dramatically spotlit against a dark background, shocked his contemporaries and opened a new chapter in the history of painting. Baroque painting often dramatizes scenes using light effects; this can be seen in works by Rembrandt, Vermeer, Le Nain, La Tour, and Jusepe de Ribera. In Italy, the Baroque style is epitomized by religious and mythological paintings in the Grand Manner by artists such as the Carracci, Guido Reni, and Luca Giordano. Illusionistic church ceiling frescoes by Pietro da Cortona seemed to open to the sky. A much quieter type of Baroque emerged in the Dutch Republic, where easel paintings of everyday subjects were popular with middle-class collectors, and many painters became specialists in genre, others in landscape or seascape or still life. Vermeer, Gerard ter Borch, and Pieter de Hooch brought great technical refinement to the painting of domestic scenes, as did Willem Claesz. Heda to still life. In contrast, Rembrandt excelled in painting every type of subject, and developed an individual painterly style in which the chiaroscuro and dark backgrounds derived from Caravaggio and the Utrecht Caravaggists lose their theatrical quality. During the 18th century, Rococo followed as a lighter extension of Baroque, often frivolous and erotic. Rococo developed first in the decorative arts and interior design in France. Louis XV's succession brought a change in the court artists and general artistic fashion. The 1730s represented the height of Rococo development in France exemplified by the works of Antoine Watteau and François Boucher. Rococo still maintained the Baroque taste for complex forms and intricate patterns, but by this point, it had begun to integrate a variety of diverse characteristics, including a taste for Oriental designs and asymmetric compositions. The Rococo style spread with French artists and engraved publications. It was readily received in the Catholic parts of Germany, Bohemia, and Austria, where it was merged with the lively German Baroque traditions. German Rococo was applied with enthusiasm to churches and palaces, particularly in the south, while Frederician Rococo developed in the Kingdom of Prussia. The French masters Watteau, Boucher and Fragonard represent the style, as do Giovanni Battista Tiepolo and Jean-Baptiste-Siméon Chardin who was considered by some as the best French painter of the 18th century – the Anti-Rococo. Portraiture was an important component of painting in all countries, but especially in England, where the leaders were William Hogarth, in a blunt realist style, and Francis Hayman, Angelica Kauffman (who was Swiss), Thomas Gainsborough and Joshua Reynolds in more flattering styles influenced by Anthony van Dyck. In France during the Rococo era Jean-Baptiste Greuze (the favorite painter of Denis Diderot), excelled in portraits and history paintings, and Maurice Quentin de La Tour and Élisabeth Vigée-Lebrun were highly accomplished portrait painters. La Tour specialized in pastel painting, which became a popular medium during this period. William Hogarth helped develop a theoretical foundation for Rococo beauty. Though not intentionally referencing the movement, he argued in his Analysis of Beauty (1753) that the undulating lines and S-curves prominent in Rococo were the basis for grace and beauty in art or nature (unlike the straight line or the circle in Classicism). The beginning of the end for Rococo came in the early 1760s as figures like Voltaire and Jacques-François Blondel began to voice their criticism of the superficiality and degeneracy of the art. Blondel decried the "ridiculous jumble of shells, dragons, reeds, palm-trees and plants" in contemporary interiors. By 1785, Rococo had passed out of fashion in France, replaced by the order and seriousness of Neoclassical artists like Jacques-Louis David. 19th century: Neo-classicism, History painting, Romanticism, Impressionism, Post-Impressionism, Symbolism After Rococo there arose in the late 18th century, in architecture, and then in painting severe neo-classicism, best represented by such artists as David and his heir Ingres. Ingres' work already contains much of the sensuality, but none of the spontaneity, that was to characterize Romanticism. This movement turned its attention toward landscape and nature as well as the human figure and the supremacy of natural order above mankind's will. There is a pantheist philosophy (see Spinoza and Hegel) within this conception that opposes Enlightenment ideals by seeing mankind's destiny in a more tragic or pessimistic light. The idea that human beings are not above the forces of Nature is in contradiction to Ancient Greek and Renaissance ideals where mankind was above all things and owned his fate. This thinking led romantic artists to depict the sublime, ruined churches, shipwrecks, massacres and madness. By the mid-19th-century painters became liberated from the demands of their patronage to only depict scenes from religion, mythology, portraiture or history. The idea "art for art's sake" began to find expression in the work of painters like Francisco de Goya, John Constable, and J.M.W. Turner. Romantic painters saw landscape painting as an important genre to express the vanity of mankind in opposition to the grandeur of nature. Until then, landscape painting wasn't considered the most important genre for painters (like portraiture or history painting). But painters like J.M.W. Turner and Caspar David Friedrich managed to elevate landscape painting to an eminence rivalling history painting. Some of the major painters of this period are Eugène Delacroix, Théodore Géricault, J. M. W. Turner, Caspar David Friedrich and John Constable. Francisco de Goya's late work demonstrates the Romantic interest in the irrational, while the work of Arnold Böcklin evokes mystery and the paintings of Aesthetic movement artist James McNeill Whistler evoke both sophistication and decadence. In the United States the Romantic tradition of landscape painting was known as the Hudson River School: exponents include Thomas Cole, Frederic Edwin Church, Albert Bierstadt, Thomas Moran, and John Frederick Kensett. Luminism was a movement in American landscape painting related to the Hudson River School. The leading Barbizon School painter Camille Corot painted in both a romantic and a realistic vein; his work prefigures Impressionism, as does the paintings of Eugène Boudin who was one of the first French landscape painters to paint outdoors. Boudin was also an important influence on the young Claude Monet, whom in 1857 he introduced to Plein air painting. A major force in the turn towards Realism at mid-century was Gustave Courbet. In the latter third of the century Impressionists like Édouard Manet, Claude Monet, Pierre-Auguste Renoir, Camille Pissarro, Alfred Sisley, Berthe Morisot, Mary Cassatt, and Edgar Degas worked in a more direct approach than had previously been exhibited publicly. They eschewed allegory and narrative in favor of individualized responses to the modern world, sometimes painted with little or no preparatory study, relying on deftness of drawing and a highly chromatic pallette. Manet, Degas, Renoir, Morisot, and Cassatt concentrated primarily on the human subject. Both Manet and Degas reinterpreted classical figurative canons within contemporary situations; in Manet's case the re-imaginings met with hostile public reception. Renoir, Morisot, and Cassatt turned to domestic life for inspiration, with Renoir focusing on the female nude. Monet, Pissarro, and Sisley used the landscape as their primary motif, the transience of light and weather playing a major role in their work. While Sisley most closely adhered to the original principals of the Impressionist perception of the landscape, Monet sought challenges in increasingly chromatic and changeable conditions, culminating in his series of monumental works of Water Lilies painted in Giverny. Pissarro adopted some of the experiments of Post-Impressionism. Slightly younger Post-Impressionists like Vincent van Gogh, Paul Gauguin, and Georges Seurat, along with Paul Cézanne led art to the edge of modernism; for Gauguin Impressionism gave way to a personal symbolism; Seurat transformed Impressionism's broken color into a scientific optical study, structured on frieze-like compositions; Van Gogh's turbulent method of paint application, coupled with a sonorous use of color, predicted Expressionism and Fauvism, and Cézanne, desiring to unite classical composition with a revolutionary abstraction of natural forms, would come to be seen as a precursor of 20th-century art. The spell of Impressionism was felt throughout the world, including in the United States, where it became integral to the painting of American Impressionists such as Childe Hassam, John Twachtman, and Theodore Robinson; and in Australia where painters of the Heidelberg School such as Arthur Streeton, Frederick McCubbin and Charles Conder painted en plein air and were particularly interested in the Australian landscape and light. It also exerted influence on painters who were not primarily Impressionistic in theory, like the portrait and landscape painter John Singer Sargent. At the same time in America at the turn of the 20th century there existed a native and nearly insular realism, as richly embodied in the figurative work of Thomas Eakins, the Ashcan School, and the landscapes and seascapes of Winslow Homer, all of whose paintings were deeply invested in the solidity of natural forms. The visionary landscape, a motive largely dependent on the ambiguity of the nocturne, found its advocates in Albert Pinkham Ryder and Ralph Albert Blakelock. In the late 19th century there also were several, rather dissimilar, groups of Symbolist painters whose works resonated with younger artists of the 20th century, especially with the Fauvists and the Surrealists. Among them were Gustave Moreau, Odilon Redon, Pierre Puvis de Chavannes, Henri Fantin-Latour, Arnold Böcklin, Edvard Munch, Félicien Rops, and Jan Toorop, and Gustav Klimt amongst others including the Russian Symbolists like Mikhail Vrubel. Symbolist painters mined mythology and dream imagery for a visual language of the soul, seeking evocative paintings that brought to mind a static world of silence. The symbols used in Symbolism are not the familiar emblems of mainstream iconography but intensely personal, private, obscure and ambiguous references. More a philosophy than an actual style of art, the Symbolist painters influenced the contemporary Art Nouveau movement and Les Nabis. In their exploration of dreamlike subjects, symbolist painters are found across centuries and cultures, as they are still today; Bernard Delvaille has described René Magritte's surrealism as "Symbolism plus Freud". 20th-century modern and contemporary The heritage of painters like Van Gogh, Cézanne, Gauguin, and Seurat was essential for the development of modern art. At the beginning of the 20th century Henri Matisse and several other young artists revolutionized the Paris art world with "wild", multi-colored, expressive, landscapes and figure paintings that the critics called Fauvism. Pablo Picasso made his first cubist paintings based on Cézanne's idea that all depiction of nature can be reduced to three solids: cube, sphere and cone. Pioneers of the 20th century The heritage of painters like Van Gogh, Cézanne, Gauguin, and Seurat was essential for the development of modern art. At the beginning of the 20th century Henri Matisse and several other young artists including the pre-cubist Georges Braque, André Derain, Raoul Dufy and Maurice de Vlaminck revolutionized the Paris art world with "wild", multi-colored, expressive, landscapes and figure paintings that the critics called Fauvism. Henri Matisse's second version of The Dance signifies a key point in his career and in the development of modern painting. It reflects Matisse's incipient fascination with primitive art: the intense warm colors against the cool blue-green background and the rhythmical succession of dancing nudes convey the feelings of emotional liberation and hedonism. Pablo Picasso made his first cubist paintings based on Cézanne's idea that all depiction of nature can be reduced to three solids: cube, sphere and cone. With the painting Les Demoiselles d'Avignon 1907, Picasso dramatically created a new and radical picture depicting a raw and primitive brothel scene with five prostitutes, violently painted women, reminiscent of African tribal masks and his own new Cubist inventions. analytic Cubism was jointly developed by Pablo Picasso and Georges Braque, exemplified by Violin and Candlestick, Paris, from about 1908 through 1912. Analytic cubism, the first clear manifestation of cubism, was followed by synthetic cubism, practised by Braque, Picasso, Fernand Léger, Juan Gris, Albert Gleizes, Marcel Duchamp and countless other artists into the 1920s. Synthetic cubism is characterized by the introduction of different textures, surfaces, collage elements, papier collé and a large variety of merged subject matter. Les Fauves (French for The Wild Beasts) were early-20th-century painters, experimenting with freedom of expression through color. The name was given, humorously and not as a compliment, to the group by art critic Louis Vauxcelles. Fauvism was a short-lived and loose grouping of early-20th-century artists whose works emphasized painterly qualities, and the imaginative use of deep color over the representational values. Fauvists made the subject of the painting easy to read, exaggerated perspectives and an interesting prescient prediction of the Fauves was expressed in 1888 by Paul Gauguin to Paul Sérusier, The leaders of the movement were Henri Matisse and André Derain – friendly rivals of a sort, each with his own followers. Ultimately Matisse became the yang to Picasso's yin in the 20th century. Fauvist painters included Albert Marquet, Charles Camoin, Maurice de Vlaminck, Raoul Dufy, Othon Friesz, the Dutch painter Kees van Dongen, and Picasso's partner in Cubism, Georges Braque amongst others. Fauvism, as a movement, had no concrete theories, and was short lived, beginning in 1905 and ending in 1907, they only had three exhibitions. Matisse was seen as the leader of the movement, due to his seniority in age and prior self-establishment in the academic art world. His 1905 portrait of Mme. Matisse The Green Line, (above), caused a sensation in Paris when it was first exhibited. He said he wanted to create art to delight; art as a decoration was his purpose and it can be said that his use of bright colors tries to maintain serenity of composition. In 1906 at the suggestion of his dealer Ambroise Vollard, André Derain went to London and produced a series of paintings like Charing Cross Bridge, London (above) in the Fauvist style, paraphrasing the famous series by the Impressionist painter Claude Monet. Masters like Henri Matisse and Pierre Bonnard continued developing their narrative styles independent of any movement throughout the 20th century. By 1907 Fauvism no longer was a shocking new movement, soon it was replaced by Cubism on the critics' radar screen as the latest new development in Contemporary Art of the time. In 1907 Appolinaire, commenting about Matisse in an article published in La Falange, said, "We are not here in the presence of an extravagant or an extremist undertaking: Matisse's art is eminently reasonable." Analytic cubism was jointly developed by Pablo Picasso and Georges Braque from about 1908 through 1912. Analytic cubism, the first clear manifestation of cubism, was followed by Synthetic cubism, practised by Braque, Picasso, Fernand Léger, Juan Gris, Albert Gleizes, Marcel Duchamp and countless other artists into the 1920s. Synthetic cubism is characterized by the introduction of different textures, surfaces, collage elements, papier collé and a large variety of merged subject matter. During the years between 1910 and the end of World War I and after the heyday of cubism, several movements emerged in Paris. Giorgio de Chirico moved to Paris in July 1911, where he joined his brother Andrea (the poet and painter known as Alberto Savinio). Through his brother he met Pierre Laprade a member of the jury at the Salon d'Automne, where he exhibited three of his dreamlike works: Enigma of the Oracle, Enigma of an Afternoon and Self-Portrait. During 1913 he exhibited his work at the Salon des Indépendants and Salon d'Automne, his work was noticed by Pablo Picasso and Guillaume Apollinaire and several others. His compelling and mysterious paintings are considered instrumental to the early beginnings of Surrealism. During the first half of the 20th century in Europe masters like Georges Braque, André Derain, and Giorgio de Chirico continued painting independent of any movement. Pioneers of Modern art In the first two decades of the 20th century and after Cubism, several other important movements emerged; futurism (Balla), abstract art (Kandinsky), Der Blaue Reiter), Bauhaus, (Kandinsky) and (Klee), Orphism, (Robert Delaunay and František Kupka), Synchromism (Morgan Russell), De Stijl (Mondrian), Suprematism (Malevich), Constructivism (Tatlin), Dadaism (Duchamp, Picabia, Arp) and Surrealism (De Chirico, André Breton, Miró, Magritte, Dalí, Ernst). Modern painting influenced all the visual arts, from Modernist architecture and design, to avant-garde film, theatre and modern dance and became an experimental laboratory for the expression of visual experience, from photography and concrete poetry to advertising art and fashion. Van Gogh's painting exerted great influence upon 20th-century Expressionism, as can be seen in the work of the Fauves, Die Brücke (a group led by German painter Ernst Kirchner), and the Expressionism of Edvard Munch, Egon Schiele, Marc Chagall, Amedeo Modigliani, Chaïm Soutine and others.. Wassily Kandinsky a Russian painter, printmaker and art theorist, one of the most famous 20th-century artists is generally considered the first important painter of modern abstract art. As an early Modernist, in search of new modes of visual expression, and spiritual expression, he theorized as did contemporary occultists and theosophists, that pure visual abstraction had corollary vibrations with sound and music. They posited that pure abstraction could express pure spirituality. His earliest abstractions were generally titled as the example in the (above gallery) Composition VII, making connection to the work of the composers of music. Kandinsky included many of his theories about abstract art in his book Concerning the Spiritual in Art. Robert Delaunay was a French artist who is associated with Orphism, (reminiscent of a link between pure abstraction and cubism). His later works were more abstract, reminiscent of Paul Klee. His key contributions to abstract painting refer to his bold use of color, and a clear love of experimentation of both depth and tone. At the invitation of Wassily Kandinsky, Delaunay and his wife the artist Sonia Delaunay, joined The Blue Rider (Der Blaue Reiter), a Munich-based group of abstract artists, in 1911, and his art took a turn to the abstract. Other major pioneers of early abstraction include Russian painter Kasimir Malevich, who after the Russian Revolution in 1917, and after pressure from the Stalinist regime in 1924 returned to painting imagery and Peasants and Workers in the field, and Swiss painter Paul Klee whose masterful color experiments made him an important pioneer of abstract painting at the Bauhaus. Still other important pioneers of abstract painting include the Swedish artist Hilma af Klint, Czech painter František Kupka as well as American artists Stanton Macdonald-Wright and Morgan Russell who, in 1912, founded Synchromism, an art movement that closely resembles Orphism. Expressionism and Symbolism are broad rubrics that involve several important and related movements in 20th-century painting that dominated much of the avant-garde art being made in Western, Eastern and Northern Europe. Expressionist works were painted largely between World War I and World War II, mostly in France, Germany, Norway, Russia, Belgium, and Austria. Expressionist artists are related to both Surrealism and Symbolism and are each uniquely and somewhat eccentrically personal. Fauvism, Die Brücke, and Der Blaue Reiter are three of the best known groups of Expressionist and Symbolist painters. Artists as interesting and diverse as Marc Chagall, whose painting I and the Village, (above) tells an autobiographical story that examines the relationship between the artist and his origins, with a lexicon of artistic Symbolism. Gustav Klimt, Egon Schiele, Edvard Munch, Emil Nolde, Chaïm Soutine, James Ensor, Oskar Kokoschka, Ernst Ludwig Kirchner, Max Beckmann, Franz Marc, Käthe Schmidt Kollwitz, Georges Rouault, Amedeo Modigliani and some of the Americans abroad like Marsden Hartley, and Stuart Davis, were considered influential expressionist painters. Although Alberto Giacometti is primarily thought of as an intense Surrealist sculptor, he made intense expressionist paintings as well. Pioneers of abstraction Piet Mondrian's art was also related to his spiritual and philosophical studies. In 1908 he became interested in the theosophical movement launched by Helena Petrovna Blavatsky in the late 19th century. Blavatsky believed that it was possible to attain a knowledge of nature more profound than that provided by empirical means, and much of Mondrian's work for the rest of his life was inspired by his search for that spiritual knowledge. De Stijl also known as neoplasticism, was a Dutch artistic movement founded in 1917. The term De Stijl is used to refer to a body of work from 1917 to 1931 founded in the Netherlands. De Stijl is also the name of a journal that was published by the Dutch painter, designer, writer, and critic Theo van Doesburg propagating the group's theories. Next to van Doesburg, the group's principal members were the painters Piet Mondrian, Vilmos Huszár, and Bart van der Leck, and the architects Gerrit Rietveld, Robert van 't Hoff, and J. J. P. Oud. The artistic philosophy that formed a basis for the group's work is known as neoplasticism – the new plastic art (or Nieuwe Beelding in Dutch). Proponents of De Stijl sought to express a new utopian ideal of spiritual harmony and order. They advocated pure abstraction and universality by a reduction to the essentials of form and colour; they simplified visual compositions to the vertical and horizontal directions, and used only primary colors along with black and white. Indeed, according to the Tate Gallery's online article on neoplasticism, Mondrian himself sets forth these delimitations in his essay "Neo-Plasticism in Pictorial Art". He writes, "... this new plastic idea will ignore the particulars of appearance, that is to say, natural form and colour. On the contrary, it should find its expression in the abstraction of form and colour, that is to say, in the straight line and the clearly defined primary colour." The Tate article further summarizes that this art allows "only primary colours and non-colours, only squares and rectangles, only straight and horizontal or vertical line." The Guggenheim Museum's online article on De Stijl summarizes these traits in similar terms: "It [De Stijl] was posited on the fundamental principle of the geometry of the straight line, the square, and the rectangle, combined with a strong asymmetricality; the predominant use of pure primary colors with black and white; and the relationship between positive and negative elements in an arrangement of non-objective forms and lines." De Stijl movement was influenced by Cubist painting as well as by the mysticism and the ideas about "ideal" geometric forms (such as the "perfect straight line") in the neoplatonic philosophy of mathematician M. H. J. Schoenmaekers. The works of De Stijl would influence the Bauhaus style and the international style of architecture as well as clothing and interior design. However, it did not follow the general guidelines of an "ism" (Cubism, Futurism, Surrealism), nor did it adhere to the principles of art schools like Bauhaus; it was a collective project, a joint enterprise. Dada and Surrealism Marcel Duchamp, came to international prominence in the wake of his notorious success at the New York City Armory Show in 1913, (soon after he denounced artmaking for chess). After Duchamp's Nude Descending a Staircase became the international cause celebre at the 1913 Armory show in New York he created The Bride Stripped Bare by Her Bachelors, Even, Large Glass. The Large Glass pushed the art of painting to radical new limits being part painting, part collage, part construction. Duchamp became closely associated with the Dada movement that began in neutral Zurich, Switzerland, during World War I and peaked from 1916 to 1920. The movement primarily involved visual arts, literature (poetry, art manifestoes, art theory), theatre, and graphic design, and concentrated its anti war politic through a rejection of the prevailing standards in art through anti-art cultural works. Francis Picabia, Man Ray, Kurt Schwitters, Tristan Tzara, Hans Richter, Jean Arp, Sophie Taeuber-Arp, along with Duchamp and many others are associated with the Dadaist movement. Duchamp and several Dadaists are also associated with Surrealism, the movement that dominated European painting in the 1920s and 1930s. In 1924 André Breton published the Surrealist Manifesto. The Surrealist movement in painting became synonymous with the avant-garde and which featured artists whose works varied from the abstract to the super-realist. With works on paper like Machine Turn Quickly, (above) Francis Picabia continued his involvement in the Dada movement through 1919 in Zurich and Paris, before breaking away from it after developing an interest in Surrealist art. Yves Tanguy, René Magritte and Salvador Dalí are particularly known for their realistic depictions of dream imagery and fantastic manifestations of the imagination. Joan Miró's The Tilled Field of 1923–1924 verges on abstraction, this early painting of a complex of objects and figures, and arrangements of sexually active characters; was Miró's first Surrealist masterpiece. Miró's The Tilled Field also contains several parallels to Bosch's Garden of Earthly Delights: similar flocks of birds; pools from which living creatures emerge; and oversize disembodied ears all echo the Dutch master's work that Miró saw as a young painter in The Prado. The more abstract Joan Miró, Jean Arp, André Masson, and Max Ernst were very influential, especially in the United States during the 1940s. Throughout the 1930s, Surrealism continued to become more visible to the public at large. A Surrealist group developed in Britain and, according to Breton, their 1936 London International Surrealist Exhibition was a high water mark of the period and became the model for international exhibitions. Surrealist groups in Japan, and especially in Latin America, the Caribbean and in Mexico produced innovative and original works. Dalí and Magritte created some of the most widely recognized images of the movement. The 1928/1929 painting This Is Not A Pipe, by Magritte is the subject of a Michel Foucault 1973 book, This is not a Pipe (English edition, 1991), that discusses the painting and its paradox. Dalí joined the group in 1929, and participated in the rapid establishment of the visual style between 1930 and 1935. Surrealism as a visual movement had found a method: to expose psychological truth by stripping ordinary objects of their normal significance, in order to create a compelling image that was beyond ordinary formal organization, and perception, sometimes evoking empathy from the viewer, sometimes laughter and sometimes outrage and bewilderment. 1931 marked a year when several Surrealist painters produced works which marked turning points in their stylistic evolution: in one example, liquid shapes become the trademark of Dalí, particularly in his The Persistence of Memory, which features the image of watches that sag as if they are melting. Evocations of time and its compelling mystery and absurdity. The characteristics of this style – a combination of the depictive, the abstract, and the psychological – came to stand for the alienation which many people felt in the modernist period, combined with the sense of reaching more deeply into the psyche, to be "made whole with one's individuality." Max Ernst whose 1920 painting Murdering Airplane, studied philosophy and psychology in Bonn and was interested in the alternative realities experienced by the insane. His paintings may have been inspired by the psychoanalyst Sigmund Freud's study of the delusions of a paranoiac, Daniel Paul Schreber. Freud identified Schreber's fantasy of becoming a woman as a castration complex. The central image of two pairs of legs refers to Schreber's hermaphroditic desires. Ernst's inscription on the back of the painting reads: The picture is curious because of its symmetry. The two sexes balance one another. During the 1920s André Masson's work was enormously influential in helping the newly arrived in Paris and young artist Joan Miró find his roots in the new Surrealist painting. Miró acknowledged in letters to his dealer Pierre Matisse the importance of Masson as an example to him in his early years in Paris. Long after personal, political and professional tensions have fragmented the Surrealist group into thin air and ether, Magritte, Miró, Dalí and the other Surrealists continue to define a visual program in the arts. Other prominent surrealist artists include Giorgio de Chirico, Méret Oppenheim, Toyen, Grégoire Michonze, Roberto Matta, Kay Sage, Leonora Carrington, Dorothea Tanning, and Leonor Fini among others. Before and after the war Der Blaue Reiter was a German movement lasting from 1911 to 1914, fundamental to Expressionism, along with Die Brücke which was founded the previous decade in 1905 and was a group of German expressionist artists formed in Dresden in 1905. Founding members of Die Brücke were Fritz Bleyl, Erich Heckel, Ernst Ludwig Kirchner and Karl Schmidt-Rottluff. Later members included Max Pechstein, Otto Mueller and others. The group was one of the seminal ones, which in due course had a major impact on the evolution of modern art in the 20th century and created the style of Expressionism. Wassily Kandinsky, Franz Marc, August Macke, Alexej von Jawlensky, whose psychically expressive painting of the Russian dancer Portrait of Alexander Sakharoff, 1909 is in the gallery above, Marianne von Werefkin, Lyonel Feininger and others founded the Der Blaue Reiter group in response to the rejection of Kandinsky's
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Choudhuri enriched the art culture of India. They have become the icons of modern Indian art. Art historians like Prof. Rai Anand Krishna have also referred to those works of modern artistes that reflect Indian ethos. Geeta Vadhera has had acclaim in translating complex, Indian spiritual themes onto canvas like Sufi thought, the Upanishads and the Bhagwad Geeta. Indian art got a boost with the economic liberalization of the country since the early 1990s. Artists from various fields now started bringing in varied styles of work. In post-liberalization India, many artists have established themselves in the international art market like the abstract painter Natvar Bhavsar, figurative artist Devajyoti Ray and sculptor Anish Kapoor whose mammoth postminimalist artworks have acquired attention for their sheer size. Many art houses and galleries have also opened in USA and Europe to showcase Indian artworks. South-East Asia Indonesian The oldest known cave paintings are more than 44,000-50,000 years old, found in the caves in the district of Maros (Sulawesi, Indonesia). The oldest type of cave paintings are hand stencils and simple geometric shapes; the oldest undisputed examples of figurative cave paintings are somewhat younger, close to 35,000 years old. The discovery of the then-oldest known figurative art painting, over 40,000 (perhaps as old as 52,000) years old, of an unknown animal, in the cave of Lubang Jeriji Saléh on the Indonesian island of Borneo. In December 2019, however, figurative cave paintings depicting pig hunting in the Maros-Pangkep karst in Sulawesi were estimated to be even older, at at least 43,900 years old. The finding was noted to be "the oldest pictorial record of storytelling and the earliest figurative artwork in the world". Other examples of Indonesian paintings are the Kenyah decorative art, based on endemic natural motifs such as ferns and hornbills, found decorating the walls of Kenyah longhouses. Other notable traditional art is the geometric Toraja wood carvings. Balinese paintings are initially the narrative images to depict scenes of Balinese legends and religious scripts. The classical Balinese paintings are often decorating the lontar manuscripts and also the ceilings of temples pavilion. Filipino Filipino painting as a whole can be seen as an amalgamation of many cultural influences, though it tends to be more Western in its current form with Eastern roots. Early Filipino painting can be found in red slip (clay mixed with water) designs embellished on the ritual pottery of the Philippines such as the acclaimed Manunggul Jar. Evidence of Philippine pottery-making dated as early as 6000BC has been found in Sanga-sanga Cave, Sulu and Laurente Cave, Cagayan. It has been proven that by 5000BC, the making of pottery was practiced throughout the country. Early Filipinos started making pottery before their Cambodian neighbors and at about the same time as the Thais as part of what appears to be a widespread Ice Age development of pottery technology. Further evidences of painting are manifested in the tattoo tradition of early Filipinos, whom the Portuguese explorer referred to as Pintados or the 'Painted People' of the Visayas. Various designs referencing flora and fauna with heavenly bodies decorate their bodies in various colored pigmentation. Perhaps, some of the most elaborate painting done by early Filipinos that survive to the present day can be manifested among the arts and architecture of the Maranao who are well known for the Nāga Dragons and the Sarimanok carved and painted in the beautiful Panolong of their Torogan or King's House. Filipinos began creating paintings in the European tradition during the 17th-century Spanish period. The earliest of these paintings were Church frescoes, religious imagery from Biblical sources, as well as engravings, sculptures and lithographs featuring Christian icons and European nobility. Most of the paintings and sculptures between the 19th, and 20th century produced a mixture of religious, political, and landscape art works, with qualities of sweetness, dark, and light. Early modernist painters such as Damián Domingo was associated with religious and secular paintings. The art of Juan Luna and Félix Hidalgo showed a trend for political statement. Artist such as Fernando Amorsolo used post-modernism to produce paintings that illustrated Philippine culture, nature, and harmony. While other artists such as Fernando Zóbel used realities and abstract on his work. Western Egypt, Greece and Rome Ancient Egypt, a civilization with very strong traditions of architecture and sculpture (both originally painted in bright colours) also had many mural paintings in temples and buildings, and painted illustrations on papyrus manuscripts. Egyptian wall painting and decorative painting is often graphic, sometimes more symbolic than realistic. Egyptian painting depicts figures in bold outline and flat silhouette, in which symmetry is a constant characteristic. Egyptian painting has close connection with its written language – called Egyptian hieroglyphs. Painted symbols are found amongst the first forms of written language. The Egyptians also painted on linen, remnants of which survive today. Ancient Egyptian paintings survived due to the extremely dry climate. The ancient Egyptians created paintings to make the afterlife of the deceased a pleasant place. The themes included journey through the afterworld or their protective deities introducing the deceased to the gods of the underworld. Some examples of such paintings are paintings of the gods and goddesses Ra, Horus, Anubis, Nut, Osiris and Isis. Some tomb paintings show activities that the deceased were involved in when they were alive and wished to carry on doing for eternity. In the New Kingdom and later, the Book of the Dead was buried with the entombed person. It was considered important for an introduction to the afterlife. To the north of Egypt was the Minoan civilization centered on the island of Crete. The wall paintings found in the palace of Knossos are similar to that of the Egyptians but much more free in style. Mycenaean Greece, beginning around 1600 BC, produced similar art to that of Minoan Crete. Ancient Greek art during the Greek Dark Age became far less complex, but the renewal of Greek civilization throughout the Mediterranean during Archaic Greece brought about new forms of Greek art with the Orientalizing style. Ancient Greece had skilled painters, sculptors (though both endeavours were regarded as mere manual labour at the time), and architects. The Parthenon is an example of their architecture that has lasted to modern days. Greek marble sculpture is often described as the highest form of Classical art. Painting on pottery of Ancient Greece and ceramics gives a particularly informative glimpse into the way society in Ancient Greece functioned. Black-figure vase painting and Red-figure vase painting gives many surviving examples of what Greek painting was. Some famous Greek painters on wooden panels who are mentioned in texts are Apelles, Zeuxis and Parrhasius, however no examples of Ancient Greek panel painting survive, only written descriptions by their contemporaries or later Romans. Zeuxis lived in 5–6BC and was said to be the first to use sfumato. According to Pliny the Elder, the realism of his paintings was such that birds tried to eat the painted grapes. Apelles is described as the greatest painter of Antiquity for perfect technique in drawing, brilliant color and modeling. Roman art was influenced by Greece and can in part be taken as a descendant of ancient Greek painting. However, Roman painting does have important unique characteristics. Surviving Roman paintings include wall paintings and frescoes, many from villas in Campania, in Southern Italy at sites such as Pompeii and Herculaneum. Such painting can be grouped into four main "styles" or periods and may contain the first examples of trompe-l'œil, pseudo-perspective, and pure landscape. Almost the only painted portraits surviving from the Ancient world are a large number of coffin-portraits of bust form found in the Late Antique cemetery of Al-Fayum. Although these were neither of the best period nor the highest quality, they are impressive in themselves, and give an idea of the quality that the finest ancient work must have had. A very small number of miniatures from Late Antique illustrated books also survive, and a rather larger number of copies of them from the Early Medieval period. Middle Ages The rise of Christianity imparted a different spirit and aim to painting styles. Byzantine art, once its style was established by the 6th century, placed great emphasis on retaining traditional iconography and style, and gradually evolved during the thousand years of the Byzantine Empire and the living traditions of Greek and Russian Orthodox icon-painting. Byzantine painting has a hieratic feeling and icons were and still are seen as a representation of divine revelation. There were many frescos, but fewer of these have survived than mosaics. Byzantine art has been compared to contemporary abstraction, in its flatness and highly stylised depictions of figures and landscape. Some periods of Byzantine art, especially the so-called Macedonian art of around the 10th century, are more flexible in approach. Frescos of the Palaeologian Renaissance of the early 14th century survive in the Chora Church in Istanbul. In post-Antique Catholic Europe the first distinctive artistic style to emerge that included painting was the Insular art of the British Isles, where the only surviving examples are miniatures in Illuminated manuscripts such as the Book of Kells. These are most famous for their abstract decoration, although figures, and sometimes scenes, were also depicted, especially in Evangelist portraits. Carolingian and Ottonian art also survives mostly in manuscripts, although some wall-painting remain, and more are documented. The art of this period combines Insular and "barbarian" influences with a strong Byzantine influence and an aspiration to recover classical monumentality and poise. Walls of Romanesque and Gothic churches were decorated with frescoes as well as sculpture and many of the few remaining murals have great intensity, and combine the decorative energy of Insular art with a new monumentality in the treatment of figures. Far more miniatures in Illuminated manuscripts survive from the period, showing the same characteristics, which continue into the Gothic period. Panel painting becomes more common during the Romanesque period, under the heavy influence of Byzantine icons. Towards the middle of the 13th century, Medieval art and Gothic painting became more realistic, with the beginnings of interest in the depiction of volume and perspective in Italy with Cimabue and then his pupil Giotto. From Giotto on, the treatment of composition by the best painters also became much more free and innovative. They are considered to be the two great medieval masters of painting in western culture. Cimabue, within the Byzantine tradition, used a more realistic and dramatic approach to his art. His pupil, Giotto, took these innovations to a higher level which in turn set the foundations for the western painting tradition. Both artists were pioneers in the move towards naturalism. Churches were built with more and more windows and the use of colorful stained glass become a staple in decoration. One of the most famous examples of this is found in the cathedral of Notre Dame de Paris. By the 14th century Western societies were both richer and more cultivated and painters found new patrons in the nobility and even the bourgeoisie. Illuminated manuscripts took on a new character and slim, fashionably dressed court women were shown in their landscapes. This style soon became known as International style and tempera panel paintings and altarpieces gained importance. Renaissance and Mannerism The Renaissance (French for 'rebirth'), a cultural movement roughly spanning the 14th through the mid-17th century, heralded the study of classical sources, as well as advances in science which profoundly influenced European intellectual and artistic life. In the Low Countries, especially in modern day Flanders, a new way of painting was established in the beginning of the 15th century. In the footsteps of the developments made in the illumination of manuscripts, especially by the Limbourg Brothers, artists became fascinated by the tangible in the visible world and began representing objects in an extremely naturalistic way. The adoption of oil painting whose invention was traditionally, but erroneously, credited to Jan van Eyck, made possible a new verisimilitude in depicting this naturalism. The medium of oil paint was already present in the work of Melchior Broederlam, but painters like Jan van Eyck and Robert Campin brought its use to new heights and employed it to represent the naturalism they were aiming for. With this new medium the painters of this period were capable of creating richer colors with a deep intense tonality. The illusion of glowing light with a porcelain-like finish characterized Early Netherlandish painting and was a major difference to the matte surface of tempera paint used in Italy. Unlike the Italians, whose work drew heavily from the art of Ancient Greece and Rome, the northerners retained a stylistic residue of the sculpture and illuminated manuscripts of the Middle Ages (especially its naturalism). The most important artist of this time was Jan van Eyck, whose work ranks among the finest made by artists who are now known as Early Netherlandish painters or Flemish Primitives (since most artists were active in cities in modern day Flanders). The first painter of this period was the Master of Flémalle, nowadays identified as Robert Campin, whose work follows the art of the International Gothic. Another important painter of this period was Rogier van der Weyden, whose compositions stressed human emotion and drama, demonstrated for instance in his Descent from the Cross, which ranks among the most famous works of the 15th century and was the most influential Netherlandish painting of Christ's crucifixion. Other important artists from this period are Hugo van der Goes (whose work was highly influential in Italy), Dieric Bouts (who was among the first northern painters to demonstrate the use of a single vanishing point), Petrus Christus, Hans Memling and Gerard David. In Italy, the art of Classical antiquity inspired a style of painting that emphasized the ideal. Artists such as Paolo Uccello, Masaccio, Fra Angelico, Piero della Francesca, Andrea Mantegna, Filippo Lippi, Sandro Botticelli, Leonardo da Vinci, Michelangelo Buonarroti, and Raphael took painting to a higher level through the use of perspective, the study of human anatomy and proportion, and through their development of an unprecedented refinement in drawing and painting techniques. A somewhat more naturalistic style emerged in Venice. Painters of the Venetian school, such as Giovanni Bellini, Giorgione, Titian, Tintoretto, and Veronese, were less concerned with precision in their drawing than with the richness of color and unity of effect that could be achieved by a more spontaneous approach to painting. Flemish, Dutch and German painters of the Renaissance such as Hans Holbein the Younger, Albrecht Dürer, Lucas Cranach, Matthias Grünewald, Hieronymus Bosch, and Pieter Bruegel represent a different approach from their Italian colleagues, one that is more realistic and less idealized. Genre painting became a popular idiom amongst the Northern painters like Pieter Bruegel. Renaissance painting reflects the revolution of ideas and science (astronomy, geography) that occurred in this period, the Reformation, and the invention of the printing press. Dürer, considered one of the greatest of printmakers, states that painters are not mere artisans but thinkers as well. With the development of easel painting in the Renaissance, painting gained independence from architecture. Easel paintings—movable pictures which could be hung easily on walls—became a popular alternative to paintings fixed to furniture, walls or other structures. Following centuries dominated by religious imagery, secular subject matter slowly returned to Western painting. Artists included visions of the world around them, or the products of their own imaginations in their paintings. Those who could afford the expense could become patrons and commission portraits of themselves or their family. The High Renaissance gave rise to a stylized art known as Mannerism. In place of the balanced compositions and rational approach to perspective that characterized art at the dawn of the 16th century, the Mannerists sought instability, artifice, and doubt. The unperturbed faces and gestures of Piero della Francesca and the calm Virgins of Raphael are replaced by the troubled expressions of Pontormo and the emotional intensity of El Greco. Restless and unstable compositions, often extreme or disjunctive effects of perspective, and stylized poses are characteristic of Italian Mannerists such as Tintoretto, Pontormo, and Bronzino, and appeared later in the work of Northern Mannerists such as Hendrick Goltzius, Bartholomeus Spranger, and Joachim Wtewael. Baroque and Rococo Baroque painting is associated with the Baroque cultural movement, a movement often identified with Absolutism and the Counter Reformation or Catholic Revival; the existence of important Baroque painting in non-absolutist and Protestant states also, however, underscores its popularity, as the style spread throughout Western Europe. Baroque painting is characterized by great drama, rich, deep color, and intense light and dark shadows. Baroque art was meant to evoke emotion and passion instead of the calm rationality that had been prized during the Renaissance. During the period beginning around 1600 and continuing throughout the 17th century, painting is characterized as Baroque. Among the greatest painters of the Baroque are Caravaggio, Rembrandt, Frans Hals, Rubens, Velázquez, Poussin, and Johannes Vermeer. Caravaggio is an heir of the humanist painting of the High Renaissance. His realistic approach to the human figure, painted directly from life and dramatically spotlit against a dark background, shocked his contemporaries and opened a new chapter in the history of painting. Baroque painting often dramatizes scenes using light effects; this can be seen in works by Rembrandt, Vermeer, Le Nain, La Tour, and Jusepe de Ribera. In Italy, the Baroque style is epitomized by religious and mythological paintings in the Grand Manner by artists such as the Carracci, Guido Reni, and Luca Giordano. Illusionistic church ceiling frescoes by Pietro da Cortona seemed to open to the sky. A much quieter type of Baroque emerged in the Dutch Republic, where easel paintings of everyday subjects were popular with middle-class collectors, and many painters became specialists in genre, others in landscape or seascape or still life. Vermeer, Gerard ter Borch, and Pieter de Hooch brought great technical refinement to the painting of domestic scenes, as did Willem Claesz. Heda to still life. In contrast, Rembrandt excelled in painting every type of subject, and developed an individual painterly style in which the chiaroscuro and dark backgrounds derived from Caravaggio and the Utrecht Caravaggists lose their theatrical quality. During the 18th century, Rococo followed as a lighter extension of Baroque, often frivolous and erotic. Rococo developed first in the decorative arts and interior design in France. Louis XV's succession brought a change in the court artists and general artistic fashion. The 1730s represented the height of Rococo development in France exemplified by the works of Antoine Watteau and François Boucher. Rococo still maintained the Baroque taste for complex forms and intricate patterns, but by this point, it had begun to integrate a variety of diverse characteristics, including a taste for Oriental designs and asymmetric compositions. The Rococo style spread with French artists and engraved publications. It was readily received in the Catholic parts of Germany, Bohemia, and Austria, where it was merged with the lively German Baroque traditions. German Rococo was applied with enthusiasm to churches and palaces, particularly in the south, while Frederician Rococo developed in the Kingdom of Prussia. The French masters Watteau, Boucher and Fragonard represent the style, as do Giovanni Battista Tiepolo and Jean-Baptiste-Siméon Chardin who was considered by some as the best French painter of the 18th century – the Anti-Rococo. Portraiture was an important component of painting in all countries, but especially in England, where the leaders were William Hogarth, in a blunt realist style, and Francis Hayman, Angelica Kauffman (who was Swiss), Thomas Gainsborough and Joshua Reynolds in more flattering styles influenced by Anthony van Dyck. In France during the Rococo era Jean-Baptiste Greuze (the favorite painter of Denis Diderot), excelled in portraits and history paintings, and Maurice Quentin de La Tour and Élisabeth Vigée-Lebrun were highly accomplished portrait painters. La Tour specialized in pastel painting, which became a popular medium during this period. William Hogarth helped develop a theoretical foundation for Rococo beauty. Though not intentionally referencing the movement, he argued in his Analysis of Beauty (1753) that the undulating lines and S-curves prominent in Rococo were the basis for grace and beauty in art or nature (unlike the straight line or the circle in Classicism). The beginning of the end for Rococo came in the early 1760s as figures like Voltaire and Jacques-François Blondel began to voice their criticism of the superficiality and degeneracy of the art. Blondel decried the "ridiculous jumble of shells, dragons, reeds, palm-trees and plants" in contemporary interiors. By 1785, Rococo had passed out of fashion in France, replaced by the order and seriousness of Neoclassical artists like Jacques-Louis David. 19th century: Neo-classicism, History painting, Romanticism, Impressionism, Post-Impressionism, Symbolism After Rococo there arose in the late 18th century, in architecture, and then in painting severe neo-classicism, best represented by such artists as David and his heir Ingres. Ingres' work already contains much of the sensuality, but none of the spontaneity, that was to characterize Romanticism. This movement turned its attention toward landscape and nature as well as the human figure and the supremacy of natural order above mankind's will. There is a pantheist philosophy (see Spinoza and Hegel) within this conception that opposes Enlightenment ideals by seeing mankind's destiny in a more tragic or pessimistic light. The idea that human beings are not above the forces of Nature is in contradiction to Ancient Greek and Renaissance ideals where mankind was above all things and owned his fate. This thinking led romantic artists to depict the sublime, ruined churches, shipwrecks, massacres and madness. By the mid-19th-century painters became liberated from the demands of their patronage to only depict scenes from religion, mythology, portraiture or history. The idea "art for art's sake" began to find expression in the work of painters like Francisco de Goya, John Constable, and J.M.W. Turner. Romantic painters saw landscape painting as an important genre to express the vanity of mankind in opposition to the grandeur of nature. Until then, landscape painting wasn't considered the most important genre for painters (like portraiture or history painting). But painters like J.M.W. Turner and Caspar David Friedrich managed to elevate landscape painting to an eminence rivalling history painting. Some of the major painters of this period are Eugène Delacroix, Théodore Géricault, J. M. W. Turner, Caspar David Friedrich and John Constable. Francisco de Goya's late work demonstrates the Romantic interest in the irrational, while the work of Arnold Böcklin evokes mystery and the paintings of Aesthetic movement artist James McNeill Whistler evoke both sophistication and decadence. In the United States the Romantic tradition of landscape painting was known as the Hudson River School: exponents include Thomas Cole, Frederic Edwin Church, Albert Bierstadt, Thomas Moran, and John Frederick Kensett. Luminism was a movement in American landscape painting related to the Hudson River School. The leading Barbizon School painter Camille Corot painted in both a romantic and a realistic vein; his work prefigures Impressionism, as does the paintings of Eugène Boudin who was one of the first French landscape painters to paint outdoors. Boudin was also an important influence on the young Claude Monet, whom in 1857 he introduced to Plein air painting. A major force in the turn towards Realism at mid-century was Gustave Courbet. In the latter third of the century Impressionists like Édouard Manet, Claude Monet, Pierre-Auguste Renoir, Camille Pissarro, Alfred Sisley, Berthe Morisot, Mary Cassatt, and Edgar Degas worked in a more direct approach than had previously been exhibited publicly. They eschewed allegory and narrative in favor of individualized responses to the modern world, sometimes painted with little or no preparatory study, relying on deftness of drawing and a highly chromatic pallette. Manet, Degas, Renoir, Morisot, and Cassatt concentrated primarily on the human subject. Both Manet and Degas reinterpreted classical figurative canons within contemporary situations; in Manet's case the re-imaginings met with hostile public reception. Renoir, Morisot, and Cassatt turned to domestic life for inspiration, with Renoir focusing on the female nude. Monet, Pissarro, and Sisley used the landscape as their primary motif, the transience of light and weather playing a major role in their work. While Sisley most closely adhered to the original principals of the Impressionist perception of the landscape, Monet sought challenges in increasingly chromatic and changeable conditions, culminating in his series of monumental works of Water Lilies painted in Giverny. Pissarro adopted some of the experiments of Post-Impressionism. Slightly younger Post-Impressionists like Vincent van Gogh, Paul Gauguin, and Georges Seurat, along with Paul Cézanne led art to the edge of modernism; for Gauguin Impressionism gave way to a personal symbolism; Seurat transformed Impressionism's broken color into a scientific optical study, structured on frieze-like compositions; Van Gogh's turbulent method of paint application, coupled with a sonorous use of color, predicted Expressionism and Fauvism, and Cézanne, desiring to unite classical composition with a revolutionary abstraction of natural forms, would come to be seen as a precursor of 20th-century art. The spell of Impressionism was felt throughout the world, including in the United States, where it became integral to the painting of American Impressionists such as Childe Hassam, John Twachtman, and Theodore Robinson; and in Australia where painters of the Heidelberg School such as Arthur Streeton, Frederick McCubbin and Charles Conder painted en plein air and were particularly interested in the Australian landscape and light. It also exerted influence on painters who were not primarily Impressionistic in theory, like the portrait and landscape painter John Singer Sargent. At the same time in America at the turn of the 20th century there existed a native and nearly insular realism, as richly embodied in the figurative work of Thomas Eakins, the Ashcan School, and the landscapes and seascapes of Winslow Homer, all of whose paintings were deeply invested in the solidity of natural forms. The visionary landscape, a motive largely dependent on the ambiguity of the nocturne, found its advocates in Albert Pinkham Ryder and Ralph Albert Blakelock. In the late 19th century there also were several, rather dissimilar, groups of Symbolist painters whose works resonated with younger artists of the 20th century, especially with the Fauvists and the Surrealists. Among them were Gustave Moreau, Odilon Redon, Pierre Puvis de Chavannes, Henri Fantin-Latour, Arnold Böcklin, Edvard Munch, Félicien Rops, and Jan Toorop, and Gustav Klimt amongst others including the Russian Symbolists like Mikhail Vrubel. Symbolist painters mined mythology and dream imagery for a visual language of the soul, seeking evocative paintings that brought to mind a static world of silence. The symbols used in Symbolism are not the familiar emblems of mainstream iconography but intensely personal, private, obscure and ambiguous references. More a philosophy than an actual style of art, the Symbolist painters influenced the contemporary Art Nouveau movement and Les Nabis. In their exploration of dreamlike subjects, symbolist painters are found across centuries and cultures, as they are still today; Bernard Delvaille has described René Magritte's surrealism as "Symbolism plus Freud". 20th-century modern and contemporary The heritage of painters like Van Gogh, Cézanne, Gauguin, and Seurat was essential for the development of modern art. At the beginning of the 20th century Henri Matisse and several other young artists revolutionized the Paris art world with "wild", multi-colored, expressive, landscapes and figure paintings that the critics called Fauvism. Pablo Picasso made his first cubist paintings based on Cézanne's idea that all depiction of nature can be reduced to three solids: cube, sphere and cone. Pioneers of the 20th century The heritage of painters like Van Gogh, Cézanne, Gauguin, and Seurat was essential for the development of modern art. At the beginning of the 20th century Henri Matisse and several other young artists including the pre-cubist Georges Braque, André Derain, Raoul Dufy and Maurice de Vlaminck revolutionized the Paris art world with "wild", multi-colored, expressive, landscapes and figure paintings that the critics called Fauvism. Henri Matisse's second version of The Dance signifies a key point in his career and in the development of modern painting. It reflects Matisse's incipient fascination with primitive art: the intense warm colors against the cool blue-green background and the rhythmical succession of dancing nudes convey the feelings of emotional liberation and hedonism. Pablo Picasso made his first cubist paintings based on Cézanne's idea that all depiction of nature can be reduced to three solids: cube, sphere and cone. With the painting Les Demoiselles d'Avignon 1907, Picasso dramatically created a new and radical picture depicting a raw and primitive brothel scene with five prostitutes, violently painted women, reminiscent of African tribal masks and his own new Cubist inventions. analytic Cubism was jointly developed by Pablo Picasso and Georges Braque, exemplified by Violin and Candlestick, Paris, from about 1908 through 1912. Analytic cubism, the first clear manifestation of cubism, was followed by synthetic cubism, practised by Braque, Picasso, Fernand Léger, Juan Gris, Albert Gleizes, Marcel Duchamp and countless other artists into the 1920s. Synthetic cubism is characterized by the introduction of different textures, surfaces, collage elements, papier collé and a large variety of merged subject matter. Les Fauves (French for The Wild Beasts) were early-20th-century painters, experimenting with freedom of expression through color. The name was given, humorously and not as a compliment, to the group by art critic Louis Vauxcelles. Fauvism was a short-lived and loose grouping of early-20th-century artists whose works emphasized painterly qualities, and the imaginative use of deep color over the representational values. Fauvists made the subject of the painting easy to read, exaggerated perspectives and an interesting prescient prediction of the Fauves was expressed in 1888 by Paul Gauguin to Paul Sérusier, The leaders of the movement were Henri Matisse and André Derain – friendly rivals of a sort, each with his own followers. Ultimately Matisse became the yang to Picasso's yin in the 20th century. Fauvist painters included Albert Marquet, Charles Camoin, Maurice de Vlaminck, Raoul Dufy, Othon Friesz, the Dutch painter Kees van Dongen, and Picasso's partner in Cubism, Georges Braque amongst others. Fauvism, as a movement, had no concrete theories, and was short lived, beginning in 1905 and ending in 1907, they only had three exhibitions. Matisse was seen as the leader of the movement, due to his seniority in age and prior self-establishment in the academic art world. His 1905 portrait of Mme. Matisse The Green Line, (above), caused a sensation in Paris when it was first exhibited. He said he wanted to create art to delight; art as a decoration was his purpose and it can be said that his use of bright colors tries to maintain serenity of composition. In 1906 at the suggestion of his dealer Ambroise Vollard, André Derain went to London and produced a series of paintings like Charing Cross Bridge, London (above) in the Fauvist style, paraphrasing the famous series by the Impressionist painter Claude Monet. Masters like Henri Matisse and Pierre Bonnard continued developing their narrative styles independent of any movement throughout the 20th century. By 1907 Fauvism no longer was a shocking new movement, soon it was replaced by Cubism on the critics' radar screen as the latest new development in Contemporary Art of the time. In 1907 Appolinaire, commenting about Matisse in an article published in La Falange, said, "We are not here in the presence of an extravagant or an extremist undertaking: Matisse's art is eminently reasonable." Analytic cubism was jointly developed by Pablo Picasso and Georges Braque from about 1908 through 1912. Analytic cubism, the first clear manifestation of cubism, was followed by Synthetic cubism, practised by Braque, Picasso, Fernand Léger, Juan Gris, Albert Gleizes, Marcel Duchamp and countless other artists into the 1920s. Synthetic cubism is characterized by the introduction of different textures, surfaces, collage elements, papier collé and a large variety of merged subject matter. During the years between 1910 and the end of World War I and after the heyday of cubism, several movements emerged in Paris. Giorgio de Chirico moved to Paris in July 1911, where he joined his brother Andrea (the poet and painter known as Alberto Savinio). Through his brother he met Pierre Laprade a member of the jury at the Salon d'Automne, where he exhibited three of his dreamlike works: Enigma of the Oracle, Enigma of an Afternoon and Self-Portrait. During 1913 he exhibited his work at the Salon des Indépendants and Salon d'Automne, his work was noticed by Pablo Picasso and Guillaume Apollinaire and several others. His compelling and mysterious paintings are considered instrumental to the early beginnings of Surrealism. During the first half of the 20th century in Europe masters like Georges Braque, André Derain, and Giorgio de Chirico continued painting independent of any movement. Pioneers of Modern art In the first two decades of the 20th century and after Cubism, several other important movements emerged; futurism (Balla), abstract art (Kandinsky), Der Blaue Reiter), Bauhaus, (Kandinsky) and (Klee), Orphism, (Robert Delaunay and František Kupka), Synchromism (Morgan Russell), De Stijl (Mondrian), Suprematism (Malevich), Constructivism (Tatlin), Dadaism (Duchamp, Picabia, Arp) and Surrealism (De Chirico, André Breton, Miró, Magritte, Dalí, Ernst). Modern painting influenced all the visual arts, from Modernist architecture and design, to avant-garde film, theatre and modern dance and became an experimental laboratory for the expression of visual experience, from photography and concrete poetry to advertising art and fashion. Van Gogh's painting exerted great influence upon 20th-century Expressionism, as can be seen in the work of the Fauves, Die Brücke (a group led by German painter Ernst Kirchner), and the Expressionism of Edvard Munch, Egon Schiele, Marc Chagall, Amedeo Modigliani, Chaïm Soutine and others.. Wassily Kandinsky a Russian painter, printmaker and art theorist, one of the most famous 20th-century artists is generally considered the first important painter of modern abstract art. As an early Modernist, in search of new modes of visual expression, and spiritual expression, he theorized as did contemporary occultists and theosophists, that pure visual abstraction had corollary vibrations with sound and music. They posited that pure abstraction could express pure spirituality. His earliest abstractions were generally titled as the example in the (above gallery) Composition VII, making connection to the work of the composers of music. Kandinsky included many of his theories about abstract art in his book Concerning the Spiritual in Art. Robert Delaunay was a French artist who is associated with Orphism, (reminiscent of a link between pure abstraction and cubism). His later works were more abstract, reminiscent of Paul Klee. His key contributions to abstract painting refer to his bold use of color, and a clear love of experimentation of both depth and tone. At the invitation of Wassily Kandinsky, Delaunay and his wife the artist Sonia Delaunay, joined The Blue Rider (Der Blaue Reiter), a Munich-based group of abstract artists, in 1911, and his art took a turn to the abstract. Other major pioneers of early abstraction include Russian painter Kasimir Malevich, who after the Russian Revolution in 1917, and after pressure from the Stalinist regime in 1924 returned to painting imagery and Peasants and Workers in the field, and Swiss painter Paul Klee whose masterful color experiments made him an important pioneer of abstract painting at the Bauhaus. Still other important pioneers of abstract painting include the Swedish artist Hilma af Klint, Czech painter František Kupka as well as American artists Stanton Macdonald-Wright and Morgan Russell who, in 1912, founded Synchromism, an art movement that closely resembles Orphism. Expressionism and Symbolism are broad rubrics that involve several important and related movements in 20th-century painting that dominated much of the avant-garde art being made in Western, Eastern and Northern Europe. Expressionist works were painted largely between World War I and World War II, mostly in France, Germany, Norway, Russia, Belgium, and Austria. Expressionist artists are related to both Surrealism and Symbolism and are each uniquely and somewhat eccentrically personal. Fauvism, Die Brücke, and Der Blaue Reiter are three of the best known groups of Expressionist and Symbolist painters. Artists as interesting and diverse as Marc Chagall, whose painting I and the Village, (above) tells an autobiographical story that examines the relationship between the artist and his origins, with a lexicon of artistic Symbolism. Gustav Klimt, Egon Schiele, Edvard Munch, Emil Nolde, Chaïm Soutine, James Ensor, Oskar Kokoschka, Ernst Ludwig Kirchner, Max Beckmann, Franz Marc, Käthe Schmidt Kollwitz, Georges Rouault, Amedeo Modigliani and some of the Americans abroad like Marsden Hartley, and Stuart Davis, were considered influential expressionist painters. Although Alberto Giacometti is primarily thought of as an intense Surrealist sculptor, he made intense expressionist paintings as well. Pioneers of abstraction Piet Mondrian's art was also related to his spiritual and philosophical studies. In 1908 he became interested in the theosophical movement launched by Helena Petrovna Blavatsky in the late 19th century. Blavatsky believed that it was possible to attain a knowledge of nature more profound than that provided by empirical means, and much of Mondrian's work for the rest of his life was inspired by his search for that spiritual knowledge. De Stijl also known as neoplasticism, was a Dutch artistic movement founded in 1917. The term De Stijl is used to refer to a body of work from 1917 to 1931 founded in the Netherlands. De Stijl is also the name of a journal that was published by the Dutch painter, designer, writer, and critic Theo van Doesburg propagating the group's theories. Next to van Doesburg, the group's principal members were the painters Piet Mondrian, Vilmos Huszár, and Bart van der Leck, and the architects Gerrit Rietveld, Robert van 't Hoff, and J. J. P. Oud. The artistic philosophy that formed a basis for the group's work is known as neoplasticism – the new plastic art (or Nieuwe Beelding in Dutch). Proponents of De Stijl sought to express a new utopian ideal of spiritual harmony and order. They advocated pure abstraction and universality by a reduction to the essentials of form and colour; they simplified visual compositions to the vertical and horizontal directions, and used only primary colors along with black and white. Indeed, according to the Tate Gallery's online article on neoplasticism, Mondrian himself sets forth these delimitations in his essay "Neo-Plasticism in Pictorial Art". He writes, "... this new plastic idea will ignore the particulars of appearance, that is to say, natural form and colour. On the contrary, it should find its expression in the abstraction of form and colour, that is to say, in the straight line and the clearly defined primary colour." The Tate article further summarizes that this art allows "only primary colours and non-colours, only squares and rectangles, only straight and horizontal or vertical line." The Guggenheim Museum's online article on De Stijl summarizes these traits in similar terms: "It [De Stijl] was posited on the fundamental principle of the geometry of the straight line, the square, and the rectangle, combined with a strong asymmetricality; the predominant use of pure primary colors with black and white; and the relationship between positive and negative elements in an arrangement of non-objective forms and lines." De Stijl movement was influenced by Cubist painting as well as by the mysticism and the ideas about "ideal" geometric forms (such as the "perfect straight line") in the neoplatonic philosophy of mathematician M. H. J. Schoenmaekers. The works of De Stijl would influence the Bauhaus style and the international style of architecture as well as clothing and interior design. However, it did not follow the general guidelines of an "ism" (Cubism, Futurism, Surrealism), nor did it adhere to the principles of art schools like Bauhaus; it was a collective project, a joint enterprise. Dada and Surrealism Marcel Duchamp, came to international prominence in the wake of his notorious success at the New York City Armory Show in 1913, (soon after he denounced artmaking for chess). After Duchamp's Nude Descending a Staircase became the international cause celebre at the 1913 Armory show in New York he created The Bride Stripped Bare by Her Bachelors, Even, Large Glass. The Large Glass pushed the art of painting to radical new limits being part painting, part collage, part construction. Duchamp became closely associated with the Dada movement that began in neutral Zurich, Switzerland, during World War I and peaked from 1916 to 1920. The movement primarily involved visual arts, literature (poetry, art manifestoes, art theory), theatre, and graphic design, and concentrated its anti war politic through a rejection of the prevailing standards in art through anti-art cultural works. Francis Picabia, Man Ray, Kurt Schwitters, Tristan Tzara, Hans Richter, Jean Arp, Sophie Taeuber-Arp, along with Duchamp and many others are associated with the Dadaist movement. Duchamp and several Dadaists are also associated with Surrealism, the movement that dominated European painting in the 1920s and 1930s. In 1924 André Breton published the Surrealist Manifesto. The Surrealist movement in painting became synonymous with the avant-garde and which featured artists whose works varied from the abstract to the super-realist. With works on paper like Machine Turn Quickly, (above) Francis Picabia continued his involvement in the Dada movement through 1919 in Zurich and Paris, before breaking away from it after developing an interest in Surrealist art. Yves Tanguy, René Magritte and Salvador Dalí are particularly known for their realistic depictions of dream imagery and fantastic manifestations of the imagination. Joan Miró's The Tilled Field of 1923–1924 verges on abstraction, this early painting of a complex of objects and figures, and arrangements of sexually active characters; was Miró's first Surrealist masterpiece. Miró's The Tilled Field also contains several parallels to Bosch's Garden of Earthly Delights: similar flocks of birds; pools from which living creatures emerge; and oversize disembodied ears all echo the Dutch master's work that Miró saw as a young painter in The Prado. The more abstract Joan Miró, Jean Arp, André Masson, and Max Ernst were very influential, especially in the United States during the 1940s. Throughout the 1930s, Surrealism continued to become more visible to the public at large. A Surrealist group developed in Britain and, according to Breton, their 1936 London International Surrealist Exhibition was a high water mark of the period and became the model for international exhibitions. Surrealist groups in Japan, and especially in Latin America, the Caribbean and in Mexico produced innovative and original works. Dalí and Magritte created some of the most widely recognized images of the movement. The 1928/1929 painting This Is Not A Pipe, by Magritte is the subject of a Michel Foucault 1973 book, This is not a Pipe (English edition, 1991), that discusses the painting and its paradox. Dalí joined the group in 1929, and participated in the rapid establishment of the visual style between 1930 and 1935. Surrealism as a visual movement had found a method: to expose psychological truth by stripping ordinary objects of their normal significance, in order to create a compelling image that was beyond ordinary formal organization, and perception, sometimes evoking empathy from the viewer, sometimes laughter and sometimes outrage and bewilderment. 1931 marked a year when several Surrealist painters produced works which marked turning points in their stylistic evolution: in one example, liquid shapes become the trademark of Dalí, particularly in his The Persistence of Memory, which features the image of watches that sag as if they are melting. Evocations of time and its compelling mystery and absurdity. The characteristics of this style – a combination of the depictive, the abstract, and the psychological – came to stand for the alienation which many people felt in the modernist period, combined with the sense of reaching more deeply into the psyche, to be "made whole with one's individuality." Max Ernst whose 1920 painting Murdering Airplane, studied philosophy and psychology in Bonn and was interested in the alternative realities experienced by the insane. His paintings may have been inspired by the psychoanalyst Sigmund Freud's study of the delusions of a paranoiac, Daniel Paul Schreber. Freud identified Schreber's fantasy of becoming a woman as a castration complex. The central image of two pairs of legs refers to Schreber's hermaphroditic desires. Ernst's inscription on the back of the painting reads: The picture is curious because of its symmetry. The two sexes balance one another. During the 1920s André Masson's work was enormously influential in helping the newly arrived in Paris and young artist Joan Miró find his roots in the new Surrealist painting. Miró acknowledged in letters to his dealer Pierre Matisse the importance of Masson as an example to him in his early years in Paris. Long after personal, political and professional tensions have fragmented the Surrealist group into thin air and ether, Magritte, Miró, Dalí and the other Surrealists continue to define a visual program in the arts. Other prominent surrealist artists include Giorgio de Chirico, Méret Oppenheim, Toyen, Grégoire Michonze, Roberto Matta, Kay Sage, Leonora Carrington, Dorothea Tanning, and Leonor Fini among others. Before and after the war Der Blaue Reiter was a German movement lasting from 1911 to 1914, fundamental to Expressionism, along with Die Brücke which was founded the previous decade in 1905 and was a group of German expressionist artists formed in Dresden in 1905. Founding members of Die Brücke were Fritz Bleyl, Erich Heckel, Ernst Ludwig Kirchner and Karl Schmidt-Rottluff. Later members included Max Pechstein, Otto Mueller and others. The group was one of the seminal ones, which in due course had a major impact on the evolution of modern art in the 20th century and created the style of Expressionism. Wassily Kandinsky, Franz Marc, August Macke, Alexej von Jawlensky, whose psychically expressive painting of the Russian dancer Portrait of Alexander Sakharoff, 1909 is in the gallery above, Marianne von Werefkin, Lyonel Feininger and others founded the Der Blaue Reiter group in response to the rejection of Kandinsky's painting Last Judgement from an exhibition. Der Blaue Reiter lacked a central artistic manifesto, but was centered around Kandinsky and Marc. Artists Gabriele Münter and Paul Klee were also involved. The name of the movement comes from a painting by Kandinsky created in 1903. It is also claimed that the name could have derived from Marc's enthusiasm for horses and Kandinsky's love of the colour blue. For Kandinsky, blue is the colour of spirituality: the darker the blue, the more it awakens human desire for the eternal. In the USA during the period between World War I and World War II painters tended to go to Europe for recognition. Artists like Marsden Hartley, Patrick Henry Bruce, Gerald Murphy and Stuart Davis, created reputations abroad. In New York City, Albert Pinkham Ryder and Ralph Blakelock were influential and important figures in advanced American painting between 1900 and 1920. During the 1920s photographer Alfred Stieglitz exhibited Georgia O'Keeffe, Arthur Dove, Alfred Henry Maurer, Charles Demuth, John Marin and other artists including European Masters Henri Matisse, Auguste Rodin, Henri Rousseau, Paul Cézanne, and Pablo Picasso, at his gallery the 291. Social consciousness During the 1920s and the 1930s and the Great Depression, Surrealism, late Cubism, the Bauhaus, De Stijl, Dada, German Expressionism, Expressionism, and modernist and masterful color painters like Henri Matisse and Pierre Bonnard characterized the European art scene. In Germany Max Beckmann, Otto Dix, George Grosz and others politicized their paintings, foreshadowing the coming of World War II. While in America American Scene painting and the social realism and regionalism movements that contained both political and social commentary dominated the art world. Artists like Ben Shahn, Thomas Hart Benton, Grant Wood, George Tooker, John Steuart Curry, Reginald Marsh, and others became prominent. In Latin America besides the Uruguayan painter Joaquín Torres García and Rufino Tamayo from Mexico, the muralist movement with Diego Rivera, David Siqueiros, José Orozco, Pedro Nel Gómez and Santiago Martinez Delgado and the Symbolist paintings by Frida Kahlo began a renaissance of the arts for the region, with a use of color and historic, and political messages. Frida Kahlo's Symbolist works also relate strongly to Surrealism and to the Magic Realism movement in literature. The psychological drama in many of Kahlo's self portraits (above) underscore the vitality and relevance of her paintings to artists in the 21st century. American Gothic is a painting by Grant Wood from 1930. Portraying a pitchfork-holding farmer and a younger woman in front of a house of Carpenter Gothic style, it is one of the most familiar images in 20th-century American art. Art critics had favorable opinions about the painting, like Gertrude Stein and Christopher Morley, they assumed the painting was meant to be a satire of rural small-town life. It was thus seen as part of the trend towards increasingly critical depictions of rural America, along the lines of Sherwood Anderson's 1919 Winesburg, Ohio, Sinclair Lewis' 1920 Main Street, and Carl Van Vechten's The Tattooed Countess in literature. However, with the onset of the Great Depression, the painting came to be seen as a depiction of steadfast American pioneer spirit. Diego Rivera is perhaps best known by the public world for his 1933 mural, "Man at the Crossroads", in the lobby of the RCA Building at Rockefeller Center. When his patron Nelson Rockefeller discovered that the mural included a portrait of Vladimir Lenin and other communist imagery, he fired Rivera, and the unfinished work was eventually destroyed by Rockefeller's staff. The film Cradle Will Rock includes a dramatization of the controversy. Frida Kahlo (Rivera's wife's) works are often characterized by their stark portrayals of pain. Of her 143 paintings 55 are self-portraits, which frequently incorporate symbolic portrayals of her physical and psychological wounds. Kahlo was deeply influenced by indigenous Mexican culture, which is apparent in her paintings' bright colors and dramatic symbolism. Christian and Jewish themes are often depicted in her work as well; she combined elements of the classic religious Mexican tradition—which were often bloody and violent—with surrealist renderings. While her paintings are not overtly Christian they certainly contain elements of the macabre Mexican Christian style of religious paintings. Political activism was an important piece of David Siqueiros' life, and frequently inspired him to set aside his artistic career. His art was deeply rooted in the Mexican Revolution, a violent and chaotic period in Mexican history in which various social and political factions fought for recognition and power. The period from the 1920s to the 1950s is known as the Mexican Renaissance, and Siqueiros was active in the attempt to create an art that was at once Mexican and universal. He briefly gave up painting to focus on organizing miners in Jalisco. World conflict During the 1930s radical leftist politics characterized many of the artists connected to Surrealism, including Pablo Picasso. On 26 April 1937, during the Spanish Civil War, the Basque town of Gernika was the scene of the "Bombing of Gernika" by the Condor Legion of Nazi Germany's Luftwaffe. The Germans were attacking to support the efforts of Francisco Franco to overthrow the Basque Government and the Spanish Republican government. The town was devastated, though the Biscayan assembly and the Oak of Gernika survived. Pablo Picasso painted his mural sized Guernica to commemorate the horrors of the bombing. In its final form, Guernica is an immense black and white, tall and wide mural painted in oil. The mural presents a scene of death, violence, brutality, suffering, and helplessness without portraying their immediate causes. The choice to paint in black and white contrasts with the intensity of the scene depicted and invokes the immediacy of a newspaper photograph. Picasso painted the mural sized painting called Guernica in protest of the bombing. The painting was first exhibited in Paris in 1937, then Scandinavia, then London in 1938 and finally in 1939 at Picasso's request the painting was sent to the United States in an extended loan (for safekeeping) at MoMA. The painting went on a tour of museums throughout the USA until its final return to the Museum of Modern Art in New York City where it was exhibited for nearly thirty years. Finally in accord with Pablo Picasso's wish to give the painting to the people of Spain as a gift, it was sent to Spain in 1981. During the Great Depression of the 1930s, through the years of World War II American art was characterized by Social Realism and American Scene Painting in the work of Grant Wood, Edward Hopper, Ben Shahn, Thomas Hart Benton, and several others. Nighthawks (1942) is a painting by Edward Hopper that portrays people sitting in a downtown diner late at night. It is not only Hopper's most famous painting, but one of the most recognizable in American art. It is currently in the collection of the Art Institute of Chicago. The scene was inspired by a diner (since demolished) in Greenwich Village, Hopper's home neighborhood in Manhattan. Hopper began painting it immediately after the attack on Pearl Harbor. After this event there was a large feeling of gloominess over the country, a feeling that is portrayed in the painting. The urban street is empty outside the diner, and inside none of the three patrons is apparently looking or talking to the others but instead is lost in their own thoughts. This portrayal of modern urban life as empty or lonely is a common theme throughout Hopper's work. The Dynamic for artists in Europe during the 1930s deteriorated rapidly as the Nazi's power in Germany and across Eastern Europe increased. The climate became so hostile for artists and art associated with Modernism and abstraction that many left for the Americas. Degenerate art was a term adopted by the Nazi regime in Germany for virtually all modern art. Such art was banned on the grounds that it was un-German or Jewish Bolshevist in nature, and those identified as degenerate artists were subjected to sanctions. These included being dismissed from teaching positions, being forbidden to exhibit or to sell their art, and in some cases being forbidden to produce art entirely. Degenerate Art was also the title of an exhibition, mounted by the Nazis in Munich in 1937, consisting of modernist artworks chaotically hung and accompanied by text
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of Hungary in the year 1000, the old system was gradually discarded in favour of the Latin alphabet and left-to-right order. Although now not used at all in everyday life, the old script is still known and practised by some enthusiasts. Modern Hungarian is written using an expanded Latin alphabet, and has a phonemic orthography, i.e. pronunciation can generally be predicted from the written language. In addition to the standard letters of the Latin alphabet, Hungarian uses several modified Latin characters to represent the additional vowel sounds of the language. These include letters with acute accents (á, é, í, ó, ú) to represent long vowels, and umlauts (ö and ü) and their long counterparts ő and ű to represent front vowels. Sometimes (usually as a result of a technical glitch on a computer) or is used for , and for . This is often due to the limitations of the Latin-1 / ISO-8859-1 code page. These letters are not part of the Hungarian language, and are considered misprints. Hungarian can be properly represented with the Latin-2 / ISO-8859-2 code page, but this code page is not always available. (Hungarian is the only language using both and .) Unicode includes them, and so they can be used on the Internet. Additionally, the letter pairs , , and represent the palatal consonants , , and (roughly analogous to the "d+y" sounds in British "duke" or American "would you")—produced using a similar mechanism as the letter "d" when pronounced with the tongue pointing to the palate. Hungarian uses for and for , which is the reverse of Polish usage. The letter is and is . These digraphs are considered single letters in the alphabet. The letter is also a "single letter digraph", but is pronounced like (English ), and appears mostly in old words. The letters and are exotic remnants and are hard to find even in longer texts. Some examples still in common use are madzag ("string"), edzeni ("to train (athletically)") and dzsungel ("jungle"). Sometimes additional information is required for partitioning words with digraphs: házszám ("street number") = ház ("house") + szám ("number"), not an unintelligible házs + zám. Hungarian distinguishes between long and short vowels, with long vowels written with acutes. It also distinguishes between long and short consonants, with long consonants being doubled. For example, lenni ("to be"), hozzászólás ("comment"). The digraphs, when doubled, become trigraphs: + = , e.g. művésszel ("with an artist"). But when the digraph occurs at the end of a line, all of the letters are written out. For example, ("with a bus"): ... busz- szal... When the first lexeme of a compound ends in a digraph and the second lexeme starts with the same digraph, both digraphs are written out: + = ("engagement/wedding ring", means "sign", "mark". The term means "to be engaged"; means "ring"). Usually a trigraph is a double digraph, but there are a few exceptions: ("eighteen") is a concatenation of tizen + nyolc. There are doubling minimal pairs: tol ("push") vs. toll ("feather" or "pen"). While to English speakers they may seem unusual at first, once the new orthography and pronunciation are learned, written Hungarian is almost completely phonemic (except for etymological spellings and "ly, j" representing ). Word order The word order is basically from general to specific. This is a typical analytical approach and is used generally in Hungarian. Name order The Hungarian language uses the so-called eastern name order, in which the surname (general, deriving from the family) comes first and the given name comes last. If a second given name is used, this follows the first given name. Hungarian names in foreign languages For clarity, in foreign languages Hungarian names are usually represented in the western name order. Sometimes, however, especially in the neighbouring countries of Hungary – where there is a significant Hungarian population – the Hungarian name order is retained, as it causes less confusion there. For an example of foreign use, the birth name of the Hungarian-born physicist called the "father of the hydrogen bomb" was Teller Ede, but he immigrated to the United States in the 1930s and thus became known as Edward Teller. Prior to the mid-20th century, given names were usually translated along with the name order; this is no longer as common. For example, the pianist uses András Schiff when abroad, not Andrew Schiff (in Hungarian Schiff András). If a second given name is present, it becomes a middle name and is usually written out in full, rather than truncated to an initial. Foreign names in Hungarian In modern usage, foreign names retain their order when used in Hungarian. Therefore: Amikor Kiss János Los Angelesben volt, látta John Travoltát. (means: When János Kiss was in Los Angeles he saw John Travolta.) The Hungarian name Kiss János is in the Hungarian name order (János is equivalent to John), but the foreign name John Travolta remains in the western name order. Before the 20th century, not only was it common to reverse the order of foreign personalities, they were also "Hungarianised": Goethe János Farkas (originally Johann Wolfgang Goethe). This usage sounds odd today, when only a few well-known personalities are referred to using their Hungarianised names, including Verne Gyula (Jules Verne), Marx Károly (Karl Marx), Kolumbusz Kristóf (Christopher Columbus; note that the last of these is also translated in English from the original Italian or possibly Ligurian). Some native speakers disapprove of this usage; the names of certain historical religious personalities (including popes), however, are always Hungarianised by practically all speakers, such as Luther Márton (Martin Luther), Husz János (Jan Hus), Kálvin János (John Calvin); just like the names of monarchs, for example the king of Spain, Juan Carlos I is referred to as I. János Károly or the queen of the UK, Elizabeth II is referred to as II. Erzsébet. Japanese names, which are usually written in western order in the rest of Europe, retain their original order in Hungarian, e. g. Kuroszava Akira instead of Akira Kurosawa. Date and time The Hungarian convention for date and time is to go from the generic to the specific: 1. year, 2. month, 3. day, 4. hour, 5. minute, (6. second) The year and day are always written in Arabic numerals, followed by a full stop. The month can be written by its full name or can be abbreviated, or even denoted by Roman or Arabic numerals. Except for the first case (month written by its full name), the month is followed by a full stop. Usually, when the month is written in letters, there is no leading zero before the day. On the other hand, when the month is written in Arabic numerals, a leading zero is common, but not obligatory. Except at the beginning of a sentence, the name of the month always begins with a lower-case letter. Hours, minutes, and seconds are separated by a colon (H:m:s). Fractions of a second are separated by a full stop from the rest of the time. Hungary generally uses the 24-hour clock format, but in verbal (and written) communication 12-hour clock format can also be used. See below for usage examples. Date and time may be separated by a comma or simply written one after the other. 2020. február 9. 16:23:42 or 2020. február 9., 16:23:42 2020. febr. 9. 2020. 02. 09. or 2020. 2. 9. (rarely) 2020. II. 9. Date separated by hyphen is also spreading, especially on datestamps. Here – just like the version separated by full stops – leading zeros are in use. 2020-02-09 When only hours and minutes are written in a sentence (so not only "displaying" time), these parts can be separated by a full stop (e.g. "Találkozzunk 10.35-kor." – "Let's meet at 10.35."), or it is also regular to write hours in normal size, and minutes put in superscript (and not necessarily) underlined (e.g. "A találkozó 1035-kor kezdődik." or "A találkozó 1035-kor kezdődik." – "The meeting begins at 10.35."). Also, in verbal and written communication it is common to use "délelőtt" (literally "before noon") and "délután" (lit. "after noon") abbreviated as "de." and "du." respectively. Délelőtt and délután is said or written before the time, e.g. "Délután 4 óra van." – "It's 4 p.m.". However e.g. "délelőtt 5 óra" (should mean "5 a.m.") or "délután 10 óra" (should mean "10 p.m.") are never used, because at these times the sun is not up, instead "hajnal" ("dawn"), "reggel" ("morning"), "este" ("evening") and "éjjel" ("night") is used, however there are no exact rules for the use of these, as everybody uses them according to their habits (e.g. somebody may have woken up at 5 a.m. so he/she says "Reggel 6-kor ettem." – "I had food at *morning 6.", and somebody woke up at 11 a.m. so he/she says "Hajnali 6-kor még aludtam." – "I was still sleeping at *dawn 6."). Roughly, these expressions mean these times: * "Dél" and "éjfél" mean these exact times, so using time after them is incorrect. So there is no "Éjfél 0-kor még buliztunk" ("We were still partying at *midnight 0.") or "Dél 12-kor süt a nap." ("The sun shines at *noon 12."). Instead "Éjfélkor még buliztunk." and "Délben süt a nap." is correct. (More confusingly, one can say "Déli 12-kor süt a nap.", meaning "The sun shines at 12 of noon.", i.e. "The sun shines at 12, which is the 12 of daytime.") "Délen süt a nap" on the other hand means "The sun shines in the south", as Dél means both noon and south. Addresses Although address formatting is increasingly being influenced by standard European conventions, the traditional Hungarian style is: Budapest, Deák Ferenc tér 1. 1052 So the order is: 1) settlement (most general), 2) street/square/etc. (more specific), 3) house number (most specific) 4)(HU-)postcode. The house number may be followed by the storey and door numbers. The HU- part before the postcode is only for incoming postal traffic from foreign countries. Addresses on envelopes and postal parcels should be formatted and placed on the right side as follows: Name of the recipient Settlement Street address (up to door number if necessary) (HU-)postcode Vocabulary examples Note: The stress is always placed on the first syllable of each word. The remaining syllables all receive an equal, lesser stress. All syllables are pronounced clearly and evenly, even at the end of a sentence, unlike in English. Example text The Article 1 of the Universal Declaration of Human Rights in Hungarian: Minden emberi lény szabadon születik és egyenlő méltósága és joga van. Az emberek, ésszel és lelkiismerettel bírván, egymással szemben testvéri szellemben kell hogy viseltessenek. The Article 1 of the Universal Declaration of Human Rights in English: All human beings are born free and equal in dignity and rights. They are endowed with reason and conscience and should act towards one another in a spirit of brotherhood. Numbers Source: Wiktionary Time Source: Wiktionary Source:Wiktionary Conversation Hungarian (person, language): magyar Hello!: Formal, when addressing a stranger: "Good day!": Jó napot (kívánok)! Informal, when addressing a close acquaintance: Szia! Szia is a version of the Latin origin loanword Servus. Good-bye!: Viszontlátásra! (formal) (see above), Viszlát! (semi-informal), Szia! (informal: same stylistic remark as for "Hello!" ) Excuse me: Elnézést! Please: Kérem (szépen) (This literally means "I'm asking (it/you) nicely", as in German Bitte schön. See next for a more common form of the polite request.) Legyen szíves! (literally: "Be (so) kind!") I would like , please: Szeretnék (this example illustrates the use of the conditional tense, as a common form of a polite request; it literally means "I would like".) Sorry!: Bocsánat! Thank you: Köszönöm that/this: az , ez How much?: Mennyi? How much does it cost?: Mennyibe kerül? Yes: Igen No: Nem I do not understand: Nem értem I do not know: Nem tudom Where's the toilet?: Hol (van) a vécé? (vécé/veːtseː is the Hungarian pronunciation of the English abbreviation of "Water Closet") Hol (van) a mosdó? – more polite (and word-for-word) version generic toast: Egészségünkre! (literally: "To our health!") juice: gyümölcslé water: víz wine: bor beer: sör tea: tea milk: tej Do you speak English?: Note that the fact of asking is only shown by the proper intonation: continually rising until the penultimate syllable, then falling for the last one. I love you: Szeretlek Help!: Segítség! It is needed: kell I need to go: Mennem kell Recorded examples See also Hungarian grammar Hungarian verbs Hungarian noun phrase Hungarian phonology History of the Hungarian language Regular sound correspondences between Hungarian and other Uralic languages Hungarian dialects Hungarian Cultural Institute List of English words of Hungarian origin BABEL Speech Corpus Magyar szótár (Dictionary of the Hungarian Language) Bibliography Courses MagyarOK – Text book and exercise book for beginners. Szita, Szilvia; Pelcz, Katalin (2013). Pécs; Pécsi Tudományegyetem. MagyarOK website . Colloquial Hungarian – The complete course for beginners. Rounds, Carol H.; Sólyom, Erika (2002). London; New York: Routledge. . This book gives an introduction to the Hungarian language in 15 chapters. The dialogues are available on CDs. Teach Yourself Hungarian – A complete course for beginners. Pontifex, Zsuzsa (1993). London: Hodder & Stoughton. Chicago: NTC/Contemporary Publishing. . This is a complete course in spoken and written Hungarian. The course consists of 21 chapters with dialogues, culture notes, grammar and exercises. The dialogues are available on cassette. Hungarolingua 1 – Magyar nyelvkönyv. Hoffmann, István; et al. (1996). Debreceni Nyári Egyetem. Hungarolingua 2 – Magyar nyelvkönyv. Hlavacska, Edit; et al. (2001). Debreceni Nyári Egyetem. Hungarolingua 3 – Magyar nyelvkönyv. Hlavacska, Edit; et al. (1999). Debreceni Nyári Egyetem. These course books were developed by the University of Debrecen Summer School program for teaching Hungarian to foreigners. The books are written completely in Hungarian and therefore unsuitable for self study. There is an accompanying 'dictionary' with translations of the Hungarian vocabulary into English, German, and French for the words used in the first two books. "NTC's Hungarian and English Dictionary" by Magay and Kiss. (You may be able to find a newer edition also. This one is 1996.) Grammars Gyakorló magyar nyelvtan / A Practical Hungarian grammar (2009, 2010). Szita Szilvia, Görbe Tamás. Budapest: Akadémiai Kiadó. 978 963 05 8703 7. A practical Hungarian grammar (3rd, rev. ed.). Keresztes, László (1999). Debrecen: Debreceni Nyári Egyetem. . Simplified Grammar
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10th century, such as mostly Hungarian personal names and place names in De Administrando Imperio, written in Greek by Eastern Roman Emperor Constantine VII. No significant texts written in Old Hungarian script have survived, as wood, the medium of writing in use at the time, was perishable. The Kingdom of Hungary was founded in 1000 by Stephen I. The country became a Western-styled Christian (Roman Catholic) state, with Latin script replacing Hungarian runes. The earliest remaining fragments of the language are found in the establishing charter of the abbey of Tihany from 1055, intermingled with Latin text. The first extant text fully written in Hungarian is the Funeral Sermon and Prayer, which dates to the 1190s. Although the orthography of these early texts differed considerably from that used today, contemporary Hungarians can still understand a great deal of the reconstructed spoken language, despite changes in grammar and vocabulary. A more extensive body of Hungarian literature arose after 1300. The earliest known example of Hungarian religious poetry is the 14th-century Lamentations of Mary. The first Bible translation was the Hussite Bible in the 1430s. The standard language lost its diphthongs, and several postpositions transformed into suffixes, including reá "onto" (the phrase utu rea "onto the way" found in the 1055 text would later become útra). There were also changes in the system of vowel harmony. At one time, Hungarian used six verb tenses, while today only two or three are used. Modern Hungarian In 1533, Kraków printer Benedek Komjáti published (modern orthography: ), the first Hungarian-language book set in movable type. By the 17th century, the language already closely resembled its present-day form, although two of the past tenses remained in use. German, Italian and French loans also began to appear. Further Turkish words were borrowed during the period of Ottoman rule (1541 to 1699). In the 19th, century a group of writers, most notably Ferenc Kazinczy, spearheaded a process of nyelvújítás (language revitalization). Some words were shortened (győzedelem > győzelem, 'triumph' or 'victory'); a number of dialectal words spread nationally (e.g., cselleng 'dawdle'); extinct words were reintroduced (dísz, 'décor'); a wide range of expressions were coined using the various derivative suffixes; and some other, less frequently used methods of expanding the language were utilized. This movement produced more than ten thousand words, most of which are used actively today. The 19th and 20th centuries saw further standardization of the language, and differences between mutually comprehensible dialects gradually diminished. In 1920, Hungary signed the Treaty of Trianon, losing 71 percent of its territory and one-third of the ethnic Hungarian population along with it. Today, the language holds official status nationally in Hungary and regionally in Romania, Slovakia, Serbia, Austria and Slovenia. Geographic distribution Source: National censuses, Ethnologue Hungarian has about 13 million native speakers, of whom more than 9.8 million live in Hungary. According to the 2011 Hungarian census, 9,896,333 people (99.6% of the total population) speak Hungarian, of whom 9,827,875 people (98.9%) speak it as a first language, while 68,458 people (0.7%) speak it as a second language. About 2.2 million speakers live in other areas that were part of the Kingdom of Hungary before the Treaty of Trianon (1920). Of these, the largest group lives in Transylvania, the western half of present-day Romania, where there are approximately 1.25 million Hungarians. There are large Hungarian communities also in Slovakia, Serbia and Ukraine, and Hungarians can also be found in Austria, Croatia, and Slovenia, as well as about a million additional people scattered in other parts of the world. For example, there are more than one hundred thousand Hungarian speakers in the Hungarian American community and 1.5 million with Hungarian ancestry in the United States. Official status Hungarian is the official language of Hungary, and thus an official language of the European Union. Hungarian is also one of the official languages of Serbian province of Vojvodina and an official language of three municipalities in Slovenia: Hodoš, Dobrovnik and Lendava, along with Slovene. Hungarian is officially recognized as a minority or regional language in Austria, Croatia, Romania, Zakarpattia in Ukraine, and Slovakia. In Romania it is a recognized minority language used at local level in communes, towns and municipalities with an ethnic Hungarian population of over 20%. Dialects The dialects of Hungarian identified by Ethnologue are: Alföld, West Danube, Danube-Tisza, King's Pass Hungarian, Northeast Hungarian, Northwest Hungarian, Székely and West Hungarian. These dialects are, for the most part, mutually intelligible. The Hungarian Csángó dialect, which is mentioned but not listed separately by Ethnologue, is spoken primarily in Bacău County in eastern Romania. The Csángó Hungarian group has been largely isolated from other Hungarian people, and therefore preserved features that closely resemble earlier forms of Hungarian. Phonology Hungarian has 14 vowel phonemes and 25 consonant phonemes. The vowel phonemes can be grouped as pairs of short and long vowels such as o and ó. Most of the pairs have an almost similar pronunciation and vary significantly only in their duration. However, pairs a/á and e/é differ both in closedness and length. Consonant length is also distinctive in Hungarian. Most consonant phonemes can occur as geminates. The sound voiced palatal plosive , written , sounds similar to 'd' in British English 'duty'. It occurs in the name of the country, "Magyarország" (Hungary), pronounced . It is one of three palatal consonants, the others being and . Historically a fourth palatalized consonant existed, still written . A single 'r' is pronounced as an alveolar tap (akkora 'of that size'), but a double 'r' is pronounced as an alveolar trill (akkorra 'by that time'), like in Spanish. Prosody Primary stress is always on the first syllable of a word, as in Finnish and the neighbouring Slovak and Czech. There is a secondary stress on other syllables in compounds: viszontlátásra ("goodbye") is pronounced . Elongated vowels in non-initial syllables may seem to be stressed to an English-speaker, as length and stress correlate in English. Grammar Hungarian is an agglutinative language. It uses various affixes, mainly suffixes but also some prefixes and a circumfix, to change a word's meaning and its grammatical function. Vowel harmony Hungarian uses vowel harmony to attach suffixes to words. That means that most suffixes have two or three different forms, and the choice between them depends on the vowels of the head word. There are some minor and unpredictable exceptions to the rule. Nouns Nouns have 18 cases, which are formed regularly with suffixes. The nominative case is unmarked (az alma 'the apple') and, for example, the accusative is marked with the suffix –t (az almát '[I eat] the apple'). Half of the cases express a combination of the source-location-target and surface-inside-proximity ternary distinctions (three times three cases); there is a separate case ending –ból / –ből meaning a combination of source and insideness: 'from inside of'. Possession is expressed by a possessive suffix on the possessed object, rather than the possessor as in English (Peter's apple becomes Péter almája, literally 'Peter apple-his'). Noun plurals are formed with –k (az almák ‘the apples’), but after a numeral, the singular is used (két alma ‘two apples’, literally ‘two apple’; not *két almák). Unlike English, Hungarian uses case suffixes and nearly always postpositions instead of prepositions. There are two types of articles in Hungarian, definite and indefinite, which roughly correspond to the equivalents in English. Adjectives Adjectives precede nouns (a piros alma 'the red apple') and have three degrees: positive (piros 'red'), comparative (pirosabb 'redder') and superlative (a legpirosabb 'the reddest'). If the noun takes the plural or a case, an attributive adjective is invariable: a piros almák 'the red apples'. However, a predicative adjective agrees with the noun: az almák pirosak 'the apples are red'. Adjectives by themselves can behave as nouns (and so can take case suffixes): Melyik almát kéred? – A pirosat. 'Which apple would you like? – The red one'. Verbs Word order The neutral word order is subject–verb–object (SVO). However, Hungarian is a topic-prominent language, and so has a word order that depends not only on syntax but also on the topic–comment structure of the sentence (for example, what aspect is assumed to be known and what is emphasized). A Hungarian sentence generally has the following order: topic, comment (or focus), verb and the rest. The topic shows that the proposition is only for that particular thing or aspect, and it implies that the proposition is not true for some others. For example, in "Az almát János látja". ('It is John who sees the apple'. Literally 'The apple John sees.'), the apple is in the topic, implying that other objects may be seen by not him but other people (the pear may be seen by Peter). The topic part may be empty. The focus shows the new information for the listeners that may not have been known or that their knowledge must be corrected. For example, "Én vagyok az apád". ('I am your father'. Literally, 'It is I who am your father'.), from the movie The Empire Strikes Back, the pronoun I (én) is in the focus and implies that it is new information, and the listener thought that someone else is his father. Although Hungarian is sometimes described as having free word order, different word orders are generally not interchangeable, and the neutral order is not always correct to use. Also, the intonation is also different with different topic-comment structures. The topic usually has a rising intonation, the focus having a falling intonation. In the following examples, the topic is marked with italics, and the focus (comment) is marked with boldface. János látja az almát. - 'John sees the apple'. Neutral sentence. János látja az almát. - 'John sees the apple'. (Peter may not see the apple.) János látja az almát. - 'It is John who sees the apple'. (The listener may have thought that it is Peter.) Látja János az almát. - 'John does see the apple'. (The listener may have thought that John does not see the apple.) János az almát látja. - 'What John sees is the apple'. (It is the apple, not the pear, that John specifically sees. However, Peter may see the pear.) Az almát látja János. - 'It is the apple that is seen by John'. (The pear may not be seen by John, but it may be smelled, for example.) Az almát János látja. - 'It is by John that the apple is seen'. (It is not seen by Peter, but the pear may be seen by Peter, for example.) Politeness Hungarian has a four-tiered system for expressing levels of politeness. From highest to lowest: Ön (önözés): Use of this form in speech shows respect towards the person addressed, but it is also the common way of speaking in official texts and business communications. Here "you", the second person, is grammatically addressed in the third person. Maga (magázás, magázódás): Use of this form serves to show that the speakers wish to distance themselves from the person they address. A boss could also address a subordinate as maga. Aside from the different pronoun it is grammatically the same as "önözés". Néni/bácsi (tetszikezés): This is a somewhat affectionate way of expressing politeness and is grammatically the same as "önözés" or "magázódás", but adds a certain verb in auxiliary role "tetszik" ("like") to support the main verb of the sentence. For example, children are supposed to address adults who are not parents, close friends or close relatives by using "tetszik" ("you like"): "Hogy vagy?" ("How are you?") here becomes "Hogy tetszik lenni?" ("How do you like to be?"). The elderly, especially women, are generally addressed this way, even by adults. Te (tegezés, tegeződés or pertu, per tu from Latin): Used generally, i.e. with persons with whom none of the above forms of politeness is required, and, in religious contexts, to address God. The highest rank, the king, was traditionally addressed "per tu" by all, peasants and noblemen alike, though with Hungary not having had any crowned king since 1918, this practice survives only in folk tales and children's stories. Use of "tegezés" in the media and advertisements has become more frequent since the early 1990s. It is informal and is normally used in families, among friends, colleagues, among young people, and by adults speaking to children; it can be compared to addressing somebody by their first name in English. Perhaps prompted by the widespread use of English (a language without T–V distinction in most contemporary dialects) on the Internet, "tegezés" is also becoming the standard way to address people over the Internet, regardless of politeness. The four-tiered system has somewhat been eroded due to the recent expansion of "tegeződés" and "önözés". Some anomalies emerged with the arrival of multinational companies who have addressed their customers in the te (least polite) form right from the beginning of their presence in Hungary. A typical example is the Swedish furniture shop IKEA, whose web site and other publications address the customers in te form. When a news site asked IKEA—using the te form—why they address their customers this way, IKEA's PR Manager explained in his answer—using the ön form—that their way of communication reflects IKEA's open-mindedness and the Swedish culture. However IKEA in France uses the polite (vous) form. Another example is the communication of Telenor (a mobile network operator) towards its customers. Telenor chose to communicate towards business customers in the polite ön form while all other customers are addressed in the less polite te form. Vocabulary During the first early phase of Hungarian language reforms (late 18th and early 19th centuries) more than ten thousand words were coined, several thousand of which are still actively used today (see also Ferenc Kazinczy, the leading figure of the Hungarian language reforms.) Kazinczy's chief goal was to replace existing words of German and Latin origins with newly created Hungarian words. As a result, Kazinczy and his later followers (the reformers) significantly reduced the formerly high ratio of words of Latin and German origins in the Hungarian language, which were related to social sciences, natural sciences, politics and economics, institutional names, fashion etc. Giving an accurate estimate for the total word count is difficult, since it is hard to define a "word" in agglutinating languages, due to the existence of affixed words and compound words. To obtain a meaningful definition of compound words, it is necessary to exclude compounds whose meaning is the mere sum of its elements. The largest dictionaries giving translations from Hungarian to another language contain 120,000 words and phrases (but this may include redundant phrases as well, because of translation issues). The new desk lexicon of the Hungarian language contains 75,000 words and the Comprehensive Dictionary of Hungarian Language (to be published in 18 volumes in the next twenty years) is planned to contain 110,000 words. The default Hungarian lexicon is usually estimated to comprise 60,000 to 100,000 words. (Independently of specific languages, speakers actively use at most 10,000 to 20,000 words, with an average intellectual using 25,000 to 30,000 words.) However, all the Hungarian lexemes collected from technical texts, dialects etc. would total up to 1,000,000 words. Parts of the lexicon can be organized using word-bushes. (See an example on the right.) The
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these species, haploids are male and diploids heterozygous at the sex locus are female, but occasionally a diploid will be homozygous at the sex locus and develop as a male, instead. This is especially likely to occur in an individual whose parents were siblings or other close relatives. Diploid males are known to be produced by inbreeding in many ant, bee, and wasp species. Diploid biparental males are usually sterile but a few species that have fertile diploid males are known. One consequence of haplodiploidy is that females on average actually have more genes in common with their sisters than they do with their own daughters. Because of this, cooperation among kindred females may be unusually advantageous, and has been hypothesized to contribute to the multiple origins of eusociality within this order. In many colonies of bees, ants, and wasps, worker females will remove eggs laid by other workers due to increased relatedness to direct siblings, a phenomenon known as worker policing. Another consequence is that hymenopterans may be more resistant to the deleterious effects of inbreeding. As males are haploid, any recessive genes will automatically be expressed, exposing them to natural selection. Thus, the genetic load of deleterious genes is purged relatively quickly. Thelytoky Some hymenopterans take advantage of parthenogenesis, the creation of embryos without fertilization. Thelytoky is a particular form of parthenogenesis in which female embryos are created (without fertilisation). The form of thelytoky in hymenopterans is a kind of automixis in which two haploid products (proto-eggs) from the same meiosis fuse to form a diploid zygote. This process tends to maintain heterozygosity in the passage of the genome from mother to daughter. It is found in several ant species including the desert ant Cataglyphis cursor, the clonal raider ant Cerapachys biroi, the predaceous ant Platythyrea punctata, and the electric ant (little fire ant) Wasmannia auropunctata. It also occurs in the Cape honey bee Apis mellifera capensis. Oocytes that undergo automixis with central fusion often have a reduced rate of crossover recombination, which helps to maintain heterozygosity and avoid inbreeding depression. Species that display central fusion with reduced recombination include the ants Platythyrea punctata and Wasmannia auropunctata and the Cape honey bee Apis mellifera capensis. In A. m. capensis, the recombination rate during meiosis is reduced more than tenfold. In W. auropunctata the reduction is 45 fold. Single queen colonies of the narrow headed ant Formica exsecta illustrate the possible deleterious effects of increased homozygosity. Colonies of this species which have more homozygous queens will age more rapidly, resulting in reduced colony survival. Diet Different species of Hymenoptera show a wide range of feeding habits. The most primitive forms are typically phytophagous, feeding on flowers, pollen, foliage, or stems. Stinging wasps are predators, and will provision their larvae with immobilised prey, while bees feed on nectar and pollen. A huge number of species are parasitoids as larvae. The adults inject the eggs into a host, which they begin to consume after hatching. For example, the eggs of the endangered Papilio homerus are parasitized at a rate of 77%, mainly by Hymenoptera species. Some species are even hyperparasitoid, with the host itself being another parasitoid insect. Habits intermediate between those of the herbivorous and parasitoid forms are shown in some hymenopterans, which inhabit the galls or nests of other insects, stealing their
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wasps, worker females will remove eggs laid by other workers due to increased relatedness to direct siblings, a phenomenon known as worker policing. Another consequence is that hymenopterans may be more resistant to the deleterious effects of inbreeding. As males are haploid, any recessive genes will automatically be expressed, exposing them to natural selection. Thus, the genetic load of deleterious genes is purged relatively quickly. Thelytoky Some hymenopterans take advantage of parthenogenesis, the creation of embryos without fertilization. Thelytoky is a particular form of parthenogenesis in which female embryos are created (without fertilisation). The form of thelytoky in hymenopterans is a kind of automixis in which two haploid products (proto-eggs) from the same meiosis fuse to form a diploid zygote. This process tends to maintain heterozygosity in the passage of the genome from mother to daughter. It is found in several ant species including the desert ant Cataglyphis cursor, the clonal raider ant Cerapachys biroi, the predaceous ant Platythyrea punctata, and the electric ant (little fire ant) Wasmannia auropunctata. It also occurs in the Cape honey bee Apis mellifera capensis. Oocytes that undergo automixis with central fusion often have a reduced rate of crossover recombination, which helps to maintain heterozygosity and avoid inbreeding depression. Species that display central fusion with reduced recombination include the ants Platythyrea punctata and Wasmannia auropunctata and the Cape honey bee Apis mellifera capensis. In A. m. capensis, the recombination rate during meiosis is reduced more than tenfold. In W. auropunctata the reduction is 45 fold. Single queen colonies of the narrow headed ant Formica exsecta illustrate the possible deleterious effects of increased homozygosity. Colonies of this species which have more homozygous queens will age more rapidly, resulting in reduced colony survival. Diet Different species of Hymenoptera show a wide range of feeding habits. The most primitive forms are typically phytophagous, feeding on flowers, pollen, foliage, or stems. Stinging wasps are predators, and will provision their larvae with immobilised prey, while bees feed on nectar and pollen. A huge number of species are parasitoids as larvae. The adults inject the eggs into a host, which they begin to consume after hatching. For example, the eggs of the endangered Papilio homerus are parasitized at a rate of 77%, mainly by Hymenoptera species. Some species are even hyperparasitoid, with the host itself being another parasitoid insect. Habits intermediate between those of the herbivorous and parasitoid forms are shown in some hymenopterans, which inhabit the galls or nests of other insects, stealing their food, and eventually killing and eating the occupant. Classification The Hymenoptera are divided into two groups; the Symphyta which have no waist, and the Apocrita which have a narrow waist. Symphyta The suborder Symphyta includes the sawflies, horntails, and parasitic wood wasps. The group may be paraphyletic, as it has been suggested that the family Orussidae may be the group from which the Apocrita arose. They have an unconstricted junction between the thorax and abdomen. The larvae are herbivorous, free-living, and eruciform, with three pairs of true legs, prolegs (on every segment, unlike Lepidoptera) and ocelli. The prolegs do not have crochet hooks at the ends unlike the larvae of the Lepidoptera. Apocrita The wasps, bees, and ants together make up
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had been repudiated by the Republicans. Republicans had supported Johnson as part of the National Union ticket during the war, but opposed him after he became president and his position on Reconstruction deviated from theirs. Although Hamlin narrowly missed becoming president, his vice presidency ushered in a half-century of sustained national influence for the Maine Republican Party. In the period 1861–1911, Maine Republicans occupied the offices of vice president, Secretary of the Treasury (twice), Secretary of State, President pro tempore of the United States Senate, and Speaker of the United States House of Representatives (twice), and fielded a presidential nominee in James G. Blaine, a level of influence in national politics unmatched by subsequent Maine political delegations. Later life Not content with private life, Hamlin returned to the U.S. Senate in 1869 to serve two more terms before declining to run for reelection in 1880 because of an ailing heart. His last duty as a public servant came in 1881 when Secretary of State James G. Blaine convinced President James A. Garfield to name Hamlin as United States Ambassador to Spain. Hamlin received the appointment on June 30, 1881, and held the post until October 17, 1882. Upon returning from Spain, Hamlin retired from public life to his home in Bangor, Maine, which he had purchased in 1851. The Hannibal Hamlin House—as it is known today—is in central Bangor at 15 5th Street. Incorporating Victorian, Italianate, and Mansard-style architecture, the mansion was posted to the National Register of Historic Places in 1979. Hamlin was elected as a Third Class Companion of the Military Order of the Loyal Legion of the United States. Third Class was the MOLLUS division created to recognize civilians who had contributed outstanding service to the Union during the war. Death On July 4, 1891, Hamlin collapsed and fell unconscious while playing cards at the Tarratine Club he founded in downtown Bangor. He was then placed on one of the club's couches. He died a few hours later of natural causes at the age of 81. The couch is preserved at the Bangor Public Library. Hannibal Hamlin was buried in the Hamlin family plot at Mount Hope Cemetery in Bangor. He outlived six of his successors in the vice presidency: Andrew Johnson, Schuyler Colfax, Henry Wilson, William A. Wheeler, Chester A. Arthur, and Thomas A. Hendricks. He died exactly 65 years after the death of the first two U.S. vice presidents, John Adams and Thomas Jefferson. Family Hamlin had four sons who grew to adulthood: Charles Hamlin, Cyrus Hamlin, Hannibal Emery and Frank Hamlin. Charles and Cyrus served in the Union forces during the Civil War, both becoming generals, Charles by brevet. Cyrus was among the first Union officers to argue for the enlistment of black troops, and commanded a brigade of freedmen in the Siege of Port Hudson. Charles and sister Sarah were present at Ford's Theater the night of Lincoln's assassination. Hannibal Emery Hamlin was Maine Attorney General from 1905 to 1908. Hannibal Hamlin's great-granddaughter Sally Hamlin was a child actor who made many spoken word recordings for the Victor Talking Machine Company in the early 20th century. Hannibal's older brother, Elijah Livermore Hamlin, was president of the Mutual Fire Insurance Co. of Bangor and the Bangor Institution for Savings. He was twice an unsuccessful candidate for governor of Maine in the late 1840s, and served as mayor of Bangor in 1851–52. The brothers were members of different political parties (Hannibal a Democrat, and Elijah a Whig) before both becoming Republican in the later 1850s. Hannibal's nephew (Elijah's son) Augustus Choate Hamlin was a physician, artist, mineralogist, author, and historian. He was also mayor of Bangor in 1877–78, and a founding member of the Bangor Historical Society. Augustus served as surgeon in the 2nd Maine Volunteer Infantry Regiment during the Civil War, eventually becoming a U.S. Army Medical Inspector, and later the Surgeon General of Maine. He wrote books about Andersonville Prison and the Battle of Chancellorsville. Hannibal's grand-nephew (Elijah's grandson) Isaiah K. Stetson was Speaker of the Maine House of Representatives in 1899–1900, and owned a large company in Bangor which manufactured and shipped lumber and ice and ran a shipyard and marine railway. Hannibal's first cousin Cyrus Hamlin, who was a graduate of the Bangor Theological Seminary, became a missionary in Turkey, where he founded Robert College. He later became president of Middlebury College in Vermont. His son, A. D. F. Hamlin, Hannibal's first cousin once removed, became a professor of architecture at Columbia University and a noted architectural historian. There are biographies of Hamlin by his grandson Charles E. Hamlin (1899, reprinted 1971) and by H. Draper Hunt (1969). Honors Hamlin County, South Dakota is named in his honor, as are Hamlin, Kansas; Hamlin, New York; Hamlin, West Virginia; Hamlin Township; Hamlin Lake in Mason County, Michigan; and Hamlin, a small Maine village that is a U.S.–Canada border crossing with Grand Falls, New Brunswick. There are statues in Hamlin's likeness in the United States Capitol and in a public park (Norumbega Mall) in Bangor, Maine. There is also a building on the University of Maine Campus, in Orono, named Hannibal Hamlin Hall. It burned down in 1945, in a fire that killed two students, but was rebuilt. Hannibal Hamlin Memorial Library is next to his birthplace in Paris, Maine. The Hampden Maine Historical Society exhibits a restoration of his first law office at its Kinsley House Museum grounds. Hamlin's house in Bangor subsequently housed the presidents of the adjacent Bangor Theological Seminary. It is listed on the National Register of Historic Places, as is Hamlin's birthplace in Paris, Maine (as part of the Paris Hill Historic District). Hamlin Park in Chicago is named in his honor. In popular culture Hamlin appears briefly in three alternate history
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late 1882. In retirement, Hamlin was a resident of Bangor, Maine, where he died in 1891. He was buried at Mount Hope Cemetery in Bangor. Early life Hamlin was born to Cyrus Hamlin and his wife Anna (née Livermore) in Paris (now in Maine, then a part of Massachusetts). He was a descendant in the sixth generation of English colonist James Hamlin, who had settled in Barnstable, part of the Massachusetts Bay Colony in 1639. He was a grandnephew of U.S. Senator Samuel Livermore II of New Hampshire. According to folklore, Hamlin's life was saved when he was an infant by a Native American medicine woman named Molly Ockett. Hamlin was gravely ill and Ockett prescribed that he be given warm cow's milk, after which he recovered. Hamlin attended the district schools and Hebron Academy and later managed his father's farm. From 1827 to 1830 he published the Oxford Jeffersonian newspaper in partnership with Horatio King. He studied law with the firm headed by Samuel Fessenden, was admitted to the bar in 1833, and began practicing in Hampden, Maine, where he lived until 1848. Personal life Hamlin married Sarah Jane Emery of Paris Hill in 1833. Her father was Stephen Emery, who was appointed as Maine's Attorney General in 1839–1840. Hamlin and Sarah had four children together: George, Charles, Cyrus and Sarah. His wife died in 1855. The next year, Hamlin married Sarah's half-sister, Ellen Vesta Emery. They had two children together: Hannibal E. and Frank. Ellen Hamlin died in 1925. Political beginnings Hamlin's political career began in 1835, when he was elected to the Maine House of Representatives. Appointed a Major on the staff of Governor John Fairfield, he served with the militia in the bloodless Aroostook War of 1839. He facilitated negotiations between Fairfield and Lieutenant Governor John Harvey of New Brunswick, which helped reduce tensions and make possible the Webster–Ashburton Treaty, which ended the war. Hamlin unsuccessfully ran for the United States House of Representatives in 1840 and left the State House in 1841. He later was elected to two terms in the United States House of Representatives, serving from 1843 to 1847. He was elected by the state legislature to fill a U.S. Senate vacancy in 1848, and to a full term in 1851. A Democrat at the beginning of his career, Hamlin supported the candidacy of Franklin Pierce in 1852. From the very beginning of his service in Congress, Hamlin was prominent as an opponent of the extension of slavery. He was a conspicuous supporter of the Wilmot Proviso and spoke against the Compromise of 1850. In 1854, Hamlin strongly opposed the passage of the Kansas–Nebraska Act, which repealed the Missouri Compromise. After the Democratic Party endorsed that repeal at the 1856 Democratic National Convention, on June 12, 1856, he withdrew from the Democratic Party and joined the newly organized Republican Party, causing a national sensation. The Republicans nominated Hamlin for governor of Maine the same year. He won the election by a large margin and was inaugurated on January 8, 1857. In the latter part of February 1857, however, he resigned the governorship. He returned to the United States Senate, serving from 1857 to January 1861. Vice presidency (1861–1865) Hamlin was nominated by the Republican Party to serve as Vice President of the United States in the 1860 presidential election on a ticket with former Representative Abraham Lincoln. Given that Lincoln was from Illinois, a vice presidential nominee from Maine provided regional balance. As a former Democrat, Hamlin could persuade other anti-slavery Democrats that joining the Republican Party was the only way to ensure slavery's demise. Hamlin and Lincoln were not close personally but had a good working relationship. At the time, the vice president was part of the legislative branch in his role as president of the Senate and did not attend cabinet meetings; Hamlin did not regularly visit the White House. Mary Todd Lincoln and Hamlin disliked each other. For his part, Hamlin complained, "I am only a fifth wheel of a coach and can do little for my friends." He had little influence in the Lincoln administration, although he urged both the Emancipation Proclamation and the arming of Black Americans. He strongly supported Joseph Hooker's appointment as commander of the Army of the Potomac, which ended in failure at the Battle of Chancellorsville. Beginning in 1860, Hamlin was a member of Company A of the Maine State Guard, a militia unit. When the company was called up in the summer of 1864, Hamlin was told that because of his position as vice president, he did not have to take part in the muster. He opted to serve, arguing that he could set an example by doing the duty expected of any citizen, and the only concession made because of his office was that he was quartered with the officers. He reported to Fort McClary in July, initially taking part in routine assignments including guard duty, and later taking over as company cook. He was promoted to corporal during his service, and mustered out with the rest of his unit in mid-September. In June 1864, the Republicans and War Democrats joined to form the National Union Party. Although Lincoln was renominated, War Democrat Andrew Johnson of Tennessee was named to replace Hamlin as
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Award for Poetry Elizabeth Kostova, (MFA) Novel-in-Progress The Historian Arthur Miller (BA 1938) Pulitzer Prize for Drama winning playwright. Howard Moss, won the Pulitzer Prize for Poetry for Selected Poems in 1971. Davi Napoleon, (BA 1966, MA 1968; known then as Davi Skurnick), theater historian and critic, author of Chelsea on the Edge: The Adventures of an American Theater. Celeste Ng, (MFA) Novelist. Author of Little Fires Everywhere. Chigozie Obioma, (MFA) Nigerian writer. Finalist for 2015 Man Booker Prize and The Guardian First Book Award. Frank O'Hara, (M.A. 1951), poet. Leading figure of the New York School. Author of: "A City Winter and Other Poems", "Oranges: 12 pastorals", "Second Avenue", "Odes", "Lunch Poems. Love Poems". Patrick O'Keeffe, (MFA), winner of the Chamberlain Award for Creative Writing for "Above the Bar." (administered by the Hopwood Program) and instructor in the University of Michigan's Sweetland Writing Center has won the 2005 Story Prize, the richest U.S. prize for short fiction, for "The Hill Road", a collection of four novellas set in a fictional Irish farming village. O'Keeffe's writing has been compared to the Irish short-story and novel writer William Trevor. Marge Piercy, (BA) Poetry and Fiction (1957); author of seventeen volumes of poems Paisley Rekdal, (MFA) poet and essayist. Poet Laureate of Utah. Aida Rivera, (MA 1954) Filipino fictionist and essayist, author of "Now and the Hour" collection of short stories. Theodore Roethke, (B.A. 1930, M.A. 1932) regarded as one of the most accomplished and influential poets of his generation. Winner of a Pulitzer Prize for Poetry and two National Book Awards for Poetry. Betty Smith (B.A.) Author of A Tree Grows in Brooklyn Danez Smith (MFA) Poet. Finalist for 2017 National Book Award for Poetry. Keith Waldrop (Ph.D. 1964) poet and translator. Winner of a National Book Award for Poetry. Ronald Wallace Jesmyn Ward, (MFA 2005), novelist. Two-time winner of National Book Award for Fiction (2011, 2017). Nancy Willard (B.A. 1958; Ph.D.) author of eleven poetry books. Newbery Medal for "A Visit to William Blakes' Inn," finalist for National Book Award, O'Henry Award, Devins Poetry Award. Murray Howe (B.S. 1982, M.D. 1986) National bestselling author of Nine Lessons I Learned from My Father. Youngest son of Gordie Howe and Colleen Howe, Mr. and Mrs. Hockey References External links Hopwood Awards University of Michigan University of Michigan
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1931) First winner of the award & author of The African, on which much of Roots was later based. Christopher Paul Curtis (BA 1999) Newbery and Coretta Scott King award-winning author of: The Watsons Go To Birmingham-1963 (1996, novel), Bud, Not Buddy (1999, novel), Elijah Of Buxton (2006, novel) Mary Gaitskill, (BA) Bad Behavior (1988),Two Girls, Fat and Thin (1991),Because They Wanted To (1997) (stories),Veronica (2005). Peggy Goodin, (AB 1945) author of Clemetine, Take Care of My Little Girl; novels adapted multiple times to film Steve Hamilton, (BA 1983), author of "Blood Is the Sky", "North of Nowhere", "A Cold Day in Paradise", "Winter of the Wolf Moon", "The Hunting Wind", "North of Nowhere", and "Ice Run". "A Cold Day In Paradise," won the 1999 Edgar Allan Poe Award, one of the mystery genre's most prestigious awards. Robert Hayden, (M.A. 1944). Former Poet Laureate of the United States. Lawrence Kasdan (MA) three-times Academy Awards-nominated screenwriter and director. Laura Kasischke (BA 1983, M.F.A. 1987) winner of the National Book Critics Circle Award for Poetry and a Pushcart prize. Jane Kenyon, (BA 1970, MA 1972). New Hampshire's poet laureate. Winner of a PEN/Voelcker Award for Poetry Elizabeth Kostova, (MFA) Novel-in-Progress The Historian Arthur Miller (BA 1938) Pulitzer Prize for Drama winning playwright. Howard Moss, won the Pulitzer Prize for Poetry for Selected Poems in 1971. Davi Napoleon, (BA 1966, MA 1968; known then as Davi Skurnick), theater historian and critic, author of Chelsea on the Edge: The Adventures of an American Theater. Celeste Ng, (MFA) Novelist. Author of Little Fires Everywhere. Chigozie Obioma, (MFA) Nigerian writer. Finalist for 2015 Man Booker Prize and The Guardian First Book Award. Frank O'Hara, (M.A. 1951), poet. Leading figure of the New York School. Author of: "A City Winter and Other Poems", "Oranges: 12 pastorals", "Second Avenue", "Odes", "Lunch Poems. Love Poems". Patrick O'Keeffe, (MFA), winner of the Chamberlain Award for Creative Writing for "Above the Bar." (administered by the Hopwood Program) and instructor in the University of Michigan's Sweetland Writing Center has won the 2005 Story Prize, the richest U.S. prize for short fiction, for "The Hill Road", a collection of four novellas set in a fictional Irish farming village. O'Keeffe's writing has been compared to the Irish short-story and novel writer William Trevor. Marge Piercy, (BA) Poetry and Fiction (1957); author of seventeen volumes of poems Paisley Rekdal, (MFA) poet and essayist. Poet Laureate of Utah. Aida Rivera, (MA 1954) Filipino fictionist and essayist, author of "Now and the Hour" collection of short stories. Theodore Roethke, (B.A. 1930, M.A. 1932) regarded as one of the most accomplished and influential poets of his generation. Winner of a Pulitzer Prize for Poetry and two National Book Awards for Poetry. Betty Smith (B.A.) Author of A Tree Grows in Brooklyn Danez Smith (MFA) Poet. Finalist for 2017 National Book Award for Poetry. Keith Waldrop (Ph.D. 1964) poet and translator. Winner of a National Book Award for Poetry. Ronald Wallace Jesmyn Ward, (MFA 2005), novelist. Two-time winner of National Book Award for Fiction (2011, 2017). Nancy Willard (B.A. 1958; Ph.D.) author of eleven poetry books. Newbery Medal for "A Visit to William Blakes' Inn," finalist for National Book Award, O'Henry Award, Devins Poetry Award. Murray Howe (B.S. 1982, M.D. 1986) National bestselling author of Nine Lessons I Learned from My Father. Youngest son of Gordie Howe and Colleen Howe, Mr. and Mrs. Hockey References External links Hopwood Awards University of
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described by French physiologist Claude Bernard in 1849, and the word homeostasis was coined by Walter Bradford Cannon in 1926. In 1932, Joseph Barcroft a British physiologist, was the first to say that higher brain function required the most stable internal environment. Thus, to Barcroft homeostasis was not only organized by the brain—homeostasis served the brain. Homeostasis is an almost exclusively biological term, referring to the concepts described by Bernard and Cannon, concerning the constancy of the internal environment in which the cells of the body live and survive. The term cybernetics is applied to technological control systems such as thermostats, which function as homeostatic mechanisms, but is often defined much more broadly than the biological term of homeostasis. Overview The metabolic processes of all organisms can only take place in very specific physical and chemical environments. The conditions vary with each organism, and with whether the chemical processes take place inside the cell or in the interstitial fluid bathing the cells. The best known homeostatic mechanisms in humans and other mammals are regulators that keep the composition of the extracellular fluid (or the "internal environment") constant, especially with regard to the temperature, pH, osmolality, and the concentrations of sodium, potassium, glucose, carbon dioxide, and oxygen. However, a great many other homeostatic mechanisms, encompassing many aspects of human physiology, control other entities in the body. Where the levels of variables are higher or lower than those needed, they are often prefixed with hyper- and hypo-, respectively such as hyperthermia and hypothermia or hypertension and hypotension. If an entity is homeostatically controlled it does not imply that its value is necessarily absolutely steady in health. Core body temperature is, for instance, regulated by a homeostatic mechanism with temperature sensors in, amongst others, the hypothalamus of the brain. However, the set point of the regulator is regularly reset. For instance, core body temperature in humans varies during the course of the day (i.e. has a circadian rhythm), with the lowest temperatures occurring at night, and the highest in the afternoons. Other normal temperature variations include those related to the menstrual cycle. The temperature regulator's set point is reset during infections to produce a fever. Organisms are capable of adjusting somewhat to varied conditions such as temperature changes or oxygen levels at altitude, by a process of acclimatisation. Homeostasis does not govern every activity in the body. For instance the signal (be it via neurons or hormones) from the sensor to the effector is, of necessity, highly variable in order to convey information about the direction and magnitude of the error detected by the sensor. Similarly the effector's response needs to be highly adjustable to reverse the error – in fact it should be very nearly in proportion (but in the opposite direction) to the error that is threatening the internal environment. For instance, the arterial blood pressure in mammals is homeostatically controlled, and measured by stretch receptors in the walls of the aortic arch and carotid sinuses at beginnings of the internal carotid arteries. The sensors send messages via sensory nerves to the medulla oblongata of the brain indicating whether the blood pressure has fallen or risen, and by how much. The medulla oblongata then distributes messages along motor or efferent nerves belonging to the autonomic nervous system to a wide variety of effector organs, whose activity is consequently changed to reverse the error in the blood pressure. One of the effector organs is the heart whose rate is stimulated to rise (tachycardia) when the arterial blood pressure falls, or to slow down (bradycardia) when the pressure rises above set point. Thus the heart rate (for which there is no sensor in the body) is not homeostatically controlled, but is one of effector responses to errors in the arterial blood pressure. Another example is the rate of sweating. This is one of the effectors in the homeostatic control of body temperature, and therefore highly variable in rough proportion to the heat load that threatens to destabilize the body's core temperature, for which there is a sensor in the hypothalamus of the brain. Controls of variables Core temperature Mammals regulate their core temperature using input from thermoreceptors in the hypothalamus, brain, spinal cord, internal organs, and great veins. Apart from the internal regulation of temperature, a process called allostasis can come into play that adjusts behaviour to adapt to the challenge of very hot or cold extremes (and to other challenges). These adjustments may include seeking shade and reducing activity, or seeking warmer conditions and increasing activity, or huddling. Behavioural thermoregulation takes precedence over physiological thermoregulation since necessary changes can be affected more quickly and physiological thermoregulation is limited in its capacity to respond to extreme temperatures. When core temperature falls, the blood supply to the skin is reduced by intense vasoconstriction. The blood flow to the limbs (which have a large surface area) is similarly reduced, and returned to the trunk via the deep veins which lie alongside the arteries (forming venae comitantes). This acts as a counter-current exchange system which short-circuits the warmth from the arterial blood directly into the venous blood returning into the trunk, causing minimal heat loss from the extremities in cold weather. The subcutaneous limb veins are tightly constricted, not only reducing heat loss from this source, but also forcing the venous blood into the counter-current system in the depths of the limbs. The metabolic rate is increased, initially by non-shivering thermogenesis, followed by shivering thermogenesis if the earlier reactions are insufficient to correct the hypothermia. When core temperature rises are detected by thermoreceptors, the sweat glands in the skin are stimulated via cholinergic sympathetic nerves to secrete sweat onto the skin, which, when it evaporates, cools the skin and the blood flowing through it. Panting is an alternative effector in many vertebrates, which cools the body also by the evaporation of water, but this time from the mucous membranes of the throat and mouth. Blood glucose Blood sugar levels are regulated within fairly narrow limits. In mammals the primary sensors for this are the beta cells of the pancreatic islets. The beta cells respond to a rise in the blood sugar level by secreting insulin into the blood, and simultaneously inhibiting their neighboring alpha cells from secreting glucagon into the blood. This combination (high blood insulin levels and low glucagon levels) act on effector tissues, chief of which are the liver, fat cells and muscle cells. The liver is inhibited from producing glucose, taking it up instead, and converting it to glycogen and triglycerides. The glycogen is stored in the liver, but the triglycerides are secreted into the blood as very low-density lipoprotein (VLDL) particles which are taken up by adipose tissue, there to be stored as fats. The fat cells take up glucose through special glucose transporters (GLUT4), whose numbers in the cell wall are increased as a direct effect of insulin acting on these cells. The glucose that enters the fat cells in this manner is converted into triglycerides (via the same metabolic pathways as are used by the liver) and then stored in those fat cells together with the VLDL-derived triglycerides that were made in the liver. Muscle cells also take glucose up through insulin-sensitive GLUT4 glucose channels, and convert it into muscle glycogen. A fall in blood glucose, causes insulin secretion to be stopped, and glucagon to be secreted from the alpha cells into the blood. This inhibits the uptake of glucose from the blood by the liver, fats cells and muscle. Instead the liver is strongly stimulated to manufacture glucose from glycogen (through glycogenolysis) and from non-carbohydrate sources (such as lactate and de-aminated amino acids) using a process known as gluconeogenesis. The glucose thus produced is discharged into the blood correcting the detected error (hypoglycemia). The glycogen stored in muscles remains in the muscles, and is only broken down, during exercise, to glucose-6-phosphate and thence to pyruvate to be fed into the citric acid cycle or turned into lactate. It is only the lactate and the waste products of the citric acid cycle that are returned to the blood. The liver can take up only the lactate, and by the process of energy consuming gluconeogenesis convert it back to glucose. Iron levels Copper regulation Levels of blood gases Changes in the levels of oxygen, carbon dioxide, and plasma pH are sent to the respiratory center, in the brainstem where they are regulated. The partial pressure of oxygen and carbon dioxide in the arterial blood is monitored by the peripheral chemoreceptors (PNS) in the carotid artery and aortic arch. A change in the partial pressure of carbon dioxide is detected as altered pH in the cerebrospinal fluid by central chemoreceptors (CNS) in the medulla oblongata of the brainstem. Information from these sets of sensors is sent to the respiratory center which activates the effector organs – the diaphragm and other muscles of respiration. An increased level of carbon dioxide in the blood, or a decreased level of oxygen, will result in a deeper breathing pattern and increased respiratory rate to bring the blood gases back to equilibrium. Too little carbon dioxide, and, to a lesser extent, too much oxygen in the blood can temporarily halt breathing, a condition known as apnea, which freedivers use to prolong the time they can stay underwater. The partial pressure of carbon dioxide is more of a deciding factor in the monitoring of pH. However, at high altitude (above 2500 m) the monitoring of the partial pressure of oxygen takes priority, and hyperventilation keeps the oxygen level constant. With the lower level of carbon dioxide, to keep the pH at 7.4 the kidneys secrete hydrogen ions into the blood, and excrete bicarbonate into the urine. This is important in the acclimatization to high altitude. Blood oxygen content The kidneys measure the oxygen content rather than the partial pressure of oxygen in the arterial blood. When the oxygen content of the blood is chronically low, oxygen-sensitive cells secrete erythropoietin (EPO) into the blood. The effector tissue is the red bone marrow which produces red blood cells (RBCs)(erythrocytes). The increase in RBCs leads to an increased hematocrit in the blood, and subsequent increase in hemoglobin that increases the oxygen carrying capacity. This is the mechanism whereby high altitude dwellers have higher hematocrits than sea-level residents, and also why persons with pulmonary insufficiency or right-to-left shunts in the heart (through which venous blood by-passes the lungs and goes directly into the systemic circulation) have similarly high hematocrits. Regardless of the partial pressure of oxygen in the blood, the amount of oxygen that can be carried, depends on the hemoglobin content. The partial pressure of oxygen may be sufficient for example in anemia, but the hemoglobin content will be insufficient and subsequently as will be the oxygen content. Given enough supply of iron, vitamin B12 and folic acid, EPO can stimulate RBC production, and hemoglobin and oxygen content restored to normal. Arterial blood pressure The brain can regulate blood flow over a range of blood pressure values by vasoconstriction and vasodilation of the arteries. High pressure receptors called baroreceptors in the walls of the aortic arch and carotid sinus (at the beginning of the internal carotid artery) monitor the arterial blood pressure. Rising pressure is detected when the walls of the arteries stretch due to an increase in blood volume. This causes heart muscle cells to secrete the hormone atrial natriuretic peptide (ANP) into the blood. This acts on the kidneys to inhibit the secretion of renin and aldosterone causing the release of sodium, and accompanying water into the urine, thereby reducing the blood volume. This information is then conveyed, via afferent nerve fibers, to the solitary nucleus in the medulla oblongata. From here motor nerves belonging to the autonomic nervous system are stimulated to influence the activity of chiefly the heart and the smallest diameter arteries, called arterioles. The arterioles are the main resistance vessels in the arterial tree, and small changes in diameter cause large changes in the resistance to flow through them. When the arterial blood pressure rises the arterioles are stimulated to dilate making it easier for blood to leave the arteries, thus deflating them, and bringing the blood pressure down, back to normal. At the same time, the heart is stimulated via cholinergic parasympathetic nerves to beat more slowly (called bradycardia), ensuring that the inflow of blood into the arteries is reduced, thus adding to the reduction in pressure, and correction of the original error. Low pressure in the arteries, causes the opposite reflex of constriction of the arterioles, and a speeding up of the heart rate (called tachycardia). If the drop in blood pressure is very rapid or excessive, the medulla oblongata stimulates the adrenal medulla, via "preganglionic" sympathetic nerves, to secrete epinephrine (adrenaline) into the blood. This hormone enhances the tachycardia and causes severe vasoconstriction of the arterioles to all but the essential organ in the body (especially the heart, lungs, and brain). These reactions usually correct the low arterial blood pressure (hypotension) very effectively. Calcium levels The plasma ionized calcium (Ca2+) concentration is very tightly controlled by a pair of homeostatic mechanisms. The sensor for the first one is situated in the parathyroid glands, where the chief cells sense the Ca2+ level by means of specialized calcium receptors in their membranes. The sensors for the second are the parafollicular cells in the thyroid gland. The parathyroid chief cells secrete parathyroid hormone (PTH) in response to a fall in the plasma ionized calcium level; the parafollicular cells of the thyroid gland secrete calcitonin in response to a rise in the plasma ionized calcium level. The effector organs of the first homeostatic mechanism are the bones, the kidney, and, via a hormone released into the blood by the kidney in response to high PTH levels in the blood, the duodenum and jejunum. Parathyroid hormone (in high concentrations in the blood) causes bone resorption, releasing calcium into the plasma. This is a very rapid action which can correct a threatening hypocalcemia within minutes. High PTH concentrations cause the excretion of phosphate ions via the urine. Since phosphates combine with calcium ions to form insoluble salts (see also bone mineral), a decrease in the level of phosphates in the blood, releases free calcium ions into the plasma ionized calcium pool. PTH has a second action on the kidneys. It stimulates the manufacture and release, by the kidneys, of calcitriol into the blood. This steroid hormone acts on the epithelial cells of the upper small intestine, increasing their capacity to absorb calcium from the gut contents into the blood. The second homeostatic mechanism, with its sensors in the thyroid gland, releases calcitonin into the blood when the blood ionized calcium rises. This hormone acts primarily on bone, causing the rapid removal of calcium from the blood and depositing it, in insoluble form, in the bones. The two homeostatic mechanisms working through PTH on the one hand, and calcitonin on the other can very rapidly correct any impending error in the plasma ionized calcium level by either removing calcium from the blood and depositing it in the skeleton, or by removing calcium from it. The skeleton acts as an extremely large calcium store (about 1 kg) compared with the plasma calcium store (about 180 mg). Longer term regulation occurs through calcium absorption or loss from the gut. Another example are the most well-characterised endocannabinoids like anandamide (N-arachidonoylethanolamide; AEA) and 2-arachidonoylglycerol (2-AG), whose synthesis occurs through the action of a series of intracellular enzymes activated in response to a rise in intracellular calcium levels to introduce homeostasis and prevention of tumor development through putative protective mechanisms that prevent cell growth and migration by activation of CB1 and/or CB2 and adjoining receptors. Sodium concentration The homeostatic mechanism which controls the plasma sodium concentration is rather more complex than most of the other homeostatic mechanisms described on this page. The sensor is situated in the juxtaglomerular apparatus of kidneys, which senses the plasma sodium concentration in a surprisingly indirect manner. Instead of measuring it directly in the blood flowing past the juxtaglomerular cells, these cells respond to the sodium concentration in the renal tubular fluid after it has already undergone a certain amount of modification in the proximal convoluted tubule and loop of Henle. These cells also respond to rate of blood flow through the juxtaglomerular apparatus, which, under normal circumstances, is directly proportional to the arterial blood pressure, making this tissue an ancillary arterial blood pressure sensor. In response to a lowering of the plasma sodium concentration, or to a fall in the arterial blood pressure, the juxtaglomerular cells release renin into the blood. Renin is an enzyme which cleaves a decapeptide (a short protein chain, 10 amino acids long) from a plasma α-2-globulin called angiotensinogen. This decapeptide is known as angiotensin I. It has no known biological activity. However, when the blood circulates through the lungs a pulmonary capillary endothelial enzyme called angiotensin-converting enzyme (ACE) cleaves a further two amino acids from angiotensin I to form an octapeptide known as angiotensin II. Angiotensin II is a hormone which acts on the adrenal cortex, causing the release into the blood of the steroid hormone, aldosterone. Angiotensin II also acts on the smooth muscle in the walls of the arterioles causing these small diameter vessels to constrict, thereby restricting the outflow of blood from the arterial tree, causing the arterial blood pressure to rise. This, therefore, reinforces the measures described above (under the heading of "Arterial blood pressure"), which defend the arterial blood pressure against changes, especially hypotension. The angiotensin II-stimulated aldosterone released from the zona glomerulosa of the adrenal glands has an effect on particularly the epithelial cells of the distal convoluted tubules and collecting ducts of the kidneys. Here it causes the reabsorption of sodium ions from the renal tubular fluid, in exchange for potassium ions which are secreted from the blood plasma into the tubular fluid to exit the body via the urine. The reabsorption of sodium ions from the renal tubular fluid halts further sodium ion losses from the body, and therefore preventing the worsening of hyponatremia. The hyponatremia can only be corrected by the consumption of salt in the diet. However, it is not certain whether a "salt hunger" can be initiated by hyponatremia, or by what mechanism this might come about. When the plasma sodium ion concentration is higher than normal (hypernatremia), the release of renin from the juxtaglomerular apparatus is halted, ceasing the production of angiotensin II, and its consequent aldosterone-release into the blood. The kidneys respond by excreting sodium ions into the urine, thereby normalizing the plasma sodium ion concentration. The low angiotensin II levels in the blood lower the arterial blood pressure as an inevitable concomitant response. The reabsorption
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inevitable concomitant response. The reabsorption of sodium ions from the tubular fluid as a result of high aldosterone levels in the blood does not, of itself, cause renal tubular water to be returned to the blood from the distal convoluted tubules or collecting ducts. This is because sodium is reabsorbed in exchange for potassium and therefore causes only a modest change in the osmotic gradient between the blood and the tubular fluid. Furthermore, the epithelium of the distal convoluted tubules and collecting ducts is impermeable to water in the absence of antidiuretic hormone (ADH) in the blood. ADH is part of the control of fluid balance. Its levels in the blood vary with the osmolality of the plasma, which is measured in the hypothalamus of the brain. Aldosterone's action on the kidney tubules prevents sodium loss to the extracellular fluid (ECF). So there is no change in the osmolality of the ECF, and therefore no change in the ADH concentration of the plasma. However, low aldosterone levels cause a loss of sodium ions from the ECF, which could potentially cause a change in extracellular osmolality and therefore of ADH levels in the blood. Potassium concentration High potassium concentrations in the plasma cause depolarization of the zona glomerulosa cells' membranes in the outer layer of the adrenal cortex. This causes the release of aldosterone into the blood. Aldosterone acts primarily on the distal convoluted tubules and collecting ducts of the kidneys, stimulating the excretion of potassium ions into the urine. It does so, however, by activating the basolateral Na+/K+ pumps of the tubular epithelial cells. These sodium/potassium exchangers pump three sodium ions out of the cell, into the interstitial fluid and two potassium ions into the cell from the interstitial fluid. This creates an ionic concentration gradient which results in the reabsorption of sodium (Na+) ions from the tubular fluid into the blood, and secreting potassium (K+) ions from the blood into the urine (lumen of collecting duct). Fluid balance The total amount of water in the body needs to be kept in balance. Fluid balance involves keeping the fluid volume stabilized, and also keeping the levels of electrolytes in the extracellular fluid stable. Fluid balance is maintained by the process of osmoregulation and by behavior. Osmotic pressure is detected by osmoreceptors in the median preoptic nucleus in the hypothalamus. Measurement of the plasma osmolality to give an indication of the water content of the body, relies on the fact that water losses from the body, (through unavoidable water loss through the skin which is not entirely waterproof and therefore always slightly moist, water vapor in the exhaled air, sweating, vomiting, normal feces and especially diarrhea) are all hypotonic, meaning that they are less salty than the body fluids (compare, for instance, the taste of saliva with that of tears. The latter has almost the same salt content as the extracellular fluid, whereas the former is hypotonic with respect to the plasma. Saliva does not taste salty, whereas tears are decidedly salty). Nearly all normal and abnormal losses of body water therefore cause the extracellular fluid to become hypertonic. Conversely, excessive fluid intake dilutes the extracellular fluid causing the hypothalamus to register hypotonic hyponatremia conditions. When the hypothalamus detects a hypertonic extracellular environment, it causes the secretion of an antidiuretic hormone (ADH) called vasopressin which acts on the effector organ, which in this case is the kidney. The effect of vasopressin on the kidney tubules is to reabsorb water from the distal convoluted tubules and collecting ducts, thus preventing aggravation of the water loss via the urine. The hypothalamus simultaneously stimulates the nearby thirst center causing an almost irresistible (if the hypertonicity is severe enough) urge to drink water. The cessation of urine flow prevents the hypovolemia and hypertonicity from getting worse; the drinking of water corrects the defect. Hypo-osmolality results in very low plasma ADH levels. This results in the inhibition of water reabsorption from the kidney tubules, causing high volumes of very dilute urine to be excreted, thus getting rid of the excess water in the body. Urinary water loss, when the body water homeostat is intact, is a compensatory water loss, correcting any water excess in the body. However, since the kidneys cannot generate water, the thirst reflex is the all-important second effector mechanism of the body water homeostat, correcting any water deficit in the body. Blood pH The plasma pH can be altered by respiratory changes in the partial pressure of carbon dioxide; or altered by metabolic changes in the carbonic acid to bicarbonate ion ratio. The bicarbonate buffer system regulates the ratio of carbonic acid to bicarbonate to be equal to 1:20, at which ratio the blood pH is 7.4 (as explained in the Henderson–Hasselbalch equation). A change in the plasma pH gives an acid–base imbalance. In acid–base homeostasis there are two mechanisms that can help regulate the pH. Respiratory compensation a mechanism of the respiratory center, adjusts the partial pressure of carbon dioxide by changing the rate and depth of breathing, to bring the pH back to normal. The partial pressure of carbon dioxide also determines the concentration of carbonic acid, and the bicarbonate buffer system can also come into play. Renal compensation can help the bicarbonate buffer system. The sensor for the plasma bicarbonate concentration is not known for certain. It is very probable that the renal tubular cells of the distal convoluted tubules are themselves sensitive to the pH of the plasma. The metabolism of these cells produces carbon dioxide, which is rapidly converted to hydrogen and bicarbonate through the action of carbonic anhydrase. When the ECF pH falls (becoming more acidic) the renal tubular cells excrete hydrogen ions into the tubular fluid to leave the body via urine. Bicarbonate ions are simultaneously secreted into the blood that decreases the carbonic acid, and consequently raises the plasma pH. The converse happens when the plasma pH rises above normal: bicarbonate ions are excreted into the urine, and hydrogen ions released into the plasma. When hydrogen ions are excreted into the urine, and bicarbonate into the blood, the latter combines with the excess hydrogen ions in the plasma that stimulated the kidneys to perform this operation. The resulting reaction in the plasma is the formation of carbonic acid which is in equilibrium with the plasma partial pressure of carbon dioxide. This is tightly regulated to ensure that there is no excessive build-up of carbonic acid or bicarbonate. The overall effect is therefore that hydrogen ions are lost in the urine when the pH of the plasma falls. The concomitant rise in the plasma bicarbonate mops up the increased hydrogen ions (caused by the fall in plasma pH) and the resulting excess carbonic acid is disposed of in the lungs as carbon dioxide. This restores the normal ratio between bicarbonate and the partial pressure of carbon dioxide and therefore the plasma pH. The converse happens when a high plasma pH stimulates the kidneys to secrete hydrogen ions into the blood and to excrete bicarbonate into the urine. The hydrogen ions combine with the excess bicarbonate ions in the plasma, once again forming an excess of carbonic acid which can be exhaled, as carbon dioxide, in the lungs, keeping the plasma bicarbonate ion concentration, the partial pressure of carbon dioxide and, therefore, the plasma pH, constant. Cerebrospinal fluid Cerebrospinal fluid (CSF) allows for regulation of the distribution of substances between cells of the brain, and neuroendocrine factors, to which slight changes can cause problems or damage to the nervous system. For example, high glycine concentration disrupts temperature and blood pressure control, and high CSF pH causes dizziness and syncope. Neurotransmission Inhibitory neurons in the central nervous system play a homeostatic role in the balance of neuronal activity between excitation and inhibition. Inhibitory neurons using GABA, make compensating changes in the neuronal networks preventing runaway levels of excitation. An imbalance between excitation and inhibition is seen to be implicated in a number of neuropsychiatric disorders. Neuroendocrine system The neuroendocrine system is the mechanism by which the hypothalamus maintains homeostasis, regulating metabolism, reproduction, eating and drinking behaviour, energy utilization, osmolarity and blood pressure. The regulation of metabolism, is carried out by hypothalamic interconnections to other glands. Three endocrine glands of the hypothalamic–pituitary–gonadal axis (HPG axis) often work together and have important regulatory functions. Two other regulatory endocrine axes are the hypothalamic–pituitary–adrenal axis (HPA axis) and the hypothalamic–pituitary–thyroid axis (HPT axis). The liver also has many regulatory functions of the metabolism. An important function is the production and control of bile acids. Too much bile acid can be toxic to cells and its synthesis can be inhibited by activation of FXR a nuclear receptor. Gene regulation At the cellular level, homeostasis is carried out by several mechanisms including transcriptional regulation that can alter the activity of genes in response to changes. Energy balance The amount of energy taken in through nutrition needs to match the amount of energy used. To achieve energy homeostasis appetite is regulated by two hormones, grehlin and leptin. Grehlin stimulates hunger and the intake of food and leptin acts to signal satiety (fullness). A 2019 review of weight-change interventions, including dieting, exercise and overeating, found that body weight homeostasis could not precisely correct for "energetic errors", the loss or gain of calories, in the short-term. Clinical significance Many diseases are the result of a homeostatic failure. Almost any homeostatic component can malfunction either as a result of an inherited defect, an inborn error of metabolism, or an acquired disease. Some homeostatic mechanisms have inbuilt redundancies, which ensures that life is not immediately threatened if a component malfunctions; but sometimes a homeostatic malfunction can result in serious disease, which can be fatal if not treated. A well-known example of a homeostatic failure is shown in type 1 diabetes mellitus. Here blood sugar regulation is unable to function because the beta cells of the pancreatic islets are destroyed and cannot produce the necessary insulin. The blood sugar rises in a condition known as hyperglycemia. The plasma ionized calcium homeostat can be disrupted by the constant, unchanging, over-production of parathyroid hormone by a parathyroid adenoma resulting in the typically features of hyperparathyroidism, namely high plasma ionized Ca2+ levels and the resorption of bone, which can lead to spontaneous fractures. The abnormally high plasma ionized calcium concentrations cause conformational changes in many cell-surface proteins (especially ion channels and hormone or neurotransmitter receptors) giving rise to lethargy, muscle weakness, anorexia, constipation and labile emotions. The body water homeostat can be compromised by the inability to secrete ADH in response to even the normal daily water losses via the exhaled air, the feces, and insensible sweating. On receiving a zero blood ADH signal, the kidneys produce huge unchanging volumes of very dilute urine, causing dehydration and death if not treated. As organisms age, the efficiency of their control systems becomes reduced. The inefficiencies gradually result
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decrease the amount of bouncing and friction on the ice. The game is played all over North America, Europe and to varying extents in many other countries around the world. It is the most popular sport in Canada, Finland, Latvia, the Czech Republic, and Slovakia. Ice hockey is the national sport of Latvia and the national winter sport of Canada. Ice hockey is played at a number of levels, by all ages. The governing body of international play is the 77-member International Ice Hockey Federation (IIHF). Men's ice hockey has been played at the Winter Olympics since 1924, and was in the 1920 Summer Olympics. Women's ice hockey was added to the Winter Olympics in 1998. North America's National Hockey League (NHL) is the strongest professional ice hockey league, drawing top ice hockey players from around the globe. The NHL rules are slightly different from those used in Olympic ice hockey over many categories. International ice hockey rules were adopted from Canadian rules in the early 1900s. The contemporary sport developed in Canada from European and native influences. These included various stick and ball games similar to field hockey, bandy and other games where two teams push a ball or object back and forth with sticks. These were played outdoors on ice under the name "hockey" in England throughout the 19th century, and even earlier under various other names. In Canada, there are 24 reports of hockey-like games in the 19th century before 1875 (five of them using the name "hockey"). The first organized and recorded game of ice hockey was played indoors in Montreal, Quebec, Canada, on March 3, 1875, and featured several McGill University students. Ice hockey sticks are long L-shaped sticks made of wood, graphite, or composites with a blade at the bottom that can lie flat on the playing surface when the stick is held upright and can legally curve either way, for left- or right-handed players. Para ice hockey Ice sledge hockey, or "para ice hockey", is a form of ice hockey designed for players with physical disabilities affecting their lower bodies. Players sit on double-bladed sledges and use two sticks; each stick has a blade at one end and small picks at the other. Players use the sticks to pass, stickhandle and shoot the puck, and to propel their sledges. The rules are very similar to IIHF ice hockey rules. Canada is a recognized international leader in the development of sledge hockey, and much of the equipment for the sport was first developed there, such as sledge hockey sticks laminated with fiberglass, as well as aluminum shafts with hand-carved insert blades and special aluminum sledges with regulation skate blades. Inline sledge hockey Based on ice sledge hockey, inline sledge hockey is played to the same rules as inline puck hockey (essentially ice hockey played off-ice using inline skates). There is no classification point system dictating who can play inline sledge hockey, unlike the situation with other team sports such as wheelchair basketball and wheelchair rugby. Inline sledge hockey is being developed to allow everyone, regardless of whether they have a disability or not, to complete up to world championship level based solely on talent and ability. The first game of organized inline sledge hockey was played at Bisley, England, on December 19, 2009, between the Hull Stingrays and the Grimsby Redwings. Matt Lloyd is credited with inventing inline sledge hockey, and Great Britain is seen as the international leader in the game's development. Roller hockey (inline) Though inline hockey is considered a variant of roller hockey "rink hockey", it was derived from ice hockey instead and uses a type of hockey puck or a ball. Both roller games use a type of wheeled skate but inline hockey uses inline skates rather than roller skates or "quads". The puck-based inline variant is more commonly played in North America than Europe while the ball-based variant is more popular in Europe. Inline hockey puck variant is played by two teams, consisting of four skaters and one goalie, on a dry rink divided into two halves by a center line, with one net at each end of the rink. The game is played in three 15-minute periods with a variation of the ice hockey off-side rule. Icings are also called, but are usually referred to as illegal clearing. The governing body is the International Ice Hockey Federation (IIHF), just as it is for ice hockey, but some leagues and competitions do not follow the IIHF regulations, in particular USA Inline and Canada Inline. Roller hockey (quad) Roller hockey, also known as "quad hockey", "international-style ball hockey", "rink hockey" and "Hoquei em Patins", is an overarching name for a roller sport that uses quad skates. It has existed long before the invention of inline skates. The sport is played in over sixty countries and has a worldwide following. Roller hockey was a demonstration sport at the 1992 Barcelona Summer Olympics. Street hockey Also known as road hockey, this is a dry-land variant of ice and roller hockey played year-round on a hard surface (usually asphalt). A ball is usually used instead of a puck, and protective equipment is not usually worn. Other forms of hockey Other games derived from hockey or its predecessors include the following: Air hockey is played indoors with a puck on an air-cushion table. Beach hockey, a variation of street hockey, is a common sight on Southern California beaches. Ball hockey is played in a gym using sticks and a ball, often a tennis ball with the felt removed. Box hockey is a schoolyard game played by two people. The object of the game is to move a hockey puck from the center of the box out through a hole placed at the end of the box (known as the goal). The players kneel facing one another on either side of the box, and each attempts to move the puck to the hole on their left. Broomball is played on an ice hockey rink, but with a ball instead of a puck and a "broom" (actually a stick with a small plastic implement on the end) in place of the ice hockey stick. Instead of skates, special shoes are used that have very soft rubbery soles to maximize grip while running around. Deck hockey is traditionally played by the Royal Navy on ships' decks, using short wooden L-shaped sticks. Floor hockey: a variety of games with different codes usually played on foot on a flat, smooth floor surface, usually indoors in gymnasiums or similar spaces. Floorball is a form of hockey played in a gymnasium or in a sports hall. A whiffle ball is used instead of a plastic ball, and the sticks are only one meter long and made from composite materials. Foot hockey or sock hockey is played using a bald tennis ball or rolled-up pair of socks and using only the feet. It is popular in elementary schools in the winter. Gena is a field hockey sport played in Ethiopia, with which the Ethiopian Christmas festival shares its name. The equipment consists of a strong stick curved at one end, and a ball of two kinds: either called srur (made out of a rounded piece of hard-wood) or (made by weaving a long strip of leather into a rounded shape). Gym ringette is the off-ice floor variant of the ice skating team sport of ringette rather than ice hockey. It is not a direct variant of the style of floor hockey which helped inspire ringette. Gym hockey floor hockey is a form of ice hockey played in a gymnasium. It uses sticks with foam ends and a foam ball or a plastic puck. Hurling and Camogie are Irish games bearing some resemblance to – and notable differences from – hockey. Indoor hockey is an indoor variant of field hockey. Mini hockey (or knee-hockey), also known as "mini-sticks" is a form of hockey played in the United States in the basements of houses. Players kneel and use a miniature plastic stick, usually about 15 inches (38 cm) long, to manoeuvre a small ball or a soft, fabric-covered mini puck into miniature goals. In England 'mini hockey' refers to a seven-a-side version of field hockey for younger players, played on an area equivalent to half a normal pitch. Nok Hockey is a table-top version of hockey played with no defence and a small block in front of the goal. Pond hockey is a simplified form of ice hockey played on naturally frozen ice. Power hockey is a form of hockey for persons requiring the use of an electric (power) wheelchair in daily life. Ringette is primarily a variant of an early 20th century style of floor hockey, but played on ice hockey skates and designed for female players; it uses a straight stick and an air-filled rubber ring in place of a floor hockey puck (open disk). Though played on ice hockey rinks, the rules and strategy differ considerably from those of ice hockey and bear a closer resemblance to basketball. It should not be confused with gym ringette which is the floor variant of the ice sport. Rink bandy
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and their related variants preceded games which would eventually be played on ice with ice skates, namely bandy and ice hockey, as well as sports involving dry floors such as roller hockey and floor hockey. However, the "hockey" referred to in common parlance often depends on locale, geography, and the size and popularity of the sport involved. For example, in Europe, "hockey" more typically refers to field hockey, whereas in Canada, it typically refers to ice hockey. In the case of bandy, the game was initially called "hockey on the ice" and preceded the organization and development of ice hockey, but was officially changed to "bandy" in the early 20th century in order to avoid confusion with ice hockey, a separate sport. Etymology The first recorded use of the word hockey is in the 1773 book Juvenile Sports and Pastimes, to Which Are Prefixed, Memoirs of the Author: Including a New Mode of Infant Education by Richard Johnson (Pseud. Master Michel Angelo), whose chapter XI was titled "New Improvements on the Game of Hockey". The belief that hockey was mentioned in a 1363 proclamation by King Edward III of England is based on modern translations of the proclamation, which was originally in Latin and explicitly forbade the games "Pilam Manualem, Pedivam, & Bacularem: & ad Canibucam & Gallorum Pugnam". The English historian and biographer John Strype did not use the word "hockey" when he translated the proclamation in 1720, instead translating "Canibucam" as "Cambuck"; this may have referred to either an early form of hockey or a game more similar to golf or croquet. The word hockey itself is of unknown origin. One supposition is that it is a derivative of hoquet, a Middle French word for a shepherd's stave. The curved, or "hooked" ends of the sticks used for hockey would indeed have resembled these staves. Another supposition derives from the known use of cork bungs (stoppers), in place of wooden balls to play the game. The stoppers came from barrels containing "hock" ale, also called "hocky". History Games played with curved sticks and a ball can be found in the histories of many cultures. In Egypt, 4000-year-old carvings feature teams with sticks and a projectile, hurling dates to before 1272 BC in Ireland, and there is a depiction from approximately 600 BC in Ancient Greece, where the game may have been called kerētízein or (κερητίζειν) because it was played with a horn or horn-like stick (kéras, κέρας). In Inner Mongolia, the Daur people have been playing beikou, a game similar to modern field hockey, for about 1,000 years. Most evidence of hockey-like games during the Middle Ages is found in legislation concerning sports and games. The Galway Statute enacted in Ireland in 1527 banned certain types of ball games, including games using "hooked" (written "hockie", similar to "hooky") sticks. By the 19th century, the various forms and divisions of historic games began to differentiate and coalesce into the individual sports defined today. Organizations dedicated to the codification of rules and regulations began to form, and national and international bodies sprang up to manage domestic and international competition. Subtypes Bandy Bandy is played with a ball on a football pitch-sized ice arena (bandy rink), typically outdoors, and with many rules similar to association football. It is played professionally in Russia and Sweden. The sport is recognized by the IOC; its international governing body is the Federation of International Bandy. Bandy has its roots in England in the 19th century, was originally called "hockey on the ice", and spread from England to other European countries around 1900; a similar Russian sport can also be seen as a predecessor and in Russia, bandy is sometimes called "Russian hockey". Bandy World Championships have been played since 1957 and Women's Bandy World Championships since 2004. There are national club championships in many countries and the top clubs in the world play in the Bandy World Cup every year. Field hockey Field hockey is played on gravel, natural grass, or sand-based or water-based artificial turf, with a small, hard ball approximately 73 mm (2.9 in) in diameter. The game is popular among both males and females in many parts of the world, particularly in Europe, Asia, Australia, New Zealand, South Africa, and Argentina. In most countries, the game is played between single-sex sides, although they can be mixed-sex. The governing body is the 126-member International Hockey Federation (FIH). Men's field hockey has been played at each Summer Olympic Games since 1908 except for 1912 and 1924, while women's field hockey has been played at the Summer Olympic Games since 1980. Modern field hockey sticks are constructed of a composite of wood, glass fibre or carbon fibre (sometimes both) and are J-shaped, with a curved hook at the playing end, a flat surface on the playing side and a curved surface on the rear side. All sticks are right-handed – left-handed sticks are not permitted. While field hockey in its current form appeared in mid-18th century England, primarily in schools, it was not until the first half of the 19th century that it became firmly established. The first club was created in 1849 at Blackheath in south-east London. Field hockey is the national sport of Pakistan. It was the national sport of India until the Ministry of Youth Affairs and Sports declared in August 2012 that India has no national sport. Ice hockey Ice hockey is played between two teams of skaters on a large flat area of ice, using a three-inch-diameter (76.2 mm) vulcanized rubber disc called a puck. This puck is often frozen before high-level games to decrease the amount of bouncing and friction on the ice. The game is played all over North America, Europe and to varying extents in many other countries around the world. It is the most popular sport in Canada, Finland, Latvia, the Czech Republic, and Slovakia. Ice hockey is the national sport of Latvia and the national winter sport of Canada. Ice hockey is played at a number of levels, by all ages. The governing body of international play is the 77-member International Ice Hockey Federation (IIHF). Men's ice hockey has been played at the Winter Olympics since 1924, and was in the 1920 Summer Olympics. Women's ice hockey was added to the Winter Olympics in 1998. North America's National Hockey League (NHL) is the strongest professional ice hockey league, drawing top ice hockey players from around the globe. The NHL rules are slightly different from those used in Olympic ice hockey over many categories. International ice hockey rules were adopted from Canadian rules in the early 1900s. The contemporary sport developed in Canada from European and native influences. These included various stick and ball games similar to field hockey, bandy and other games where two teams push a ball or object back and forth with sticks. These were played outdoors on ice under the name "hockey" in England throughout the 19th century, and even earlier under various other names. In Canada, there are 24 reports of hockey-like games in the 19th century before 1875 (five of them using the name "hockey"). The first organized and recorded game of ice hockey was played indoors in Montreal, Quebec, Canada, on March 3, 1875, and featured several McGill University students. Ice hockey sticks are long L-shaped sticks made of wood, graphite, or composites with a blade at the bottom that can lie flat on the playing surface when the stick is held upright and can legally curve either way, for left- or right-handed players. Para ice hockey Ice sledge hockey, or "para ice hockey", is a form of ice hockey designed for players with physical disabilities affecting their lower bodies. Players sit on double-bladed sledges and use two sticks; each stick has a blade at one end and small picks at the other. Players use the sticks to pass, stickhandle and shoot the puck, and to propel their sledges. The rules are very similar to IIHF ice hockey rules. Canada is a recognized international leader in the development of sledge hockey, and much of the equipment for the sport was first developed there, such as sledge hockey sticks laminated with fiberglass, as well as aluminum shafts
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Knitwear, Johnstons of Elgin, Lyle & Scott, Peter Scott, Pringle of Scotland, and Scott and Charters, have had and in many cases still have manufacturing plants in Hawick, producing luxury cashmere and merino wool knitwear. Engineering firm Turnbull and Scott had their headquarters in an Elizabethan-style listed building on Commercial Road before moving to Burnfoot. In recent times, unemployment has been an issue in Hawick, and the unemployment claimant rate remained ahead of the overall Scottish Borders between 2014 and 2017. The closure of once significant employers, including mills like Peter Scott and Pringle have impacted job availability in the town over the last few decades, and the population has declined partly because of this, at 13,730 in 2016, the lowest level since the 1800s. Despite efforts to improve the economic situation, employment and poverty remain relatively important in the context of the Scottish Borders, with the number of children living in poverty in the town 10% higher than the average for the region in 2017. Developments such as a new central business hub, Aldi supermarket, and distillery, all set for opening in 2018/19, are expected to benefit Hawick. Despite this, continued business closures, for example Homebase and the Original Factory Store in 2018, suggest continued economic decline for the town. Transport Hawick lies in the centre of the valley of the Teviot. The A7 Edinburgh–Carlisle road passes through the town, with main roads also leading to Berwick-upon-Tweed (the A698) and Newcastle upon Tyne (the A6088, which joins the A68 at the Carter Bar, south-east of Hawick). The town lost its rail service in 1969, when, as part of the Beeching Axe, the Waverley Route from Carlisle to Edinburgh via Hawick railway station was closed. It was then said to be the farthest large town from a railway station in the United Kingdom, but this changed as a result of the opening of the Borders Railway, which in 2015 reopened part of the former Waverley Route to Tweedbank, near Galashiels. Regular buses serve the railway station at Carlisle, away. Reconnecting Hawick to the Borders Railway would require reinstatement of a further approximately of the former Waverley Route from Hawick to Tweedbank station via Hassendean, St Boswells, and Melrose, and refurbishment of the four-arch Ale Water viaduct near New Belses. Hawick station was on the north bank of the river Teviot, below Wilton Hill Terrace, with a now demolished viaduct (near the Mart Street bridge) carrying the route south towards Carlisle. Waverley Walk in Hawick is a footpath along the former railway route, north-eastward from the former station site near Teviotdale Leisure Centre. A feasibility study is now underway to evaluate the possible reopening of the southern section of the former Waverley railway to link the Borders Railway terminus at Tweedbank through Hawick to Carlisle. The nearest major airports are at Edinburgh, away, and Newcastle, away. Culture and traditions The town hosts the annual Common Riding, which combines the annual riding of the boundaries of the town's common land with the commemoration of a victory of local youths over an English raiding party in 1514. In March 2007, this was described by the Rough Guide publication World Party as one of the best parties in the world. People from Hawick call themselves "Teries", after a traditional song which includes the line "Teribus ye teri odin". Hawick and surrounding border residents are known to possess a dialect and accent slightly different from broader Scots, being classed as Southern Scots or Borders Scots. For example, the term a "Hawick Gill" is a large measure of spirits, equivalent to 0.28 litre (half a pint). Film Hawick is home to Alchemy Film & Arts, and its internationally renowned flagship annual event Alchemy Film and Moving Image Festival. Investing in film "as a means of generating discussion, strengthening community, and stimulating creative thought", Alchemy works with artists and communities within Hawick and the Scottish Borders on a year-round basis. In summer 2019, Alchemy launched its award-winning Film Town project, which "aims to work to the benefit of Hawick and its unique communities by widening accessibility and inclusion for audiences, participants and partners, and by challenging social, physical and communication barriers... while contributing to Hawick’s economic regeneration through
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Burnfoot. In recent times, unemployment has been an issue in Hawick, and the unemployment claimant rate remained ahead of the overall Scottish Borders between 2014 and 2017. The closure of once significant employers, including mills like Peter Scott and Pringle have impacted job availability in the town over the last few decades, and the population has declined partly because of this, at 13,730 in 2016, the lowest level since the 1800s. Despite efforts to improve the economic situation, employment and poverty remain relatively important in the context of the Scottish Borders, with the number of children living in poverty in the town 10% higher than the average for the region in 2017. Developments such as a new central business hub, Aldi supermarket, and distillery, all set for opening in 2018/19, are expected to benefit Hawick. Despite this, continued business closures, for example Homebase and the Original Factory Store in 2018, suggest continued economic decline for the town. Transport Hawick lies in the centre of the valley of the Teviot. The A7 Edinburgh–Carlisle road passes through the town, with main roads also leading to Berwick-upon-Tweed (the A698) and Newcastle upon Tyne (the A6088, which joins the A68 at the Carter Bar, south-east of Hawick). The town lost its rail service in 1969, when, as part of the Beeching Axe, the Waverley Route from Carlisle to Edinburgh via Hawick railway station was closed. It was then said to be the farthest large town from a railway station in the United Kingdom, but this changed as a result of the opening of the Borders Railway, which in 2015 reopened part of the former Waverley Route to Tweedbank, near Galashiels. Regular buses serve the railway station at Carlisle, away. Reconnecting Hawick to the Borders Railway would require reinstatement of a further approximately of the former Waverley Route from Hawick to Tweedbank station via Hassendean, St Boswells, and Melrose, and refurbishment of the four-arch Ale Water viaduct near New Belses. Hawick station was on the north bank of the river Teviot, below Wilton Hill Terrace, with a now demolished viaduct (near the Mart Street bridge) carrying the route south towards Carlisle. Waverley Walk in Hawick is a footpath along the former railway route, north-eastward from the former station site near Teviotdale Leisure Centre. A feasibility study is now underway to evaluate the possible reopening of the southern section of the former Waverley railway to link the Borders Railway terminus at Tweedbank through Hawick to Carlisle. The nearest major airports are at Edinburgh, away, and Newcastle, away. Culture and traditions The town hosts the annual Common Riding, which combines the annual riding of the boundaries of the town's common land with the commemoration of a victory of local youths over an English raiding party in 1514. In March 2007, this was described by the Rough Guide publication World Party as one of the best parties in the world. People from Hawick call themselves "Teries", after a traditional song which includes the line "Teribus ye teri odin". Hawick and surrounding border residents are known to possess a dialect and accent slightly different from broader Scots, being classed as Southern Scots or Borders Scots. For example, the term a "Hawick Gill" is a large measure of spirits, equivalent to 0.28 litre (half a pint). Film Hawick is home to Alchemy Film & Arts, and its internationally renowned flagship annual event Alchemy Film and Moving Image Festival. Investing in film "as a means of generating discussion, strengthening community, and stimulating creative thought", Alchemy works with artists and communities within Hawick and the Scottish Borders on a year-round basis. In summer 2019, Alchemy launched its award-winning Film Town project, which "aims to work to the benefit of Hawick and its unique communities by widening accessibility and inclusion for audiences, participants and partners, and
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Education Hatfield contains numerous primary and secondary schools, including The Ryde School, St Philip Howard Catholic Primary School, Countess Anne School, Onslow St Audrey's School and Bishop's Hatfield Girls' School and the independent day and boarding girls' school Queenswood School. The University of Hertfordshire is based in Hatfield. A large section of the airfield site was purchased by the University and the £120-million de Havilland Campus, incorporating a £15-million Sports Village, was opened in September 2003. The university has closed its sites at Watford and Hertford; faculties situated there have been moved to the de Havilland Campus. The equine branch of the Royal Veterinary College is based in Hatfield. Places of interest Hatfield House Hatfield War Memorial The Forum Hertfordshire (music venue) University of Hertfordshire. In 2011, the music video for Ed Sheeran's Lego House, featuring Harry Potter's Rupert Grint, was filmed in Hatfield. Filming took place at The Forum venue, located on University of Hertfordshire, College Lane campus. Filming of the video took place during Sheeran's performance at the venue on 8 October 2011. Many students were involved during filming, as they made up most of the audience at the Forum that day. Mill Green Museum and watermill Art and Design Gallery (contemporary art gallery) University of Hertfordshire The Weston Auditorium (theatre and cinema) University of Hertfordshire The Galleria Hatfield Business Park, the former de Havilland plant, later BAE Systems Hatfield, was used as a location for Saving Private Ryan (film) and Band of Brothers (TV series). Transport Hatfield is to the north of London. It is from London Luton Airport. The A1(M) runs through a tunnel beneath the town, which is also close to the M25. In the eighteenth and nineteenth centuries it was the northern terminus of the Hatfield and Reading Turnpike that allowed travelers from the north to continue their journey to the west without going through the congestion of London. The East Coast railway line from London to York runs through the town, separating the old and new parts. A commuter service connects Hatfield railway station to London King's Cross. A new railway station and car park opened in late 2015. The frequent train service runs direct from Hatfield Station to London King's Cross (21 minutes) via Finsbury Park (16 minutes, Victoria Underground Line) on fast trains running two or three times an hour. An additional train service calls at all stations to Moorgate in the City of London. There was a fatal rail crash at Hatfield in 2000, which brought track-maintenance deficiencies to public attention. A garden beside the East Coast Main Line was built as a memorial to the crash victims. Notable residents Business Michael Birch (born 1970), founder of the social network BEBO, lived in Hatfield. Sir Geoffrey de Havilland (1882–1965), founder of De Havilland Aircraft Company Jack Olding (Henry John Douglas Olding, fl. mid-20th c.), wartime tank and tractor importer, came from Hatfield. Music and dance Babe Ruth, a 1970s rock band, came from Hatfield. Colin Blunstone (born 1945) of The Zombies lived in Hatfield. Martin Carthy (born 1941), folk musician, was born in Hatfield. Sandra Conley (born 1943), principal dancer with the Royal Ballet. Donovan (born 1946), folk musician, moved to Hatfield at the age of 10 and spent the rest of his childhood there. Barbara Gaskin (born 1950), pop singer, No. 1 with "It's My Party" Alan Shacklock (born 1950), pop musician and record producer, lived in Hatfield. Sal Solo (Christopher Scott Stevens, born 1961), rock singer, was born in Hatfield. Mick Taylor (born 1949), Rolling Stones guitarist 1969–1974, grew up in Hatfield. Tracey Thorn (born 1962), lead singer of Everything But The Girl, was born in Hatfield and attended Bishop's Hatfield Girls' School. Politics, nobility and royalty Robert Cecil, 1st Earl of Salisbury (c. 1563–1612), statesman Robert Cecil, 3rd Marquess of Salisbury (1830–1903), Conservative politician, lived at Hatfield House and was buried at St Etheldreda Church. Robert Gascoyne-Cecil, 5th Marquess of Salisbury (1893–1972), Conservative politician William Lamb, 2nd Viscount Melbourne (1779–1848), prime minister, was buried at St Etheldreda Church. Henry John Temple, 3rd Viscount Palmerston (1784–1865), prime minister Elizabeth Tudor, later Queen Elizabeth I (1533–1603), lived at Hatfield House (Hatfield Old Palace). Malcolm Wicks (1947–2012), Labour Party politician and Minister for Energy, was born in Hatfield. Religion Walter Curle (1575–1647), Bishop of Winchester and a close supporter of William Laud, was born in Hatfield. John Morton (c. 1420–1500), Cardinal and Bishop of Ely, built Hatfield Old Palace. Science and scholarship L. H. Sumanadasa (1910–1986), aviator and university founder, learned to fly at Hatfield. John Tradescant the elder (c. 1570s–1638), botanist, gardener and naturalist, was head gardener at Hatfield House. Sports Keith Abbis (born 1932), Brighton and Hove Albion footballer Samir Carruthers (born 1993), Sheffield United footballer, is from Hatfield. Matthew Connolly (born 1987), QPR defender, lived and attended primary school in Hatfield. Iain Dowie (born 1965), West Ham player, QPR manager & BBC pundit, was born and raised in Hatfield and studied mechanical engineering at the University of Hertfordshire. Valentine Faithfull (1820–1894), first-class cricketer and clergyman, was born in Hatfield. Rodney Marsh (born 1944), QPR footballer, is from Hatfield. Francis Pember (1862–1954), first-class cricketer, was born in Hatfield. Billy Joe Saunders (born 1989), WBO middleweight world champion boxer Korey Smith (born 1991) Bristol City footballer was born and grew up in Hatfield Stage, media and film Sanjeev Bhaskar (born 1963), comedian and broadcaster, lived in Hatfield whilst studying at the University of Hertfordshire. John Cazabon (1914–1983), actor on stage, screen and radio, was born in Hatfield. Pippa Haywood (born 1961), television, stage and radio actress, was born in Hatfield. Diane-Louise Jordan (born 1960), television presenter, grew up in Hatfield. David Kossoff (1919–2005), broadcaster and father of Paul Kossoff of the 1960s rock band Free, lived in Hatfield. Derek Martin (born 1933), actor known especially for role of Charlie Slater in EastEnders Gerry Northam (born 1947), radio presenter and investigative journalist, was born in Hatfield. Guy Ritchie (born 1968), film director famous for
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the eighteenth and nineteenth centuries it was the northern terminus of the Hatfield and Reading Turnpike that allowed travelers from the north to continue their journey to the west without going through the congestion of London. The East Coast railway line from London to York runs through the town, separating the old and new parts. A commuter service connects Hatfield railway station to London King's Cross. A new railway station and car park opened in late 2015. The frequent train service runs direct from Hatfield Station to London King's Cross (21 minutes) via Finsbury Park (16 minutes, Victoria Underground Line) on fast trains running two or three times an hour. An additional train service calls at all stations to Moorgate in the City of London. There was a fatal rail crash at Hatfield in 2000, which brought track-maintenance deficiencies to public attention. A garden beside the East Coast Main Line was built as a memorial to the crash victims. Notable residents Business Michael Birch (born 1970), founder of the social network BEBO, lived in Hatfield. Sir Geoffrey de Havilland (1882–1965), founder of De Havilland Aircraft Company Jack Olding (Henry John Douglas Olding, fl. mid-20th c.), wartime tank and tractor importer, came from Hatfield. Music and dance Babe Ruth, a 1970s rock band, came from Hatfield. Colin Blunstone (born 1945) of The Zombies lived in Hatfield. Martin Carthy (born 1941), folk musician, was born in Hatfield. Sandra Conley (born 1943), principal dancer with the Royal Ballet. Donovan (born 1946), folk musician, moved to Hatfield at the age of 10 and spent the rest of his childhood there. Barbara Gaskin (born 1950), pop singer, No. 1 with "It's My Party" Alan Shacklock (born 1950), pop musician and record producer, lived in Hatfield. Sal Solo (Christopher Scott Stevens, born 1961), rock singer, was born in Hatfield. Mick Taylor (born 1949), Rolling Stones guitarist 1969–1974, grew up in Hatfield. Tracey Thorn (born 1962), lead singer of Everything But The Girl, was born in Hatfield and attended Bishop's Hatfield Girls' School. Politics, nobility and royalty Robert Cecil, 1st Earl of Salisbury (c. 1563–1612), statesman Robert Cecil, 3rd Marquess of Salisbury (1830–1903), Conservative politician, lived at Hatfield House and was buried at St Etheldreda Church. Robert Gascoyne-Cecil, 5th Marquess of Salisbury (1893–1972), Conservative politician William Lamb, 2nd Viscount Melbourne (1779–1848), prime minister, was buried at St Etheldreda Church. Henry John Temple, 3rd Viscount Palmerston (1784–1865), prime minister Elizabeth Tudor, later Queen Elizabeth I (1533–1603), lived at Hatfield House (Hatfield Old Palace). Malcolm Wicks (1947–2012), Labour Party politician and Minister for Energy, was born in Hatfield. Religion Walter Curle (1575–1647), Bishop of Winchester and a close supporter of William Laud, was born in Hatfield. John Morton (c. 1420–1500), Cardinal and Bishop of Ely, built Hatfield Old Palace. Science and scholarship L. H. Sumanadasa (1910–1986), aviator and university founder, learned to fly at Hatfield. John Tradescant the elder (c. 1570s–1638), botanist, gardener and naturalist, was head gardener at Hatfield House. Sports Keith Abbis (born 1932), Brighton and Hove Albion footballer Samir Carruthers (born 1993), Sheffield United footballer, is from Hatfield. Matthew Connolly (born 1987), QPR defender, lived and attended primary school in Hatfield. Iain Dowie (born 1965), West Ham player, QPR manager & BBC pundit, was born and raised in Hatfield and studied mechanical engineering at the University of Hertfordshire. Valentine Faithfull (1820–1894), first-class cricketer and clergyman, was born in Hatfield. Rodney Marsh (born 1944), QPR footballer, is from Hatfield. Francis Pember (1862–1954), first-class cricketer, was born in Hatfield. Billy Joe Saunders (born 1989), WBO middleweight world champion boxer Korey Smith (born 1991) Bristol City footballer was born and grew up in Hatfield Stage, media and film Sanjeev Bhaskar (born 1963), comedian and broadcaster, lived in Hatfield whilst studying at the University of Hertfordshire. John Cazabon (1914–1983), actor on stage, screen and radio, was born in Hatfield. Pippa Haywood (born 1961), television, stage and radio actress, was born in Hatfield. Diane-Louise Jordan (born
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until the late 1980s, the town of Borehamwood was home to one of the major British film studio complexes, including the MGM-British Studios. Many well-known films were made here including the first three Star Wars movies (IV, V, & VI). The studios generally used the name of Elstree. American director Stanley Kubrick not only used to shoot in those studios but also lived in the area until his death. Big Brother UK and Who Wants To Be A Millionaire? have been filmed there. EastEnders is filmed at Elstree. Hertfordshire has seen development at Warner Bros. Studios, Leavesden; the Harry Potter series was filmed here and the 1995 James Bond film GoldenEye. On 17 October 2000, the Hatfield rail crash killed four people with over 70 injured. The crash exposed the shortcomings of Railtrack, which consequently saw speed restrictions and major track replacement. On 10 May 2002, the second of the Potters Bar rail accidents occurred killing seven people; the train was at high speed when it derailed and flipped into the air when one of the carriages slid along the platform where it came to rest. In early December 2005, the 2005 Hemel Hempstead fuel depot explosions occurred at the Hertfordshire Oil Storage Terminal. Geography Hertfordshire is the county immediately north of London and is part of the East of England region, a mainly statistical unit. To the east is Essex, to the west is Buckinghamshire and to the north are Bedfordshire and Cambridgeshire. A significant minority of the population across all districts commute to Central London. The county's boundaries were roughly fixed by the Counties (Detached Parts) Act 1844 which eliminated exclaves; amended when, in 1965 under the London Government Act 1963, East Barnet Urban District and Barnet Urban District were abolished, their area was transferred to form part of the present-day London Borough of Barnet and the Potters Bar Urban District of Middlesex was transferred to Hertfordshire. The highest point in the county is at (AOD) on the Ridgeway long distance national path, on the border of Hastoe near Tring with Drayton Beauchamp, Buckinghamshire. At the 2011 census, among the county's ten districts, East Hertfordshire had the lowest population density (290 people per km2) and Watford the highest (4210 per km2). Compared with neighbouring Bedfordshire and Buckinghamshire, Hertfordshire lacks large towns or cities on the scale of Luton or Milton Keynes, whose populations exceed 200,000, but its overall population (approximately 1 million) is greater than those of the two aforementioned counties. The River Lea near Harpenden runs through Wheathampstead, Welwyn Garden City, Hertford, Ware, and Broxbourne before reaching Cheshunt and ultimately the River Thames. The far west of the county is the most hilly, with the Chiltern Hills surrounding Tring, Berkhamsted and the Ashridge estate. This Area of Outstanding Natural Beauty runs from near Hitchin in the north to Berkshire and Oxfordshire. Many of the county's major settlements are in the central, northern and southern areas, such as Watford, Hemel Hempstead, Kings Langley, Rickmansworth, St. Albans, Harpenden, Radlett, Borehamwood, Potters Bar, Stevenage, Hatfield, Welwyn and Welwyn Garden City, Hitchin, Letchworth and Baldock. These are all small to medium-sized locations, featuring a mix of post-WWII new towns and older/more historical locales. The City of St. Albans is an example of a historical settlement, as its cathedral and abbey date to the Norman period, and there are ruins from the Roman settlement of Verulamium nearby the current city centre. Stevenage is a mix of post-WWII new town planning amidst its prior incarnation as a smaller town. The Old Town in Stevenage represents this historic core and has many shops and buildings reflecting its pre-WWII heritage. Hitchin also has a historic centre, with many Tudor and Stuart era buildings interspersed amongst more contemporary structures. Hertfordshire's eastern regions are predominantly rural and arable, intermixed with villages and small to medium-sized towns. Royston, Buntingford and Bishops Stortford, along with Ware and the county town of Hertford are major settlements in this regard. The physical geography of eastern Hertfordshire is less elevated than the far west, but with lower rising hills and prominent rivers such as the Stort. This river rises in Essex and terminates via a confluence with the Lea near to Ware. Apart from the Lea and Stort, the River Colne is the major watercourse in the county's west. This runs near Watford and Radlett, and has a complex system/drainage area running south into both Greater London and Buckinghamshire. An unofficial status, the purple star-shaped flower with yellow stamens, the Pasqueflower is among endemic county flowers. Geology The rocks of Hertfordshire belong to the great shallow syncline known as the London Basin. The beds dip in a south-easterly direction towards the syncline's lowest point roughly under the River Thames. The most important formations are the Cretaceous Chalk, exposed as the high ground in the north and west of the county, forming the Chiltern Hills and the younger Palaeocene, Reading Beds and Eocene, London Clay which occupy the remaining southern part. The eastern half of the county was covered by glaciers during the Ice Age and has a superficial layer of glacial boulder clays. Natural resources and environment Much of the west – and much more in the east – have richly diverse countryside. These range from beech woods of the Chilterns, clayland buffer zone countryside of Braughing and the Hadhams across to ancient hornbeam coppices west of the upper Lea valley. The county has sweeping panoramas of chalklands near Royston, Baldock, Hexton and Tring. Large parts of the county are used for agriculture. Some quarrying of sand and gravel occurs around St Albans. In the past, clay has supplied local brick-making and still does in Bovingdon, just south-west of Hemel Hempstead. The chalk that is the bedrock of much of the county provides an aquifer that feeds streams and is also exploited to provide water supplies for much of the county and beyond. Chalk has also been used as a building material and, once fired, the resultant lime was spread on agricultural land to improve fertility. The mining of chalk since the early 18th century has left unrecorded underground galleries that occasionally collapse unexpectedly and endanger buildings. Fresh water is supplied to London from Ware, using the New River built by Hugh Myddleton and opened in 1613. Local rivers, although small, supported developing industries such as paper production at Nash Mills. Hertfordshire affords habitat for a variety of flora and fauna. A bird once common in the shire is the Hooded Crow, the old name of which is the eponymous name of the regional newspaper, the Royston Crow published in Royston. A product, now largely defunct, was watercress, based in Hemel Hempstead and Berkhamsted supported by reliable, clean chalk rivers. Urban areas Economy This is a table of trends of regional gross value added of Hertfordshire at current basic prices with figures in millions of British Pounds Sterling. Hertfordshire has the main operational and/or headquarters UK site of some very large employers. Clockwise from north: In Stevenage (a subsidiary of: BAE Systems, Airbus and Finmeccanica) MBDA, develops missiles. In the same town, Airbus (Defence & Space Division) produces satellites. Hatfield was where de Havilland developed the first commercial jet liner, the Comet. Now the site is a business park and new campus for the University of Hertfordshire. This major employment site notably hosts EE, Computacenter and Ocado groceries and other goods e-commerce. Welwyn Garden City hosts Tesco's UK base, hosts the
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place of a Christian priest and was beheaded on Holywell Hill. His martyr's cross of a yellow saltire on a blue field is reflected in the flag and coat of arms of Hertfordshire as the yellow field to the stag or Hart representing the county. He is the Patron Saint of Hertfordshire. With the departure of the Roman Legions in the early 5th century, the now-unprotected territory was invaded and colonised by the Anglo-Saxons. By the 6th century, the majority of the modern county was part of the East Saxon kingdom. This relatively short-lived kingdom collapsed in the 9th century, ceding the territory of Hertfordshire to the control of the West Anglians of Mercia. The region finally became an English shire in the 10th century, on the merger of the West Saxon and Mercian kingdoms. In the midst of the Norse invasions, Hertfordshire was on the front lines of much of the fighting. King Edward the Elder, in his reconquest of Norse-held lands in what was to become England, established a "burh" or fort in Hertford, which was to curb Norse activities in the area. His father, King Alfred the Great, established the River Lea as a boundary between his kingdom and that of the Norse lord Guthrum, with the north and eastern parts of the county being within the Danelaw. There is little evidence however of Norse placenames within this region, and many of the Anglo-Saxon features remained intact to this day. The county however suffered from renewed Norse raids in the late 10th to early 11th centuries, as armies led by Danish kings Swein Forkbeard and Cnut the Great harried the country as part of their attempts to undermine and overthrow English king Athelred the Unready. A century later, William of Normandy received the surrender of the surviving senior English Lords and Clergy at Berkhamsted, resulting in a new Anglicised title of William the Conqueror, before entering London unopposed and being crowned at Westminster. Hertfordshire was used for some of the new Norman castles at Bishop's Stortford, and at King's Langley, a staging post between London and the royal residence of Berkhamsted. The Domesday Book recorded the county as having nine hundreds. Tring and Danais became oneDacorumfrom Danis Corum or Danish rule harking back to a Viking not Saxon past. The other seven were Braughing, Broadwater, Cashio, Edwinstree, Hertford, Hitchin and Odsey. In the later Plantagenet period, St. Albans Abbey was an initial drafting place of what was to become the Magna Carta. And in the later Wars of the Roses, St. Albans was the scene of two major battles between the Lancastrians and the Yorkists. In Tudor times, Hatfield House was often frequented by Queen Elizabeth I. Stuart King James I used the locale for hunting and facilitated the construction of a waterway, the New River, supplying drinking water to London. As London grew, Hertfordshire became conveniently close to the English capital; much of the area was owned by the nobility and aristocracy, this patronage helped to boost the local economy. However, the greatest boost to Hertfordshire came during the Industrial Revolution, after which the population rose dramatically. In 1903, Letchworth became the world's first garden city and Stevenage became the first town to redevelop under the New Towns Act 1946. The first shooting-down of a zeppelin over Great Britain during WW1 happened in Cuffley. From the 1920s until the late 1980s, the town of Borehamwood was home to one of the major British film studio complexes, including the MGM-British Studios. Many well-known films were made here including the first three Star Wars movies (IV, V, & VI). The studios generally used the name of Elstree. American director Stanley Kubrick not only used to shoot in those studios but also lived in the area until his death. Big Brother UK and Who Wants To Be A Millionaire? have been filmed there. EastEnders is filmed at Elstree. Hertfordshire has seen development at Warner Bros. Studios, Leavesden; the Harry Potter series was filmed here and the 1995 James Bond film GoldenEye. On 17 October 2000, the Hatfield rail crash killed four people with over 70 injured. The crash exposed the shortcomings of Railtrack, which consequently saw speed restrictions and major track replacement. On 10 May 2002, the second of the Potters Bar rail accidents occurred killing seven people; the train was at high speed when it derailed and flipped into the air when one of the carriages slid along the platform where it came to rest. In early December 2005, the 2005 Hemel Hempstead fuel depot explosions occurred at the Hertfordshire Oil Storage Terminal. Geography Hertfordshire is the county immediately north of London and is part of the East of England region, a mainly statistical unit. To the east is Essex, to the west is Buckinghamshire and to the north are Bedfordshire and Cambridgeshire. A significant minority of the population across all districts commute to Central London. The county's boundaries were roughly fixed by the Counties (Detached Parts) Act 1844 which eliminated exclaves; amended when, in 1965 under the London Government Act 1963, East Barnet Urban District and Barnet Urban District were abolished, their area was transferred to form part of the present-day London Borough of Barnet and the Potters Bar Urban District of Middlesex was transferred to Hertfordshire. The highest point in the county is at (AOD) on the Ridgeway long distance national path, on the border of Hastoe near Tring with Drayton Beauchamp, Buckinghamshire. At the 2011 census, among the county's ten districts, East Hertfordshire had the lowest population density (290 people per km2) and Watford the highest (4210 per km2). Compared with neighbouring Bedfordshire and Buckinghamshire, Hertfordshire lacks large towns or cities on the scale of Luton or Milton Keynes, whose populations exceed 200,000, but its overall population (approximately 1 million) is greater than those of the two aforementioned counties. The River Lea near Harpenden runs through Wheathampstead, Welwyn Garden City, Hertford, Ware, and Broxbourne before reaching Cheshunt and ultimately the River Thames. The far west of the county is the most hilly, with the Chiltern Hills surrounding Tring, Berkhamsted and the Ashridge estate. This Area of Outstanding Natural Beauty runs from near Hitchin in the north to Berkshire and Oxfordshire. Many of the county's major settlements are in the central, northern and southern areas, such as Watford, Hemel Hempstead, Kings Langley, Rickmansworth, St. Albans, Harpenden, Radlett, Borehamwood, Potters Bar, Stevenage, Hatfield, Welwyn and Welwyn Garden City, Hitchin, Letchworth and Baldock. These are all small to medium-sized locations, featuring a mix of post-WWII new towns and older/more historical locales. The City of St. Albans is an example of a historical settlement, as its cathedral and abbey date to the Norman period, and there are ruins from the Roman settlement of Verulamium nearby the current city centre. Stevenage is a mix of post-WWII new town planning amidst its prior incarnation as a smaller town. The Old Town in Stevenage represents this historic core and has many shops and buildings reflecting its pre-WWII heritage. Hitchin also has a historic centre, with many Tudor and Stuart era buildings interspersed amongst more contemporary structures. Hertfordshire's eastern regions are predominantly rural and arable, intermixed with villages and small to medium-sized towns. Royston, Buntingford
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drawings, one of the world's largest collections of the artist's work, second only to the Van Gogh Museum in Amsterdam. She also bought more than 400 works by Dutch artist Bart van der Leck, but his popularity did not take off like van Gogh's. Kröller-Müller also collected works by modern artists, such as Picasso, Georges Braque, Jean Metzinger, Albert Gleizes, Fernand Léger, Diego Rivera, Juan Gris, Piet Mondrian, Gino Severini, Joseph Csaky, Auguste Herbin, Georges Valmier, María Blanchard, Léopold Survage and Tobeen. However, Bremmer advised her not to buy A Sunday Afternoon on the Island of La Grande Jatte by Georges Seurat, which turned out to be an important icon of 20th-century art. She did purchase however Le Chahut by Seurat, another icon in the history of modern art. Also, she steered away from artists of her native Germany, whose work she found "insufficiently authoritative." On a trip to Florence in June 1910, she conceived the idea of creating a museum-house. From 1913 onwards parts of her collection were open to the public; until the mid-1930s her exhibition hall in The Hague was one of the very rare places where one could see more than a few works of modern art. In 1928, Anton and Helene created the Kröller-Müller Foundation to protect the collection and the estates. In 1935, they donated to the Dutch people their entire collection totaling approximately 12,000 objects, on condition that a large museum be built in the gardens of her park. Held in the care of the Dutch government, the Kröller-Müller Museum was opened in 1938. The Kröller-Müller Museum is nestled in their 75-acre (300,000 m2) forested country estate, today the largest national park in the Netherlands, the Hoge Veluwe National Park near the town of Otterlo and the city of Arnhem. A lavish art gallery was planned near their iconic lakeside Jachthuis Sint Hubertus hunting lodge and landscape statue of their close personal
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1906–1907. As she was one of the wealthiest women in the Netherlands at the time, Bremmer recommended that she form an art collection. In 1907, she began her collection with the painting Train in a Landscape by Paul Gabriël. Subsequently, Helene Kröller-Müller became an avid art collector, and one of the first people to recognise the genius of Vincent van Gogh. She eventually amassed more than 90 van Gogh paintings and 185 drawings, one of the world's largest collections of the artist's work, second only to the Van Gogh Museum in Amsterdam. She also bought more than 400 works by Dutch artist Bart van der Leck, but his popularity did not take off like van Gogh's. Kröller-Müller also collected works by modern artists, such as Picasso, Georges Braque, Jean Metzinger, Albert Gleizes, Fernand Léger, Diego Rivera, Juan Gris, Piet Mondrian, Gino Severini, Joseph Csaky, Auguste Herbin, Georges Valmier, María Blanchard, Léopold Survage and Tobeen. However, Bremmer advised her not to buy A Sunday Afternoon on the Island of La Grande Jatte by Georges Seurat, which turned out to be an important icon of 20th-century art. She did purchase however Le Chahut by Seurat, another icon in the history of modern art. Also, she steered away from artists of her native Germany, whose work she found "insufficiently authoritative." On a trip to Florence in June 1910, she conceived the idea of creating a museum-house. From 1913 onwards parts of her collection were open to the public; until
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deeper understanding of the subject matter. Gadamer further explains the hermeneutical experience as a dialogue. To justify this, he uses Plato's dialogues as a model for how we are to engage with written texts. To be in conversation, one must take seriously “the truth claim of the person with whom one is conversing.” Further, each participant in the conversation relates to one another insofar as they belong to the common goal of understanding one another. Ultimately, for Gadamer, the most important dynamic of conversation as a model for the interpretation of a text is “the give-and-take of question and answer.” In other words, the interpretation of a given text will change depending on the questions the interpreter asks of the text. The "meaning" emerges not as an object that lies in the text or in the interpreter, but rather an event that results from the interaction of the two. Truth and Method was published twice in English, and the revised edition is now considered authoritative. The German-language edition of Gadamer's Collected Works includes a volume in which Gadamer elaborates his argument and discusses the critical response to the book. Finally, Gadamer's essay on Celan (entitled "Who Am I and Who Are You?") has been considered by many—including Heidegger and Gadamer himself—as a "second volume" or continuation of the argument in Truth and Method. Contributions to communication ethics Gadamer's Truth and Method has become an authoritative work in the communication ethics field, spawning several prominent ethics theories and guidelines. The most profound of these is the formulation of the dialogic coordinates, a standard set of prerequisite communication elements necessary for inciting dialogue. Adhering to Gadamer's theories regarding bias, communicators can better initiate dialogic transaction, allowing biases to merge and promote mutual understanding and learning. Other works Gadamer also added philosophical substance to the notion of human health. In The Enigma of Health, Gadamer explored what it means to heal, as a patient and a provider. In this work the practice and art of medicine are thoroughly examined, as is the inevitability of any cure. In addition to his work in hermeneutics, Gadamer is also well known for a long list of publications on Greek philosophy. Indeed, while Truth and Method became central to his later career, much of Gadamer's early life centered on studying Greek thinkers, Plato and Aristotle specifically. In the Italian introduction to Truth and Method, Gadamer said that his work on Greek philosophy was "the best and most original part" of his career. His book Plato's Dialectical Ethics looks at the Philebus dialogue through the lens of phenomenology and the philosophy of Martin Heidegger. Prizes and awards 1971: Pour le Mérite and the 1972: Great Cross of Merit with Star of the Order of Merit of the Federal Republic of Germany 1979: Sigmund Freud Prize for scientific prose and Hegel Prize 1986: Karl Jaspers Prize 1990: Great Cross of Merit with Star and Sash of the Order of Merit of the Federal Republic of Germany 1993: Grand Cross of the Order of Merit of the Federal Republic of Germany 12 January 1996: appointed an honorary member of the Saxon Academy of Sciences in Leipzig Honorary doctorates 1995: University of Wrocław 1996: University of Leipzig 1999: Philipps-University Marburg Bibliography Primary Truth and Method. (1st English ed., 1975, trans. by W, Glen-Doepel, ed. by John Cumming and Garret Barden) Hegel's Dialectic: Five Hermeneutical Studies. Trans. P. Christopher Smith. New Haven, CT: Yale University Press, 1976. Dialogue and Dialectic: Eight Hermeneutical Studies on Plato. Trans. and ed. by P. Christopher Smith. New Haven, CT: Yale University Press, 1980. The Idea of the Good in Platonic-Aristotelian Philosophy. Trans. P. Christopher Smith. New Haven, CT: 1986. Gadamer on Celan: ‘Who Am I and Who Are You?’ and Other Essays. By Hans-Georg Gadamer. Trans. and ed. Richard Heinemann and Bruce Krajewski. Albany, NY: SUNY Press, 1997. Heidegger's Ways. Trans. John W. Stanley. New York: SUNY Press, 1994. Literature and Philosophy in Dialogue: Essays in German Literary Theory. Trans. Robert H. Paslick. New York: SUNY Press, 1993. Philosophical Apprenticeships. Cambridge, MA: MIT Press, 1985 (Gadamer's memoirs, translated by Robert R. Sullivan.) The Enigma of Health: The Art of Healing in a Scientific Age. Trans. John Gaiger and Richard Walker. Oxford: Polity Press, 1996. Philosophical Hermeneutics. Trans. and ed. by David Linge. Berkeley: University of California Press, 1976. Plato's "Parmenides" and Its Influence. Dionysius, Volume VII (1983): 3-16 Reason in the Age of Science. Trans. by Frederick Lawrence. Cambridge, MA: MIT Press, 1981. The Relevance of the Beautiful and Other Essays. Trans. N. Walker. ed. R. Bernasconi, Cambridge: Cambridge University Press, 1986. Praise of Theory. Trans. Chris Dawson. New Haven: Yale University Press, 1998. The Gadamer Reader: A Bouquet of the Later Writings. Ed. by Richard E. Palmer. Evanston, IL: Northwestern University Press, 2007. Secondary Arthos, John. The Inner Word in Gadamer's Hermeneutics. South Bend, IN: University of Notre Dame Press, 2009. Cercel, Larisa (ed.), Übersetzung und Hermeneutik / Traduction et herméneutique, Bucharest, Zeta Books, 2009, . Davey, Nicholas. Unquiet Understanding: Gadamer's Philosophical Hermeneutics. New York: SUNY Press, 2007, . Davey, Nicholas. Unfinished Worlds. Hermeneutics,
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Freud Prize for scientific prose and Hegel Prize 1986: Karl Jaspers Prize 1990: Great Cross of Merit with Star and Sash of the Order of Merit of the Federal Republic of Germany 1993: Grand Cross of the Order of Merit of the Federal Republic of Germany 12 January 1996: appointed an honorary member of the Saxon Academy of Sciences in Leipzig Honorary doctorates 1995: University of Wrocław 1996: University of Leipzig 1999: Philipps-University Marburg Bibliography Primary Truth and Method. (1st English ed., 1975, trans. by W, Glen-Doepel, ed. by John Cumming and Garret Barden) Hegel's Dialectic: Five Hermeneutical Studies. Trans. P. Christopher Smith. New Haven, CT: Yale University Press, 1976. Dialogue and Dialectic: Eight Hermeneutical Studies on Plato. Trans. and ed. by P. Christopher Smith. New Haven, CT: Yale University Press, 1980. The Idea of the Good in Platonic-Aristotelian Philosophy. Trans. P. Christopher Smith. New Haven, CT: 1986. Gadamer on Celan: ‘Who Am I and Who Are You?’ and Other Essays. By Hans-Georg Gadamer. Trans. and ed. Richard Heinemann and Bruce Krajewski. Albany, NY: SUNY Press, 1997. Heidegger's Ways. Trans. John W. Stanley. New York: SUNY Press, 1994. Literature and Philosophy in Dialogue: Essays in German Literary Theory. Trans. Robert H. Paslick. New York: SUNY Press, 1993. Philosophical Apprenticeships. Cambridge, MA: MIT Press, 1985 (Gadamer's memoirs, translated by Robert R. Sullivan.) The Enigma of Health: The Art of Healing in a Scientific Age. Trans. John Gaiger and Richard Walker. Oxford: Polity Press, 1996. Philosophical Hermeneutics. Trans. and ed. by David Linge. Berkeley: University of California Press, 1976. Plato's "Parmenides" and Its Influence. Dionysius, Volume VII (1983): 3-16 Reason in the Age of Science. Trans. by Frederick Lawrence. Cambridge, MA: MIT Press, 1981. The Relevance of the Beautiful and Other Essays. Trans. N. Walker. ed. R. Bernasconi, Cambridge: Cambridge University Press, 1986. Praise of Theory. Trans. Chris Dawson. New Haven: Yale University Press, 1998. The Gadamer Reader: A Bouquet of the Later Writings. Ed. by Richard E. Palmer. Evanston, IL: Northwestern University Press, 2007. Secondary Arthos, John. The Inner Word in Gadamer's Hermeneutics. South Bend, IN: University of Notre Dame Press, 2009. Cercel, Larisa (ed.), Übersetzung und Hermeneutik / Traduction et herméneutique, Bucharest, Zeta Books, 2009, . Davey, Nicholas. Unquiet Understanding: Gadamer's Philosophical Hermeneutics. New York: SUNY Press, 2007, . Davey, Nicholas. Unfinished Worlds. Hermeneutics, Aesthetics, and Gadamer. Edinburgh: Edinburgh University Press, 2013, . Dostal, Robert L. ed. The Cambridge Companion to Gadamer. Cambridge: Cambridge University Press, 2002. Drechsler, Wolfgang. Gadamer in Marburg. Marburg: Blaues Schloss, 2013. Code, Lorraine. ed. Feminist Interpretations of Hans-Georg Gadamer. University Park: Penn State Press, 2003. Coltman, Robert. The Language of Hermeneutics: Gadamer and Heidegger in Dialogue. Albany: State University Press, 1998. Grondin, Jean. The Philosophy of Gadamer. trans. Kathryn Plant. New York: McGill-Queens University Press, 2002. Grondin, Jean. Hans-Georg Gadamer: A Biography trans. Joel Weinsheimer. New Haven: Yale University Press, 2004. Kögler, Hans-Herbert. The Power of Dialogue: Critical Hermeneutics after Gadamer and Foucault trans. Paul Hendrickson. MIT Press, 1996. Krajewski, Bruce (ed.), Gadamer's Repercussions: Reconsidering Philosophical Hermeneutics. Berkeley: University of California Press, 2004. Lawn, Chris. Gadamer: A Guide for the Perplexed. (Guides for the perplexed) London: Continuum, c2006. Malpas, Jeff, and Santiago Zabala (eds),Consequences of Hermeneutics: Fifty Years after Truth and Method, (Northwestern University Press, 2010). Malpas, Jeff, Ulrich Arnswald and Jens Kertscher (eds.). Gadamer's Century: Essays in Honour of Hans-Georg Gadamer. Cambridge, Mass.: MIT Press, 2002. Risser, James. Hermeneutics and the Voice of the other: Re-reading Gadamer's Philosophical Hermeneutics. Albany: SUNY Press, 1997. Sullivan, Robert R., Political Hermeneutics, The Early Thinking of Hans-Georg Gadamer. Univ. Park, Penn State Press,1989. Warnke, Georgia. "Gadamer: Hermeneutics, Tradition and Reason". Stanford: Stanford University Press, 1987. Weinsheimer, Joel. Gadamer's Hermeneutics: A Reading of "Truth and Method". New Haven: Yale University Press, 1985. Wierciński, Andrzej. Gadamer’s Hermeneutics and the Art of Conversation Germany, Münster: LIT Verlag, 2011. Wright, Kathleen ed. Festivals of Interpretation: Essays on Hans-Georg Gadamer's Work. Albany, NY: SUNY Press, 1990. P. Della Pelle, La dimensione ontologica dell'etica in Hans-Georg Gadamer, FrancoAngeli, Milano 2013. P. Della Pelle, La filosofia di Platone nell'interpretazione di Hans-Georg Gadamer, Vita e Pensiero, Milano 2014. See also Gadamer–Derrida debate Limit situation References Citations Works Cited External links Hans-Georg Gadamer, Jeff Malpas, Stanford Encyclopedia of Philosophy Hans-Georg Gadamer (1900—2002), Lauren Swayne Barthold, Internet Encyclopedia of Philosophy Gadamer's Hermeneutics (introductory lecture by Henk de Berg, 2015) Chronology (in German) Works by Gadamer Hans-Georg Gadamer: Plato as portratist Miguel Ángel Quintana Paz: "On Hermeneutical Ethics and Education", a paper on the relevance of Gadamer's Hermeneutics for our understanding of music, ethics and education in both. 1900 births 2002 deaths 20th-century educational theorists 20th-century essayists 20th-century German educators 20th-century German historians 20th-century German male writers 20th-century German non-fiction writers 20th-century German philosophers 20th-century German writers 21st-century educational theorists 21st-century essayists 21st-century German educators 21st-century German historians 21st-century German male writers 21st-century German non-fiction writers 21st-century German philosophers 21st-century German writers Commentators on Aristotle Commentators on Plato Communication theorists Consciousness researchers and theorists Contemporary philosophers Continental philosophers Corresponding Fellows of the British Academy Critical theorists Cultural critics Epistemologists German anti-communists German anti-fascists German centenarians German critics German educational theorists German educators German ethicists German historians German literary critics German male essayists German male non-fiction writers German male writers German philosophers Grand Crosses 1st class of the Order of Merit of the Federal Republic of Germany Heidegger scholars Hermeneutists Historians of philosophy History of medicine History of philosophy Intellectual history Literacy and society theorists Literary theorists Mass media theorists Men centenarians Metaphilosophers Metaphysicians Moral philosophers Ontologists People from Hesse-Nassau People from Marburg Phenomenologists Philosophers of art Philosophers of culture Philosophers of education Philosophers of ethics and morality Philosophers of history Philosophers of language Philosophers of medicine Philosophers of mind Philosophers of science Philosophers of social science Philosophers of technology Philosophy academics Philosophy teachers Philosophy writers Rationality theorists Recipients of the Order of Merit of
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the end of the month. Etymology The honeymoon was originally the period following marriage, "characterized by love and happiness", as attested since 1546. The word may allude to "the idea that the first month of marriage is the sweetest". According to a different version of the Oxford English Dictionary: Today, honeymoon has a positive meaning, but originally it may have referred to the inevitable waning of love like a phase of the moon. In 1552, Richard Huloet wrote: In many modern languages, the word for a honeymoon is a calque (e.g., ) or near-calque. Persian has a similar word, mah-e-asal, which translates to "month of honey" or "moon of honey". A fanciful 19th-century theory claimed that the word alludes to "the custom of the higher order of the Teutones... to drink Mead, or Metheglin, a beverage made with honey, for thirty days after every wedding", but the theory is now rejected. Effects One 2015 scholarly study concluded that going on a honeymoon is associated with a somewhat lower risk of divorce, regardless of how much or little
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phase of the moon. In 1552, Richard Huloet wrote: In many modern languages, the word for a honeymoon is a calque (e.g., ) or near-calque. Persian has a similar word, mah-e-asal, which translates to "month of honey" or "moon of honey". A fanciful 19th-century theory claimed that the word alludes to "the custom of the higher order of the Teutones... to drink Mead, or Metheglin, a beverage made with honey, for thirty days after every wedding", but the theory is now rejected. Effects One 2015 scholarly study concluded that going on a honeymoon is associated with a somewhat lower risk of divorce, regardless of how much or little is spent on the honeymoon itself. However, high spending and incurring significant debt on other wedding-related expenses, such as engagement rings and wedding ceremonies, is associated with a high risk of divorce. Solomoon or unimoon An emerging 21st-century travel trend is the "solomoon" or "unimoon", a separate, solo holiday the newlyweds take without their spouse. The New Zealand Herald cites a report by The New York Times that such alternatives to honeymoons are "particularly suited
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University of Jerusalem, taught at Clark University and the Rabbinical School of the JTS, and received six honorary doctorates. Congregational Rabbi He served as the congregational rabbi of Temple Israel of Natick, in Natick, Massachusetts, for 24 years and belongs to the Rabbinical Assembly. Author He is the author of a best selling book on the problem of evil, When Bad Things Happen to Good People. Written following the death of his son, Aaron, from the premature aging disease progeria, the book deals with questions about human suffering, God, omnipotence and theodicy. Aaron was born in 1963 and died in 1977; the book was published in 1981. Kushner has written a number of other popular theological books, such as How Good Do We Have to Be? (Dedicated to his grandson, Carl), To Life! and many others. In collaboration with the late Chaim Potok, Kushner co-edited Etz Hayim: A Torah Commentary, the new official Torah commentary of the Conservative movement, which was jointly published in 2001 by the Rabbinical Assembly and the Jewish Publication Society. His Living a Life That Matters became a best seller in the fall of 2001. Kushner's book, The Lord Is My Shepherd, was a meditation on the Twenty-Third Psalm released in 2003. Kushner also wrote a response to Simon Wiesenthal's question of forgiveness in the book The Sunflower: On the Possibilities and Limits of Forgiveness. List of publications Nine Essential Things I've Learned about Life, published in 2015 The Book of Job: When Bad Things Happened to a Good Person published in
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His 14 books include the best-sellers When Bad Things Happen to Good People and Living a Life That Matters: Resolving the Conflict Between Conscience and Success. Education Born in Brooklyn, Kushner graduated from Columbia University in 1955 and later obtained his rabbinical ordination from the Jewish Theological Seminary (JTS) in 1960. The same institution awarded him a doctoral degree in 1972. Kushner has also studied at the Hebrew University of Jerusalem, taught at Clark University and the Rabbinical School of the JTS, and received six honorary doctorates. Congregational Rabbi He served as the congregational rabbi of Temple Israel of Natick, in Natick, Massachusetts, for 24 years and belongs to the Rabbinical Assembly. Author He is the author of a best selling book on the problem of evil, When Bad Things Happen to Good People. Written following the death of his son, Aaron, from the premature aging disease progeria, the book deals with questions about human suffering, God, omnipotence and theodicy. Aaron was born in 1963 and died in 1977; the book was published in 1981. Kushner has written a number of other popular theological books, such as How Good Do We Have to Be? (Dedicated to his grandson, Carl), To Life! and many others. In collaboration with the late Chaim Potok, Kushner co-edited Etz Hayim: A Torah Commentary, the new official Torah commentary of the Conservative movement, which was jointly published in 2001 by the Rabbinical Assembly and the Jewish Publication Society. His Living a Life That Matters became a best seller in the fall of 2001. Kushner's book, The Lord Is My Shepherd, was a meditation on the Twenty-Third Psalm released in 2003. Kushner also wrote a response to Simon Wiesenthal's question of forgiveness in the book The Sunflower: On the Possibilities and Limits of Forgiveness. List of publications Nine Essential Things
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Brown Hotspot (album), a 2020 album by Pet Shop Boys The Hot Spot (Podcast), a GameSpot podcast Computing Hot spot (computer programming), a compute-intensive region of a program Hot spot, an area which is customizable by users in software frameworks Hotspot (Wi-Fi), a wireless network access point or area Connectify Hotspot, a software application for creating a wireless access point Mobile hotspot, sharing of a mobile device's Internet connection HotSpot (virtual machine), a Java virtual machine Screen hotspot, an area enabled for user interactivity on a display Science and healthcare Hotspot (geology), an area of unusually high volcanic activity Hot spot (veterinary medicine), an irritated skin lesion Hot spot, a location
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software frameworks Hotspot (Wi-Fi), a wireless network access point or area Connectify Hotspot, a software application for creating a wireless access point Mobile hotspot, sharing of a mobile device's Internet connection HotSpot (virtual machine), a Java virtual machine Screen hotspot, an area enabled for user interactivity on a display Science and healthcare Hotspot (geology), an area of unusually high volcanic activity Hot spot (veterinary medicine), an irritated skin lesion Hot spot, a location with a high level of radioactive contamination Biodiversity hotspot, a region of significant variety and variability of life Hot spot effect in subatomic physics, regions of high energy density or temperature Recombination hotspot, a region in a genome Other uses Hot spot (casting), a metal casting defect Hot Spot (cricket), an infrared tracking system Airport hot spots, locations where aircraft collisions with
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while the latter is a common subroutine for implementing heapify. (Put elements of 'a' in heap order, in-place) procedure heapify(a, count) is (start is assigned the index in 'a' of the last parent node) (the last element in a 0-based array is at index count-1; find the parent of that element) start ← iParent(count-1) while start ≥ 0 do (sift down the node at index 'start' to the proper place such that all nodes below the start index are in heap order) siftDown(a, start, count - 1) (go to the next parent node) start ← start - 1 (after sifting down the root all nodes/elements are in heap order) (Repair the heap whose root element is at index 'start', assuming the heaps rooted at its children are valid) procedure siftDown(a, start, end) is root ← start while iLeftChild(root) ≤ end do (While the root has at least one child) child ← iLeftChild(root) (Left child of root) swap ← root (Keeps track of child to swap with) if a[swap] < a[child] then swap ← child (If there is a right child and that child is greater) if child+1 ≤ end and a[swap] < a[child+1] then swap ← child + 1 if swap = root then (The root holds the largest element. Since we assume the heaps rooted at the children are valid, this means that we are done.) return else swap(a[root], a[swap]) root ← swap (repeat to continue sifting down the child now) The heapify procedure can be thought of as building a heap from the bottom up by successively sifting downward to establish the heap property. An alternative version (shown below) that builds the heap top-down and sifts upward may be simpler to understand. This siftUp version can be visualized as starting with an empty heap and successively inserting elements, whereas the siftDown version given above treats the entire input array as a full but "broken" heap and "repairs" it starting from the last non-trivial sub-heap (that is, the last parent node). Also, the siftDown version of heapify has time complexity, while the siftUp version given below has time complexity due to its equivalence with inserting each element, one at a time, into an empty heap. This may seem counter-intuitive since, at a glance, it is apparent that the former only makes half as many calls to its logarithmic-time sifting function as the latter; i.e., they seem to differ only by a constant factor, which never affects asymptotic analysis. To grasp the intuition behind this difference in complexity, note that the number of swaps that may occur during any one call increases with the depth of the node on which the call is made. The crux is that there are many (exponentially many) more "deep" nodes than there are "shallow" nodes in a heap, so that siftUp may have its full logarithmic running-time on the approximately linear number of calls made on the nodes at or near the "bottom" of the heap. On the other hand, the number of swaps that may occur during any one siftDown call decreases as the depth of the node on which the call is made increases. Thus, when the siftDown heapify begins and is calling siftDown on the bottom and most numerous node-layers, each sifting call will incur, at most, a number of swaps equal to the "height" (from the bottom of the heap) of the node on which the sifting call is made. In other words, about half the calls to will have at most only one swap, then about a quarter of the calls will have at most two swaps, etc. The heapsort algorithm itself has time complexity using either version of heapify. procedure heapify(a,count) is (end is assigned the index of the first (left) child of the root) end := 1 while end < count (sift up the node at index end to the proper place such that all nodes above the end index are in heap order) siftUp(a, 0, end) end := end + 1 (after sifting up the last node all nodes are in heap order) procedure siftUp(a, start, end) is input: start represents the limit of how far up the heap to sift. end is the node to sift up. child := end while child > start parent := iParent(child) if a[parent] < a[child] then (out of max-heap order) swap(a[parent], a[child]) child := parent (repeat to continue sifting up the parent now) else return Note that unlike siftDown approach where, after each swap, you need to call only the siftDown subroutine to fix the broken heap; the siftUp subroutine alone cannot fix the broken heap. The heap needs to be built every time after a swap by calling the heapify procedure since "siftUp" assumes that the element getting swapped ends up in its final place, as opposed to "siftDown" allows for continuous adjustments of items lower in the heap until the invariant is satisfied. The adjusted pseudocode for using siftUp approach is given below. procedure heapsort(a, count) is input: an unordered array a of length count (Build the heap in array a so that largest value is at the root) heapify(a, count) (The following loop maintains the invariants that a[0:end] is a heap and every element beyond end is greater than everything before it (so a[end:count] is in sorted order)) end ← count - 1 while end > 0 do (a[0] is the root and largest value. The swap moves it in front of the sorted elements.) swap(a[end], a[0]) (rebuild the heap using siftUp after the swap ruins the heap property) heapify(a, end) (reduce the heap size by one) end ← end - 1 Variations Floyd's heap construction The most important variation to the basic algorithm, which is included in all practical implementations, is a heap-construction algorithm by Floyd which runs in time and uses siftdown rather than siftup, avoiding the need to implement siftup at all. Rather than starting with a trivial heap and repeatedly adding leaves, Floyd's algorithm starts with the leaves, observing that they are trivial but valid heaps by themselves, and then adds parents. Starting with element and working backwards, each internal node is made the root of a valid heap by sifting down. The last step is sifting down the first element, after which the entire array obeys the heap property. The worst-case number of comparisons during the Floyd's heap-construction phase of Heapsort is known to be equal to , where is the number of 1 bits in
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count) is input: an unordered array a of length count (Build the heap in array a so that largest value is at the root) heapify(a, count) (The following loop maintains the invariants that a[0:end] is a heap and every element beyond end is greater than everything before it (so a[end:count] is in sorted order)) end ← count - 1 while end > 0 do (a[0] is the root and largest value. The swap moves it in front of the sorted elements.) swap(a[end], a[0]) (rebuild the heap using siftUp after the swap ruins the heap property) heapify(a, end) (reduce the heap size by one) end ← end - 1 Variations Floyd's heap construction The most important variation to the basic algorithm, which is included in all practical implementations, is a heap-construction algorithm by Floyd which runs in time and uses siftdown rather than siftup, avoiding the need to implement siftup at all. Rather than starting with a trivial heap and repeatedly adding leaves, Floyd's algorithm starts with the leaves, observing that they are trivial but valid heaps by themselves, and then adds parents. Starting with element and working backwards, each internal node is made the root of a valid heap by sifting down. The last step is sifting down the first element, after which the entire array obeys the heap property. The worst-case number of comparisons during the Floyd's heap-construction phase of Heapsort is known to be equal to , where is the number of 1 bits in the binary representation of and is number of trailing 0 bits. The standard implementation of Floyd's heap-construction algorithm causes a large number of cache misses once the size of the data exceeds that of the CPU cache. Much better performance on large data sets can be obtained by merging in depth-first order, combining subheaps as soon as possible, rather than combining all subheaps on one level before proceeding to the one above. Bottom-up heapsort Bottom-up heapsort is a variant which reduces the number of comparisons required by a significant factor. While ordinary heapsort requires comparisons worst-case and on average, the bottom-up variant requires comparisons on average, and in the worst case. If comparisons are cheap (e.g. integer keys) then the difference is unimportant, as top-down heapsort compares values that have already been loaded from memory. If, however, comparisons require a function call or other complex logic, then bottom-up heapsort is advantageous. This is accomplished by improving the siftDown procedure. The change improves the linear-time heap-building phase somewhat, but is more significant in the second phase. Like ordinary heapsort, each iteration of the second phase extracts the top of the heap, , and fills the gap it leaves with , then sifts this latter element down the heap. But this element comes from the lowest level of the heap, meaning it is one of the smallest elements in the heap, so the sift-down will likely take many steps to move it back down. In ordinary heapsort, each step of the sift-down requires two comparisons, to find the minimum of three elements: the new node and its two children. Bottom-up heapsort instead finds the path of largest children to the leaf level of the tree (as if it were inserting −∞) using only one comparison per level. Put another way, it finds a leaf which has the property that it and all of its ancestors are greater than or equal to their siblings. (In the absence of equal keys, this leaf is unique.) Then, from this leaf, it searches upward (using one comparison per level) for the correct position in that path to insert . This is the same location as ordinary heapsort finds, and requires the same number of exchanges to perform the insert, but fewer comparisons are required to find that location. Because it goes all the way to the bottom and then comes back up, it is called heapsort with bounce by some authors. function leafSearch(a, i, end) is j ← i while iRightChild(j) ≤ end do (Determine which of j's two children is the greater) if a[iRightChild(j)] > a[iLeftChild(j)] then j ← iRightChild(j) else j ← iLeftChild(j) (At the last level, there might be only one child) if iLeftChild(j) ≤ end then j ← iLeftChild(j) return j The return value of the leafSearch is used in the modified siftDown routine: procedure siftDown(a, i, end) is j ← leafSearch(a, i, end) while a[i] > a[j] do j ← iParent(j) x ← a[j] a[j] ← a[i] while j > i do swap x, a[iParent(j)] j ← iParent(j) Bottom-up heapsort was announced as beating quicksort (with median-of-three pivot selection) on arrays of size ≥16000. A 2008 re-evaluation of this algorithm showed it to be no faster than ordinary heapsort for integer keys, presumably because modern branch prediction nullifies the cost of the predictable comparisons which bottom-up heapsort manages to avoid. A further refinement does a binary search in the path to the selected leaf, and sorts in a worst case of comparisons, approaching the information-theoretic lower bound of comparisons. A variant which uses two extra bits per internal node (n−1 bits total for an n-element heap) to cache information about which child is greater (two bits are required to store three cases: left, right, and unknown) uses less than compares. Other variations Ternary heapsort uses a ternary heap instead of a binary heap; that is, each element in the heap has three children. It is more complicated to program, but does a constant number of times fewer swap and comparison operations. This is because each sift-down step in a ternary heap requires three comparisons and one swap, whereas in a binary heap two comparisons and one swap are required. Two levels in a ternary heap cover 32 = 9 elements, doing more work with the same number of comparisons as three levels in the binary heap, which only cover 23 = 8. This is primarily of academic interest, or as a student exercise, as the additional complexity is not worth the minor savings, and bottom-up heapsort beats both. Memory-optimized heapsort improves heapsort's locality of reference by increasing the number of children even more. This increases the number of comparisons, but because all children are stored consecutively in memory, reduces the number of cache lines accessed during heap traversal, a net performance improvement. Out-of-place heapsort improves on bottom-up heapsort by eliminating the worst case, guaranteeing comparisons. When the maximum is taken, rather than fill the vacated space with an unsorted data value, fill it with a sentinel value, which never "bounces" back up. It turns out that this can be used as a primitive in an in-place (and non-recursive) "QuickHeapsort" algorithm. First, you perform a quicksort-like partitioning pass, but reversing the order of the partitioned data in the array. Suppose (without loss of generality) that the smaller partition is the one greater than the pivot, which should go at the end of the array, but our reversed partitioning step places it at the beginning. Form a heap out of the smaller partition and do out-of-place heapsort on it, exchanging the extracted maxima with values from the end of the array. These are less than the pivot, meaning less than any value in the heap, so serve as sentinel values. Once the heapsort is complete (and the pivot moved to just before the now-sorted end of the array), the order of the partitions has been reversed, and the larger partition at the beginning of the array may be sorted in the same way. (Because there is no non-tail recursion, this also eliminates quicksort's stack usage.) The smoothsort algorithm is a variation of heapsort developed by Edsger Dijkstra in 1981. Like heapsort, smoothsort's upper bound is . The advantage of smoothsort is that it comes closer to time if the input is already sorted to some degree, whereas heapsort averages regardless of the initial sorted state. Due to its complexity, smoothsort is rarely used. Levcopoulos and Petersson describe a variation of heapsort based on a heap of Cartesian trees. First, a Cartesian tree is built from the input in time, and its root is placed in a 1-element binary heap. Then we repeatedly extract the minimum from the binary heap, output the tree's root element, and add its left and right children (if any) which are themselves Cartesian trees, to the binary heap. As they show, if the input is already nearly sorted, the Cartesian trees will be very unbalanced, with few nodes having left and right children, resulting in the binary heap remaining small, and allowing the algorithm to sort more quickly than for inputs that are already nearly sorted. Several variants such as weak heapsort require comparisons in the worst case, close to the theoretical minimum, using one extra bit of state per node. While this extra bit makes the algorithms not truly in-place, if space for it can be found inside the element, these algorithms are simple and efficient, but still slower than binary heaps if key comparisons are cheap enough (e.g. integer keys) that a constant factor does not matter. Katajainen's "ultimate heapsort" requires no extra storage, performs comparisons, and a similar number of element moves. It is, however, even more complex and not justified unless comparisons are very expensive. Comparison with other sorts Heapsort primarily competes with quicksort, another very efficient general purpose in-place comparison-based sort algorithm. Heapsort's primary advantages are its simple, non-recursive code, minimal auxiliary storage requirement, and reliably good performance: its best and worst cases are within a small constant factor of each other, and of the theoretical lower bound on comparison sorts. While it cannot do better than for pre-sorted inputs, it does not suffer from quicksort's worst case, either. (The latter can be avoided with careful implementation, but that makes quicksort far more complex, and one of the most popular solutions, introsort, uses heapsort for the purpose.) Its primary disadvantages are its poor locality of reference and its inherently serial nature; the accesses to the implicit tree are widely scattered and mostly random, and there is no straightforward way to convert it to a parallel algorithm. This makes it popular in embedded systems, real-time computing, and systems concerned with maliciously chosen inputs, such as the Linux kernel. It is also a good choice for any application which does not expect to be bottlenecked on sorting. A well-implemented quicksort is usually 2–3 times faster than heapsort. Although quicksort requires fewer comparisons, this is a minor factor. (Results claiming twice as many comparisons are measuring the top-down version; see .) The main advantage of quicksort is its much better locality of reference: partitioning is a linear scan with good spatial locality, and the recursive subdivision has good temporal locality. With additional effort, quicksort can also be implemented in mostly branch-free code, and multiple CPUs can be used to sort subpartitions in parallel. Thus, quicksort is preferred when the additional performance justifies the implementation effort. The other
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heap] after removing it from the heap (a.k.a., pop) delete-max (or delete-min): removing the root node of a max heap (or min heap), respectively replace: pop root and push a new key. More efficient than pop followed by push, since only need to balance once, not twice, and appropriate for fixed-size heaps. Creation create-heap: create an empty heap heapify: create a heap out of given array of elements merge (union): joining two heaps to form a valid new heap containing all the elements of both, preserving the original heaps. meld: joining two heaps to form a valid new heap containing all the elements of both, destroying the original heaps. Inspection size: return the number of items in the heap. is-empty: return true if the heap is empty, false otherwise. Internal increase-key or decrease-key: updating a key within a max- or min-heap, respectively delete: delete an arbitrary node (followed by moving last node and sifting to maintain heap) sift-up: move a node up in the tree, as long as needed; used to restore heap condition after insertion. Called "sift" because node moves up the tree until it reaches the correct level, as in a sieve. sift-down: move a node down in the tree, similar to sift-up; used to restore heap condition after deletion or replacement. Implementation Heaps are usually implemented with an array, as follows: Each element in the array represents a node of the heap, and The parent / child relationship is defined implicitly by the elements' indices in the array. For a binary heap, in the array, the first index contains the root element. The next two indices of the array contain the root's children. The next four indices contain the four children of the root's two child nodes, and so on. Therefore, given a node at index , its children are at indices and , and its parent is at index . This simple indexing scheme makes it efficient to move "up" or "down" the tree. Balancing a heap is done by sift-up or sift-down operations (swapping elements which are out of order). As we can build a heap from an array without requiring extra memory (for the nodes, for example), heapsort can be used to sort an array in-place. After an element is inserted into or deleted from a heap, the heap property may be violated, and the heap must be re-balanced by swapping elements within the array. Although different type of heaps implement the operations differently, the most common way is as follows: Insertion: Add the new element at the end of the heap, in the first available free space. If this will violate the heap property, sift up the new element (swim operation) until the heap property has been reestablished. Extraction: Remove the root and insert the last element of the heap in the root. If this will violate the heap property, sift down the new root (sink operation) to reestablish the heap property. Replacement: Remove the root and put the new element in the root and sift down. When compared to extraction followed by insertion, this avoids a sift up step. Construction of a binary
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within the array. Although different type of heaps implement the operations differently, the most common way is as follows: Insertion: Add the new element at the end of the heap, in the first available free space. If this will violate the heap property, sift up the new element (swim operation) until the heap property has been reestablished. Extraction: Remove the root and insert the last element of the heap in the root. If this will violate the heap property, sift down the new root (sink operation) to reestablish the heap property. Replacement: Remove the root and put the new element in the root and sift down. When compared to extraction followed by insertion, this avoids a sift up step. Construction of a binary (or d-ary) heap out of a given array of elements may be performed in linear time using the classic Floyd algorithm, with the worst-case number of comparisons equal to 2N − 2s2(N) − e2(N) (for a binary heap), where s2(N) is the sum of all digits of the binary representation of N and e2(N) is the exponent of 2 in the prime factorization of N. This is faster than a sequence of consecutive insertions into an originally empty heap, which is log-linear. Variants 2–3 heap B-heap Beap Binary heap Binomial heap Brodal queue d-ary heap Fibonacci heap K-D Heap Leaf heap Leftist heap Pairing heap Radix heap Randomized meldable heap Skew heap Soft heap Ternary heap Treap Weak heap Comparison of theoretic bounds for variants Applications The heap data structure has many applications. Heapsort: One of the best sorting methods being in-place and with no quadratic worst-case scenarios. Selection algorithms: A heap allows access to the min or max element in constant time, and other selections (such as median or kth-element) can be done in sub-linear time on data that is in a heap. Graph algorithms: By using heaps as internal traversal data structures, run time will be reduced by polynomial order. Examples of such problems are Prim's minimal-spanning-tree algorithm and Dijkstra's shortest-path algorithm. Priority Queue: A priority queue is an abstract concept like "a list" or "a map"; just as a list can be implemented with a linked list or an array, a priority queue can be implemented with a heap or a variety of other methods. K-way merge: A heap data structure is useful to merge many already-sorted input streams into a single sorted output stream. Examples of the need for merging include external sorting and streaming results from distributed data such as a log structured merge tree. The inner loop is obtaining the min element, replacing with the next element for the corresponding input stream, then doing a sift-down heap operation. (Alternatively the replace function.) (Using extract-max and insert functions of a priority queue are much less efficient.) Order statistics: The Heap data structure can be used to efficiently find the kth smallest (or largest) element in an array. Programming language implementations The C++ Standard Library provides the , and algorithms for heaps (usually implemented as binary heaps), which operate on arbitrary random access iterators. It treats the iterators as a reference to an array, and uses the array-to-heap conversion. It also provides the container adaptor , which wraps these facilities in a container-like class. However, there is no standard support for the replace, sift-up/sift-down, or decrease/increase-key operations. The Boost C++ libraries include a heaps library. Unlike the STL, it supports decrease and increase operations, and supports additional types of heap: specifically, it supports d-ary, binomial, Fibonacci, pairing and skew heaps. There is a generic heap implementation for C and C++ with D-ary heap and B-heap support. It provides an STL-like API. The standard library of the D programming language includes , which is implemented in terms of D's ranges. Instances can be constructed from any random-access range. exposes an input range interface that allows iteration with D's built-in statements and integration with the range-based API of the package. The Java platform (since version 1.5) provides a binary heap implementation with the class in the Java Collections Framework. This class implements by default a min-heap; to implement a max-heap, programmer should write a custom comparator. There is no support for the replace, sift-up/sift-down, or decrease/increase-key operations. Python has a module that implements a priority queue using a binary heap. The library exposes a heapreplace function to support k-way merging. PHP has both max-heap () and min-heap () as of version 5.3 in the Standard PHP Library. Perl has implementations of binary, binomial, and Fibonacci heaps in the distribution available on CPAN. The Go language contains a package with heap algorithms that operate on an arbitrary type that satisfies a given interface. That package does not support the replace, sift-up/sift-down, or decrease/increase-key operations. Apple's Core Foundation
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through the use of visual stacking. Informal representation In plain English, a hierarchy can be thought of as a set in which: No element is superior to itself, and One element, the hierarch, is superior to all of the other elements in the set. The first requirement is also interpreted to mean that a hierarchy can have no circular relationships; the association between two objects is always transitive. The second requirement asserts that a hierarchy must have a leader or root that is common to all of the objects. Mathematical representation Mathematically, in its most general form, a hierarchy is a partially ordered set or poset. The system in this case is the entire poset, which is constituted of elements. Within this system, each element shares a particular unambiguous property. Objects with the same property value are grouped together, and each of those resulting levels is referred to as a class. "Hierarchy" is particularly used to refer to a poset in which the classes are organized in terms of increasing complexity. Operations such as addition, subtraction, multiplication and division are often performed in a certain sequence or order. Usually, addition and subtraction are performed after multiplication and division has already been applied to a problem. The use of parentheses is also a representation of hierarchy, for they show which operation is to be done prior to the following ones. For example: (2 + 5) × (7 - 4). In this problem, typically one would multiply 5 by 7 first, based on the rules of mathematical hierarchy. But when the parentheses are placed, one will know to do the operations within the parentheses first before continuing on with the problem. These rules are largely dominant in algebraic problems, ones that include several steps to solve. The use of hierarchy in mathematics is beneficial to quickly and efficiently solve a problem without having to go through the process of slowly dissecting the problem. Most of these rules are now known as the proper way into solving certain equations. Subtypes Nested hierarchy A nested hierarchy or inclusion hierarchy is a hierarchical ordering of nested sets. The concept of nesting is exemplified in Russian matryoshka dolls. Each doll is encompassed by another doll, all the way to the outer doll. The outer doll holds all of the inner dolls, the next outer doll holds all the remaining inner dolls, and so on. Matryoshkas represent a nested hierarchy where each level contains only one object, i.e., there is only one of each size of doll; a generalized nested hierarchy allows for multiple objects within levels but with each object having only one parent at each level. The general concept is both demonstrated and mathematically formulated in the following example: A square can always also be referred to as a quadrilateral, polygon or shape. In this way, it is a hierarchy. However, consider the set of polygons using this classification. A square can only be a quadrilateral; it can never be a triangle, hexagon, etc. Nested hierarchies are the organizational schemes behind taxonomies and systematic classifications. For example, using the original Linnaean taxonomy (the version he laid out in the 10th edition of Systema Naturae), a human can be formulated as: Taxonomies may change frequently (as seen in biological taxonomy), but the underlying concept of nested hierarchies is always the same. In many programming taxonomies and syntax models (as well as fractals in mathematics), nested hierarchies, including Russian dolls, are also used to illustrate the properties of self-similarity and recursion. Recursion itself is included as a subset of hierarchical programming, and recursive thinking can be synonymous with a form of hierarchical thinking and logic. Containment hierarchy A containment hierarchy is a direct extrapolation of the nested hierarchy concept. All of the ordered sets are still nested, but every set must be "strict"—no two sets can be identical. The shapes example above can be modified to demonstrate this: The notation means x is a subset of y but is not equal to y. A general example of a containment hierarchy is demonstrated in class inheritance in object-oriented programming. Two types of containment hierarchies are the subsumptive containment hierarchy and the compositional containment hierarchy. A subsumptive hierarchy "subsumes" its children, and a compositional hierarchy is "composed" of its children. A hierarchy can also be both subsumptive and compositional. Subsumptive containment hierarchy A subsumptive containment hierarchy is a classification of object classes from the general to the specific. Other names for this type of hierarchy are "taxonomic hierarchy" and "IS-A hierarchy". The last term describes the relationship between each level—a lower-level object "is a" member of the higher class. The taxonomical structure outlined above is a subsumptive containment hierarchy. Using again the example of Linnaean taxonomy, it can be seen that an object that is part of the level Mammalia "is a" member of the level Animalia; more specifically, a human "is a" primate, a primate "is a" mammal, and so on. A subsumptive hierarchy can also be defined abstractly as a hierarchy of "concepts". For example, with the Linnaean hierarchy outlined above, an entity name like Animalia is a way to group all the species that fit the conceptualization of an animal. Compositional containment hierarchy A compositional containment hierarchy is an ordering of the parts that make up a system—the system is "composed" of these parts. Most engineered structures, whether natural or artificial, can be broken down in this manner. The compositional hierarchy that every person encounters at every moment is the hierarchy of life. Every person can be reduced to organ systems, which are composed of organs, which are composed of tissues, which are composed of cells, which are composed of molecules, which are composed of atoms. In fact, the last two levels apply to all matter, at least at the macroscopic scale. Moreover, each of these levels inherit all the properties of their children. In this particular example, there are also emergent properties—functions that are not seen at the lower level (e.g., cognition is not a property of neurons but is of the brain)—and a scalar quality (molecules are bigger than atoms, cells are bigger than molecules, etc.). Both of these concepts commonly exist in compositional hierarchies, but they are not a required general property. These level hierarchies are characterized by bi-directional causation. Upward causation involves lower-level entities causing some property of a higher level entity; children entities may interact to yield parent entities, and parents are composed at least partly by their children. Downward causation refers to the effect that the incorporation of entity x into a higher-level entity can have on xs properties and interactions. Furthermore, the entities found at each level are autonomous. Contexts and applications Kulish (2002) suggests that almost every system of organization which humans apply to the world is arranged hierarchically. Some conventional definitions of the terms "nation" and "government" suggest that every nation has a government and that every government is hierarchical. Sociologists can analyse socioeconomic systems in terms of stratification into a social hierarchy (the social stratification of societies), and all systematic classification schemes (taxonomies) are hierarchical. Most organized religions, regardless of their internal governance structures, operate as a hierarchy under deities and priesthoods. Many Christian denominations have an autocephalous ecclesiastical hierarchy of leadership. Families can be viewed as hierarchical structures in terms of cousinship (e.g., first cousin once removed, second cousin, etc.), ancestry (as depicted in a family tree) and inheritance ( succession and heirship). All the requisites of a well-rounded life and lifestyle can be organized using Maslow's hierarchy of human needs - according to Maslow's hierarchy of human needs. Learning steps often follow a hierarchical scheme—to master differential equations one must first learn calculus; to learn calculus one must first learn elementary algebra; and so on. Nature offers hierarchical structures, as numerous schemes such as Linnaean taxonomy, the organization of life, and biomass pyramids attempt to document. Hierarchies are so infused into daily life that they are viewed as trivial. While the above examples are often clearly depicted in a hierarchical form and are classic examples, hierarchies exist in numerous systems where this branching structure is not immediately apparent. For example, most postal-code systems are hierarchical. Using the Canadian postal code system as an example, the top level's binding concept, the "postal district", consists of 18 objects (letters). The next level down is the "zone", where the objects are the digits 0–9. This is an example of an overlapping hierarchy, because each of these 10 objects has 18 parents. The hierarchy continues downward to generate, in theory, 7,200,000 unique codes of the format A0A 0A0 (the second and third letter positions allow 20 objects each). Most library classification systems are also hierarchical. The Dewey Decimal System is infinitely hierarchical because there is no finite bound on the number of digits can be used after the decimal point. Organizations Organizations can be structured as a dominance hierarchy. In an organizational hierarchy, there is a single person or group with the most power or authority, and each subsequent level represents a lesser authority. Most organizations are structured in this manner, including governments, companies, armed forces, militia and organized religions. The units or persons within an organization may be depicted hierarchically in an organizational chart. In a reverse hierarchy, the conceptual pyramid of authority is turned upside-down, so that the apex is at the bottom and the base is at the top. This mode represents the idea that members of the higher rankings are responsible for the members of the lower rankings. Biology Empirically, when we observe in nature a large proportion of the (complex) biological systems, they exhibit hierarchic structure. On theoretical grounds we could expect complex systems to be hierarchies in a world in which complexity had to evolve from simplicity. System hierarchies analysis performed in the 1950s, laid the empirical foundations for a field that would become, from the 1980s, hierarchical ecology'''. The theoretical foundations are summarized by thermodynamics. When biological systems are modeled as physical systems, in the most general abstraction, they are thermodynamic open systems that exhibit self-organised behavior, and the set/subset relations between dissipative structures can be characterized in a hierarchy. Other hierarchical representations related to biology include ecological pyramids which illustrate energy flow or trophic levels in ecosystems, and taxonomic hierarchies, including the Linnean classification scheme and phylogenetic trees that reflect inferred patterns of evolutionary relationship among living and extinct species. Computer-graphic imaging CGI and computer-animation programs mostly use hierarchies for models. On a 3D model of a human for example, the chest is a parent of the upper left arm, which is a parent of the lower left arm, which is a parent of the hand. This pattern is used in modeling and animation for almost everything built as a 3D digital model. Linguistics Many grammatical theories, such as phrase-structure grammar, involve hierarchy. Direct–inverse languages such as Cree and Mapudungun distinguish subject and object on verbs not by different subject and object markers, but via a hierarchy of persons. In this system, the three (or four with Algonquian languages) persons occur
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no circular relationships; the association between two objects is always transitive. The second requirement asserts that a hierarchy must have a leader or root that is common to all of the objects. Mathematical representation Mathematically, in its most general form, a hierarchy is a partially ordered set or poset. The system in this case is the entire poset, which is constituted of elements. Within this system, each element shares a particular unambiguous property. Objects with the same property value are grouped together, and each of those resulting levels is referred to as a class. "Hierarchy" is particularly used to refer to a poset in which the classes are organized in terms of increasing complexity. Operations such as addition, subtraction, multiplication and division are often performed in a certain sequence or order. Usually, addition and subtraction are performed after multiplication and division has already been applied to a problem. The use of parentheses is also a representation of hierarchy, for they show which operation is to be done prior to the following ones. For example: (2 + 5) × (7 - 4). In this problem, typically one would multiply 5 by 7 first, based on the rules of mathematical hierarchy. But when the parentheses are placed, one will know to do the operations within the parentheses first before continuing on with the problem. These rules are largely dominant in algebraic problems, ones that include several steps to solve. The use of hierarchy in mathematics is beneficial to quickly and efficiently solve a problem without having to go through the process of slowly dissecting the problem. Most of these rules are now known as the proper way into solving certain equations. Subtypes Nested hierarchy A nested hierarchy or inclusion hierarchy is a hierarchical ordering of nested sets. The concept of nesting is exemplified in Russian matryoshka dolls. Each doll is encompassed by another doll, all the way to the outer doll. The outer doll holds all of the inner dolls, the next outer doll holds all the remaining inner dolls, and so on. Matryoshkas represent a nested hierarchy where each level contains only one object, i.e., there is only one of each size of doll; a generalized nested hierarchy allows for multiple objects within levels but with each object having only one parent at each level. The general concept is both demonstrated and mathematically formulated in the following example: A square can always also be referred to as a quadrilateral, polygon or shape. In this way, it is a hierarchy. However, consider the set of polygons using this classification. A square can only be a quadrilateral; it can never be a triangle, hexagon, etc. Nested hierarchies are the organizational schemes behind taxonomies and systematic classifications. For example, using the original Linnaean taxonomy (the version he laid out in the 10th edition of Systema Naturae), a human can be formulated as: Taxonomies may change frequently (as seen in biological taxonomy), but the underlying concept of nested hierarchies is always the same. In many programming taxonomies and syntax models (as well as fractals in mathematics), nested hierarchies, including Russian dolls, are also used to illustrate the properties of self-similarity and recursion. Recursion itself is included as a subset of hierarchical programming, and recursive thinking can be synonymous with a form of hierarchical thinking and logic. Containment hierarchy A containment hierarchy is a direct extrapolation of the nested hierarchy concept. All of the ordered sets are still nested, but every set must be "strict"—no two sets can be identical. The shapes example above can be modified to demonstrate this: The notation means x is a subset of y but is not equal to y. A general example of a containment hierarchy is demonstrated in class inheritance in object-oriented programming. Two types of containment hierarchies are the subsumptive containment hierarchy and the compositional containment hierarchy. A subsumptive hierarchy "subsumes" its children, and a compositional hierarchy is "composed" of its children. A hierarchy can also be both subsumptive and compositional. Subsumptive containment hierarchy A subsumptive containment hierarchy is a classification of object classes from the general to the specific. Other names for this type of hierarchy are "taxonomic hierarchy" and "IS-A hierarchy". The last term describes the relationship between each level—a lower-level object "is a" member of the higher class. The taxonomical structure outlined above is a subsumptive containment hierarchy. Using again the example of Linnaean taxonomy, it can be seen that an object that is part of the level Mammalia "is a" member of the level Animalia; more specifically, a human "is a" primate, a primate "is a" mammal, and so on. A subsumptive hierarchy can also be defined abstractly as a hierarchy of "concepts". For example, with the Linnaean hierarchy outlined above, an entity name like Animalia is a way to group all the species that fit the conceptualization of an animal. Compositional containment hierarchy A compositional containment hierarchy is an ordering of the parts that make up a system—the system is "composed" of these parts. Most engineered structures, whether natural or artificial, can be broken down in this manner. The compositional hierarchy that every person encounters at every moment is the hierarchy of life. Every person can be reduced to organ systems, which are composed of organs, which are composed of tissues, which are composed of cells, which are composed of molecules, which are composed of atoms. In fact, the last two levels apply to all matter, at least at the macroscopic scale. Moreover, each of these levels inherit all the properties of their children. In this particular example, there are also emergent properties—functions that are not seen at the lower level (e.g., cognition is not a property of neurons but is of the brain)—and a scalar quality (molecules are bigger than atoms, cells are bigger than molecules, etc.). Both of these concepts commonly exist in compositional hierarchies, but they are not a required general property. These level hierarchies are characterized by bi-directional causation. Upward causation involves lower-level entities causing some property of a higher level entity; children entities may interact to yield parent entities, and parents are composed at least partly by their children. Downward causation refers to the effect that the incorporation of entity x into a higher-level entity can have on xs properties and interactions. Furthermore, the entities found at each level are autonomous. Contexts and applications Kulish (2002) suggests that almost every system of organization which humans apply to the world is arranged hierarchically. Some conventional definitions of the terms "nation" and "government" suggest that every nation has a government and that every government is hierarchical. Sociologists can analyse socioeconomic systems in terms of stratification into a social hierarchy (the social stratification of societies), and all systematic classification schemes (taxonomies) are hierarchical. Most organized religions, regardless of their internal governance structures, operate as a hierarchy under deities and priesthoods. Many Christian denominations have an autocephalous ecclesiastical hierarchy of leadership. Families can be viewed as hierarchical structures in terms of cousinship (e.g., first cousin once removed, second cousin, etc.), ancestry (as depicted in a family tree) and inheritance ( succession and heirship). All the requisites of a well-rounded life and lifestyle can be organized using Maslow's hierarchy of human needs - according to Maslow's hierarchy of human needs. Learning steps often follow a hierarchical scheme—to master differential equations one must first learn calculus; to learn calculus one must first learn elementary algebra; and so on. Nature offers hierarchical structures, as numerous schemes such as Linnaean taxonomy, the organization of life, and biomass pyramids attempt to document. Hierarchies are so infused into daily life that they are viewed as trivial. While the above examples are often clearly depicted in a hierarchical form and are classic examples, hierarchies exist in numerous systems where this branching structure is not immediately apparent. For example, most postal-code systems are hierarchical. Using the Canadian postal code system as an example, the top level's binding concept, the "postal district", consists of 18 objects (letters). The next level down is the "zone", where the objects are the digits 0–9. This is an example of an overlapping hierarchy, because each of these 10 objects has 18 parents. The hierarchy continues downward to generate, in theory, 7,200,000 unique codes of the format A0A 0A0 (the second and third letter positions allow 20 objects each). Most library classification systems are also hierarchical. The Dewey Decimal System is infinitely hierarchical because there is no finite bound on the number of digits can be used after the decimal point. Organizations Organizations can be structured as a dominance hierarchy. In an organizational hierarchy, there is a single person or group with the most power or authority, and each subsequent level represents a lesser authority. Most organizations are structured in this manner, including governments, companies, armed forces, militia and organized religions. The units or persons within an organization may be depicted hierarchically in an organizational chart. In a reverse hierarchy, the conceptual pyramid of authority is turned upside-down, so that the apex is at the bottom and the base is at the top. This mode represents the idea that members of the higher rankings are responsible for the members of the lower rankings. Biology Empirically, when we observe in nature a large proportion of the (complex) biological systems, they exhibit hierarchic structure. On theoretical grounds we could expect complex systems to be hierarchies in a world in which complexity had to evolve from simplicity. System hierarchies analysis performed in the 1950s, laid the empirical
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the diseases of the circulatory system. Audiology - focuses on preventing and curing hearing damage. Bariatrics - the branch of medicine that deals with the causes, prevention, and treatment of obesity Cardiology – branch of medicine that deals with disorders of the heart and the blood vessels. Critical care medicine – focuses on life support and the intensive care of the seriously ill. Dentistry - branch of medicine that consists of the study, diagnosis, prevention, and treatment of diseases, disorders, and conditions of the oral cavity, commonly in the dentition but also the oral mucosa, and of adjacent and related structures and tissues, particularly in the maxillofacial (jaw and facial) area. Dermatology – a branch of medicine that deals with the skin, its structure, functions, and diseases. Emergency medicine – focuses on care provided in the emergency department. Endocrinology – the branch of medicine that deals with disorders of the endocrine system. Family medicine - a medical specialty devoted to comprehensive health care for people of all ages. Gastroenterology – a branch of medicine that deals with the study and care of the digestive system. General Practice (often called Family Medicine) is a branch of medicine that specializes in primary care. Geriatrics – the branch of medicine that deals with the general health and well-being of the elderly. Gynecology – a branch of medicine that deals with the health of the female reproductive systems and the breasts. Hematology – branch of medicine that deals with the blood and the circulatory system. Hepatology – branch of medicine that deals with the liver, gallbladder and the biliary system. Infectious disease – the branch of medicine that deals with the diagnosis and management of infectious disease, especially for complex cases and immunocompromised patients. Kinesiology - the scientific study of human or non-human body movement. Laboratory medicine – a branch of medicine that deals with diagnostic laboratory examinations and tests and their interpretation what makes in a medical laboratory. Medical physics – the branch of medicine and science that deals with applications of physics concepts, theories, and methods to medicine or health care. Neurology – a branch of medicine that deals with the brain and the nervous system. Nephrology – a branch of medicine which deals with the kidneys. Oncology – branch of medicine that studies of cancer. Ophthalmology – the branch of medicine that deals with the eyes. Orthopedics - branch of surgery concerned with conditions involving the musculoskeletal system Otolaryngology – branch of medicine that deals the ears, nose and throat. Pathology – the study of diseases, and the causes, processes, nature, and development of the disease. Pediatrics – the branch of medicine that deals with the general health and well-being of children. Pharmacy - the
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branch of medicine that deals with disorders of the heart and the blood vessels. Critical care medicine – focuses on life support and the intensive care of the seriously ill. Dentistry - branch of medicine that consists of the study, diagnosis, prevention, and treatment of diseases, disorders, and conditions of the oral cavity, commonly in the dentition but also the oral mucosa, and of adjacent and related structures and tissues, particularly in the maxillofacial (jaw and facial) area. Dermatology – a branch of medicine that deals with the skin, its structure, functions, and diseases. Emergency medicine – focuses on care provided in the emergency department. Endocrinology – the branch of medicine that deals with disorders of the endocrine system. Family medicine - a medical specialty devoted to comprehensive health care for people of all ages. Gastroenterology – a branch of medicine that deals with the study and care of the digestive system. General Practice (often called Family Medicine) is a branch of medicine that specializes in primary care. Geriatrics – the branch of medicine that deals with the general health and well-being of the elderly. Gynecology – a branch of medicine that deals with the health of the female reproductive systems and the breasts. Hematology – branch of medicine that deals with the blood and the circulatory system. Hepatology – branch of medicine that deals with the liver, gallbladder and the biliary system. Infectious disease – the branch of medicine that deals with the diagnosis and management of infectious disease, especially for complex cases and immunocompromised patients. Kinesiology - the scientific study of human or non-human body movement. Laboratory medicine – a branch of medicine that deals with diagnostic laboratory examinations and tests and their interpretation what makes in a medical laboratory. Medical physics – the branch of medicine and science that deals with applications of physics concepts, theories, and methods to medicine or health care. Neurology – a branch of medicine that deals with the brain and the nervous system. Nephrology – a branch of medicine which deals with the kidneys. Oncology – branch of medicine that studies of cancer. Ophthalmology – the branch of medicine that deals with the eyes. Orthopedics - branch of surgery concerned with conditions involving the musculoskeletal system Otolaryngology – branch of medicine that deals the ears, nose and throat. Pathology – the study of diseases, and the causes, processes, nature, and development of the disease. Pediatrics – the branch of
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just after sunset and the end of twilight. Until 1968 Saudi Arabia used the system of counting 24 equal hours with the first hour starting at sunset. Counting from noon For many centuries, up to 1925, astronomers counted the hours and days from noon, because it was the easiest solar event to measure accurately. An advantage of this method (used in the Julian Date system, in which a new Julian Day begins at noon) is that the date doesn't change during a single night's observing. Counting from midnight In the modern 12-hour clock, counting the hours starts at midnight and restarts at noon. Hours are numbered 12, 1, 2, ..., 11. Solar noon is always close to 12 noon (ignoring artificial adjustments due to time zones and daylight saving time), differing according to the equation of time by as much as fifteen minutes either way. At the equinoxes sunrise is around 6 a.m. (, before noon), and sunset around 6 p.m. (, after noon). In the modern 24-hour clock, counting the hours starts at midnight, and hours are numbered from 0 to 23. Solar noon is always close to 12:00, again differing according to the equation of time. At the equinoxes sunrise is around 06:00, and sunset around 18:00. History of timekeeping in other cultures Egypt The ancient Egyptians began dividing the night into at some time before the compilation of the Dynasty V Pyramid Texts in the 24thcenturyBC. By 2150BC (Dynasty IX), diagrams of stars inside Egyptian coffin lids—variously known as "diagonal calendars" or "star clocks"—attest that there were exactly 12 of these. Clagett writes that it is "certain" this duodecimal division of the night followed the adoption of the Egyptian civil calendar, usually placed BC on the basis of analyses of the Sothic cycle, but a lunar calendar presumably long predated this and also would have had twelve months in each of its years. The coffin diagrams show that the Egyptians took note of the heliacal risings of 36 stars or constellations (now known as "decans"), one for each of the ten-day "weeks" of their civil calendar. (12 sets of alternate "triangle decans" were used for the 5 epagomenal days between years.) Each night, the rising of eleven of these decans were noted, separating the night into twelve divisions whose middle terms would have lasted about 40minutes each. (Another seven stars were noted by the Egyptians during the twilight and predawn periods, although they were not important for the hour divisions.) The original decans used by the Egyptians would have fallen noticeably out of their proper places over a span of several centuries. By the time of (BC), the priests at Karnak were using water clocks to determine the hours. These were filled to the brim at sunset and the hour determined by comparing the water level against one of its twelve gauges, one for each month of the year. During the New Kingdom, another system of decans was used, made up of 24 stars over the course of the year and 12 within any one night. The later division of the day into 12 hours was accomplished by sundials marked with ten equal divisions. The morning and evening periods when the sundials failed to note time were observed as the first and last hours. The Egyptian hours were closely connected both with the priesthood of the gods and with their divine services. By the New Kingdom, each hour was conceived as a specific region of the sky or underworld through which Ra's solar barge travelled. Protective deities were assigned to each and were used as the names of the hours. As the protectors and resurrectors of the sun, the goddesses of the night hours were considered to hold power over all lifespans and thus became part of Egyptian funerary rituals. Two fire-spitting cobras were said to guard the gates of each hour of the underworld, and Wadjet and the rearing cobra (uraeus) were also sometimes referenced as from their role protecting the dead through these gates. The Egyptian word for astronomer, used as a synonym for priest, was , "one of the wnwt", as it were "one of the hours". The earliest forms of include one or three stars, with the later solar hours including the determinative hieroglyph for "sun". East Asia Ancient China divided its day into 100 "marks" running from midnight to midnight. The system is said to have been used since remote antiquity, credited to the legendary Yellow Emperor, but is first attested in Han-era water clocks and in the 2nd-century history of that dynasty. It was measured with sundials and water clocks. Into the Eastern Han, the Chinese measured their day schematically, adding the 20-ke difference between the solstices evenly throughout the year, one every nine days. During the night, time was more commonly reckoned during the night by the "watches" of the guard, which were reckoned as a fifth of the time from sunset to sunrise. Imperial China continued to use ke and geng but also began to divide the day into 12 "double hours" named after the earthly branches and sometimes also known by the name of the corresponding animal of the Chinese zodiac. The first shi originally ran from 11pm to 1am but was reckoned as starting at midnight by the time of the History of Song, compiled during the early Yuan. These apparently began to be used during the Eastern Han that preceded the Three Kingdoms era, but the sections that would have covered them are missing from their official histories; they first appear in official use in the Tang-era Book of Sui. Variations of all these units were subsequently adopted by Japan and the other countries of the Sinosphere. The 12 shi supposedly began to be divided into 24 hours under the Tang, although they are first attested in the Ming-era Book of Yuan. In that work, the hours were known by the same earthly branches as the shi, with the first half noted as its "starting" and the second as "completed" or "proper" shi. In modern China, these are instead simply numbered and described as "little shi". The modern ke is now used to count quarter-hours, rather than a separate unit. As with the Egyptian night and daytime hours, the division of the day into twelve shi has been credited to the example set by the rough number of lunar cycles in a solar year, although the 12-year Jovian orbital cycle was more important to traditional Chinese and Babylonian reckoning of the zodiac. Southeast Asia In Thailand, Laos, and Cambodia, the traditional system of noting hours is the six-hour clock. This reckons each of a day's 24 hours apart from noon as part of a fourth of the day. 7 am was the first hour of the first half of daytime; 1 pm the first hour of the latter half of daytime; 7 pm the first hour of the first half of nighttime; and 1 am the first hour of the latter half of nighttime. This system existed in the Ayutthaya Kingdom, deriving its current phrasing from the practice of publicly announcing the daytime hours with a gong and the nighttime hours with a drum. It was abolished in Laos and Cambodia during their French occupation and is uncommon there now. The Thai system remains in informal use in the form codified in 1901 by King Chulalongkorn. India The Vedas and Puranas employed units of time based on the sidereal day (nakṣatra ahorātram). This was variously divided into 30 muhūtras of 48 minutes each or 60 dandas or nadís of 24 minutes each. The solar day was later similarly divided into 60 ghaṭikás of about the same duration, each divided in turn into 60 vinadis. The Sinhalese followed a similar system but called their sixtieth of a day a peya. Derived measures air changes per hour (ACH), a measure of the replacements of air within a defined space used for indoor air quality ampere hour (Ah), a measure of electrical charge used in electrochemistry BTU-hour, a measure of power used in the power industry and for air conditioners and heaters credit hour, a measure of an academic course's contracted instructional time per week for a semester horsepower-hour (hph), a measure of energy used in the railroad industry hour angle, a measure of the angle between the meridian plane and the hour circle passing through a certain point used in the equatorial coordinate system kilometres per hour (km/h), a measure of land speed kilowatt-hour (kWh), a measure of energy commonly used as an electrical billing unit knot (kn), a measure of nautical miles per hour, used for maritime and aerial speed man-hour, the amount of work performed by the average worker in one hour, used in productivity analysis metre per hour (m/h), a measure of slow speeds mile per hour (mph), a measure of land speed passengers per hour per direction (p/h/d), a measure of the capacity of public transportation systems pound per hour (PPH), a measure of mass flow used for engines' fuel flow work or working hour, a measure of working time used in various regulations, such as those distinguishing part- and full-time employment and those limiting truck drivers' working hours or hours of service See also Liturgy of the Hours Horology Horae, the deified hours of ancient Greece and Rome Hexadecimal hour, a proposed unit lasting 1h 30min Decimal hour or deciday, a French Revolutionary unit lasting 2h 24min Golden Hour & Blue Hour in photography Metric time Notes References Citations Bibliography . , available in part here . . . . . . . . . . . . . . . Further reading Christopher Walker (ed.), Astronomy before the Telescope. London: British Museum Press, 1996. External links World time zones Accurate time vs. PC Clock Difference Orders of magnitude (time) Units
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used to show hours of daylight or nighttime, their period needed to be changed every morning and evening (for example, by changing the length of their pendula). The use of 24 hours for the entire day meant hours varied much less and the clocks needed to be adjusted only a few times a month. Modernity The minor irregularities of the apparent solar day were smoothed by measuring time using the mean solar day, using the Sun's movement along the celestial equator rather than along the ecliptic. The irregularities of this time system were so minor that most clocks reckoning such hours did not need adjustment. However, scientific measurements eventually became precise enough to note the effect of tidal deceleration of the Earth by the Moon, which gradually lengthens the Earth's days. During the French Revolution, a general decimalisation of measures was enacted, including decimal time between 1793 and 1795. Under its provisions, the French hour () was of the day and divided formally into 100 decimal minutes () and informally into 10 tenths (). This hour was only briefly in official use, being repealed by the same 1795 legislation that first established the metric system. The metric system bases its measurements of time upon the second, defined since 1952 in terms of the Earth's rotation in AD1900. Its hours are a secondary unit computed as precisely 3,600 seconds. However, an hour of Coordinated Universal Time (UTC), used as the basis of most civil time, has lasted 3,601 seconds 27 times since 1972 in order to keep it within 0.9 seconds of universal time, which is based on measurements of the mean solar day at 0° longitude. The addition of these seconds accommodates the very gradual slowing of the rotation of the Earth. In modern life, the ubiquity of clocks and other timekeeping devices means that segmentation of days according to their hours is commonplace. Most forms of employment, whether wage or salaried labour, involve compensation based upon measured or expected hours worked. The fight for an eight-hour day was a part of labour movements around the world. Informal rush hours and happy hours cover the times of day when commuting slows down due to congestion or alcoholic drinks being available at discounted prices. The hour record for the greatest distance travelled by a cyclist within the span of an hour is one of cycling's greatest honours. Counting hours Many different ways of counting the hours have been used. Because sunrise, sunset, and, to a lesser extent, noon, are the conspicuous points in the day, starting to count at these times was, for most people in most early societies, much easier than starting at midnight. However, with accurate clocks and modern astronomical equipment (and the telegraph or similar means to transfer a time signal in a split-second), this issue is much less relevant. Astrolabes, sundials, and astronomical clocks sometimes show the hour length and count using some of these older definitions and counting methods. Counting from dawn In ancient and medieval cultures, the counting of hours generally started with sunrise. Before the widespread use of artificial light, societies were more concerned with the division between night and day, and daily routines often began when light was sufficient. "Babylonian hours" divide the day and night into 24 equal hours, reckoned from the time of sunrise. They are so named from the false belief of ancient authors that the Babylonians divided the day into 24 parts, beginning at sunrise. In fact, they divided the day into 12 parts (called kaspu or "double hours") or into 60 equal parts. Unequal hours Sunrise marked the beginning of the first hour, the middle of the day was at the end of the sixth hour and sunset at the end of the twelfth hour. This meant that the duration of hours varied with the season. In the Northern hemisphere, particularly in the more northerly latitudes, summer daytime hours were longer than winter daytime hours, each being one twelfth of the time between sunrise and sunset. These variable-length hours were variously known as temporal, unequal, or seasonal hours and were in use until the appearance of the mechanical clock, which furthered the adoption of equal length hours. This is also the system used in Jewish law and frequently called "Talmudic hour" (Sha'a Zemanit) in a variety of texts. The Talmudic hour is one twelfth of time elapsed from sunrise to sunset, day hours therefore being longer than night hours in the summer; in winter they reverse. The Indic day began at sunrise. The term hora was used to indicate an hour. The time was measured based on the length of the shadow at day time. A hora translated to 2.5 pe. There are 60 pe per day, 60 minutes per pe and 60 kshana (snap of a finger or instant) per minute. Pe was measured with a bowl with a hole placed in still water. Time taken for this graduated bowl was one pe. Kings usually had an officer in charge of this clock. Counting from sunset In so-called "Italian time", "Italian hours", or "old Czech time", the first hour started with the sunset Angelus bell (or at the end of dusk, i.e., half an hour after sunset, depending on local custom and geographical latitude). The hours were numbered from 1 to 24. For example, in Lugano, the sun rose in December during the 14th hour and noon was during the 19th hour; in June the sun rose during the 7th hour and noon was in the 15th hour. Sunset was always at the end of the 24th hour. The clocks in church towers struck only from 1 to 12, thus only during night or early morning hours. This manner of counting hours had the advantage that everyone could easily know how much time they had to finish their day's work without artificial light. It was already widely used in Italy by the 14th century and lasted until the mid-18th century; it was officially abolished in 1755, or in some regions customary until the mid-19th century. The system of Italian hours can be seen on a number of clocks in Europe, where the dial is numbered from 1 to 24 in either Roman or Arabic numerals. The St Mark's Clock in Venice, and the Orloj in Prague are famous examples. It was also used in Poland and Bohemia until the 17th century. The Islamic day begins at sunset. The first prayer of the day (maghrib) is to be performed between just after sunset and the end of twilight. Until 1968 Saudi Arabia used the system of counting 24 equal hours with the first hour starting at sunset. Counting from noon For many centuries, up to 1925, astronomers counted the hours and days from noon, because it was the easiest solar event to measure accurately. An advantage of this method (used in the Julian Date system, in which a new Julian Day begins at noon) is that the date doesn't change during a single night's observing. Counting from midnight In the modern 12-hour clock, counting the hours starts at midnight and restarts at noon. Hours are numbered 12, 1, 2, ..., 11. Solar noon is always close to 12 noon (ignoring artificial adjustments due to time zones and daylight saving time), differing according to the equation of time by as much as fifteen minutes either way. At the equinoxes sunrise is around 6 a.m. (, before noon), and sunset around 6 p.m. (, after noon). In the modern 24-hour clock, counting the hours starts at midnight, and hours are numbered from 0 to 23. Solar noon is always close to 12:00, again differing according to the equation of time. At the equinoxes sunrise is around 06:00, and sunset around 18:00. History of timekeeping in other cultures Egypt The ancient Egyptians began dividing the night into at some time before the compilation of the Dynasty V Pyramid Texts in the 24thcenturyBC. By 2150BC (Dynasty IX), diagrams of stars inside Egyptian coffin lids—variously known as "diagonal calendars" or "star clocks"—attest that there were exactly 12 of these. Clagett writes that it is "certain" this duodecimal division of the night followed the adoption of the Egyptian civil calendar, usually placed BC on the basis of analyses of the Sothic cycle, but a lunar calendar presumably long predated this and also would have had twelve months in each of its years. The coffin diagrams show that the Egyptians took note of the heliacal risings of 36 stars or constellations (now known as "decans"), one for each of the ten-day "weeks" of their civil calendar. (12 sets of alternate "triangle decans" were used for the 5 epagomenal days between years.) Each night, the rising of eleven of these decans were noted, separating the night into twelve divisions whose middle terms would have lasted about 40minutes each. (Another seven stars were noted by the Egyptians during the twilight and predawn periods, although they were
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questions this explanation, since, he argues, it is "no more than an educated guess" (167). Siloam inscription The Siloam Tunnel was chiseled through 533 meters (1,750 feet) of solid rock in order to provide Jerusalem underground access to the waters of the Gihon Spring or Siloam Pool, which lay outside the city. The Siloam Inscription from the Siloam Tunnel is now in the Istanbul Archaeology Museum. It "commemorates the dramatic moment when the two original teams of tunnelers, digging with picks from opposite ends of the tunnel, met each other" (564). It is "[o]ne of the most important ancient Hebrew inscriptions ever discovered." Finkelstein and Mazar cite this tunnel as an example of Jerusalem's impressive state-level power at the time. Archaeologists like William G. Dever have pointed at archaeological evidence for the iconoclasm during the period of Hezekiah's reign. The central cult room of the temple at Arad (a royal Judean fortress) was deliberately and carefully dismantled, "with the altars and massebot" concealed "beneath a Str. 8 plaster floor". This stratum correlates with the late 8th century; Dever concludes that "the deliberate dismantling of the temple and its replacement by another structure in the days of Hezekiah is an archeological fact. I see no reason for skepticism here." Lachish relief Under Rehoboam, Lachish became the second-most important city of the kingdom of Judah. During the revolt of king Hezekiah against Assyria, it was captured by Sennacherib despite determined resistance (see Siege of Lachish). As the Lachish relief attests, Sennacherib began his siege of the city of Lachish in 701 BCE. The Lachish Relief graphically depicts the battle, and the defeat of the city, including Assyrian archers marching up a ramp and Judahites pierced through on mounted stakes. "The reliefs on these slabs" discovered in the Assyrian palace at Nineveh "originally formed a single, continuous work, measuring 8 feet ... tall by 80 feet ... long, which wrapped around the room" (559). Visitors "would have been impressed not only by the magnitude of the artwork itself but also by the magnificent strength of the Assyrian war machine." Sennacherib's Prism of Nineveh Sennacherib's Prism was found buried in the foundations of the Nineveh palace. It was written in cuneiform, the Mesopotamian form of writing of the day. The prism records the conquest of 46 strong towns and "uncountable smaller places," along with the siege of Jerusalem where Sennacherib says he just "shut him up ... like a bird in a cage," subsequently enforcing a larger tribute upon him. The Hebrew Bible states that during the night, the angel of Jehovah (YHWH Hebrew) brought death to 185,000 Assyrians troops, forcing the army to abandon the siege, yet it also records a tribute paid to Sennacherib of 300 silver talents following the siege. There is no account of the supernatural event in the prism. Sennacherib's account records his levying of a tribute from Hezekiah, the king of Judea, who was within Jerusalem, leaving the city as the only one intact following the exile of the northern ten-tribe kingdom of Israel due to idolatry. Sennacherib recorded a payment of 800 silver talents, which suggests a capitulation to end the siege. However, Inscriptions have been discovered describing Sennacherib's defeat of the Ethiopian forces. These say: "As to Hezekiah, the Jew, he did not submit to my yoke, I laid siege to 46 of his strong cities ... and conquered (them). ... Himself I made a prisoner in Jerusalem, his royal residence, like a bird in a cage." He does not claim to have captured the city. This is consistent with the Bible account of Hezekiah's revolt against Assyria in the sense that neither account seems to indicate that Sennacherib ever entered or formally captured the city. Sennacherib in this inscription claims that Hezekiah paid for tribute 800 talents of silver, in contrast with the Bible's 300, however this could be due to boastful exaggeration which was not uncommon amongst kings of the period. Furthermore, the annals record a list of booty sent from Jerusalem to Nineveh. In the inscription, Sennacherib claims that Hezekiah accepted servitude, and some theorize that Hezekiah remained on his throne as a vassal ruler. The campaign is recorded with differences in the Assyrian records and in the biblical Books of Kings; there is agreement that the Assyrian have a propensity for exaggeration. One theory that takes the biblical view posits that a defeat was caused by "possibly an outbreak of the bubonic plague". Another that this is a composite text which makes use of a 'legendary motif' analogous to that of the Exodus story. Where the 2 Kings account explains giving 300 talents of silver, Sennacherib's prism records 800 talents. "This discrepancy may be the result of differences in the weight of Assyrian and Israelite silver talents, or it may simply be due to the Assyrian propensity for exaggeration" (558). Other records The Greek historian Herodotus (c. 484 BCE – c. 425 BCE) wrote of the invasion and acknowledges many Assyrian deaths, which he claims were the result of a plague of mice. The Jewish historian Josephus followed the writings of Herodotus. These historians record Sennacherib's failure to take Jerusalem is "uncontested". The Talmud (Bava Batra 15a) credits Hezekiah with overseeing the compilation of the biblical books of Isaiah, Proverbs, Song of Songs and Ecclesiastes. According to Jewish tradition, the victory over the Assyrians and Hezekiah's return to health happened at the same time, the first night of Passover. Rabbinic literature Abi saved the life of her son Hezekiah, whom her godless husband, Ahaz, had designed as an offering to Moloch. By anointing him with the blood of the salamander, she enabled him to pass through the fire of Moloch unscathed (Sanh. 63b). Hezekiah is considered as the model of those who put their trust in the Lord. Only during his sickness did he waver in his hitherto unshaken trust and require a sign, for which he was blamed by Isaiah (Lam. R. i.). The Hebrew name "Ḥizḳiyyah" is considered by the Talmudists to be a surname, meaning either "strengthened by Yhwh" or "he who made a firm alliance between the Israelites and Yhwh"; his eight other names are enumerated in Isa. ix. 5 (Sanh. 94a). He is called the restorer of the study of the Law in the schools, and is said to have planted a sword at the door of the bet ha-midrash, declaring that he who would not study the Law should be struck with the weapon (ib. 94b). Hezekiah's piety, which, according to the Talmudists, alone occasioned the destruction of the Assyrian army and the signal deliverance of the Israelites when Jerusalem was attacked by Sennacherib, caused him to be considered by some as the Messiah (ib. 99a). According to Bar Kappara, Hezekiah was destined to be the Messiah, but the attribute of justice ("middat ha-din") protested against this, saying that as David, who sang so much the glory of God, had not been made the Messiah, still less should Hezekiah, for whom so many miracles had been performed, yet who did not sing the praise of God (ib. 94a). Menachot 109b tells of Hezekiah encouraging others to keep their faith: Hezekiah and Isaiah Hezekiah's dangerous illness was caused by the discord between him and Isaiah, each of whom desired that the other should pay him the first visit. In order to reconcile them God struck Hezekiah with a malady and ordered Isaiah to visit the sick king. Isaiah told the latter that he would die, and that his soul also would perish because he had not married and had thus neglected the commandment to perpetuate the human species. Hezekiah did not despair, however, holding to the principle that one must always have recourse to prayer. He finally married Isaiah's daughter, who bore him Manasseh. However, in Gen. R. lxv. 4, as quoted in Yalḳ., II Kings, 243, it is said that Hezekiah prayed for illness and for recovery in order that he might be warned and be able to repent of his sins. He was thus the first who recovered from illness. But in his prayer he was rather arrogant, praising himself; and this resulted in the banishment of his descendants. R. Levi said that Hezekiah's words, "and I have done what is good in thy eyes" (II Kings xx. 3), refer to his concealing a book of healing. According to the Talmudists, Hezekiah did six things, of which three agreed with the dicta of the Rabbis and three disagreed therewith. The first three were these: (1) he concealed the book of healing because people, instead of praying to God, relied on medical prescriptions; (2) he broke in pieces the brazen serpent (see Biblical Data, above); and (3) he dragged his father's remains on a pallet, instead of giving them kingly burial. The second three were: (1) stopping the water of Gihon; (2) cutting the gold from the doors of the Temple; and (3) celebrating the Passover in the second month. The question that puzzled Heinrich Ewald and others, "Where was the brazen serpent till the time of Hezekiah?" occupied the Talmudists also. They answered it in a very simple way: Asa and Joshaphat, when clearing away the idols, purposely left the brazen serpent behind, in order that Hezekiah might also be able to do a praiseworthy deed in breaking it. The Midrash reconciles the two different narratives of Hezekiah's conduct at the time of Sennacherib's invasion (see Biblical Data, above). It says that Hezekiah prepared three means of defense: prayer, presents, and war, so that the two Biblical statements complement each other. The reason why Hezekiah's display of his treasures to the Babylonian ambassadors aroused the anger of God was that Hezekiah opened before them the Ark, showing them the tablets of the covenant, and saying, "It is with this that we are victorious". Notwithstanding Hezekiah's immense riches, his meal consisted only of a pound of vegetables. The honor accorded to him after death consisted, according to R. Judah, in his bier being preceded by 36,000 men whose shoulders were bare in sign of mourning. According to R. Nehemiah, a scroll of the Law was placed on Hezekiah's bier. Another statement is that a yeshibah was established on his grave—for three days, according to some: for seven, according to others; or for thirty, according to a third authority. The Talmudists attribute to Hezekiah the redaction of the books of Isaiah, Proverbs, Song of Solomon, and Ecclesiastes (B. B. 15a). Chronological interpretation Understanding the biblically recorded sequence of events in Hezekiah's life as chronological or not is critical to the contextual interpretation of his reign. According to scholar Stephen L. Harris, chapter 20 of 2 Kings does not follow the events of chapters 18 and 19 (161). Rather, the Babylonian envoys precede the Assyrian invasion and siege. Chapter 20 would have been added during the exile, and Harris says it "evidently took place before Sennacherib's invasion' when Hezekiah was "trying to recruit Babylon as an ally against Assyria.' Consequently, "Hezekiah ends his long reign impoverished and ruling over only a tiny scrap of his former domain.' Likewise, The Archaeological Study Bible says, "The presence of these riches' that Hezekiah shows to the Babylonians "indicates that this event took place before Hezekiah's payment of tribute to Sennacherib in 701 BC" (564). Again, "Though the king's illness and the subsequent Babylonian mission are described at the end of the accounts of his reign, they must have occurred before the war with Assyria. Thus, Isaiah's chastening of Hezekiah is due to his alliances made with other countries during the Assyrian conflict for insurance. To a reader who interprets the
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an angel who, in one night, struck down "a hundred and eighty-five thousand in the camp of the Assyrians," sending Sennacherib back "with shame of face to his own land". Sennacherib's inscriptions make no mention of the disaster suffered by his forces. But, as Professor Jack Finegan comments: "In view of the general note of boasting which pervades the inscriptions of the Assyrian kings, ... it is hardly to be expected that Sennacherib would record such a defeat." The Cambridge Bible for Schools and Colleges refers to an "Egyptian tradition, according to which Sennacherib had already reached Pelusium in Egypt, when in a single night his army was rendered helpless by a plague of field-mice which gnawed the bows of the soldiers and the thongs of their shields". The version of the matter that Sennacherib presents, as found inscribed on what is known as the Sennacherib Prism preserved in the University of Chicago Oriental Institute, in part says: "As to Hezekiah, the Jew, he did not submit to my yoke ... Hezekiah himself ... did send me, later, to Nineveh, my lordly city, together with 30 talents of gold, 800 talents of silver, ..." This version inflates the number of silver talents sent from 300 to 800; but in other regards it confirms the biblical record and shows that Sennacherib made no claim that he captured Jerusalem. However, Sennacherib presents the matter of Hezekiah's paying tribute as having come after the Assyrian threat of a siege against Jerusalem, whereas the Bible states it was paid before. Death of Sennacherib Of Sennacherib's death, 2 Kings records: "It came about as he was worshiping in the house of Nisroch his god, that Adrammelech and Sharezer killed him [Sennacherib] with the sword; and they escaped into the land of Ararat. And Esarhaddon his son became king in his place." According to Assyrian records, Sennacherib was assassinated in 681 BCE, twenty years after the 701 BCE invasion of Judah. A Neo-Babylonian letter corroborates with the biblical account a sentiment from Sennacherib's sons to assassinate him, an event Assyriologists have reconstructed as historical. The son Arda-Mulissu, who is mentioned in the letter as killing anyone who would reveal his conspiracy, successfully murders his father in c. 681 BCE, and was most likely the Adrammelech in 2 Kings, though Sharezer is not known elsewhere. Assyriologists posit the murder was motivated because Esarhaddon was chosen as heir to the throne instead of Arda-Mulissu, the next eldest son. Assyrian and Hebrew biblical history corroborate that Esarhaddon ultimately did succeed the throne. Other Assyriologists assert that Sennacherib was murdered in revenge for his destruction of Babylon, a city sacred to all Mesopotamians, including the Assyrians. Hezekiah's illness and recovery Later in his life, Hezekiah was ill with a boil or an inflammation. Isaiah told him that the Lord said he should put his house in order because he would die. But Hezekiah prayed, and Isaiah returned saying that the Lord had heard his prayer and he would recover. Hezekiah asked for a sign, and Isaiah asked him whether the shadow should go forward ten degrees or go back ten degrees. Hezekiah said it should go back, and the account states, "Isaiah the prophet cried unto the LORD: and he brought the shadow ten degrees backward, by which it had gone down in the dial of Ahaz." The narrative of his sickness and miraculous recovery is found in 2 Kings, 2 Chronicle and Isaiah. Various ambassadors came to congratulate him on his recovery, among them from Merodach-baladan, son of the king of Babylon, "for he had heard that Hezekiah had been sick". Hezekiah, his vanity flattered by the visit, showed the Babylonian embassy all the wealth, arms and stores of Jerusalem, revealing too much information to Baladan, king of Babylon (or perhaps boasting about his wealth). He was then confronted by Isaiah, who foretold that a future generation of the people of Judah would be taken as captives to Babylon. Hezekiah was reassured that his own lifetime would see peace and security. According to Isaiah, Hezekiah lived another 15 years after praying to God. His son and successor, Manasseh, was born during this time: he was 12 years of age when he succeeded Hezekiah. According to the Talmud, the disease came about because of a dispute between him and Isaiah over who should pay whom a visit and over Hezekiah's refusal to marry and have children, although in the end he married Isaiah's daughter. Some Talmudists also considered that it might have come about as a way for Hezekiah to purge his sins or due to his arrogance in assuming his righteousness. Extra-biblical records Extra-biblical sources do much more for us than give us a pan-Mid Eastern picture into which we can contextualize Hezekiah: there are extra-biblical sources that specify Hezekiah by name, along with his reign and influence. "Historiographically, his reign is noteworthy for the convergence of a variety of biblical sources and diverse extrabiblical evidence often bearing on the same events. Significant data concerning Hezekiah appear in the Deuteronomistic History, the Chronicler, Isaiah, Assyrian annals and reliefs, Israelite epigraphy, and, increasingly, stratigraphy". Archaeologist Amihai Mazar calls the tensions between Assyria and Judah "one of the best-documented events of the Iron Age" (172). Hezekiah's story is one of the best to cross-reference with the rest of the Mid Eastern world's historical documents. Archaeological record A seal impression dating back to 727–698 BCE, reading "לחזקיהו [בן] אחז מלך יהדה" "Belonging to Hezekiah [son of] Ahaz king of Judah" was uncovered in a dig at the Ophel in Jerusalem. The impression on this inscription was set in ancient Hebrew script. A lintel inscription, found over the doorway of a tomb, has been ascribed to his secretary, Shebnah. LMLK stored jars along the border with Assyria "demonstrate careful preparations to counter Sennacherib's likely route of invasion" and show "a notable degree of royal control of towns and cities which would facilitate Hezekiah's destruction of rural sacrificial sites and his centralization of worship in Jerusalem". Evidence suggests they were used throughout his 29-year reign. There are some Bullae from sealed documents that may have belonged to Hezekiah himself. There are also some that name his servants (ah-vah-deem in Hebrew, ayin-bet-dalet-yod-mem). In 2015, Eilat Mazar discovered a bulla that bears an inscription in ancient Hebrew script that translates as: "Belonging to Hezekiah [son of] Ahaz king of Judah." This is the first seal impression of an Israelite or Judean king to come to light in a scientific archaeological excavation. While another, unprovenanced bulla of King Hezekiah was known, this was the first time a seal impression of Hezekiah had been discovered in situ in the course of actual excavations. Archaeological findings like the Hezekiah seal led scholars to surmise that the ancient Judahite kingdom had a highly developed administrative system. In 2018 Mazar published a report discussing the discovery of a bulla (a type of seal) which she says may have to have belonged to Isaiah. She believes the fragment to have been part of a seal whose complete text might have read "Belonging to Isaiah the prophet." Several other biblical archaeologists, including George Washington University's Christopher Rollston have pointed to the bulla being incomplete, and the present inscription not enough to necessarily refer to the biblical figure. Increase in the power of Judah According to the work of archaeologists and philologists, the reign of Hezekiah saw a notable increase in the power of the Judean state. At this time Judah was the strongest nation on the Assyrian–Egyptian frontier. There were increases in literacy and in the production of literary works. The massive construction of the Broad Wall was made during his reign, the city was enlarged to accommodate a large influx, and population increased in Jerusalem up to 25,000, "five times the population under Solomon." Archaeologist Amihai Mazar explains, "Jerusalem was a virtual city-state where the majority of the state's population was concentrated," in comparison to the rest of Judah's cities (167). Archaeologist Israel Finkelstein says, "The key phenomenon—which cannot be explained solely against the background of economic prosperity—was the sudden growth of the population of Jerusalem in particular, and of Judah in general" (153). He says the cause of this growth must be a large influx of Israelites fleeing from the Assyrian destruction of the northern state. It is "[t]he only reasonable way to explain this unprecedented demographic development" (154). This, according to Finkelstein, set the stage for motivations to compile and reconcile Hebrew history into a text at that time (157). Mazar questions this explanation, since, he argues, it is "no more than an educated guess" (167). Siloam inscription The Siloam Tunnel was chiseled through 533 meters (1,750 feet) of solid rock in order to provide Jerusalem underground access to the waters of the Gihon Spring or Siloam Pool, which lay outside the city. The Siloam Inscription from the Siloam Tunnel is now in the Istanbul Archaeology Museum. It "commemorates the dramatic moment when the two original teams of tunnelers, digging with picks from opposite ends of the tunnel, met each other" (564). It is "[o]ne of the most important ancient Hebrew inscriptions ever discovered." Finkelstein and Mazar cite this tunnel as an example of Jerusalem's impressive state-level power at the time. Archaeologists like William G. Dever have pointed at archaeological evidence for the iconoclasm during the period of Hezekiah's reign. The central cult room of the temple at Arad (a royal Judean fortress) was deliberately and carefully dismantled, "with the altars and massebot" concealed "beneath a Str. 8 plaster floor". This stratum correlates with the late 8th century; Dever concludes that "the deliberate dismantling of the temple and its replacement by another structure in the days of Hezekiah is an archeological fact. I see no reason for skepticism here." Lachish relief Under Rehoboam, Lachish became the second-most important city of the kingdom of Judah. During the revolt of king Hezekiah against Assyria, it was captured by Sennacherib despite determined resistance (see Siege of Lachish). As the Lachish relief attests, Sennacherib began his siege of the city of Lachish in 701 BCE. The Lachish Relief graphically depicts the battle, and the defeat of the city, including Assyrian archers marching up a ramp and Judahites pierced through on mounted stakes. "The reliefs on these slabs" discovered in the Assyrian palace at Nineveh "originally formed a single, continuous work, measuring 8 feet ... tall by 80 feet ... long, which wrapped around the room" (559). Visitors "would have been impressed not only by the magnitude of the artwork itself but also by the magnificent strength of the Assyrian war machine." Sennacherib's Prism of Nineveh Sennacherib's Prism was found buried in the foundations of the Nineveh palace. It was written in cuneiform, the Mesopotamian form of writing of the day. The prism records the conquest of 46 strong towns and "uncountable smaller places," along with the siege of Jerusalem where Sennacherib says he just "shut him up ... like a bird in a cage," subsequently enforcing a larger tribute upon him. The Hebrew Bible states that during the night, the angel of Jehovah (YHWH Hebrew) brought death to 185,000 Assyrians troops, forcing the army to abandon the siege, yet it also records a tribute paid to Sennacherib of 300 silver talents following the siege. There is no account of the supernatural event in the prism. Sennacherib's account records his levying of a tribute from Hezekiah, the king of Judea, who was within Jerusalem, leaving the city as the only one intact following the exile of the northern ten-tribe kingdom of Israel due to idolatry. Sennacherib recorded a payment of 800 silver talents, which suggests a capitulation to end the siege. However, Inscriptions have been discovered describing Sennacherib's defeat of the Ethiopian forces. These say: "As to Hezekiah, the Jew, he did not submit to my yoke, I laid siege to 46 of his strong cities ... and conquered (them). ... Himself I made a prisoner in Jerusalem, his royal residence, like a bird in a cage." He does not claim to have captured the city. This is consistent with the Bible account of Hezekiah's revolt against Assyria in the sense that neither account seems to indicate that Sennacherib ever entered or formally captured the city. Sennacherib in this inscription claims that Hezekiah paid for tribute 800 talents of silver, in contrast with the Bible's 300, however this could be due to boastful exaggeration which was not uncommon amongst kings of the period. Furthermore, the annals record a list of booty sent from Jerusalem to Nineveh. In the inscription, Sennacherib claims that Hezekiah accepted servitude, and some theorize that Hezekiah remained on his throne as a vassal ruler. The campaign is recorded with differences in the Assyrian records and in the biblical Books of Kings; there is agreement that the Assyrian have a propensity for exaggeration. One theory that takes the biblical view posits that a defeat was caused by "possibly an outbreak of the bubonic plague". Another that this is a composite text which makes use of a 'legendary motif' analogous to that of the Exodus story. Where the 2 Kings account explains giving 300 talents of silver, Sennacherib's prism records 800 talents. "This discrepancy may be the result of differences in the weight of Assyrian and Israelite silver talents, or it may simply be due to the Assyrian propensity for exaggeration" (558). Other records The Greek historian Herodotus (c. 484 BCE – c. 425 BCE) wrote of the invasion and acknowledges many Assyrian deaths, which he claims were the result of a plague of mice. The Jewish historian Josephus followed the writings of Herodotus. These historians record Sennacherib's failure to take Jerusalem is "uncontested". The Talmud (Bava Batra 15a) credits Hezekiah with overseeing the compilation of the biblical books of Isaiah, Proverbs, Song of Songs and Ecclesiastes. According to Jewish tradition, the victory over the Assyrians and Hezekiah's return to health happened at the same time, the first night of Passover. Rabbinic literature Abi saved the life of her son Hezekiah, whom her godless husband, Ahaz, had designed as an offering to Moloch. By anointing him with the blood of the salamander, she enabled him to pass through the fire of Moloch unscathed (Sanh. 63b). Hezekiah is considered as the model of those who put their trust in the Lord. Only during his sickness did he waver in his hitherto unshaken trust and require a sign, for which he was blamed by Isaiah (Lam. R. i.). The Hebrew name "Ḥizḳiyyah" is considered by the Talmudists to be a surname, meaning either "strengthened by Yhwh" or "he who made a firm alliance between the Israelites and Yhwh"; his eight other names are enumerated in Isa. ix. 5 (Sanh. 94a). He is called the restorer of the study of the Law in the schools, and is said to have planted a sword at the door of the bet ha-midrash, declaring that he who would not study the Law should be struck with the weapon (ib. 94b). Hezekiah's piety, which, according to the Talmudists, alone occasioned the destruction of the Assyrian army and the signal deliverance of the Israelites when Jerusalem was attacked by Sennacherib, caused him to be considered by some as the Messiah (ib. 99a). According to Bar Kappara, Hezekiah was destined to be the Messiah, but the attribute of justice ("middat ha-din") protested against this, saying that as David, who sang so much the glory of God, had not been made the Messiah, still less should Hezekiah, for whom so many miracles had been performed, yet who did not sing the praise of God (ib. 94a). Menachot 109b tells of Hezekiah encouraging others to keep their faith: Hezekiah and Isaiah Hezekiah's dangerous illness was caused by
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and may continue for life. Rapid treatment of bleeding episodes decreases damage to the body. Factor VIII is used in haemophilia A and factor IX in haemophilia B. Factor replacement can be either isolated from human blood serum, recombinant, or a combination of the two. Some people develop antibodies (inhibitors) against the replacement factors given to them, so the amount of the factor has to be increased or non-human replacement products must be given, such as porcine factor VIII. If a person becomes refractory to replacement coagulation factor as a result of high levels of circulating inhibitors, this may be partially overcome with recombinant human factor VIII. In early 2008, the US Food and Drug Administration (FDA) approved an anti-haemophilic drug completely free of albumin, which made it the first anti-haemophilic drug in the US to use an entirely synthetic purification process. Since 1993 recombinant factor products (which are typically cultured in Chinese hamster ovary (CHO) tissue culture cells and involve little, if any human plasma products) have been available and have been widely used in wealthier western countries. While recombinant clotting factor products offer higher purity and safety, they are, like concentrate, extremely expensive, and not generally available in the developing world. In many cases, factor products of any sort are difficult to obtain in developing countries. Clotting factors are either given preventively or on-demand. Preventive use involves the infusion of clotting factor on a regular schedule in order to keep clotting levels sufficiently high to prevent spontaneous bleeding episodes. On-demand (or episodic) treatment involves treating bleeding episodes once they arise. In 2007, a trial comparing on-demand treatment of boys (< 30 months) with haemophilia A with prophylactic treatment (infusions of 25 IU/kg body weight of Factor VIII every other day) in respect to its effect on the prevention of joint-diseases. When the boys reached 6 years of age, 93% of those in the prophylaxis group and 55% of those in the episodic-therapy group had a normal index joint-structure on MRI. Preventative treatment, however, resulted in average costs of $300,000 per year. The author of an editorial published in the same issue of the NEJM supports the idea that prophylactic treatment not only is more effective than on demand treatment but also suggests that starting after the first serious joint-related haemorrhage may be more cost effective than waiting until the fixed age to begin. Most haemophiliacs in third world countries have limited or no access to commercial blood clotting factor products. Other Desmopressin (DDAVP) may be used in those with mild haemophilia A. Tranexamic acid or epsilon aminocaproic acid may be given along with clotting factors to prevent breakdown of clots. Pain medicines, steroids, and physical therapy may be used to reduce pain and swelling in an affected joint. In those with severe hemophilia A already receiving FVIII, emicizumab may provide some benefit. Different treatments are used to help those with an acquired form of hemophilia in addition to the normal clotting factors. Often the most effective treatment is corticosteroids which remove the auto-antibodies in half of people. As a secondary route of treatment, cyclophosphamide and cyclosporine are used and are proven effective for those who did not respond to the steroid treatments. In rare cases a third route or treatment is used, high doses of intravenous immunoglobulin or immunosorbent that works to help control bleeding instead of battling the auto-antibodies. Contraindications Anticoagulants such as heparin and warfarin are contraindicated for people with haemophilia as these can aggravate clotting difficulties. Also contraindicated are those drugs which have "blood thinning" side effects. For instance, medicines which contain aspirin, ibuprofen, or naproxen sodium should not be taken because they are well known to have the side effect of prolonged bleeding. Also contraindicated are activities with a high likelihood of trauma, such as motorcycling and skateboarding. Popular sports with very high rates of physical contact and injuries such as American football, hockey, boxing, wrestling, and rugby should be avoided by people with haemophilia. Other active sports like soccer, baseball, and basketball also have a high rate of injuries, but have overall less contact and should be undertaken cautiously and only in consultation with a doctor. Prognosis Like most aspects of the disorder, life expectancy varies with severity and adequate treatment. People with severe haemophilia who don't receive adequate, modern treatment have greatly shortened lifespans and often do not reach maturity. Prior to the 1960s when effective treatment became available, average life expectancy was only 11 years. By the 1980s the life span of the average haemophiliac receiving appropriate treatment was 50–60 years. Today with appropriate treatment, males with haemophilia typically have a near normal quality of life with an average lifespan approximately 10 years shorter than an unaffected male. Since the 1980s the primary leading cause of death of people with severe haemophilia has shifted from haemorrhage to HIV/AIDS acquired through treatment with contaminated blood products. The second leading cause of death related to severe haemophilia complications is intracranial haemorrhage which today accounts for one third of all deaths of people with haemophilia. Two other major causes of death include hepatitis infections causing cirrhosis and obstruction of air or blood flow due to soft tissue haemorrhage. Epidemiology Haemophilia is rare, with only about 1 instance in every 10,000 births (or 1 in 5,000 male births) for haemophilia A and 1 in 50,000 births for haemophilia B. About 18,000 people in the United States have haemophilia. Each year in the US, about 400 babies are born with the disorder. Haemophilia usually occurs in males and less often in females. It is estimated that about 2,500 Canadians have haemophilia A, and about 500 Canadians have haemophilia B. History Scientific discovery The excessive bleeding was known to ancient people. The Talmud instructs that a boy must not be circumcised if he had two brothers who died due to complications arising from their circumcisions, and Maimonides says that this excluded paternal half-brothers. This may have been due to a concern about hemophilia. The first medical professional to describe the disease was Arab surgeon Al-Zahrawi, also known as Abulcasis. In the tenth century he described families whose males died of bleeding after only minor traumas. While many other such descriptive and practical references to the disease appear throughout historical writings, scientific analysis did not begin until the start of the nineteenth century. In 1803, John Conrad Otto, a Philadelphian physician, wrote an account about "a hemorrhagic disposition existing in certain families" in which he called the affected males "bleeders". He recognised that the disorder was hereditary and that it affected mostly males and was passed down by healthy females. His paper was the second paper to describe important characteristics of an X-linked genetic disorder (the first paper being a description of colour blindness by John Dalton who studied his own family). Otto was able to trace the disease back to a woman who settled near Plymouth, NH in 1720. The idea that affected males could pass the trait onto their unaffected daughters was not described until 1813 when John F. Hay, published an account in The New England Journal of Medicine. In 1924, a Finnish doctor discovered a hereditary bleeding disorder similar to haemophilia localised in Åland, southwest of Finland. This bleeding disorder is called "Von Willebrand Disease". The term "haemophilia" is derived from the term "haemorrhaphilia" which was used in a description of the condition written by Friedrich Hopff in 1828, while he was a student at the University of Zurich. In 1937, Patek and Taylor, two doctors from Harvard, discovered anti-haemophilic globulin. In 1947, Pavlosky, a doctor from Buenos Aires, found haemophilia A and haemophilia B to be separate diseases by doing a lab test. This test was done by transferring the blood of one haemophiliac to another haemophiliac. The fact that this corrected the clotting problem showed that there was more than one form of haemophilia. European royalty Haemophilia has featured prominently in European royalty and thus is sometimes known as 'the royal disease'. Queen Victoria passed the mutation for haemophilia B to her son Leopold and, through two of her daughters, Alice and Beatrice, to various royals across the continent, including the royal families of Spain, Germany, and Russia. In Russia, Tsarevich Alexei, the son and heir of Tsar Nicholas II, famously suffered from haemophilia, which he had inherited from his mother, Empress Alexandra, one of Queen Victoria's granddaughters. The haemophilia of Alexei would result in the rise to prominence of the Russian mystic Grigori Rasputin, at the imperial court. It was claimed that Rasputin was successful at treating Tsarevich Alexei's haemophilia. At the time, a common treatment administered by professional doctors was to use aspirin, which worsened rather than lessened the problem. It is believed that, by simply advising against the medical treatment, Rasputin could bring visible and significant improvement to the condition of Tsarevich Alexei. In Spain, Queen Victoria's youngest daughter, Princess Beatrice, had a daughter Victoria Eugenie of Battenberg, who later became Queen of Spain. Two of her sons were haemophiliacs and both died from minor car accidents. Her eldest son, Prince Alfonso of Spain, Prince of Asturias, died at the age of 31 from internal bleeding after his car hit a telephone booth. Her youngest son, Infante Gonzalo, died at age 19 from abdominal bleeding following a minor car accident in which he and his sister hit a wall while avoiding a cyclist. Neither appeared injured or sought immediate medical care and Gonzalo died two days later from internal bleeding. Treatment The method for the production of an antihaemophilic factor was discovered by Judith Graham Pool from Stanford University in 1964, and approved for commercial use in 1971 in the United States under the name Cryoprecipitated AHF. Together with the development of a system for transportation and storage of human plasma in 1965, this was the first time an efficient treatment for haemophilia became available. Blood contamination Up until late-1985 many people with haemophilia received clotting factor products that posed a risk of HIV and hepatitis C infection. The plasma used to
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against factor VIII and so is known as acquired haemophilia A. It is a rare but potentially life-threatening bleeding disorder caused by the development of autoantibodies (inhibitors) directed against plasma coagulation factors. Acquired haemophilia can be associated with cancers, autoimmune disorders and following childbirth. Management There is no long-term cure. Treatment and prevention of bleeding episodes is done primarily by replacing the missing blood clotting factors. Clotting factors Clotting factors are usually not needed in mild haemophilia. In moderate haemophilia clotting factors are typically only needed when bleeding occurs or to prevent bleeding with certain events. In severe haemophilia preventive use is often recommended two or three times a week and may continue for life. Rapid treatment of bleeding episodes decreases damage to the body. Factor VIII is used in haemophilia A and factor IX in haemophilia B. Factor replacement can be either isolated from human blood serum, recombinant, or a combination of the two. Some people develop antibodies (inhibitors) against the replacement factors given to them, so the amount of the factor has to be increased or non-human replacement products must be given, such as porcine factor VIII. If a person becomes refractory to replacement coagulation factor as a result of high levels of circulating inhibitors, this may be partially overcome with recombinant human factor VIII. In early 2008, the US Food and Drug Administration (FDA) approved an anti-haemophilic drug completely free of albumin, which made it the first anti-haemophilic drug in the US to use an entirely synthetic purification process. Since 1993 recombinant factor products (which are typically cultured in Chinese hamster ovary (CHO) tissue culture cells and involve little, if any human plasma products) have been available and have been widely used in wealthier western countries. While recombinant clotting factor products offer higher purity and safety, they are, like concentrate, extremely expensive, and not generally available in the developing world. In many cases, factor products of any sort are difficult to obtain in developing countries. Clotting factors are either given preventively or on-demand. Preventive use involves the infusion of clotting factor on a regular schedule in order to keep clotting levels sufficiently high to prevent spontaneous bleeding episodes. On-demand (or episodic) treatment involves treating bleeding episodes once they arise. In 2007, a trial comparing on-demand treatment of boys (< 30 months) with haemophilia A with prophylactic treatment (infusions of 25 IU/kg body weight of Factor VIII every other day) in respect to its effect on the prevention of joint-diseases. When the boys reached 6 years of age, 93% of those in the prophylaxis group and 55% of those in the episodic-therapy group had a normal index joint-structure on MRI. Preventative treatment, however, resulted in average costs of $300,000 per year. The author of an editorial published in the same issue of the NEJM supports the idea that prophylactic treatment not only is more effective than on demand treatment but also suggests that starting after the first serious joint-related haemorrhage may be more cost effective than waiting until the fixed age to begin. Most haemophiliacs in third world countries have limited or no access to commercial blood clotting factor products. Other Desmopressin (DDAVP) may be used in those with mild haemophilia A. Tranexamic acid or epsilon aminocaproic acid may be given along with clotting factors to prevent breakdown of clots. Pain medicines, steroids, and physical therapy may be used to reduce pain and swelling in an affected joint. In those with severe hemophilia A already receiving FVIII, emicizumab may provide some benefit. Different treatments are used to help those with an acquired form of hemophilia in addition to the normal clotting factors. Often the most effective treatment is corticosteroids which remove the auto-antibodies in half of people. As a secondary route of treatment, cyclophosphamide and cyclosporine are used and are proven effective for those who did not respond to the steroid treatments. In rare cases a third route or treatment is used, high doses of intravenous immunoglobulin or immunosorbent that works to help control bleeding instead of battling the auto-antibodies. Contraindications Anticoagulants such as heparin and warfarin are contraindicated for people with haemophilia as these can aggravate clotting difficulties. Also contraindicated are those drugs which have "blood thinning" side effects. For instance, medicines which contain aspirin, ibuprofen, or naproxen sodium should not be taken because they are well known to have the side effect of prolonged bleeding. Also contraindicated are activities with a high likelihood of trauma, such as motorcycling and skateboarding. Popular sports with very high rates of physical contact and injuries such as American football, hockey, boxing, wrestling, and rugby should be avoided by people with haemophilia. Other active sports like soccer, baseball, and basketball also have a high rate of injuries, but have overall less contact and should be undertaken cautiously and only in consultation with a doctor. Prognosis Like most aspects of the disorder, life expectancy varies with severity and adequate treatment. People with severe haemophilia who don't receive adequate, modern treatment have greatly shortened lifespans and often do not reach maturity. Prior to the 1960s when effective treatment became available, average life expectancy was only 11 years. By the 1980s the life span of the average haemophiliac receiving appropriate treatment was 50–60 years. Today with appropriate treatment, males with haemophilia typically have a near normal quality of life with an average lifespan approximately 10 years shorter than an unaffected male. Since the 1980s the primary leading cause of death of people with severe haemophilia has shifted from haemorrhage to HIV/AIDS acquired through treatment with contaminated blood products. The second leading cause of death related to severe haemophilia complications is intracranial haemorrhage which today accounts for one third of all deaths of people with haemophilia. Two other major causes of death include hepatitis infections causing cirrhosis and obstruction of air or blood flow due to soft tissue haemorrhage. Epidemiology Haemophilia is rare, with only about 1 instance in every 10,000 births (or 1 in 5,000 male births) for haemophilia A and 1 in 50,000 births for haemophilia B. About 18,000 people in the United States have haemophilia. Each year in the US, about 400 babies are born with the disorder. Haemophilia usually occurs in males and less often in females. It is estimated that about 2,500 Canadians have haemophilia A, and about 500 Canadians have haemophilia B. History Scientific discovery The excessive bleeding was known to ancient people. The Talmud instructs that a boy must not be circumcised if he had two brothers who died due to complications arising from their circumcisions, and Maimonides says that this excluded paternal half-brothers. This may have been due to a concern about hemophilia. The first medical professional to describe the disease was Arab surgeon Al-Zahrawi, also known as Abulcasis. In the tenth century he described families whose males died of bleeding after only minor traumas. While many other such descriptive and practical references to the disease appear throughout historical writings, scientific analysis did not begin until the start of the nineteenth century. In 1803, John Conrad Otto, a Philadelphian physician, wrote an account about "a hemorrhagic disposition existing in certain families" in which he called the affected males "bleeders". He recognised that the disorder was hereditary and that it affected mostly males and was passed down by healthy females. His paper was the second paper to describe important characteristics of an X-linked genetic disorder (the first paper being a description of colour blindness by John Dalton who studied his own family). Otto was able to trace the disease back to a woman who settled near Plymouth, NH in 1720. The idea that affected males could pass the trait onto their unaffected daughters was not described until 1813 when John F. Hay, published an account in The New England Journal of Medicine. In 1924, a Finnish doctor discovered a hereditary bleeding disorder similar to haemophilia localised in Åland, southwest of Finland. This bleeding disorder is called "Von Willebrand Disease". The term "haemophilia" is derived from the term "haemorrhaphilia" which was used in a description of the condition written by Friedrich Hopff in 1828, while he was a student at the University of Zurich. In 1937, Patek and Taylor, two doctors from Harvard, discovered anti-haemophilic globulin. In 1947, Pavlosky, a doctor from Buenos Aires, found haemophilia A and haemophilia B to be separate diseases by doing a lab test. This test was done
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(disambiguation) Hickory Township (disambiguation) Other uses Hickory High School (disambiguation) , a United States Coast Guard seagoing buoy tender Hickory, childhood nickname of Mose Solomon (1900–1966), Major League Baseball player Hickory Records, a record label Hickory, a character played by Jack Haley in the 1939 film The Wizard of Oz Foxcliffe Hickory Wind or Hickory, a dog named Best in Show at the Westminster Kennel Club Dog Show in 2011 Hickory cloth, a cotton twill used for North American workshirts and coveralls Hickory golf, a form
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, a United States Coast Guard seagoing buoy tender Hickory, childhood nickname of Mose Solomon (1900–1966), Major League Baseball player Hickory Records, a record label Hickory, a character played by Jack Haley in the 1939 film The Wizard of Oz Foxcliffe Hickory Wind or Hickory, a dog named Best in Show at the Westminster Kennel Club Dog Show in 2011 Hickory cloth, a cotton twill used for North American workshirts and coveralls Hickory golf, a form of golf played with hickory-shafted golf clubs See also Old Hickory (disambiguation)
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to the side-chain. Other enzymes utilized for side-chain synthesis of xyloglucan include galactosyltransferase (which is responsible for the addition of [galactose and of which two different forms are utilized), fucosyltransferase (which is responsible for the addition of fucose), and acetyltransferase (which is responsible for acetylation). Xylan backbone synthesis, unlike that of the other hemicelluloses, is not mediated by any cellulose synthase-like proteins. Instead, xylan synthase is responsible for backbone synthesis, facilitating the addition of xylose. Several genes for xylan synthases have been identified. Several other enzymes are utilized for the addition and modification of the side-chain units of xylan, including glucuronosyltransferase (which adds [glucuronic acid units), xylosyltransferase (which adds additional xylose units), arabinosyltransferase (which adds arabinose), methyltransferase (responsible for methylation), and acetyltransferase] (responsible for acetylation). Given that mixed-linkage glucan is a non-branched homopolymer of glucose, there is no side-chain synthesis, only the addition of glucose to the backbone in two linkages, β1-3 and β1-4. Backbone synthesis is mediated by enzymes in cellulose synthase-like protein families F and H (CSLF and CSLH), specifically glucan synthase. Several forms of glucan synthase from CSLF and CSLH have been identified. All of them are responsible for addition of glucose to the backbone and all are capable of producing both β1-3 and β1-4 linkages, however, it is unknown how much each specific enzyme contributes to the distribution of β1-3 and β1-4 linkages. Applications In the sulfite pulp process the hemicellulose is largely hydrolysed by the acid pulping liquor ending up in the brown liquor where the fermentable hexose sugars (around 2%) can be used for producing ethanol. This process was primarily applied to calcium sulfite brown liquors. Arabinogalactan Arabinogalactans can be used as emulsifiers, stabilizers and binders according to the Federal Food, Drug and Cosmetic Act. Arabinogalactans can also be used as bonding agent in sweeteners. Xylan The films based on xylan show low oxygen permeability and thus are of potential interest as packaging for oxygen-sensitive products. Agar Agar is used in making jellies and puddings. It is also growth medium with other nutrients for microorganisms. Curdlan Curdlan can be used in fat replacement to produce diet food while having a taste and a mouth feel of real fat containing products. beta-glucan b-glucans have an important role in food supplement while b-glucans are also promising in health-related issues, especially in immune reactions and the treatment of cancer. Xanthan Xanthan, with other polysaccharides can form gels that have high solution viscosity which can be used in the oil industry to thicken drilling mud. In the food industry, xanthan is used in products such as dressings and sauces. Alginate Alginate is an important role in the development of antimicrobial textiles due to its characteristics of environmental friendliness, and high industrialization level as a sustainable biopolymer. Natural functions Hemicellulose in Plant Cells Along with cellulose in plant cell walls, hemicellulose helps to strengthen the cell wall Hemicellulose are also a polysaccharide compound in plant cell walls similar to cellulose The hemicellulose compound interacts with the cellulose by providing cross-linking of cellulose microfibrils Hemicellulose will search for voids in the cell wall during its formation and provide support around cellulose fibrils This process is done by hemicellulose in order to equip the cell wall with the maximum possible strength it can provide Hemicellulose dominates the middle lamella of the plant cell, unlike cellulose which is primarily found in the secondary layers. This allows for hemicellulose to provide middle-ground support for the cellulose on the outer layers of the plant cell In few cell walls, hemicellulose will also interact with lignin to provide structural tissue support of more vascular plants Extraction There are many ways to obtain hemicellulose; all of these rely on extraction methods through hardwood or softwood trees milled into smaller samples. In hardwoods the main hemicellulose extract is glucuronoxlyan (acetylated xylans), while galactoglucomannan is found in softwoods. Prior to extraction the wood typically must be milled into wood chips
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however, this enzyme has not been definitively identified. Xyloglucan backbone synthesis is mediated by cellulose synthase-like protein family C (CSLC), particularly glucan synthase, which adds glucose units to the chain. Backbone synthesis of xyloglucan is also mediated in some way by xylosyltransferase, but this mechanism is separate to its transferase function and remains unclear. Xylosyltransferase in its transferase function is, however, utilized for the addition of xylose to the side-chain. Other enzymes utilized for side-chain synthesis of xyloglucan include galactosyltransferase (which is responsible for the addition of [galactose and of which two different forms are utilized), fucosyltransferase (which is responsible for the addition of fucose), and acetyltransferase (which is responsible for acetylation). Xylan backbone synthesis, unlike that of the other hemicelluloses, is not mediated by any cellulose synthase-like proteins. Instead, xylan synthase is responsible for backbone synthesis, facilitating the addition of xylose. Several genes for xylan synthases have been identified. Several other enzymes are utilized for the addition and modification of the side-chain units of xylan, including glucuronosyltransferase (which adds [glucuronic acid units), xylosyltransferase (which adds additional xylose units), arabinosyltransferase (which adds arabinose), methyltransferase (responsible for methylation), and acetyltransferase] (responsible for acetylation). Given that mixed-linkage glucan is a non-branched homopolymer of glucose, there is no side-chain synthesis, only the addition of glucose to the backbone in two linkages, β1-3 and β1-4. Backbone synthesis is mediated by enzymes in cellulose synthase-like protein families F and H (CSLF and CSLH), specifically glucan synthase. Several forms of glucan synthase from CSLF and CSLH have been identified. All of them are responsible for addition of glucose to the backbone and all are capable of producing both β1-3 and β1-4 linkages, however, it is unknown how much each specific enzyme contributes to the distribution of β1-3 and β1-4 linkages. Applications In the sulfite pulp process the hemicellulose is largely hydrolysed by the acid pulping liquor ending up in the brown liquor where the fermentable hexose sugars (around 2%) can be used for producing ethanol. This process was primarily applied to calcium sulfite brown liquors. Arabinogalactan Arabinogalactans can be used as emulsifiers, stabilizers and binders according to the Federal Food, Drug and Cosmetic Act. Arabinogalactans can also be used as bonding agent in sweeteners. Xylan The films based on xylan show low oxygen permeability and thus are of potential interest as packaging for oxygen-sensitive products. Agar Agar is used in making jellies and puddings. It is also growth medium with other nutrients for microorganisms. Curdlan Curdlan can be used in fat replacement to produce diet food while having a taste and a mouth feel of real fat containing products. beta-glucan b-glucans have an important role in food supplement while b-glucans are also promising in health-related issues, especially in immune reactions and the treatment of cancer. Xanthan Xanthan, with other polysaccharides can form gels that have high solution viscosity which can be used in the oil industry to thicken drilling mud. In the food industry, xanthan is used in products such as dressings and sauces. Alginate Alginate is an important role in the development of antimicrobial textiles due to its characteristics of environmental friendliness, and high industrialization level as a sustainable biopolymer. Natural functions Hemicellulose in Plant Cells Along with cellulose in plant cell walls, hemicellulose helps to strengthen the cell wall Hemicellulose are also a polysaccharide compound in plant cell walls similar to cellulose The hemicellulose compound interacts with the cellulose by providing cross-linking of cellulose microfibrils Hemicellulose will search for voids in the cell wall during its formation and provide support around cellulose fibrils This process is done by hemicellulose in order to equip the cell wall with the maximum possible strength it can provide Hemicellulose dominates the middle lamella
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