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a "pipe" (after its use in Unix shells) or a "fencepost". Invented for computers with video displays Function keys are the F-numbered keys. Their use varies by program; is often Help. Arrow keys (, , , ) move the cursor on the screen. When shifted, they select items. moves the cursor to the start of text, usually the left side of the screen. moves the cursor to the end of the current line. and move through the document by pages. (Delete) deletes the character after the cursor, or the selected items. (Insert) originally toggled between text insertion and overwrite modes. Importantly, it is involved along with Ctrl and Shift keys in keyboard shortcuts for copy () and paste () according to the IBM CUA user interface guidelines; the IBM CUA shortcuts are still widely supported by most current PC operating systems, and many PC users who learned those shortcuts between the late 1980s and the early 1990s may still find them more natural, convenient, or ergonomic than their "modern" Ctrl+X/C/V counterparts, given the close proximity of the Ctrl, Shift and Insert keys to the cursor movement keys. This particular role of the Insert key is often overlooked by modern-times documentation, if not hardware design, which tend to attribute to "Insert" only its more obvious, but much less frequently used and somewhat obsolete, original function. originally printed a text image of the screen. (On modern computers, usually takes a screenshot.) With the Alt key, it switched to SysRq, a different keycode. toggles the state of the numeric keypad. When off, the keypad acts as arrow and navigational keys. When on, it is a 10-key number pad similar to a standard calculator. Preferences vary so much that a favorite default for this key can often be configured in the BIOS. The key continues to exist on keyboards with separate arrow keys to accommodate those who still prefer the toggleable keypad. is little-used. IBM documentation described it as "inactive", and the key's purpose was a mystery even to keyboard manufacturers. In modern software, typing text usually causes previous text to scroll off the top of the screen or window. Some old programs could disable this and restart at the top of the window when scroll lock was pressed. The advantage is that the entire screenful of text does not shift, making it easier to read. Scroll Lock was also used to lock the cursor on its line and scroll the work area under it. In spreadsheets such as Microsoft Excel, it locks the cell pointer on the current cell, allowing the user to use the arrow keys to move the view window without moving the cell pointer. On some consoles (such as the Linux console), it prevents scrolling of messages until another key combination is pressed. Many hardware KVM switches use Scroll Lock to switch between the devices they control. pauses output or processing. In combination with Ctrl, it produces a keycode for Break. traditionally stopped programs in DOS. is also used to halt execution of the debugger in some programming environments such as Microsoft Visual Studio. In combination with the Windows key, it opens the System Properties window in Microsoft Windows environments. shifts the letters and numbers into the range above hex 0x80 where the international characters and special characters exist in the PC's standard character set. Alt plus a number typed on the numeric keypad produces special characters; see Windows Alt keycodes. (also known as the "super" key) is a quick way to open the Start menu in Microsoft Windows's standard Explorer shell, and can usually be configured to open the main menu in other operating systems. In Microsoft Windows, the Windows key can also be used in combination with other keys to perform desktop-related actions (e.g. to minimize all
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character. It may be used to exit menus or modes. is the tilde, an accent backspaced and printed over other letters for non-English languages. Nowadays the key does not produce a backspaceable character in US/UK keyboard layouts, and is used for 'not' or 'circa'. is a grave accent or backtick, also formerly backspaced over letters to write non-English languages; on some systems it is used as an opening quote. The single quote ' is normally used for an acute accent. is a circumflex, another accent for non-English languages. Also used to indicate exponentiation where superscript is not available. is an asterisk, used to indicate a note, or multiplication. is an underscore, which can be backspaced and overprinted to add emphasis, or in certain Programming Languages in place of a to form a compound word where the use of would yield several separate words. is a vertical bar, originally used as a typographic separator for optical character recognition. Many character sets break it in the middle so it cannot be confused with the numeral "1" or the letter "l" (in most EBCDIC codepages, vertical bar and divided vertical bar are separate characters). This character is often known as a "pipe" (after its use in Unix shells) or a "fencepost". Invented for computers with video displays Function keys are the F-numbered keys. Their use varies by program; is often Help. Arrow keys (, , , ) move the cursor on the screen. When shifted, they select items. moves the cursor to the start of text, usually the left side of the screen. moves the cursor to the end of the current line. and move through the document by pages. (Delete) deletes the character after the cursor, or the selected items. (Insert) originally toggled between text insertion and overwrite modes. Importantly, it is involved along with Ctrl and Shift keys in keyboard shortcuts for copy () and paste () according to the IBM CUA user interface guidelines; the IBM CUA shortcuts are still widely supported by most current PC operating systems, and many PC users who learned those shortcuts between the late 1980s and the early 1990s may still find them more natural, convenient, or ergonomic than their "modern" Ctrl+X/C/V counterparts, given the close proximity of the Ctrl, Shift and Insert keys to the cursor movement keys. This particular role of the Insert key is often overlooked by modern-times documentation, if not hardware design, which tend to attribute to "Insert" only its more obvious, but much less frequently used and somewhat obsolete, original function. originally printed a text image of the screen. (On modern computers, usually takes a screenshot.) With the Alt key, it switched to SysRq, a different keycode. toggles the state of the numeric keypad. When off, the keypad acts as arrow and navigational keys. When on, it is a 10-key number pad similar to a standard calculator. Preferences vary so much that a favorite default for this key can often be configured in the BIOS. The key continues to exist on keyboards with separate arrow keys to accommodate those who still prefer the toggleable keypad. is little-used. IBM documentation described it as "inactive", and the key's purpose was a mystery even to keyboard manufacturers. In modern software, typing text usually causes previous text to scroll off the top of the screen or window. Some old programs could disable this and restart at the top of the window when scroll lock was pressed. The advantage is that the entire screenful of text does not shift, making it easier to read. Scroll Lock was also used to lock the cursor on its line and scroll the work area under it. In spreadsheets such as Microsoft Excel, it locks the cell pointer on the current cell, allowing the user to use the arrow keys to move the view window without moving the cell pointer. On some consoles (such as the Linux
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the Conte di Cavour class consisted of thirteen 305-millimeter Model 1909 guns, in five centerline gun turrets, with a twin-gun turret superfiring over a triple-gun turret in fore and aft pairs, and a third triple turret amidships. Their secondary armament consisted of eighteen guns mounted in casemates on the sides of the hull. For defense against torpedo boats, the ships carried fourteen guns; thirteen of these could be mounted on the turret tops, but they could be positioned in 30 different locations, including some on the forecastle and upper decks. They were also fitted with three submerged torpedo tubes, one on each broadside and the third in the stern. The Conte di Cavour-class ships had a complete waterline armor belt that had a maximum thickness of amidships, which reduced to towards the stern and towards the bow. They had two armored decks: the main deck was thick on the flat that increased to on the slopes that connected it to the main belt. The second deck was thick. Frontal armor of the gun turrets was in thickness and the sides were thick. The armor protecting their barbettes ranged in thickness from . The walls of the forward conning tower were 280 millimeters thick. Modifications and reconstruction Shortly after the end of World War I, the number of 76.2 mm guns was reduced to 13, all mounted on the turret tops, and six new 76.2-millimeter anti-aircraft (AA) guns were installed abreast the aft funnel. In addition two license-built 2-pounder () AA guns were mounted on the forecastle deck. In 1925–1926 the foremast was replaced by a four-legged (tetrapodal) mast, which was moved forward of the funnels, the rangefinders were upgraded, and the ship was equipped to handle a Macchi M.18 seaplane mounted on the amidships turret. Around that same time, either one or both of the ships was equipped with a fixed aircraft catapult on the port side of the forecastle. Giulio Cesare began an extensive reconstruction in October 1933 at the Cantieri del Tirreno shipyard in Genoa that lasted until October 1937. A new bow section was grafted over the existing bow which increased her length by to and her beam increased to . The ship's draft at deep load increased to . All of the changes made increased her displacement to at standard load and at deep load. The ship's crew increased to 1,260 officers and enlisted men. Two of the propeller shafts were removed and the existing turbines were replaced by two Belluzzo geared steam turbines rated at . The boilers were replaced by eight Yarrow boilers. On her sea trials in December 1936, before her reconstruction was fully completed, Giulio Cesare reached a speed of from . In service her maximum speed was about and she had a range of at a speed of . The main guns were bored out to and the center turret and the torpedo tubes were removed. All of the existing secondary armament and AA guns were replaced by a dozen 120 mm guns in six twin-gun turrets and eight AA guns in twin turrets. In addition the ship was fitted with a dozen Breda light AA guns in six twin-gun mounts and twelve Breda M31 anti-aircraft machine guns, also in twin mounts. In 1940 the 13.2 mm machine guns were replaced by AA guns in twin mounts. Giulio Cesare received two more twin mounts as well as four additional 37 mm guns in twin mounts on the forecastle between the two turrets in 1941. The tetrapodal mast was replaced with a new forward conning tower, protected with thick armor. Atop the conning tower there was a fire-control director fitted with two large stereo-rangefinders, with a base length of . The deck armor was increased during the reconstruction to a total of over the engine and boiler rooms and over the magazines, although its distribution over three decks, meant that it was considerably less effective than a single plate of the same thickness. The armor protecting the barbettes was reinforced with plates. All this armor weighed a total of . The existing underwater protection was replaced by the Pugliese torpedo defense system that consisted of a large cylinder surrounded by fuel oil or water that was intended to absorb the blast of a torpedo warhead. It lacked, however, enough depth to be fully effective against contemporary torpedoes. A major problem of the reconstruction was that the ship's increased draft meant that their waterline armor belt was almost completely submerged with any significant load. Construction and service Giulio Cesare, named after Julius Caesar, was laid down at the Gio. Ansaldo & C. shipyard in Genoa on 24 June 1910 and launched on 15 October 1911. She was completed on 14 May 1914 and served as a flagship in the southern Adriatic Sea during World War I. She saw no action, however, and spent little time at sea. Admiral Paolo Thaon di Revel, the Italian naval chief of staff, believed that Austro-Hungarian submarines and minelayers could operate too effectively in the narrow waters of the Adriatic. The threat from these underwater weapons to his capital ships was too serious for him to use the fleet in an active way. Instead, Revel decided to implement a blockade at the relatively safer southern end of the Adriatic with the battle fleet, while smaller vessels, such as the MAS torpedo boats, conducted raids on Austro-Hungarian ships and installations. Meanwhile, Revel's battleships would be preserved to confront the Austro-Hungarian battle fleet in the event that it sought a decisive engagement. Giulio Cesare made port visits in the Levant in 1919 and 1920. Both Giulio Cesare and Conte di Cavour supported Italian operations on Corfu in 1923 after an Italian general and his staff were murdered at the Greek–Albanian frontier; Benito Mussolini, who had been looking for a pretext to seize Corfu, ordered Italian troops to occupy the island. Cesare became a gunnery training ship in 1928, after having been in reserve since 1926. She was reconstructed at Cantieri del Tirreno, Genoa, between 1933 and 1937. Both ships participated in a naval review by Adolf Hitler in the Bay of Naples in May 1938 and covered the invasion of Albania in May 1939. World War II Early in World War II, the ship took part in the Battle of Calabria (also known as the Battle of Punto Stilo), together with Conte di Cavour, on 9 July 1940, as part of the 1st Battle Squadron, commanded by Admiral Inigo Campioni, during which she engaged major elements of the British Mediterranean Fleet. The British were escorting a convoy from Malta to Alexandria, while the Italians had finished escorting another from Naples to Benghazi, Libya. Admiral Andrew Cunningham, commander of the Mediterranean Fleet, attempted to interpose his ships between the Italians and their base at Taranto. Crew on the fleets spotted each other in the middle of the afternoon and the battleships opened fire at 15:53 at a range of nearly . The two leading British battleships, and , replied a minute later. Three minutes after she opened fire, shells from Giulio
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a speed of from . In service her maximum speed was about and she had a range of at a speed of . The main guns were bored out to and the center turret and the torpedo tubes were removed. All of the existing secondary armament and AA guns were replaced by a dozen 120 mm guns in six twin-gun turrets and eight AA guns in twin turrets. In addition the ship was fitted with a dozen Breda light AA guns in six twin-gun mounts and twelve Breda M31 anti-aircraft machine guns, also in twin mounts. In 1940 the 13.2 mm machine guns were replaced by AA guns in twin mounts. Giulio Cesare received two more twin mounts as well as four additional 37 mm guns in twin mounts on the forecastle between the two turrets in 1941. The tetrapodal mast was replaced with a new forward conning tower, protected with thick armor. Atop the conning tower there was a fire-control director fitted with two large stereo-rangefinders, with a base length of . The deck armor was increased during the reconstruction to a total of over the engine and boiler rooms and over the magazines, although its distribution over three decks, meant that it was considerably less effective than a single plate of the same thickness. The armor protecting the barbettes was reinforced with plates. All this armor weighed a total of . The existing underwater protection was replaced by the Pugliese torpedo defense system that consisted of a large cylinder surrounded by fuel oil or water that was intended to absorb the blast of a torpedo warhead. It lacked, however, enough depth to be fully effective against contemporary torpedoes. A major problem of the reconstruction was that the ship's increased draft meant that their waterline armor belt was almost completely submerged with any significant load. Construction and service Giulio Cesare, named after Julius Caesar, was laid down at the Gio. Ansaldo & C. shipyard in Genoa on 24 June 1910 and launched on 15 October 1911. She was completed on 14 May 1914 and served as a flagship in the southern Adriatic Sea during World War I. She saw no action, however, and spent little time at sea. Admiral Paolo Thaon di Revel, the Italian naval chief of staff, believed that Austro-Hungarian submarines and minelayers could operate too effectively in the narrow waters of the Adriatic. The threat from these underwater weapons to his capital ships was too serious for him to use the fleet in an active way. Instead, Revel decided to implement a blockade at the relatively safer southern end of the Adriatic with the battle fleet, while smaller vessels, such as the MAS torpedo boats, conducted raids on Austro-Hungarian ships and installations. Meanwhile, Revel's battleships would be preserved to confront the Austro-Hungarian battle fleet in the event that it sought a decisive engagement. Giulio Cesare made port visits in the Levant in 1919 and 1920. Both Giulio Cesare and Conte di Cavour supported Italian operations on Corfu in 1923 after an Italian general and his staff were murdered at the Greek–Albanian frontier; Benito Mussolini, who had been looking for a pretext to seize Corfu, ordered Italian troops to occupy the island. Cesare became a gunnery training ship in 1928, after having been in reserve since 1926. She was reconstructed at Cantieri del Tirreno, Genoa, between 1933 and 1937. Both ships participated in a naval review by Adolf Hitler in the Bay of Naples in May 1938 and covered the invasion of Albania in May 1939. World War II Early in World War II, the ship took part in the Battle of Calabria (also known as the Battle of Punto Stilo), together with Conte di Cavour, on 9 July 1940, as part of the 1st Battle Squadron, commanded by Admiral Inigo Campioni, during which she engaged major elements of the British Mediterranean Fleet. The British were escorting a convoy from Malta to Alexandria, while the Italians had finished escorting another from Naples to Benghazi, Libya. Admiral Andrew Cunningham, commander of the Mediterranean Fleet, attempted to interpose his ships between the Italians and their base at Taranto. Crew on the fleets spotted each other in the middle of the afternoon and the battleships opened fire at 15:53 at a range of nearly . The two leading British battleships, and , replied a minute later. Three minutes after she opened fire, shells from Giulio Cesare began
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. Ghazi was considered as a serious threat to Vikrant by the Indian Navy, as Vikrants approximate position would be known by the Pakistanis once she started operating aircraft. Of the four available surface ships, INS Kavaratti had no sonar, which meant that the other three had to remain in close vicinity of Vikrant, without which the carrier would be completely vulnerable to attack by Ghazi. On 23 July, Vikrant sailed off to Cochin in company with the Western Fleet. En route, before reaching Cochin on 26 July, Sea King landing trials were carried out. After the completion of the radar and communication trials on 28 July, she departed for Madras, escorted by Brahmaputra and Beas. The next major problem was operating aircraft from the carrier. The commanding officer of the ship, Captain (later Vice Admiral) S. Prakash, was seriously concerned about flight operations. He was concerned that aircrew morale would be adversely affected if flight operations were not undertaken, which could be disastrous. Naval Headquarters remained stubborn on the speed restrictions, and sought confirmation from Prakash whether it was possible to embark an Alizé without compromising the speed restrictions. The speed restrictions imposed by the headquarters meant that Alizé aircraft would have to land at close to stalling speed. Eventually the aircraft weight was reduced, which allowed several of the aircraft to embark, along with a Seahawk squadron. By the end of September, Vikrant and her escorts reached Port Blair. En route to Visakhapatnam, tactical exercises were conducted in the presence of the Flag Officer Commanding-in-Chief of the Eastern Naval Command. From Vishakhapatnam, Vikrant set out for Madras for maintenance. Rear Admiral S. H. Sharma was appointed Flag Officer Commanding Eastern Fleet and arrived at Vishakhapatnam on 14 October. After receiving the reports that Pakistan might launch preemptive strikes, maintenance was stopped for another tactical exercise, which was completed during the night of 26–27 October at Vishakhapatnam. Vikrant then returned to Madras to resume maintenance. On 1 November, the Eastern Fleet was formally constituted, and on 13 November, all the ships set out for the Andaman and Nicobar Islands. To avoid misadventures, it was planned to sail Vikrant to a remote anchorage, isolating it from combat. Simultaneously, deception signals would give the impression that Vikrant was operating somewhere between Madras and Vishakhapatnam. On 23 November, an emergency was declared in Pakistan after a clash of Indian and Pakistani troops in East Pakistan two days earlier. On 2 December, the Eastern Fleet proceeded to its patrol area in anticipation of an attack by Pakistan. The Pakistan Navy had deployed Ghazi on 14 November with the explicit goal of targeting and sinking Vikrant, and Ghazi reached a location near Madras by the 23rd. In an attempt to deceive the Pakistan Navy and Ghazi, India's Naval Headquarters deployed Rajput as a decoy—the ship sailed off the coast of Vishakhapatnam and broadcast a significant amount of radio traffic, making her appear to be Vikrant. Ghazi, meanwhile, sank off the Visakhapatnam coast under mysterious circumstances. On the night of 3–4 December, a muffled underwater explosion was detected by a coastal battery. The next morning, a local fisherman observed flotsam near the coast, causing Indian naval officials to suspect a vessel had sunk off the coast. The next day, a clearance diving team was sent to search the area, and they confirmed that Ghazi had sunk in shallow waters. The reason for Ghazis fate is unclear. The Indian Navy's official historian, Hiranandani, suggests three possibilities, after having analysed the position of the rudder and extent of the damage suffered. The first was that Ghazi had come up to periscope depth to identify her position and may have seen an anti-submarine vessel that caused her to crash dive, which in turn may have led her to bury her bow in the bottom. The second possibility is closely related to the first: on the night of the explosion, Rajput was on patrol off Visakhapatnam and observed a severe disturbance in the water. Suspecting that it was a submarine, the ship dropped two depth charges on the spot, on a position that was very close to the wreckage. The third possibility is that there was a mishap when Ghazi was laying mines on the day before hostilities broke out. Vikrant was redeployed towards Chittagong at the outbreak of hostilities. On 4 December, the ship's Sea Hawks struck shipping in Chittagong and Cox's Bazar harbours, sinking or incapacitating most of the ships present. Later strikes targeted Khulna and the Port of Mongla, which continued until 10 December, while other operations were flown to support a naval blockade of East Pakistan. On 14 December, the Sea Hawks attacked the cantonment area in Chittagong, destroying several Pakistani army barracks. Medium anti-aircraft fire was encountered during this strike. Simultaneous attacks by Alizés continued on Cox's Bazar. After this, Vikrants fuel levels dropped to less than 25 per cent, and the aircraft carrier sailed to Paradip for refueling. The crew of INS Vikrant earned two Maha Vir Chakras and twelve Vir Chakra gallantry medals for their part in the war. Later years Vikrant did not see much service after the war, and was given two major modernisation refits—the first one from 1979 to 1981 and the second one from 1987 to 1989. In the first phase, her boilers, radars, communication systems and anti-aircraft guns were modernised, and facilities to operate Sea Harriers were installed. In the second phase, facilities to operate the new Sea Harrier Vertical/Short Take Off and Land (V/STOL) fighter aircraft and the new Sea King Mk 42B Anti-Submarine Warfare (ASW) helicopters were introduced. A 9.75-degree ski-jump ramp was fitted. The steam catapult was removed during this phase. Again in 1991, Vikrant underwent a six-month refit, followed by another fourteen-month refit in 1992–94. She remained operational thereafter, flying Sea Harriers, Sea Kings and Chetaks until her final sea outing on 23 November 1994. In the same year, a fire was also recorded aboard. In January 1995, the navy decided to keep Vikrant in "safe to float" state. She was laid up and formally decommissioned on 31 January 1997. Squadrons embarked During her service, INS Vikrant embarked four squadrons of the Naval Air Arm of the Indian Navy: Commanding officers Museum ship Following decommissioning in 1997, the ship was earmarked for preservation as a museum ship in Mumbai. Lack of funding prevented progress on the ship's conversion to a museum and it was speculated that the ship would be made into a training ship. In 2001, the ship was opened to the public by the Indian Navy, but the Government of Maharashtra was unable to find a partner to operate the museum on a permanent, long-term basis and the museum was closed after it was deemed unsafe for the public in 2012. Scrapping In August 2013, Vice Admiral Shekhar Sinha, Commander-in-Chief of the Western Naval Command, said the
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India from 1984 to 1987. Vikrant formally joined the Indian Navy's fleet in Bombay (now Mumbai) on 3 November 1961, when she was received at Ballard Pier by then Prime Minister Jawaharlal Nehru. In December of that year, the ship was deployed for Operation Vijay (the code name for the annexation of Goa) off the coast of Goa with two destroyers, and . Vikrant did not see action, and patrolled along the coast to deter foreign interference. During the Indo-Pakistani War of 1965, Vikrant was in dry dock refitting, and did not see any action. In June 1970, Vikrant was docked at the Naval Dockyard, Bombay, due to many internal fatigue cracks and fissures in the water drums of her boilers that could not be repaired by welding. As replacement drums were not available locally, four new ones were ordered from Britain, and Naval Headquarters issued orders not to use the boilers until further notice. On 26 February 1971 the ship was moved from Ballard Pier Extension to the anchorage, without replacement drums. The main objective behind this move was to light up the boilers at reduced pressure, and work up the main and flight deck machinery that had been idle for almost seven months. On 1 March, the boilers were ignited, and basin trials up to 40 revolutions per minute (RPM) were conducted. Catapult trials were conducted on the same day. The ship began preliminary sea trials on 18 March and returned two days later. Trials were again conducted on 26–27 April. The navy decided to limit the boilers to a pressure of and the propeller revolutions to 120 RPM ahead and 80 RPM astern, reducing the ship's speed to . With the growing expectations of a war with Pakistan in the near future, the navy started to transfer its ships to strategically advantageous locations in Indian waters. The primary concern of Naval Headquarters about the operation was the serviceability of Vikrant. When asked his opinion regarding the involvement of Vikrant in the war, Fleet Operations Officer Captain Gulab Mohanlal Hiranandani told the Chief of the Naval Staff Admiral Sardarilal Mathradas Nanda: Nanda and Hiranandani proved to be instrumental in taking Vikrant to war. There were objections that the ship might have severe operational difficulties that would expose the carrier to increased danger on operations. In addition, the three s acquired by the Pakistan Navy posed a significant risk to the carrier. In June, extensive deep sea trials were carried out, with steel safety harnesses around the three boilers still operational. Observation windows were fitted as a precautionary measure, to detect any steam leaks. By the end of June, the trials were complete and Vikrant was cleared to participate on operations, with its speed restricted to 14 knots. Indo-Pakistani War of 1971 As a part of preparations for the war, Vikrant was assigned to the Eastern Naval Command, then to the Eastern Fleet. This fleet consisted of INS Vikrant, the two s and , the two Petya III-class corvettes and , and one submarine, . The main reason behind strengthening the Eastern Fleet was to counter the Pakistani maritime forces deployed in support of military operations in East Bengal. A surveillance area of , confined by a triangle with a base of and sides of and , was set up in the Bay of Bengal. Any ship in this area was to be challenged and checked. If found to be neutral, it would be escorted to the nearest Indian port, otherwise, it would be captured, and taken as a war prize. In the meantime, intelligence reports confirmed that Pakistan was to deploy a US-built , . Ghazi was considered as a serious threat to Vikrant by the Indian Navy, as Vikrants approximate position would be known by the Pakistanis once she started operating aircraft. Of the four available surface ships, INS Kavaratti had no sonar, which meant that the other three had to remain in close vicinity of Vikrant, without which the carrier would be completely vulnerable to attack by Ghazi. On 23 July, Vikrant sailed off to Cochin in company with the Western Fleet. En route, before reaching Cochin on 26 July, Sea King landing trials were carried out. After the completion of the radar and communication trials on 28 July, she departed for Madras, escorted by Brahmaputra and Beas. The next major problem was operating aircraft from the carrier. The commanding officer of the ship, Captain (later Vice Admiral) S. Prakash, was seriously concerned about flight operations. He was concerned that aircrew morale would be adversely affected if flight operations were not undertaken, which could be disastrous. Naval Headquarters remained stubborn on the speed restrictions, and sought confirmation from Prakash whether it was possible to embark an Alizé without compromising the speed restrictions. The speed restrictions imposed by the headquarters meant that Alizé aircraft would have to land at close to stalling speed. Eventually the aircraft weight was reduced, which allowed several of the aircraft to embark, along with a Seahawk squadron. By the end of September, Vikrant and her escorts reached Port Blair. En route to Visakhapatnam, tactical exercises were conducted in the presence of the Flag Officer Commanding-in-Chief of the Eastern Naval Command. From Vishakhapatnam, Vikrant set out for Madras for maintenance. Rear Admiral S. H. Sharma was appointed Flag Officer Commanding Eastern Fleet and arrived at Vishakhapatnam on 14 October. After receiving the reports that Pakistan might launch preemptive strikes, maintenance was stopped for another tactical exercise, which was completed during the night of 26–27 October at Vishakhapatnam. Vikrant then returned to Madras to resume maintenance. On 1 November, the Eastern Fleet was formally constituted, and on 13 November, all the ships set out for the Andaman and Nicobar Islands. To avoid misadventures, it was planned to sail Vikrant to a remote anchorage, isolating it from combat. Simultaneously, deception signals would give the impression that Vikrant was operating somewhere between Madras and Vishakhapatnam. On 23 November, an emergency was declared in Pakistan after a clash of Indian and Pakistani troops in East Pakistan two days earlier. On 2 December, the Eastern Fleet proceeded to its patrol area in anticipation of an attack by Pakistan. The Pakistan Navy had deployed Ghazi on 14 November with the explicit goal of targeting and sinking Vikrant, and Ghazi reached a location near Madras by the 23rd. In an attempt to deceive the Pakistan Navy and Ghazi, India's Naval Headquarters deployed Rajput as a decoy—the ship sailed off the coast of Vishakhapatnam and broadcast a significant amount of radio traffic, making her appear to be Vikrant. Ghazi, meanwhile, sank off the Visakhapatnam coast under mysterious circumstances. On the night of 3–4 December, a muffled underwater explosion was detected by a coastal battery. The next morning, a local fisherman observed flotsam near the coast, causing Indian naval officials to suspect a vessel had sunk off the coast. The next day, a clearance diving team was sent to search the area, and they confirmed that Ghazi had sunk in shallow waters. The reason for Ghazis fate is unclear. The Indian Navy's official historian, Hiranandani, suggests three possibilities, after having analysed the position of the rudder and extent of the damage suffered. The first was that Ghazi had come up to periscope depth to identify her position and may have seen an anti-submarine vessel that caused her to crash dive, which in turn may have led her to bury her bow in the bottom. The second possibility is closely related to the first: on the night of the explosion, Rajput was on patrol off Visakhapatnam and observed a severe disturbance in the water. Suspecting that it was a submarine, the ship dropped two depth charges on the spot, on a position that was very close to the wreckage. The third possibility is that there was a mishap when Ghazi was laying mines on the day before hostilities broke out. Vikrant was redeployed towards Chittagong at the outbreak of hostilities. On 4 December, the ship's Sea Hawks struck shipping in Chittagong and Cox's Bazar harbours, sinking or incapacitating most of the ships present. Later strikes targeted Khulna and the Port of Mongla, which continued until 10 December, while other operations were flown to support a naval blockade of East Pakistan. On 14 December, the Sea Hawks attacked the cantonment area in Chittagong, destroying several Pakistani army barracks. Medium anti-aircraft fire was encountered during this strike. Simultaneous attacks by Alizés continued on Cox's Bazar. After this, Vikrants fuel levels dropped to less than 25 per cent, and the aircraft carrier sailed to Paradip for refueling. The crew of INS Vikrant earned two Maha Vir Chakras and twelve Vir Chakra gallantry medals for their part in the war. Later years Vikrant did not see much service after the war, and was given two major modernisation
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the Russian economy all led Russia to concede and negotiate with China in St Petersburg, and return most of Ili to China. The rise of Japan since the Meiji Restoration as an imperial power led to further subjugation of China. In a dispute over China's longstanding claim of suzerainty in Korea, war broke out between China and Japan, resulting in humiliating defeat for the Chinese. By the Treaty of Shimonoseki (1895), China was forced to recognize effective Japanese rule of Korea and Taiwan was ceded to Japan until its recovery in 1945 at the end of the WWII by the Republic of China. China's defeat at the hands of Japan was another trigger for future aggressive actions by Western powers. In 1897, Germany demanded and was given a set of exclusive mining and railroad rights in Shandong province. Russia obtained access to Dairen and Port Arthur and the right to build a railroad across Manchuria, thereby achieving complete domination over a large portion of northwestern China. The United Kingdom and France also received a number of concessions. At this time, much of China was divided up into "spheres of influence": Germany had influence in Jiaozhou (Kiaochow) Bay, Shandong, and the Yellow River valley; Russia had influence in the Liaodong Peninsula and Manchuria; the United Kingdom had influence in Weihaiwei and the Yangtze Valley; and France had influence in the Guangzhou Bay and the provinces of Yunnan, Guizhou and Guangxi China continued to be divided up into these spheres until the United States, which had no sphere of influence, grew alarmed at the possibility of its businessmen being excluded from Chinese markets. In 1899, Secretary of State John Hay asked the major powers to agree to a policy of equal trading privileges. In 1900, several powers agreed to the U.S.-backed scheme, giving rise to the "Open Door" policy, denoting freedom of commercial access and non-annexation of Chinese territory. In any event, it was in the European powers' interest to have a weak but independent Chinese government. The privileges of the Europeans in China were guaranteed in the form of treaties with the Qing government. In the event that the Qing government totally collapsed, each power risked losing the privileges that it already had negotiated. The erosion of Chinese sovereignty and seizures of land from Chinese by foreigners contributed to a spectacular anti-foreign outbreak in June 1900, when the "Boxers" (properly the society of the "righteous and harmonious fists") attacked foreigners around Beijing. The Imperial Court was divided into anti-foreign and pro-foreign factions, with the pro-foreign faction led by Ronglu and Prince Qing hampering any military effort by the anti-foreign faction led by Prince Duan and Dong Fuxiang. The Qing Empress Dowager ordered all diplomatic ties to be cut off and all foreigners to leave the legations in Beijing to go to Tianjin. The foreigners refused to leave. Fueled by entirely false reports that the foreigners in the legations were massacred, the Eight-Nation Alliance decided to launch an expedition on Beijing to reach the legations but they underestimated the Qing military. The Qing and Boxers defeated the foreigners at the Seymour Expedition, forcing them to turn back at the Battle of Langfang. In response to the foreign attack on Dagu Forts the Qing responded by declaring war against the foreigners. the Qing forces and foreigners fought a fierce battle at the Battle of Tientsin before the foreigners could launch a second expedition. On their second try Gaselee Expedition, with a much larger force, the foreigners managed to reach Beijing and fight the Battle of Peking (1900). British and French forces looted, plundered and burned the Old Summer Palace to the ground for the second time (the first time being in 1860, following the Second Opium War). German forces were particularly severe in exacting revenge for the killing of their ambassador due to the orders of Kaiser Wilhelm II, who held anti-Asian sentiments, while Russia tightened its hold on Manchuria in the northeast until its crushing defeat by Japan in the war of 1904–1905. The Qing court evacuated to Xi'an and threatened to continue the war against foreigners, until the foreigners tempered their demands in the Boxer Protocol, promising that China would not have to give up any land and gave up the demands for the execution of Dong Fuxiang and Prince Duan. The correspondent Douglas Story observed Chinese troops in 1907 and praised their abilities and military skill. Extraterritorial jurisdiction was abandoned by the United Kingdom and the United States in 1943. Chiang Kai-shek forced the French to hand over all their concessions back to China control after World War II. Foreign political control over leased parts of China ended with the incorporation of Hong Kong and the small Portuguese territory of Macau into the People's Republic of China in 1997 and 1999 respectively. U.S. imperialism in Asia Some Americans in the Nineteenth Century advocated for the annexation of Taiwan from China. Aboriginals on Taiwan often attacked and massacred shipwrecked western sailors. In 1867, during the Rover incident, Taiwanese aborigines attacked shipwrecked American sailors, killing the entire crew. They subsequently defeated a retaliatory expedition by the American military and killed another American during the battle. As the United States emerged as a new imperial power in the Pacific and Asia, one of the two oldest Western imperialist powers in the regions, Spain, was finding it increasingly difficult to maintain control of territories it had held in the regions since the 16th century. In 1896, a widespread revolt against Spanish rule broke out in the Philippines. Meanwhile, the recent string of U.S. territorial gains in the Pacific posed an even greater threat to Spain's remaining colonial holdings. As the U.S. continued to expand its economic and military power in the Pacific, it declared war against Spain in 1898. During the Spanish–American War, U.S. Admiral Dewey destroyed the Spanish fleet at Manila and U.S. troops landed in the Philippines. Spain later agreed by treaty to cede the Philippines in Asia and Guam in the Pacific. In the Caribbean, Spain ceded Puerto Rico to the U.S. The war also marked the end of Spanish rule in Cuba, which was to be granted nominal independence but remained heavily influenced by the U.S. government and U.S. business interests. One year following its treaty with Spain, the U.S. occupied the small Pacific outpost of Wake Island. The Filipinos, who assisted U.S. troops in fighting the Spanish, wished to establish an independent state and, on June 12, 1898, declared independence from Spain. In 1899, fighting between the Filipino nationalists and the U.S. broke out; it took the U.S. almost fifteen years to fully subdue the insurgency. The U.S. sent 70,000 troops and suffered thousands of casualties. The Filipinos insurgents, however, suffered considerably higher casualties than the Americans. Most casualties in the war were civilians dying primarily from disease. U.S. attacks into the countryside often included scorched earth campaigns where entire villages were burned and destroyed, and concentrated civilians into camps known as "protected zones". Most of these civilian casualties resulted from disease and famine. Reports of the execution of U.S. soldiers taken prisoner by the Filipinos led to disproportionate reprisals by American forces. The Moro Muslims fought against the Americans in the Moro Rebellion. In 1914, Dean C. Worcester, U.S. Secretary of the Interior for the Philippines (1901–1913) described "the regime of civilisation and improvement which started with American occupation and resulted in developing naked savages into cultivated and educated men". Nevertheless, some Americans, such as Mark Twain, deeply opposed American involvement/imperialism in the Philippines, leading to the abandonment of attempts to construct a permanent U.S. naval base and using it as an entry point to the Chinese market. In 1916, Congress guaranteed the independence of the Philippines by 1945. World War I: Changes in Imperialism World War I brought about the fall of several empires in Europe. This had repercussions around the world. The defeated Central Powers included Germany and the Turkish Ottoman Empire. Germany lost all of its colonies in Asia. German New Guinea, a part of Papua New Guinea, became administered by Australia. German possessions and concessions in China, including Qingdao, became the subject of a controversy during the Paris Peace Conference when the Beiyang government in China agreed to cede these interests to Japan, to the anger of many Chinese people. Although the Chinese diplomats refused to sign the agreement, these interests were ceded to Japan with the support of the United States and the United Kingdom. Turkey gave up her provinces; Syria, Palestine, and Mesopotamia (now Iraq) came under French and British control as League of Nations Mandates. The discovery of petroleum first in Iran and then in the Arab lands in the interbellum provided a new focus for activity on the part of the United Kingdom, France, and the United States. Japan In 1641, all Westerners were thrown out of Japan. For the next two centuries, Japan was free from Western contact, except for at the port of Nagasaki, which Japan allowed Dutch merchant vessels to enter on a limited basis. Japan's freedom from Western contact ended on 8 July 1853, when Commodore Matthew Perry of the U.S. Navy sailed a squadron of black-hulled warships into Edo (modern Tokyo) harbor. The Japanese told Perry to sail to Nagasaki but he refused. Perry sought to present a letter from U.S. President Millard Fillmore to the emperor which demanded concessions from Japan. Japanese authorities responded by stating that they could not present the letter directly to the emperor, but scheduled a meeting on 14 July with a representative of the emperor. On 14 July, the squadron sailed towards the shore, giving a demonstration of their cannon's firepower thirteen times. Perry landed with a large detachment of Marines and presented the emperor's representative with Fillmore's letter. Perry said he would return, and did so, this time with even more war ships. The U.S. show of force led to Japan's concession to the Convention of Kanagawa on 31 March 1854. This treaty conferred extraterritoriality on American nationals, as well as, opening up further treaty ports beyond Nagasaki. This treaty was followed up by similar treaties with the United Kingdom, the Netherlands, Russia and France. These events made Japanese authorities aware that the country was lacking technologically and needed the strength of industrialism in order to keep their power. This realisation eventually led to a civil war and political reform known the Meiji Restoration. The Meiji Restoration of 1868 led to administrative overhaul, deflation and subsequent rapid economic development. Japan had limited natural resources of her own and sought both overseas markets and sources of raw materials, fuelling a drive for imperial conquest which began with the defeat of China in 1895. Taiwan, ceded by Qing dynasty China, became the first Japanese colony. In 1899, Japan won agreements from the great powers' to abandon extraterritoriality for their citizens, and an alliance with the United Kingdom established it in 1902 as an international power. Its spectacular defeat of Russia's navy in 1905 gave it the southern half of the island of Sakhalin; exclusive Japanese influence over Korea (propinquity); the former Russian lease of the Liaodong Peninsula with Port Arthur (Lüshunkou); and extensive rights in Manchuria (see the Russo-Japanese War). The Empire of Japan and the Joseon Dynasty in Korea formed bilateral diplomatic relations in 1876. China lost its suzerainty of Korea after defeat in the Sino-Japanese War in 1894. Russia also lost influence on the Korean peninsula with the Treaty of Portsmouth as a result of the Russo-Japanese war in 1904. The Joseon Dynasty became increasingly dependent on Japan. Korea became a protectorate of Japan with the Japan–Korea Treaty of 1905. Korea was then de jure annexed to Japan with the Japan–Korea Treaty of 1910. Japan was now one of the most powerful forces in the Far East, and in 1914, it entered World War I on the side of the Allies, seizing German-occupied Kiaochow and subsequently demanding Chinese acceptance of Japanese political influence and territorial acquisitions (Twenty-One Demands, 1915). Mass protests in Peking in 1919 which sparked widespread Chinese nationalism, coupled with Allied (and particularly U.S.) opinion led to Japan's abandonment of most of the demands and Kiaochow's 1922 return to China. Japan received the German territory from the Treaty of Versailles. Tensions with China increased over the 1920s, and in 1931 Japanese Kwantung Army based in Manchuria seized control of the region without admission from Tokyo. Intermittent conflict with China led to full-scale war in mid-1937, drawing Japan toward an overambitious bid for Asian hegemony (Greater East Asia Co-Prosperity Sphere), which ultimately led to defeat and the loss of all its overseas territories after World War II (see Japanese expansionism and Japanese nationalism). After World War II Decolonisation and the rise of nationalism in Asia In the aftermath of World War II, European colonies, controlling more than one billion people throughout the world, still ruled most of the Middle East, South East Asia, and the Indian Subcontinent. However, the image of European pre-eminence was shattered by the wartime Japanese occupations of large portions of British, French, and Dutch territories in the Pacific. The destabilisation of European rule led to the rapid growth of nationalist movements in Asia—especially in Indonesia, Malaya, Burma, and French Indochina (Vietnam, Cambodia, and Laos). The war, however, only accelerated forces already in existence undermining Western imperialism in Asia. Throughout the colonial world, the processes of urbanisation and capitalist investment created professional merchant classes that emerged as new Westernised elites. While imbued with Western political and economic ideas, these classes increasingly grew to resent their unequal status under European rule. British in India and the Middle East In India, the westward movement of Japanese forces towards Bengal during World War II had led to major concessions on the part of British authorities to Indian nationalist leaders. In 1947, the United Kingdom, devastated by war and embroiled in an economic crisis at home, granted British India its independence as two nations: India and Pakistan. Myanmar (Burma) and Sri Lanka (Ceylon), which is also part of British India, also gained their independence from the United Kingdom the following year, in 1948. In the Middle East, the United Kingdom granted independence to Jordan in 1946 and two years later, in 1948, ended its mandate of Palestine becoming the independent nation of Israel. Following the end of the war, nationalists in Indonesia demanded complete independence from the Netherlands. A brutal conflict ensued, and finally, in 1949, through United Nations mediation, the Dutch East Indies achieved independence, becoming the new nation of Indonesia. Dutch imperialism moulded this new multi-ethnic state comprising roughly 3,000 islands of the Indonesian archipelago with a population at the time of over 100 million. The end of Dutch rule opened up latent tensions between the roughly 300 distinct ethnic groups of the islands, with the major ethnic fault line being between the Javanese and the non-Javanese. Netherlands New Guinea was under the Dutch administration until 1962 (see also West New Guinea dispute). United States in Asia In the Philippines, the U.S. remained committed to its previous pledges to grant the islands their independence, and the Philippines became the first of the Western-controlled Asian colonies to be granted independence post-World War II. However, the Philippines remained under pressure to adopt a political and economic system similar to the U.S. This aim was greatly complicated by the rise of new political forces. During the war, the Hukbalahap (People's Army), which had strong ties to the Communist Party of the Philippines (PKP), fought against the Japanese occupation of the Philippines and won strong popularity among many sectors of the Filipino working class and peasantry. In 1946, the PKP participated in elections as part of the Democratic Alliance. However, with the onset of the Cold War, its growing political strength drew a reaction from the ruling government and the United States, resulting in the repression of the PKP and its associated organizations. In 1948, the PKP began organizing an armed struggle against the government and continued U.S. military presence. In 1950, the PKP created the People's Liberation Army (Hukbong Mapagpalaya ng Bayan), which mobilized thousands of troops throughout the islands. The insurgency lasted until 1956 when the PKP gave up armed struggle. In 1968, the PKP underwent a split, and in 1969 the Maoist faction of the PKP created the New People's Army. Maoist rebels re-launched an armed struggle against the government and the U.S. military presence in the Philippines, which continues to this day. :) France in Indochina Post-war resistance to French rule France remained determined to retain its control of Indochina. However, in Hanoi, in 1945, a broad front of nationalists and communists led by Ho Chi Minh declared an independent Democratic Republic of Vietnam, commonly referred to as the Viet Minh regime by Western outsiders. France, seeking to regain control of Vietnam, countered with a vague offer of self-government under French rule. France's offers were unacceptable to Vietnamese nationalists; and in December 1946 the Việt Minh launched a rebellion against the French authority governing the colonies of French Indochina. The first few years of the war involved a low-level rural insurgency against French authority. However, after the Chinese communists reached the Northern border of Vietnam in 1949, the conflict turned into a conventional war between two armies equipped with modern weapons supplied by the United States and the Soviet Union. Meanwhile, the France granted the State of Vietnam based in Saigon independence in 1949 while Laos and Cambodia received independence in 1953. The US recognized the regime in Saigon, and provided the French military effort with military aid. Meanwhile, in Vietnam, the French war against the Viet Minh continued for nearly eight years. The French were gradually worn down by guerrilla and jungle fighting. The turning point for France occurred at Dien Bien Phu in 1954, which resulted in the surrender of ten thousand French troops. Paris was forced to accept a political settlement that year at the Geneva Conference, which led to a precarious set of agreements regarding the future political status of Laos, Cambodia, and Vietnam. List of European colonies in Asia British colonies in South Asia, East Asia, And Southeast Asia: British Burma (1824–1948, merged with India by the British from 1886 to 1937) British Ceylon (1815–1948, now Sri Lanka) British Hong Kong (1842–1997) Colonial India (includes the territory of present-day India, Pakistan and Bangladesh) Danish India (1696–1869) Swedish Parangipettai (1733) British India (1613–1947) British East India Company (1757–1858) British Raj (1858–1947) Bhutan (1865-1947) (British protectorate) Nepal (1816-1923) (British protectorate) French colonies in South and Southeast Asia: French India (1769–1954) French Indochina (1887–1953), including: French Laos (1893–1953) French Cambodia (1863–1953) Annam (French protectorate), Cochinchina, Tonkin (now Vietnam) (1883–1953) Dutch, British, Portuguese colonies and Russian territories in Asia: Dutch India (1605–1825) Dutch Bengal Dutch Ceylon (1656–1796) Portuguese Ceylon (1505–1658) Dutch East Indies (now Indonesia) – Dutch colony from 1602 to 1949 (included Netherlands New Guinea until 1962) Portuguese India (1510–1961) Portuguese Macau – Portuguese colony, the first European colony in China (1557–1999) Portuguese Timor (1702–1975, now East Timor) Malaya (now part of Malaysia): Portuguese Malacca (1511–1641) Dutch Malacca (1641–1824) British Malaya, included: Straits Settlements (1826–1946) Federated Malay States (1895–1946) Unfederated Malay States (1885–1946) Federation of Malaya (under British rule, 1948–1963) British Borneo (now part of Malaysia), including: Labuan (1848–1946) North Borneo (1882–1941) Crown Colony of North Borneo (1946–1963) Crown Colony of Sarawak (1946–1963) Brunei British Brunei (1888–1984) (British protectorate) Outer Manchuria – ceded to Russian Empire through Treaty of Aigun (1858) and Treaty of Peking (1860) Philippines: Spanish Philippines (1565–1898, 3rd longest European occupation in Asia, 333 years), Insular Government of the Philippine Islands and Commonwealth of the Philippines, United States colony (1898–1946) Singapore – British colony (1819–1959) Taiwan: Spanish Formosa (1626–1642) Dutch Formosa (1624–1662) Bahrain Portuguese Bahrain (1521–1602) British Protectorate (1861 - 1971) Iraq Mandatory Iraq
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among them that their bullet cartridges were lubricated with pig and cow fat. The cartridges had to be bit open, so this upset the Hindu and Muslim soldiers. The Hindu religion held cows sacred, and for Muslims pork was considered haraam. In one camp, 85 out of 90 sepoys would not accept the cartridges from their garrison officer. The British harshly punished those who would not by jailing them. The Indian people were outraged, and on May 10, 1857, sepoys marched to Delhi, and, with the help of soldiers stationed there, captured it. Fortunately for the British, many areas remained loyal and quiescent, allowing the revolt to be crushed after fierce fighting. One important consequence of the revolt was the final collapse of the Mughal dynasty. The mutiny also ended the system of dual control under which the British government and the British East India Company shared authority. The government relieved the company of its political responsibilities, and in 1858, after 258 years of existence, the company relinquished its role. Trained civil servants were recruited from graduates of British universities, and these men set out to rule India. Lord Canning (created earl in 1859), appointed Governor-General of India in 1856, became known as "Clemency Canning" as a term of derision for his efforts to restrain revenge against the Indians during the Indian Mutiny. When the Government of India was transferred from the company to the Crown, Canning became the first viceroy of India. The Company initiated the first of the Anglo-Burmese wars in 1824, which led to total annexation of Burma by the Crown in 1885. The British ruled Burma as a province of British India until 1937, then administered her separately under the Burma Office except during the Japanese occupation of Burma, 1942–1945, until granted independence on 4 January 1948. (Unlike India, Burma opted not to join the Commonwealth of Nations.) Rise of Indian nationalism The denial of equal status to Indians was the immediate stimulus for the formation in 1885 of the Indian National Congress, initially loyal to the Empire but committed from 1905 to increased self-government and by 1930 to outright independence. The "Home charges", payments transferred from India for administrative costs, were a lasting source of nationalist grievance, though the flow declined in relative importance over the decades to independence in 1947. Although majority Hindu and minority Muslim political leaders were able to collaborate closely in their criticism of British policy into the 1920s, British support for a distinct Muslim political organisation, the Muslim League from 1906 and insistence from the 1920s on separate electorates for religious minorities, is seen by many in India as having contributed to Hindu-Muslim discord and the country's eventual Partition. France in Indochina France, which had lost its empire to the British by the end of the 18th century, had little geographical or commercial basis for expansion in Southeast Asia. After the 1850s, French imperialism was initially impelled by a nationalistic need to rival the United Kingdom and was supported intellectually by the notion that French culture was superior to that of the people of Annam (Vietnam), and its mission civilisatrice—or its "civilizing mission" of the Annamese through their assimilation to French culture and the Catholic religion. The pretext for French expansionism in Indochina was the protection of French religious missions in the area, coupled with a desire to find a southern route to China through Tonkin, the European name for a region of northern Vietnam. French religious and commercial interests were established in Indochina as early as the 17th century, but no concerted effort at stabilizing the French position was possible in the face of British strength in the Indian Ocean and French defeat in Europe at the beginning of the 19th century. A mid-19th century religious revival under the Second Empire provided the atmosphere within which interest in Indochina grew. Anti-Christian persecutions in the Far East provided the pretext for the bombardment of Tourane (Danang) in 1847, and invasion and occupation of Danang in 1857 and Saigon in 1858. Under Napoleon III, France decided that French trade with China would be surpassed by the British, and accordingly the French joined the British against China in the Second Opium War from 1857 to 1860, and occupied parts of Vietnam as its gateway to China. By the Treaty of Saigon in 1862, on June 5, the Vietnamese emperor ceded France three provinces of southern Vietnam to form the French colony of Cochinchina; France also secured trade and religious privileges in the rest of Vietnam and a protectorate over Vietnam's foreign relations. Gradually French power spread through exploration, the establishment of protectorates, and outright annexations. Their seizure of Hanoi in 1882 led directly to war with China (1883–1885), and the French victory confirmed French supremacy in the region. France governed Cochinchina as a direct colony, and central and northern Vietnam under the protectorates of Annam and Tonkin, and Cambodia as protectorates in one degree or another. Laos too was soon brought under French "protection". By the beginning of the 20th century, France had created an empire in Indochina nearly 50 percent larger than the mother country. A Governor-General in Hanoi ruled Cochinchina directly and the other regions through a system of residents. Theoretically, the French maintained the precolonial rulers and administrative structures in Annam, Tonkin, Cochinchina, Cambodia, and Laos, but in fact the governor-generalship was a centralised fiscal and administrative regime ruling the entire region. Although the surviving native institutions were preserved in order to make French rule more acceptable, they were almost completely deprived of any independence of action. The ethnocentric French colonial administrators sought to assimilate the upper classes into France's "superior culture." While the French improved public services and provided commercial stability, the native standard of living declined and precolonial social structures eroded. Indochina, which had a population of over eighteen million in 1914, was important to France for its tin, pepper, coal, cotton, and rice. It is still a matter of debate, however, whether the colony was commercially profitable. Russia and "The Great Game" Tsarist Russia is not often regarded as a colonial power such as the United Kingdom or France because of the manner of Russian expansions: unlike the United Kingdom, which expanded overseas, the Russian empire grew from the centre outward by a process of accretion, like the United States. In the 19th century, Russian expansion took the form of a struggle of an effectively landlocked country for access to a warm water port. Historian Michael Khodarkovsky describes Tsarist Russia as a "hybrid empire" that combined elements of continental and colonial empires. While the British were consolidating their hold on India, Russian expansion had moved steadily eastward to the Pacific, then toward the Middle East. In the early 19th century it succeeded in conquering the South Caucasus and Dagestan from Qajar Iran following the Russo-Persian War (1804–13), the Russo-Persian War (1826–28) and the out coming treaties of Gulistan and Turkmenchay, giving Russia direct borders with both Persia's as well as Ottoman Turkey's heartlands. Later, they eventually reached the frontiers of Afghanistan as well (which had the largest foreign border adjacent to British holdings in India). In response to Russian expansion, the defense of India's land frontiers and the control of all sea approaches to the Subcontinent via the Suez Canal, the Red Sea, and the Persian Gulf became preoccupations of British foreign policy in the 19th century. This was called the Great Game. According to Kazakh scholar Kereihan Amanzholov, Russian colonialism had "no essential difference with the colonialist policies of Britain, France, and other European powers". Anglo-Russian rivalry in the Middle East and Central Asia led to a brief confrontation over Afghanistan in the 1870s. In Persia (Iran), both nations set up banks to extend their economic influence. The United Kingdom went so far as to invade Tibet, a land subordinate to the Chinese empire, in 1904, but withdrew when it became clear that Russian influence was insignificant and when Qing and Tibetan resistance proved tougher than expected. Qing China defeated Russia in the early Sino-Russian border conflicts, although the Russian Empire later acquired Outer Manchuria in the Amur Annexation. During the Boxer Rebellion, the Russian Empire invaded Manchuria in 1900, and the Blagoveshchensk massacre occurred against Chinese residents on the Russian side of the border. In 1907, the United Kingdom and Russia signed an agreement which — on the surface —ended their rivalry in Central Asia. (see Anglo-Russian Entente) As part of the entente, Russia agreed to deal with the sovereign of Afghanistan only through British intermediaries. In turn, the United Kingdom would not annex or occupy Afghanistan. Chinese suzerainty over Tibet also was recognised by both Russia and the United Kingdom, since nominal control by a weak China was preferable to control by either power. Persia was divided into Russian and British spheres of influence and an intervening "neutral" zone. The United Kingdom and Russia chose to reach these uneasy compromises because of growing concern on the part of both powers over German expansion in strategic areas of China and Africa. Following the entente, Russia increasingly intervened in Persian domestic politics and suppressed nationalist movements that threatened both St. Petersburg and London. After the Russian Revolution, Russia gave up its claim to a sphere of influence, though Soviet involvement persisted alongside the United Kingdom's until the 1940s. In the Middle East, in Persia (Iran) and the Ottoman Empire, a German company built a railroad from Constantinople to Baghdad and the Persian Gulf in the latter, while it built a railroad from the north of the country to the south, connecting the Caucasus with the Persian Gulf in the former. Germany wanted to gain economic influence in the region and then, perhaps, move on to India. This was met with bitter resistance by the United Kingdom, Russia, and France who divided the region among themselves. Western European and Russian intrusions into China The 16th century brought many Jesuit missionaries to China, such as Matteo Ricci, who established missions where Western science was introduced, and where Europeans gathered knowledge of Chinese society, history, culture, and science. During the 18th century, merchants from Western Europe came to China in increasing numbers. However, merchants were confined to Guangzhou and the Portuguese colony of Macau, as they had been since the 16th century. European traders were increasingly irritated by what they saw as the relatively high customs duties they had to pay and by the attempts to curb the growing import trade in opium. By 1800, its importation was forbidden by the imperial government. However, the opium trade continued to boom. Early in the 19th century, serious internal weaknesses developed in the Qing dynasty that left China vulnerable to Western, Meiji period Japanese, and Russian imperialism. In 1839, China found itself fighting the First Opium War with Britain. China was defeated, and in 1842, signed the provisions of the Treaty of Nanking which were first of the unequal treaties signed during the Qing Dynasty. Hong Kong Island was ceded to Britain, and certain ports, including Shanghai and Guangzhou, were opened to British trade and residence. In 1856, the Second Opium War broke out. The Chinese were again defeated, and now forced to the terms of the 1858 Treaty of Tientsin. The treaty opened new ports to trade and allowed foreigners to travel in the interior. In addition, Christians gained the right to propagate their religion. The United States Treaty of Wanghia and Russia later obtained the same prerogatives in separate treaties. Toward the end of the 19th century, China appeared on the way to territorial dismemberment and economic vassalage—the fate of India's rulers that played out much earlier. Several provisions of these treaties caused long-standing bitterness and humiliation among the Chinese: extraterritoriality (meaning that in a dispute with a Chinese person, a Westerner had the right to be tried in a court under the laws of his own country), customs regulation, and the right to station foreign warships in Chinese waters, including its navigable rivers. Jane E. Elliott criticized the allegation that China refused to modernize or was unable to defeat Western armies as simplistic, noting that China embarked on a massive military modernization in the late 1800s after several defeats, buying weapons from Western countries and manufacturing their own at arsenals, such as the Hanyang Arsenal during the Boxer Rebellion. In addition, Elliott questioned the claim that Chinese society was traumatized by the Western victories, as many Chinese peasants (90% of the population at that time) living outside the concessions continued about their daily lives, uninterrupted and without any feeling of "humiliation". Historians have judged the Qing dynasty's vulnerability and weakness to foreign imperialism in the 19th century to be based mainly on its maritime naval weakness while it achieved military success against westerners on land, the historian Edward L. Dreyer said that "China’s nineteenth-century humiliations were strongly related to her weakness and failure at sea. At the start of the Opium War, China had no unified navy and no sense of how vulnerable she was to attack from the sea; British forces sailed and steamed wherever they wanted to go......In the Arrow War (1856-60), the Chinese had no way to prevent the Anglo-French expedition of 1860 from sailing into the Gulf of Zhili and landing as near as possible to Beijing. Meanwhile, new but not exactly modern Chinese armies suppressed the midcentury rebellions, bluffed Russia into a peaceful settlement of disputed frontiers in Central Asia, and defeated the French forces on land in the Sino-French War (1884-85). But the defeat of the fleet, and the resulting threat to steamship traffic to Taiwan, forced China to conclude peace on unfavorable terms." During the Sino-French War, Chinese forces defeated the French at the Battle of Cầu Giấy (Paper Bridge), Bắc Lệ ambush, Battle of Phu Lam Tao, Battle of Zhenhai, the Battle of Tamsui in the Keelung Campaign and in the last battle which ended the war, the Battle of Bang Bo (Zhennan Pass), which triggered the French Retreat from Lạng Sơn and resulted in the collapse of the French Jules Ferry government in the Tonkin Affair. The Qing dynasty forced Russia to hand over disputed territory in Ili in the Treaty of Saint Petersburg (1881), in what was widely seen by the west as a diplomatic victory for the Qing. Russia acknowledged that Qing China potentially posed a serious military threat. Mass media in the west during this era portrayed China as a rising military power due to its modernization programs and as a major threat to the western world, invoking fears that China would successfully conquer western colonies like Australia. The British observer Demetrius Charles de Kavanagh Boulger suggested a British-Chinese alliance to check Russian expansion in Central Asia. During the Ili crisis when Qing China threatened to go to war against Russia over the Russian occupation of Ili, the British officer Charles George Gordon was sent to China by Britain to advise China on military options against Russia should a potential war break out between China and Russia. The Russians observed the Chinese building up their arsenal of modern weapons during the Ili crisis, the Chinese bought thousands of rifles from Germany. In 1880, massive amounts of military equipment and rifles were shipped via boats to China from Antwerp as China purchased torpedoes, artillery, and 260,260 modern rifles from Europe. The Russian military observer D. V. Putiatia visited China in 1888 and found that in Northeastern China (Manchuria) along the Chinese-Russian border, the Chinese soldiers were potentially able to become adept at "European tactics" under certain circumstances, and the Chinese soldiers were armed with modern weapons like Krupp artillery, Winchester carbines, and Mauser rifles. Compared to Russian controlled areas, more benefits were given to the Muslim Kirghiz on the Chinese controlled areas. Russian settlers fought against the Muslim nomadic Kirghiz, which led the Russians to believe that the Kirghiz would be a liability in any conflict against China. The Muslim Kirghiz were sure that in an upcoming war, that China would defeat Russia. Russian sinologists, the Russian media, threat of internal rebellion, the pariah status inflicted by the Congress of Berlin, the negative state of the Russian economy all led Russia to concede and negotiate with China in St Petersburg, and return most of Ili to China. The rise of Japan since the Meiji Restoration as an imperial power led to further subjugation of China. In a dispute over China's longstanding claim of suzerainty in Korea, war broke out between China and Japan, resulting in humiliating defeat for the Chinese. By the Treaty of Shimonoseki (1895), China was forced to recognize effective Japanese rule of Korea and Taiwan was ceded to Japan until its recovery in 1945 at the end of the WWII by the Republic of China. China's defeat at the hands of Japan was another trigger for future aggressive actions by Western powers. In 1897, Germany demanded and was given a set of exclusive mining and railroad rights in Shandong province. Russia obtained access to Dairen and Port Arthur and the right to build a railroad across Manchuria, thereby achieving complete domination over a large portion of northwestern China. The United Kingdom and France also received a number of concessions. At this time, much of China was divided up into "spheres of influence": Germany had influence in Jiaozhou (Kiaochow) Bay, Shandong, and the Yellow River valley; Russia had influence in the Liaodong Peninsula and Manchuria; the United Kingdom had influence in Weihaiwei and the Yangtze Valley; and France had influence in the Guangzhou Bay and the provinces of Yunnan, Guizhou and Guangxi China continued to be divided up into these spheres until the United States, which had no sphere of influence, grew alarmed at the possibility of its businessmen being excluded from Chinese markets. In 1899, Secretary of State John Hay asked the major powers to agree to a policy of equal trading privileges. In 1900, several powers agreed to the U.S.-backed scheme, giving rise to the "Open Door" policy, denoting freedom of commercial access and non-annexation of Chinese territory. In any event, it was in the European powers' interest to have a weak but independent Chinese government. The privileges of the Europeans in China were guaranteed in the form of treaties with the Qing government. In the event that the Qing government totally collapsed, each power risked losing the privileges that it already had negotiated. The erosion of Chinese sovereignty and seizures of land from Chinese by foreigners contributed to a spectacular anti-foreign outbreak in June 1900, when the "Boxers" (properly the society of the "righteous and harmonious fists") attacked foreigners around Beijing. The Imperial Court was divided into anti-foreign and pro-foreign factions, with the pro-foreign faction led by Ronglu and Prince Qing hampering any military effort by the anti-foreign faction led by Prince Duan and Dong Fuxiang. The Qing Empress Dowager ordered all diplomatic ties to be cut off and all foreigners to leave the legations in Beijing to go to Tianjin. The foreigners refused to leave. Fueled by entirely false reports that the foreigners in the legations were massacred, the Eight-Nation Alliance decided to launch an expedition on Beijing to reach the legations but they underestimated the Qing military. The Qing and Boxers defeated the foreigners at the Seymour Expedition, forcing them to turn back at the Battle of Langfang. In response to the foreign attack on Dagu Forts the Qing responded by declaring war against the foreigners. the Qing forces and foreigners fought a fierce battle at the Battle of Tientsin before the foreigners could launch a second expedition. On their second try Gaselee Expedition, with a much larger force, the foreigners managed to reach Beijing and fight the Battle of Peking (1900). British and French forces looted, plundered and burned the Old Summer Palace to the ground for the second time (the first time being in 1860, following the Second Opium War). German forces were particularly severe in exacting revenge for the killing of their ambassador due to the orders of Kaiser Wilhelm II, who held anti-Asian sentiments, while Russia tightened its hold on Manchuria in the northeast until its crushing defeat by Japan in the war of 1904–1905. The Qing court evacuated to Xi'an and threatened to continue the war against foreigners, until the foreigners tempered their demands in the Boxer Protocol, promising that China would not have to give up any land and gave up the demands for the execution of Dong Fuxiang and Prince Duan. The correspondent Douglas Story observed Chinese troops in 1907 and praised their abilities and military skill. Extraterritorial jurisdiction was abandoned by the United Kingdom and the United States in 1943. Chiang Kai-shek forced the French to hand over all their concessions back to China control after World War II. Foreign political control over leased parts of China ended with the incorporation of Hong Kong and the small Portuguese territory of Macau into the People's Republic of China in 1997 and 1999 respectively. U.S. imperialism in Asia Some Americans in the Nineteenth Century advocated for the annexation of Taiwan from China. Aboriginals on Taiwan often attacked and massacred shipwrecked western sailors. In 1867, during the Rover incident, Taiwanese aborigines attacked shipwrecked American sailors, killing the entire crew. They subsequently defeated a retaliatory expedition by the American military and killed another American during the battle. As the United States emerged as a new imperial power in the Pacific and Asia, one of the two oldest Western imperialist powers in the regions, Spain, was finding it increasingly difficult to maintain control of territories it had held in the regions since the 16th century. In 1896, a widespread revolt against Spanish rule broke out in the Philippines. Meanwhile, the recent string of U.S. territorial gains in the Pacific posed an even greater threat to Spain's remaining colonial holdings. As the U.S. continued to expand its economic and military power in the Pacific, it declared war against Spain in 1898. During the Spanish–American War, U.S. Admiral Dewey destroyed the Spanish fleet at Manila and U.S. troops landed in the Philippines. Spain later agreed by treaty to cede the Philippines in Asia and Guam in the Pacific. In the Caribbean, Spain ceded Puerto Rico to the U.S. The war also marked the end of Spanish rule in Cuba, which was to be granted nominal independence but remained heavily influenced by the U.S. government and U.S. business interests. One year following its treaty with Spain, the U.S. occupied the small Pacific outpost of Wake Island. The Filipinos, who assisted U.S. troops in fighting the Spanish, wished to establish an independent state and, on June 12, 1898, declared independence from Spain. In 1899, fighting between the Filipino nationalists and the U.S. broke out; it took the U.S. almost fifteen years to fully subdue the insurgency. The U.S. sent 70,000 troops and suffered thousands of casualties. The Filipinos insurgents, however, suffered considerably higher casualties than the Americans. Most casualties in the war were civilians dying primarily from disease. U.S. attacks into the countryside often included scorched earth campaigns where entire villages were burned and destroyed, and concentrated civilians into camps known as "protected zones". Most of these civilian casualties resulted from disease and famine. Reports of the execution of U.S. soldiers taken prisoner by the Filipinos led to disproportionate reprisals by American forces. The Moro Muslims fought against the Americans in the Moro Rebellion. In 1914, Dean C. Worcester, U.S. Secretary of the Interior for the Philippines (1901–1913) described "the regime of civilisation and improvement which started with American occupation and resulted in developing naked savages into cultivated and educated men". Nevertheless, some Americans, such as Mark Twain, deeply opposed American involvement/imperialism in the Philippines, leading to the abandonment of attempts to construct a permanent U.S. naval base and using it as an
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entropy of the whole ensemble should be equal to the sum of the entropy of the system of boxes and the individual entropies of the boxes, each weighted with the probability of being in that particular box. The rule of additivity has the following consequences: for positive integers where , Choosing , this implies that the entropy of a certain outcome is zero: . This implies that the efficiency of a source alphabet with symbols can be defined simply as being equal to its -ary entropy. See also Redundancy (information theory). Further properties The Shannon entropy satisfies the following properties, for some of which it is useful to interpret entropy as the amount of information learned (or uncertainty eliminated) by revealing the value of a random variable : Adding or removing an event with probability zero does not contribute to the entropy: . It can be confirmed using the Jensen inequality that . This maximal entropy of is effectively attained by a source alphabet having a uniform probability distribution: uncertainty is maximal when all possible events are equiprobable. The entropy or the amount of information revealed by evaluating (that is, evaluating and simultaneously) is equal to the information revealed by conducting two consecutive experiments: first evaluating the value of , then revealing the value of given that you know the value of . This may be written as: If where is a function, then . Applying the previous formula to yields so , the entropy of a variable can only decrease when the latter is passed through a function. If and are two independent random variables, then knowing the value of doesn't influence our knowledge of the value of (since the two don't influence each other by independence): More generally, for any random variables and , we have . The entropy of two simultaneous events is no more than the sum of the entropies of each individual event i.e., , with equality if and only if the two events are independent. The entropy is concave in the probability mass function , i.e. for all probability mass functions and . Accordingly, the negative entropy (negentropy) function is convex, and its convex conjugate is LogSumExp. Aspects Relationship to thermodynamic entropy The inspiration for adopting the word entropy in information theory came from the close resemblance between Shannon's formula and very similar known formulae from statistical mechanics. In statistical thermodynamics the most general formula for the thermodynamic entropy of a thermodynamic system is the Gibbs entropy, where is the Boltzmann constant, and is the probability of a microstate. The Gibbs entropy was defined by J. Willard Gibbs in 1878 after earlier work by Boltzmann (1872). The Gibbs entropy translates over almost unchanged into the world of quantum physics to give the von Neumann entropy, introduced by John von Neumann in 1927, where ρ is the density matrix of the quantum mechanical system and Tr is the trace. At an everyday practical level, the links between information entropy and thermodynamic entropy are not evident. Physicists and chemists are apt to be more interested in changes in entropy as a system spontaneously evolves away from its initial conditions, in accordance with the second law of thermodynamics, rather than an unchanging probability distribution. As the minuteness of Boltzmann's constant indicates, the changes in for even tiny amounts of substances in chemical and physical processes represent amounts of entropy that are extremely large compared to anything in data compression or signal processing. In classical thermodynamics, entropy is defined in terms of macroscopic measurements and makes no reference to any probability distribution, which is central to the definition of information entropy. The connection between thermodynamics and what is now known as information theory was first made by Ludwig Boltzmann and expressed by his famous equation: where is the thermodynamic entropy of a particular macrostate (defined by thermodynamic parameters such as temperature, volume, energy, etc.), W is the number of microstates (various combinations of particles in various energy states) that can yield the given macrostate, and kB is Boltzmann's constant. It is assumed that each microstate is equally likely, so that the probability of a given microstate is pi = 1/W. When these probabilities are substituted into the above expression for the Gibbs entropy (or equivalently kB times the Shannon entropy), Boltzmann's equation results. In information theoretic terms, the information entropy of a system is the amount of "missing" information needed to determine a microstate, given the macrostate. In the view of Jaynes (1957), thermodynamic entropy, as explained by statistical mechanics, should be seen as an application of Shannon's information theory: the thermodynamic entropy is interpreted as being proportional to the amount of further Shannon information needed to define the detailed microscopic state of the system, that remains uncommunicated by a description solely in terms of the macroscopic variables of classical thermodynamics, with the constant of proportionality being just the Boltzmann constant. Adding heat to a system increases its thermodynamic entropy because it increases the number of possible microscopic states of the system that are consistent with the measurable values of its macroscopic variables, making any complete state description longer. (See article: maximum entropy thermodynamics). Maxwell's demon can (hypothetically) reduce the thermodynamic entropy of a system by using information about the states of individual molecules; but, as Landauer (from 1961) and co-workers have shown, to function the demon himself must increase thermodynamic entropy in the process, by at least the amount of Shannon information he proposes to first acquire and store; and so the total thermodynamic entropy does not decrease (which resolves the paradox). Landauer's principle imposes a lower bound on the amount of heat a computer must generate to process a given amount of information, though modern computers are far less efficient. Data compression Shannon's definition of entropy, when applied to an information source, can determine the minimum channel capacity required to reliably transmit the source as encoded binary digits. Shannon's entropy measures the information contained in a message as opposed to the portion of the message that is determined (or predictable). Examples of the latter include redundancy in language structure or statistical properties relating to the occurrence frequencies of letter or word pairs, triplets etc. The minimum channel capacity can be realized in theory by using the typical set or in practice using Huffman, Lempel–Ziv or arithmetic coding. (See also Kolmogorov complexity.) In practice, compression algorithms deliberately include some judicious redundancy in the form of checksums to protect against errors. The entropy rate of a data source is the average number of bits per symbol needed to encode it. Shannon's experiments with human predictors show an information rate between 0.6 and 1.3 bits per character in English; the PPM compression algorithm can achieve a compression ratio of 1.5 bits per character in English text. If a compression scheme is lossless – one in which you can always recover the entire original message by decompression – then a compressed message has the same quantity of information as the original but communicated in fewer characters. It has more information (higher entropy) per character. A compressed message has less redundancy. Shannon's source coding theorem states a lossless compression scheme cannot compress messages, on average, to have more than one bit of information per bit of message, but that any value less than one bit of information per bit of message can be attained by employing a suitable coding scheme. The entropy of a message per bit multiplied by the length of that message is a measure of how much total information the message contains. Shannon's theorem also implies that no lossless compression scheme can shorten all messages. If some messages come out shorter, at least one must come out longer due to the pigeonhole principle. In practical use, this is generally not a problem, because one is usually only interested in compressing certain types of messages, such as a document in English, as opposed to gibberish text, or digital photographs rather than noise, and it is unimportant if a compression algorithm makes some unlikely or uninteresting sequences larger. A 2011 study in Science estimates the world's technological capacity to store and communicate optimally compressed information normalized on the most effective compression algorithms available in the year 2007, therefore estimating the entropy of the technologically available sources. The authors estimate humankind technological capacity to store information (fully entropically compressed) in 1986 and again in 2007. They break the information into three categories—to store information on a medium, to receive information through one-way broadcast networks, or to exchange information through two-way telecommunication networks. Entropy as a measure of diversity Entropy is one of several ways to measure biodiversity, and is applied in the form of the Shannon index. A diversity index is a quantitative statistical measure of how many different types exist in a dataset, such as species in a community, accounting for ecological richness, evenness, and dominance. Specifically, Shannon entropy is the logarithm of , the true diversity index with parameter equal to 1. The Shannon index is related to the proportional abundances of types. Limitations of entropy There are a number of entropy-related concepts that mathematically quantify information content in some way: the self-information of an individual message or symbol taken from a given probability distribution, the entropy of a given probability distribution of messages or symbols, and the entropy rate of a stochastic process. (The "rate of self-information" can also be defined for a particular sequence of messages or symbols generated by a given stochastic process: this will always be equal to the entropy rate in the case of a stationary process.) Other quantities of information are also used to compare or relate different sources of information. It is important not to confuse the above concepts. Often it is only clear from context which one is meant. For example, when someone says that the "entropy" of
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entropy is interpreted as being proportional to the amount of further Shannon information needed to define the detailed microscopic state of the system, that remains uncommunicated by a description solely in terms of the macroscopic variables of classical thermodynamics, with the constant of proportionality being just the Boltzmann constant. Adding heat to a system increases its thermodynamic entropy because it increases the number of possible microscopic states of the system that are consistent with the measurable values of its macroscopic variables, making any complete state description longer. (See article: maximum entropy thermodynamics). Maxwell's demon can (hypothetically) reduce the thermodynamic entropy of a system by using information about the states of individual molecules; but, as Landauer (from 1961) and co-workers have shown, to function the demon himself must increase thermodynamic entropy in the process, by at least the amount of Shannon information he proposes to first acquire and store; and so the total thermodynamic entropy does not decrease (which resolves the paradox). Landauer's principle imposes a lower bound on the amount of heat a computer must generate to process a given amount of information, though modern computers are far less efficient. Data compression Shannon's definition of entropy, when applied to an information source, can determine the minimum channel capacity required to reliably transmit the source as encoded binary digits. Shannon's entropy measures the information contained in a message as opposed to the portion of the message that is determined (or predictable). Examples of the latter include redundancy in language structure or statistical properties relating to the occurrence frequencies of letter or word pairs, triplets etc. The minimum channel capacity can be realized in theory by using the typical set or in practice using Huffman, Lempel–Ziv or arithmetic coding. (See also Kolmogorov complexity.) In practice, compression algorithms deliberately include some judicious redundancy in the form of checksums to protect against errors. The entropy rate of a data source is the average number of bits per symbol needed to encode it. Shannon's experiments with human predictors show an information rate between 0.6 and 1.3 bits per character in English; the PPM compression algorithm can achieve a compression ratio of 1.5 bits per character in English text. If a compression scheme is lossless – one in which you can always recover the entire original message by decompression – then a compressed message has the same quantity of information as the original but communicated in fewer characters. It has more information (higher entropy) per character. A compressed message has less redundancy. Shannon's source coding theorem states a lossless compression scheme cannot compress messages, on average, to have more than one bit of information per bit of message, but that any value less than one bit of information per bit of message can be attained by employing a suitable coding scheme. The entropy of a message per bit multiplied by the length of that message is a measure of how much total information the message contains. Shannon's theorem also implies that no lossless compression scheme can shorten all messages. If some messages come out shorter, at least one must come out longer due to the pigeonhole principle. In practical use, this is generally not a problem, because one is usually only interested in compressing certain types of messages, such as a document in English, as opposed to gibberish text, or digital photographs rather than noise, and it is unimportant if a compression algorithm makes some unlikely or uninteresting sequences larger. A 2011 study in Science estimates the world's technological capacity to store and communicate optimally compressed information normalized on the most effective compression algorithms available in the year 2007, therefore estimating the entropy of the technologically available sources. The authors estimate humankind technological capacity to store information (fully entropically compressed) in 1986 and again in 2007. They break the information into three categories—to store information on a medium, to receive information through one-way broadcast networks, or to exchange information through two-way telecommunication networks. Entropy as a measure of diversity Entropy is one of several ways to measure biodiversity, and is applied in the form of the Shannon index. A diversity index is a quantitative statistical measure of how many different types exist in a dataset, such as species in a community, accounting for ecological richness, evenness, and dominance. Specifically, Shannon entropy is the logarithm of , the true diversity index with parameter equal to 1. The Shannon index is related to the proportional abundances of types. Limitations of entropy There are a number of entropy-related concepts that mathematically quantify information content in some way: the self-information of an individual message or symbol taken from a given probability distribution, the entropy of a given probability distribution of messages or symbols, and the entropy rate of a stochastic process. (The "rate of self-information" can also be defined for a particular sequence of messages or symbols generated by a given stochastic process: this will always be equal to the entropy rate in the case of a stationary process.) Other quantities of information are also used to compare or relate different sources of information. It is important not to confuse the above concepts. Often it is only clear from context which one is meant. For example, when someone says that the "entropy" of the English language is about 1 bit per character, they are actually modeling the English language as a stochastic process and talking about its entropy rate. Shannon himself used the term in this way. If very large blocks are used, the estimate of per-character entropy rate may become artificially low because the probability distribution of the sequence is not known exactly; it is only an estimate. If one considers the text of every book ever published as a sequence, with each symbol being the text of a complete book, and if there are published books, and each book is only published once, the estimate of the probability of each book is , and the entropy (in bits) is . As a practical code, this corresponds to assigning each book a unique identifier and using it in place of the text of the book whenever one wants to refer to the book. This is enormously useful for talking about books, but it is not so useful for characterizing the information content of an individual book, or of language in general: it is not possible to reconstruct the book from its identifier without knowing the probability distribution, that is, the complete text of all the books. The key idea is that the complexity of the probabilistic model must be considered. Kolmogorov complexity is a theoretical generalization of this idea that allows the consideration of the information content of a sequence independent of any particular probability model; it considers the shortest program for a universal computer that outputs the sequence. A code that achieves the entropy rate of a sequence for a given model, plus the codebook (i.e. the probabilistic model), is one such program, but it may not be the shortest. The Fibonacci sequence is 1, 1, 2, 3, 5, 8, 13, .... treating the sequence as a message and each number as a symbol, there are almost as many symbols as there are characters in the message, giving an entropy of approximately . The first 128 symbols of the Fibonacci sequence has an entropy of approximately 7 bits/symbol, but the sequence can be expressed using a formula [ for , , ] and this formula has a much lower entropy and applies to any length of the Fibonacci sequence. Limitations of entropy in cryptography In cryptanalysis, entropy is often roughly used as a measure of the unpredictability of a cryptographic key, though its real uncertainty is unmeasurable. For example, a 128-bit key that is uniformly and randomly generated has 128 bits of entropy. It also takes (on average) guesses to break by brute force. Entropy fails to capture the number of guesses required if the possible keys are not chosen uniformly. Instead, a measure called guesswork can be used to measure the effort required for a brute force attack. Other problems may arise from non-uniform distributions used in cryptography. For example, a 1,000,000-digit binary one-time pad using exclusive or. If the pad has 1,000,000 bits of entropy, it is perfect. If the pad has 999,999 bits of entropy, evenly distributed (each individual bit of the pad having 0.999999 bits of entropy) it may provide good security. But if the pad has 999,999 bits of entropy, where the first bit is fixed and the remaining 999,999 bits are perfectly random, the first bit of the ciphertext will not be encrypted at all. Data as a Markov process A common way to define entropy for text is based on the Markov model of text. For an order-0 source (each character is selected
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and Rochon's leadership were led by students and faculty. After multiple racially charged events including student house party themes and racially tinged comments at administration led-programs, students, faculty and staff all decided to hold votes of "no confidence" in Rochon. Students voted "no confidence" by a count of 72% no confidence, 27% confidence, and 1% abstaining. The faculty voted 77.8% no confidence to 22.2% confidence. Rochon retired on July 1, 2017. Campus Ithaca College's current campus was built in the 1960s on South Hill. The college's final academic department moved from downtown to the South Hill campus in 1968, making the move complete. Satellite campuses Besides its Ithaca campus, Ithaca College has also operated satellite campuses in other cities. The Ithaca College London Center has been in existence since 1972. Ithaca runs the Ithaca College Los Angeles Program at the James B. Pendleton Center. Additionally, there is an Ithaca College Washington Semester Program, and a recently launched Ithaca College New York City Center. Former programs include the Ithaca College Antigua Program and the Ithaca College Walkabout Down Under Program in Australia. Ithaca College also operates direct enrollment exchange programs with several universities, including Griffith University, La Trobe University, Murdoch University, and University of Tasmania (Australia); Chengdu Sport University and Beijing Sport University (China); University of Hong Kong (Hong Kong); Masaryk University (Czech Republic); Akita International University and University of Tsukuba (Japan); Hanyang University (Korea); Nanyang Technological University (Singapore); University of Valencia (Spain); and Jönköping University (Sweden). Ithaca College is also affiliated with study abroad programs such as IES Abroad and offers dozens of exchange or study abroad options to students. Academics The college offers a curriculum with more than 100 degree programs in its five schools: School of Business Roy H. Park School of Communications School of Health Sciences & Human Performance School of Humanities & Sciences School of Music Until the spring of 2011, several cross-disciplinary degree programs, along with the Center for the Study of Culture, Race, and Ethnicity, were housed in the Division of Interdisciplinary and International Studies; in 2011, the division was eliminated and its programs, centers and institutes were absorbed into other schools. , the most popular majors included visual and performing arts, health professions and related programs, business, management, marketing, and related support services and biological and biomedical Sciences. Student life Media and publications Ithaca College is well known for its several prominent student-run media vehicles, including: The Ithacan is Ithaca College's official weekly newspaper that is written, edited and published by students. The Ithacan and its staff have won over 200 major collegiate journalism awards and is generally recognized as one of the top student-run newspapers in the country. Most notably, the newspaper is a consistent recipient of the Associated Collegiate Press' National Pacemaker Award; it has received the National Newspaper Pacemaker Award six times and the Online Pacemaker Award nine times (both most recently in 2015). The Pacemaker has been widely considered the "Pulitzer Prize of collegiate journalism." The Ithacan is also a five-time recipient of the Gold Crown Award from the Columbia Scholastic Press Association, most recently receiving the award in 2016. The Ithacan was also ranked #3 on the 2018 Princeton Review Best College Newspaper list. Ithaca College Television (ICTV) is the world's oldest student-operated college television channel. Broadcasting since 1958, ICTV is available to 26,000 cable households. It is also one of the most awarded student-run television stations, with its news program, Newswatch, receiving best news telecast accolades from organizations including the New York State Associated Press Broadcasters Association, Society of Professional Journalists and Collegiate Broadcasters Inc. The show also received ICTV's first College Emmy Award from the Academy of Television Arts & Sciences. ICTV is housed and operated in the Roy H. Park School of Communications. Approximately 15 to 20 production teams operate simultaneously, utilizing around 400 volunteers each semester. Programming varies by semester, but typically includes news, sports, entertainment, scripted, and podcast programs. WICB is a student-operated, 4,100 Watt FM station that serves Tompkins County and beyond, reaching from northern Pennsylvania to Lake Ontario, with a potential audience of over 250,000. The majority of programming on WICB – which broadcasts from 91.7 on the FM band – is modern rock, but the station also airs a number of specialty shows, which includes a number of genres (including blues, Broadway, jam band music and "homeless" music) that is not normally heard on public airwaves. Recently, readers of the Ithaca Times voted 92 WICB "Best Radio Station." WICB has also won the MTV U's Woodie Award for Best College Radio, while the Princeton Review ranks WICB the number one college radio station in the country. VIC Radio is Ithaca College's second student-run radio station. Previously available on 105.9 FM, VIC Radio is now an online-only radio station. It is most well known for its annual 50 Hour Marathon, in which four DJs broadcast for 50 hours straight to raise money for local community organizations. Buzzsaw Magazine, formerly Buzzsaw Haircut, was founded in 1999 and is an independent monthly alternative magazine written, produced and distributed by Ithaca College students. It is a progressive publication with a goal to "publish original creative journalism, commentary and satire that works to deconstruct society, pop culture, politics, college life and dominant Western beliefs." The faculty adviser is prominent media critic Jeff Cohen, who is also the founder of the college's Park Center for Independent Media. In 2011, the organization added a new multimedia section to Buzzsaw, titled Seesaw, dedicated to creating documentaries, radio pieces, interactive graphics, and other multimedia pieces to complement the print and online magazine. Buzzsaw has also won a number of national awards, including the Campus Alternative Journalism Project's award for "Best Sense of Humor" and the Independent Press Association's Campus Independent Journalism Awards for "Best Campus Publication with a Budget Under $10,000" and "Best Political Commentary." Park Productions is a professional production unit within the Roy H. Park School of Communications which allows students to collaborate with faculty and industry professionals to create interdisciplinary media projects. Park Productions partners with community organizations, government agencies, and higher education institutions and has produced over 200 titles including documentaries, feature films, shorts, commercials, museum exhibits, television programs, educational, corporate, and web-based media. Awards and juried screenings include LA Webfest, Mexico International Film Festival, CINE Awards, Chicago International Film Festival, Official selections at Miami, University Film and Video Festival, Cinema in Industry Awards, Multiple International Communicator Awards, Oberhausen, Montreal, Palm Springs, and Hudson Valley Film Festivals. Distinct Magazine is self described as Ithaca College's "fashion magazine devoted to the style and culture of the students on campus...[it aims] to break gender and social class stereotypes in the fashion world, and to build a safe space for people to express themselves." Distinct was founded in 2016 by Sara Belcher and its first issue was released online in 2016. The magazine is separated into five content sections: Fashion, Beauty, Life, Culture, and Health and Fitness. Distinct is released in print twice a semester (Fall, Winter, Spring and Summer editions). Embrace is an IC magazine that aims "to create a platform in which underrepresented students are able to see a representation of themselves on campus and within society." The magazine was co-founded by Editor in Chiefs Yetunde Smalls and Alexis Davis. The magazine is separated into content sections: LGBTQ+, Fashion, Politics and News, Mind Body Spirit, Personal Narratives and Alumni Highlight. The publication released their first in February 2016. Greek life Historically, various independent and national fraternities and sororities had active chapters at Ithaca College. However, due to a series of highly publicized hazing incidents in the 1980s, including one that was responsible for the death of a student, the college administration reevaluated their Greek life policy and only professional music fraternities were allowed to remain affiliated with the school. , three recognized Greek organizations remain on campus, all of which are music-oriented: Phi Mu Alpha Sinfonia (Delta Chapter) Sigma Alpha Iota (Epsilon Chapter) Mu Phi Epsilon (Lambda Chapter) A fourth house, performing arts fraternity Kappa Gamma Psi (Iota Chapter) became inactive in 2008. Although there are potentially plans to reactivate the chapter, it is unclear whether this will be permitted or not due to the college's policy on Greek Life. However, there are various Greek letter organizations at Ithaca College that are unaffiliated with the school, and therefore not subject to the same housing privileges or rules that contribute to the safety of their members such as non-hazing and non-drinking policies. Additionally, while not particularly common, Ithaca College students may rush for Greek houses affiliated with nearby Ivy institution Cornell University, subject to the rules of each individual fraternity or sorority. Some Cornell-affiliated Greek organizations actively recruit Ithaca College students. There are a few unaffiliated fraternities that some Ithaca College students join - ΔΚΕ (Delta Kappa Epsilon), ΑΕΠ (Alpha Epsilon Pi), and ΚΣ (Kappa Sigma). There are also unaffiliated sororities including - ΓΔΠ (Gamma Delta Pi). Athletics Ithaca competes in athletics at the NCAA Division III level as a members of the Liberty League and the Eastern College Athletic Conference
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almost every state and from 78 foreign countries. In October 2020, the college announced that 130 out of 547 faculty positions would be cut due to a need to cut $30 million from the school's budget. This in turn was said to be a result of declining enrollment. 4,957 undergraduate students enrolled for Fall 2020 versus 5,852 undergraduates in Fall 2019 and 6,101 in Fall 2018. Presidents Ithaca's current president is Shirley M. Collado. She was named the ninth president of Ithaca College on February 22, 2017, and assumed the presidency on July 1, 2017. She was previously executive vice chancellor and chief operating officer at Rutgers University–Newark and vice president of student affairs and dean of the college at Middlebury College. She is the first Dominican American to be named president of a college in the United States. Collado announced in July 2021 that she will step down in January to become president and CEO of College Track. Collado succeeded Thomas Rochon, who was named eighth president of Ithaca College on April 11, 2008. Rochon took over as president of the college following Peggy Williams, who had announced on July 12, 2007, that she would retire from the presidency post effective May 31, 2009, following a one-year sabbatical. During the fall 2015 semester, multiple protests focusing on campus climate and Rochon's leadership were led by students and faculty. After multiple racially charged events including student house party themes and racially tinged comments at administration led-programs, students, faculty and staff all decided to hold votes of "no confidence" in Rochon. Students voted "no confidence" by a count of 72% no confidence, 27% confidence, and 1% abstaining. The faculty voted 77.8% no confidence to 22.2% confidence. Rochon retired on July 1, 2017. Campus Ithaca College's current campus was built in the 1960s on South Hill. The college's final academic department moved from downtown to the South Hill campus in 1968, making the move complete. Satellite campuses Besides its Ithaca campus, Ithaca College has also operated satellite campuses in other cities. The Ithaca College London Center has been in existence since 1972. Ithaca runs the Ithaca College Los Angeles Program at the James B. Pendleton Center. Additionally, there is an Ithaca College Washington Semester Program, and a recently launched Ithaca College New York City Center. Former programs include the Ithaca College Antigua Program and the Ithaca College Walkabout Down Under Program in Australia. Ithaca College also operates direct enrollment exchange programs with several universities, including Griffith University, La Trobe University, Murdoch University, and University of Tasmania (Australia); Chengdu Sport University and Beijing Sport University (China); University of Hong Kong (Hong Kong); Masaryk University (Czech Republic); Akita International University and University of Tsukuba (Japan); Hanyang University (Korea); Nanyang Technological University (Singapore); University of Valencia (Spain); and Jönköping University (Sweden). Ithaca College is also affiliated with study abroad programs such as IES Abroad and offers dozens of exchange or study abroad options to students. Academics The college offers a curriculum with more than 100 degree programs in its five schools: School of Business Roy H. Park School of Communications School of Health Sciences & Human Performance School of Humanities & Sciences School of Music Until the spring of 2011, several cross-disciplinary degree programs, along with the Center for the Study of Culture, Race, and Ethnicity, were housed in the Division of Interdisciplinary and International Studies; in 2011, the division was eliminated and its programs, centers and institutes were absorbed into other schools. , the most popular majors included visual and performing arts, health professions and related programs, business, management, marketing, and related support services and biological and biomedical Sciences. Student life Media and publications Ithaca College is well known for its several prominent student-run media vehicles, including: The Ithacan is Ithaca College's official weekly newspaper that is written, edited and published by students. The Ithacan and its staff have won over 200 major collegiate journalism awards and is generally recognized as one of the top student-run newspapers in the country. Most notably, the newspaper is a consistent recipient of the Associated Collegiate Press' National Pacemaker Award; it has received the National Newspaper Pacemaker Award six times and the Online Pacemaker Award nine times (both most recently in 2015). The Pacemaker has been widely considered the "Pulitzer Prize of collegiate journalism." The Ithacan is also a five-time recipient of the Gold Crown Award from the Columbia Scholastic Press Association, most recently receiving the award in 2016. The Ithacan was also ranked #3 on the 2018 Princeton Review Best College Newspaper list. Ithaca College Television (ICTV) is the world's oldest student-operated college television channel. Broadcasting since 1958, ICTV is available to 26,000 cable households. It is also one of the most awarded student-run television stations, with its news program, Newswatch, receiving best news telecast accolades from organizations including the New York State Associated Press Broadcasters Association, Society of Professional Journalists and Collegiate Broadcasters Inc. The show also received ICTV's first College Emmy Award from the Academy of Television Arts & Sciences. ICTV is housed and operated in the Roy H. Park School of Communications. Approximately 15 to 20 production teams operate simultaneously, utilizing around 400 volunteers each semester. Programming varies by semester, but typically includes news, sports, entertainment, scripted, and podcast programs. WICB is a student-operated, 4,100 Watt FM station that serves Tompkins County and beyond, reaching from northern Pennsylvania to Lake Ontario, with a potential audience of over 250,000. The majority of programming on WICB – which broadcasts from 91.7 on the FM band – is modern rock, but the station also airs a number of specialty shows, which includes a number of genres (including blues, Broadway, jam band music and "homeless" music) that is not normally heard on public airwaves. Recently, readers of the Ithaca Times voted 92 WICB "Best Radio Station." WICB has also won the MTV U's Woodie Award for Best College Radio, while the Princeton Review ranks WICB the number one college radio station in the country. VIC Radio is Ithaca College's second student-run radio station. Previously available on 105.9 FM, VIC Radio is now an online-only radio station. It is most well known for its annual 50 Hour Marathon, in which four DJs broadcast for 50 hours straight to raise money for local community organizations. Buzzsaw Magazine, formerly Buzzsaw Haircut, was founded in 1999 and is an independent monthly alternative magazine written, produced and distributed by Ithaca College students. It is a progressive publication with a goal to "publish original creative journalism, commentary and satire that works to deconstruct society, pop culture, politics, college life and dominant Western beliefs." The faculty adviser is prominent media critic Jeff Cohen, who is also the founder of the college's Park Center for Independent Media. In 2011, the organization added a new multimedia section to Buzzsaw, titled Seesaw, dedicated to creating documentaries, radio pieces, interactive graphics, and other multimedia pieces to complement the print and online magazine. Buzzsaw has also won a number of national awards, including the Campus Alternative Journalism Project's award for "Best Sense of Humor" and the Independent Press Association's Campus Independent Journalism Awards for "Best Campus Publication with a Budget Under $10,000" and "Best Political Commentary." Park Productions is a professional production unit within the Roy H. Park School of Communications which allows students to collaborate with faculty and industry professionals to create interdisciplinary media projects. Park Productions partners with community organizations, government agencies, and higher education institutions and has produced over 200 titles including documentaries, feature films, shorts, commercials, museum exhibits, television programs, educational, corporate, and web-based media. Awards and juried screenings include LA Webfest, Mexico International Film Festival, CINE Awards, Chicago International Film Festival, Official selections at Miami, University Film and Video Festival, Cinema in Industry Awards, Multiple International Communicator Awards, Oberhausen, Montreal, Palm Springs, and Hudson Valley Film Festivals. Distinct Magazine is self described as Ithaca College's "fashion magazine devoted to the style and culture of the students on campus...[it aims] to break gender and social class stereotypes in the fashion world, and to build a safe space for people to express themselves." Distinct was founded in 2016 by Sara Belcher and its first issue was released online in 2016. The magazine is separated into five content sections: Fashion, Beauty, Life, Culture, and Health and Fitness. Distinct is released in print twice a semester (Fall, Winter, Spring and Summer editions). Embrace is an IC magazine that aims "to create a platform in which underrepresented students are able to see a representation of themselves on campus and within society." The magazine was co-founded by Editor in Chiefs Yetunde Smalls and Alexis Davis. The magazine is separated into content sections: LGBTQ+, Fashion, Politics and News, Mind Body Spirit, Personal Narratives and Alumni Highlight. The publication released their first in February 2016. Greek life Historically, various independent and national fraternities and sororities had active chapters at Ithaca College. However, due to a series of highly publicized hazing incidents in the 1980s, including one that was responsible for the death of a student, the college administration reevaluated their Greek life policy and only professional music fraternities were allowed to remain affiliated with the school. , three recognized Greek organizations remain on campus, all of which are music-oriented: Phi Mu Alpha Sinfonia (Delta Chapter) Sigma Alpha Iota (Epsilon Chapter) Mu Phi Epsilon (Lambda Chapter) A fourth house, performing arts fraternity Kappa Gamma Psi (Iota Chapter) became inactive in 2008. Although there are potentially plans to reactivate the chapter, it is unclear whether this will be permitted or not due to the college's policy on Greek Life. However, there are various Greek letter organizations at Ithaca College that are unaffiliated with the school, and therefore not subject to the same housing privileges or rules that contribute to the safety of their members such as non-hazing and non-drinking policies. Additionally, while not particularly common, Ithaca College students may rush for Greek houses affiliated with nearby Ivy institution Cornell University, subject to the rules of each individual fraternity or sorority. Some Cornell-affiliated Greek organizations actively recruit Ithaca College students. There are a few unaffiliated fraternities that some Ithaca College students join - ΔΚΕ (Delta Kappa Epsilon), ΑΕΠ (Alpha Epsilon Pi), and ΚΣ (Kappa Sigma). There are also unaffiliated sororities including - ΓΔΠ (Gamma Delta Pi). Athletics Ithaca competes in athletics at the NCAA Division III level as a members of the Liberty League and the Eastern College Athletic Conference (ECAC). Ithaca has one of Division III's strongest athletic programs, with the Bombers winning a total of 14 national titles in seven team sports and five individual sports. Ithaca was previously a member of the Empire 8. The Ithaca athletics nickname "Bombers" is unique in NCAA athletics, and the origins of the nickname are obscure. Ithaca College's sports teams were originally named the Cayugas, but the name was changed to the Bombers sometime in the 1930s. Some other names that have been used for Ithaca College's teams include: Blue Team, Blues, Blue and Gold, Collegians, and the Seneca Streeters. Several possibilities for the change to the "Bombers" have been posited. The most common explanation is that the school's baseball uniforms—white with navy blue
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are few remaining "differential psychology" programs in the United States, although research in this area is very active. Current researchers are found in a variety of applied and experimental programs, including clinical psychology, educational psychology, Industrial and organizational psychology, personality psychology, social psychology, behavioral genetics, and developmental psychology programs, in the neo-Piagetian theories of cognitive development in particular. Methods of research To study individual differences, psychologists use a variety of methods. Psychophysiological experiments on both humans and other mammals include EEG, PET-scans, MRI, functional MRI, neurochemistry experiments with neurotransmitter and hormonal systems, caffeine and controlled drug challenges. These methods can be used for a search of biomarkers of consistent, biologically-based behavioural patterns (temperament traits and symptoms of psychiatric disorders). Other sets of methods include behavioural experiments, to see how different people behave in similar settings. Behavioural experiments are often used in personality and social psychology, and include lexical and self-report methods where people are asked to complete paper-based and computer-based forms prepared by psychologists. See also Educational psychology Intelligence Temperament Personality psychology Behavioral
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effectiveness of a placebo (or a well-known therapy) in a second, control group. In this context, differences between individuals in their reaction to the experimental and control manipulations are actually treated as errors rather than as interesting phenomena to study. This approach is applied because psychological research depends upon statistical controls that are only defined upon groups of people. Importance of individual differences Importantly, individuals can also differ not only in their current state, but in the magnitude or even direction of response to a given stimulus. Such phenomena, often explained in terms of inverted-U response curves, place differential psychology at an important location in such endeavours as personalized medicine, in which diagnoses are customised for an individual's response profile. Areas of study Individual differences research typically includes personality, temperament (neuro-chemically-based behavioural traits), motivation, intelligence, ability, IQ, interests, values, self-concept, self-efficacy, and self-esteem (to name just a few). There are few remaining "differential psychology" programs in the United States, although research in this area is very active. Current researchers are found in a variety of applied and experimental programs, including clinical psychology, educational psychology, Industrial and organizational psychology, personality psychology, social psychology, behavioral genetics, and developmental psychology programs, in the neo-Piagetian theories of cognitive development in particular. Methods of research To study individual differences, psychologists use a variety of methods. Psychophysiological experiments on both humans and other mammals include
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job enlargement, job enrichment) or by individual workers (e.g., job crafting, role innovation, idiosyncratic ideals). Remuneration and compensation Compensation includes wages or salary, bonuses, pension/retirement contributions, and employee benefits that can be converted to cash or replace living expenses. I-O psychologists may be asked to conduct a job evaluation for the purpose of determining compensation levels and ranges. I-O psychologists may also serve as expert witnesses in pay discrimination cases, when disparities in pay for similar work are alleged by employees. Training and training evaluation Training involves the systematic teaching of skills, concepts, or attitudes that results in improved performance in another environment. Because many people hired for a job are not already versed in all the tasks the job requires, training may be needed to help the individual perform the job effectively. Evidence indicates that training is often effective, and that it succeeds in terms of higher net sales and gross profitability per employee. Similar to performance management (see above), an I-O psychologist would employ a job analysis in concert with the application of the principles of instructional design to create an effective training program. A training program is likely to include a summative evaluation at its conclusion in order to ensure that trainees have met the training objectives and can perform the target work tasks at an acceptable level. Kirkpatrick describes four levels of criteria by which to evaluate training: Reactions are the extent to which trainees enjoyed the training and found it worthwhile. Learning is the knowledge and skill trainees acquired from the training. Behavior is the change in behavior trainees exhibit on the job after training,for example, did they perform trained tasks more quickly? Results are the effect of the change in knowledge or behavior on the job, for example, was overall productivity increased or costs decreased? Training programs often include formative evaluations to assess the effect of the training as the training proceeds. Formative evaluations can be used to locate problems in training procedures and help I-O psychologists make corrective adjustments while training is ongoing. The foundation for training programs is learning. Learning outcomes can be organized into three broad categories: cognitive, skill-based, and affective outcomes. Cognitive training is aimed at instilling declarative knowledge or the knowledge of rules, facts, and principles (e.g., police officer training covers laws and court procedures). Skill-based training aims to impart procedural knowledge (e.g., skills needed to use a special tool) or technical skills (e.g., understanding the workings of software program). Affective training concerns teaching individuals to develop specific attitudes or beliefs that predispose trainees to behave a certain way (e.g., show commitment to the organization, appreciate diversity). A needs assessment, an analysis of corporate and individual goals, is often undertaken prior to the development of a training program. In addition, a careful needs analysis is required in order to develop a systematic understanding of where training is needed, what should be taught, and who will be trained. A training needs analysis typically involves a three-step process that includes organizational analysis, task analysis and person analysis. An organizational analysis is an examination of organizational goals and resources as well as the organizational environment. The results of an organizational analysis help to determine where training should be directed. The analysis identifies the training needs of different departments or subunits. It systematically assesses manager, peer, and technological support for transfer of training. An organizational analysis also takes into account the climate of the organization and its subunits. For example, if a climate for safety is emphasized throughout the organization or in subunits of the organization (e.g., production), then training needs will likely reflect an emphasis on safety. A task analysis uses the results of a job analysis to determine what is needed for successful job performance, contributing to training content. With organizations increasingly trying to identify "core competencies" that are required for all jobs, task analysis can also include an assessment of competencies. A person analysis identifies which individuals within an organization should receive training and what kind of instruction they need. Employee needs can be assessed using a variety of methods that identify weaknesses that training can address. Motivation in the workplace Work motivation reflects the energy an individual applies "to initiate work-related behavior, and to determine its form, direction, intensity, and duration" Understanding what motivates an organization's employees is central to I-O psychology. Motivation is generally thought of as a theoretical construct that fuels behavior. An incentive is an anticipated reward that is thought to incline a person to behave a certain way. Motivation varies among individuals. Studying its influence on behavior, it must be examined together with ability and environmental influences. Because of motivation's role in influencing workplace behavior and performance, many organizations structure the work environment to encourage productive behaviors and discourage unproductive behaviors. Motivation involves three psychological processes: arousal, direction, and intensity. Arousal is what initiates action. It is often fueled by a person's need or desire for something that is missing from his or her life, either totally or partially. Direction refers to the path employees take in accomplishing the goals they set for themselves. Intensity is the amount of energy employees put into goal-directed work performance. The level of intensity often reflects the importance and difficulty of the goal. These psychological processes involve four factors. First, motivation serves to direct attention, focusing on particular issues, people, tasks, etc. Second, it serves to stimulate effort. Third, motivation influences persistence. Finally, motivation influences the choice and application of task-related strategies. Organizational climate Organizational climate is the perceptions of employees about what is important in an organization, that is, what behaviors are encouraged versus discouraged. It can be assessed in individual employees (climate perceptions) or averaged across groups of employees within a department or organization (organizational climate). Climates are usually focused on specific employee outcomes, or what is called “climate for something”. There are more than a dozen types of climates that have been assessed and studied. Some of the more popular include: Customer service climate: The emphasis placed on providing good service. It has been shown to relate to employee service performance. Diversity climate: The extent to which organizations value differences among employees and expect employees to treat everyone with respect. It has been linked to job satisfaction. Psychosocial safety climate: Such climates make employees emphasize psychological safety meaning people feel free to be themselves and express views without fear of being criticized or ridiculed. Safety climate: Such organizations emphasize safety and have fewer accidents and injuries. Climate concerns organizational policies and practices that encourage or discourage specific behaviors by employees. Shared perceptions of what the organization emphasizes (organizational climate) is part of organizational culture, but culture concerns far more than shared perceptions, as discussed in the next section. Organizational culture While there is no universal definition for organizational culture, a collective understanding shares the following assumptions: Organizational culture has been shown to affect important organizational outcomes such as performance, attraction, recruitment, retention, employee satisfaction, and employee well-being. There are three levels of organizational culture: artifacts, shared values, and basic beliefs and assumptions. Artifacts comprise the physical components of the organization that relay cultural meaning. Shared values are individuals' preferences regarding certain aspects of the organization's culture (e.g., loyalty, customer service). Basic beliefs and assumptions include individuals' impressions about the trustworthiness and supportiveness of an organization, and are often deeply ingrained within the organization's culture. In addition to an overall culture, organizations also have subcultures. Subcultures can be departmental (e.g. different work units) or defined by geographical distinction. While there is no single "type" of organizational culture, some researchers have developed models to describe different organizational cultures. Group behavior Group behavior involves the interactions among individuals in a collective. Most I-O group research is about teams which is a group in which people work together to achieve the same task goals. The individuals' opinions, attitudes, and adaptations affect group behavior, with group behavior in turn affecting those opinions, etc. The interactions are thought to fulfill some need satisfaction in an individual who is part of the collective. Team effectiveness Organizations often organize teams because teams can accomplish a much greater amount of work in a short period of time than an individual can accomplish. I-O research has examined the harm workplace aggression does to team performance. Team composition Team composition, or the configuration of team member knowledge, skills, abilities, and other characteristics, fundamentally influences teamwork. Team composition can be considered in the selection and management of teams to increase the likelihood of team success. To achieve high-quality results, teams built with members having higher skill levels are more likely to be effective than teams built around members having lesser skills; teams that include a members with a diversity of skills are also likely to show improved team performance. Team members should also be compatible in terms of personality traits, values, and work styles. There is substantial evidence that personality traits and values can shape the nature of teamwork, and influence team performance. Team task design A fundamental question in team task design is whether or not a task is even appropriate for a team. Those tasks that require predominantly independent work are best left to individuals, and team tasks should include those tasks that consist primarily of interdependent work. When a given task is appropriate for a team, task design can play a key role in team effectiveness. Job characteristic theory identifies core job dimensions that affect motivation, satisfaction, performance, etc. These dimensions include skill variety, task identity, task significance, autonomy and feedback. The dimensions map well to the team environment. Individual contributors who perform team tasks that are challenging, interesting, and engaging are more likely to be motivated to exert greater effort and perform better than team members who are working on tasks that lack those characteristics. Organizational resources Organizational support systems affect the team effectiveness and provide resources for teams operating in the multi-team environment. During the chartering of new teams, organizational enabling resources are first identified. Examples of enabling resources include facilities, equipment, information, training, and leadership. Team-specific resources (e.g., budgetary resources, human resources) are typically made available. Team-specific human resources represent the individual contributors who are selected to be team members. Intra-team processes (e.g., task design, task assignment) involve these team-specific resources. Teams also function in dynamic multi-team environments. Teams often must respond to shifting organizational contingencies. Contingencies affecting teams include constraints arising from conditions in which organizational resources are not exclusively earmarked for certain teams. When resources are scarce, they must be shared by multiple teams. Team rewards Organizational reward systems drive the strengthening and enhancing of individual team member efforts; such efforts contribute towards reaching team goals. In other words, rewards that are given to individual team members should be contingent upon the performance of the entire team. Several design elements are needed to enable organizational reward systems to operate successfully. First, for a collective assessment to be appropriate for individual team members, the group's tasks must be highly interdependent. If this is not the case, individual assessment is more appropriate than team assessment. Second, individual-level reward systems and team-level reward systems must be compatible. For example, it would be unfair to reward the entire team for a job well done if only one team member did most of the work. That team member would most likely view teams and teamwork negatively, and would not want to work on a team in the future. Third, an organizational culture must be created such that it supports and rewards employees who believe in the value of teamwork and who maintain a positive attitude towards team-based rewards. Team goals Goals potentially motivate team members when goals contain three elements: difficulty, acceptance, and specificity. Under difficult goal conditions, teams with more committed members tend to outperform teams with less committed members. When team members commit to team goals, team effectiveness is a function of how supportive members are with each other. The goals of individual team members and team goals interact. Team and individual goals must be coordinated. Individual goals must be consistent with team goals in order for a team to be effective. Job satisfaction and commitment Job satisfaction is often thought to reflect the extent to which a worker likes his or her job, or individual aspects or facets of jobs. It is one of the most heavily researched topics in I-O psychology. Job satisfaction has theoretical and practical utility for the field. It has been linked to important job outcomes including attitudinal variables (e.g., job involvement, organizational commitment), absenteeism, turnover intentions, actual turnover, job performance, and tension. A meta-analyses found job satisfaction to be related to life satisfaction, happiness, positive affect, and the absence of negative affect. Productive behavior Productive behavior is defined as employee behavior that contributes positively to the goals and objectives of an organization. When an employee begins a new job, there is a transition period during which he or she may not contribute significantly. To assist with this transition an employee typically requires job-related training. In financial terms, productive behavior represents the point at which an organization begins to achieve some return on the investment it has made in a new employee. IO psychologists are ordinarily more focused on productive behavior than job or task performance, including in-role and extra-role performance. In-role performance tells managers how well an employee performs the required aspects of the job; extra-role performance includes behaviors not necessarily required by job but nonetheless contribute to organizational effectiveness. By taking both in-role and extra-role performance into account, an I-O psychologist is able to assess employees' effectiveness (how well they do what they were hired to do), efficiency (outputs to relative inputs), and productivity (how much they help the organization reach its goals). Three forms of productive behavior that IO psychologists often evaluate include job performance, organizational citizenship behavior (see below), and innovation. Job performance Job performance represents behaviors employees engage in while at work which contribute to organizational goals. These behaviors are formally evaluated by an organization as part of an employee's responsibilities. In order to understand and ultimately predict job performance, it is important to be precise when defining the term. Job performance is about behaviors that are within the control of the employee and not about results (effectiveness), the costs involved in achieving results (productivity), the results that can be achieved in a period of time (efficiency), or the value an organization places on a given level of performance, effectiveness, productivity or efficiency (utility). To model job performance, researchers have attempted to define a set of dimensions that are common to all jobs. Using a common set of dimensions provides a consistent basis for assessing performance and enables the comparison of performance across jobs. Performance is commonly broken into two major categories: in-role (technical aspects of a job) and extra-role (non-technical abilities such as communication skills and being a good team member). While this distinction in behavior has been challenged it is commonly made by both employees and management. A model of performance by Campbell breaks performance into in-role and extra-role categories. Campbell labeled job-specific task proficiency and non-job-specific task proficiency as in-role dimensions, while written and oral communication, demonstrating effort, maintaining personal discipline, facilitating peer and team performance, supervision and leadership and management and administration are labeled as extra-role dimensions. Murphy's model of job performance also broke job performance into in-role and extra-role categories. However, task-orientated behaviors composed the in-role category and the extra-role category included interpersonally-oriented behaviors, down-time behaviors and destructive and hazardous behaviors. However, it has been challenged as to whether the measurement of job performance is usually done through pencil/paper tests, job skills tests, on-site hands-on tests, off-site hands-on tests, high-fidelity simulations, symbolic simulations, task ratings and global ratings. These various tools are often used to evaluate performance on specific tasks and overall job performance. Van Dyne and LePine developed a measurement model in which overall job performance was evaluated using Campbell's in-role and extra-role categories. Here, in-role performance was reflected through how well "employees met their performance expectations and performed well at the tasks that made up the employees' job." Dimensions regarding how well the employee assists others with their work for the benefit of the group, if the employee voices new ideas for projects or changes to procedure and whether the employee attends functions that help the group composed the extra-role category. To assess job performance, reliable and valid measures must be established. While there are many sources of error with performance ratings, error can be reduced through rater training and through the use of behaviorally-anchored rating scales. Such scales can be used to clearly define the behaviors that constitute poor, average, and superior performance. Additional factors that complicate the measurement of job performance include the instability of job performance over time due to forces such as changing performance criteria, the structure of the job itself and the restriction of variation in individual performance by organizational forces. These factors include errors in job measurement techniques, acceptance and the justification of poor performance and lack of importance of individual performance. The determinants of job performance consist of factors having to do with the individual worker as well as environmental factors in the workplace. According to Campbell's Model of The Determinants of Job Performance, job performance is a result of the interaction between declarative knowledge (knowledge of facts or things), procedural knowledge (knowledge of what needs to be done and how to do it), and motivation (reflective of an employee's choices regarding whether to expend effort, the level of effort to expend, and whether to persist with the level of effort chosen). The interplay between these factors show that an employee may, for example, have a low level of declarative knowledge, but may still have a high level of performance if the employee has high levels of procedural knowledge and motivation. Regardless of the job, three determinants stand out as predictors of performance: (1) general mental ability (especially for jobs higher in complexity); (2) job experience (although there is a law of diminishing returns); and (3) the personality trait of conscientiousness (people who are dependable and achievement-oriented, who plan well). These determinants appear to influence performance largely through the acquisition and usage of job knowledge and the motivation to do well. Further, an expanding area of research in job performance determinants includes emotional intelligence. Organizational citizenship behavior Organizational citizenship behaviors (OCBs) are another form of workplace behavior that IO psychologists are involved with. OCBs tend to be beneficial to both the organization and other workers. Dennis Organ (1988) defines OCBs as "individual behavior that is discretionary, not directly or explicitly recognized by the formal reward system, and that in the aggregate promotes the effective functioning of the organization." Behaviors that qualify as OCBs can fall into one of the following five categories: altruism, courtesy, sportsmanship, conscientiousness, and civic virtue. OCBs have also been categorized in other ways too, for example, by their intended targets individuals, supervisors, and the organization as a whole. Other alternative ways of categorizing OCBs include "compulsory OCBs", which are engaged in owing to coercive persuasion or peer pressure rather than out of good will. The extent to which OCBs are voluntary has been the subject of some debate. Other research suggests that some employees perform OCBs to influence how they are viewed within the organization. While these behaviors are not formally part of the job description, performing them can influence performance appraisals. Researchers have advanced the view that employees engage in OCBs as a form of "impression management," a term coined by Erving Goffman. Goffman defined impression management as "the way in which the individual ... presents himself and his activity to others, the ways in which he guides and controls the impression they form of him, and the kinds of things he may and may not do while sustaining his performance before them. Some researchers have hypothesized that OCBs are not performed out of good will, positive affect, etc., but instead as a way of being noticed by others, including supervisors. Innovation Four qualities are generally linked to creative and innovative behaviour by individuals: Task-relevant skills (general mental ability and job specific knowledge). Task specific and subject specific knowledge is most often gained through higher education; however, it may also be gained by mentoring
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as well as the more traditional concerns of selection and training. Methodological innovations (e.g., meta-analyses, structural equation modeling) were adopted. With the passage of the American with Disabilities Act in 1990 and parallel legislation elsewhere in the world, I-O psychology saw an increased emphasis on "fairness in personnel decisions." Training research relied increasingly on advances in educational psychology and cognitive science. Research methods As described above, I-O psychologists are trained in the scientist–practitioner model. I-O psychologists rely on a variety of methods to conduct organizational research. Study designs employed by I-O psychologists include surveys, experiments, quasi-experiments, and observational studies. I-O psychologists rely on diverse data sources, including human judgments, historical databases, objective measures of work performance (e.g., sales volume), and questionnaires and surveys. Reliable measures with strong evidence for construct validity have been developed to assess a wide variety of job-relevant constructs. I-O researchers employ quantitative statistical methods. Quantitative methods used in I-O psychology include correlation, multiple regression, and analysis of variance. More advanced statistical methods employed in I-O research include logistic regression, structural equation modeling, and hierarchical linear modeling (HLM; also known as multilevel modeling). I-O researchers have also employed meta-analysis. I-O psychologists also employ psychometric methods including methods associated with classical test theory, generalizability theory, and item response theory (IRT). I-O psychologists have also employed qualitative methods, which largely involve focus groups, interviews, and case studies. I-O psychologists conducting research on organizational culture have employed ethnographic techniques and participant observation. A qualitative technique associated with I-O psychology is Flanagan's critical incident technique. I-O psychologists have also coordinated the use of quantitative and qualitative methods in the same study, Topics Job analysis Job analysis encompasses a number of different methods including, but not limited to, interviews, questionnaires, task analysis, and observation. A job analysis primarily involves the systematic collection of information about a job. A task-oriented job analysis involves an assessment of the duties, tasks, and/or competencies a job requires. By contrast, a worker-oriented job analysis involves an examination of the knowledge, skills, abilities, and other characteristics (KSAOs) required to successfully perform the work. Information obtained from job analyses are used for many purposes, including the creation job-relevant selection procedures, the development of criteria for performance appraisals, the conducting of performance appraisals, and the development and implementation of training programs. Personnel recruitment and selection I-O psychologists typically work with human resource specialists to design (a) recruitment processes and (b) personnel selection systems. Personnel recruitment is the process of identifying qualified candidates in the workforce and getting them to apply for jobs within an organization. Personnel recruitment processes include developing job announcements, placing ads, defining key qualifications for applicants, and screening out unqualified applicants. Personnel selection is the systematic process of hiring and promoting personnel. Personnel selection systems employ evidence-based practices to determine the most qualified candidates. Personnel selection involves both the newly hired and individuals who can be promoted from within the organization. Common selection tools include ability tests (e.g., cognitive, physical, or psycho-motor), knowledge tests, personality tests, structured interviews, the systematic collection of biographical data, and work samples. I-O psychologists must evaluate evidence regarding the extent to which selection tools predict job performance. Personnel selection procedures are usually validated, i.e., shown to be job relevant to personnel selection, using one or more of the following types of validity: content validity, construct validity, and/or criterion-related validity. I-O psychologists must adhere to professional standards in personnel selection efforts. SIOP (e.g., Principles for validation and use of personnel selection procedures) and APA together with the National Council on Measurement in Education (e.g., Standards for educational and psychological testing are sources of those standards. The Equal Employment Opportunity Commission's Uniform guidelines are also influential in guiding personnel selection decisions. A meta-analysis of selection methods found that general mental ability was the best overall predictor of job performance and attainment in training. Performance appraisal/management Performance appraisal or performance evaluation is the process in which an individual's or a group's work behaviors and outcomes are assessed against managers' and others' expectations for the job. Performance appraisal is frequently used in promotion and compensation decisions, to help design and validate personnel selection procedures, and for performance management. Performance management is the process of providing performance feedback relative to expectations and information relevant to helping a worker improve his or her performance (e.g., coaching, mentoring). Performance management may also include documenting and tracking performance information for organizational evaluation purposes. An I-O psychologist would typically use information from the job analysis to determine a job's performance dimensions and then construct a rating scale to describe each level of performance for the job. Often, the I-O psychologist would be responsible for training organizational personnel how to use the performance appraisal instrument, including ways to minimize bias when using the rating scale and how to provide effective performance feedback. Individual assessment and psychometrics Individual assessment involves the measurement of individual differences. I-O psychologists perform individual assessments in order to evaluate differences among candidates for employment as well as differences among employees. The constructs measured pertain to job performance. With candidates for employment, individual assessment is often part of the personnel selection process. These assessments can include written tests, aptitude tests, physical tests, psycho-motor tests, personality tests, integrity and reliability tests, work samples, simulations, and assessment centres. Occupational health and well-being A more recent focus of I-O field is the health, safety, and well-being of employees. Topics include occupational stress and workplace mistreatment. Occupational stress There are many features of work that can be stressful to employees. Research has identified a number of job stressors (environmental conditions at work) that contribute to strains (adverse behavioral, emotional, physical, and psychological reactions). Occupational stress can have implications for organizational performance because of the emotions job stress evokes. For example, a job stressor such as conflict with a supervisor can precipitate anger that in turn motivates counterproductive workplace behaviors. A number of prominent models of job stress have been developed to explain the job stress process, including the person-environment (P-E) fit model, which was developed by University of Michigan social psychologists, and the demand-control(-support) and effort-reward imbalance models, which were developed by sociologists. Research has also examined occupational stress in specific occupations, including police, general practitioners, and dentists. Another concern has been the relation of occupational stress to family life. Other I-O researchers have examined gender differences in leadership style and job stress and strain in the context of male- and female-dominated industries, and unemployment-related distress. Occupational stress has also been linked to lack of fit between people and their jobs. Occupational safety Accidents and safety in the workplace are important because of the serious injuries and fatalities that are all too common. Research has linked accidents to psychosocial factors in the workplace including overwork that leads to fatigue, workplace violence, and working night shifts. "Stress audits" can help organizations remain compliant with various occupational safety regulations. Psychosocial hazards can affect musculoskeletal disorders. A psychosocial factor related to accident risk is safety climate, which refers to employees' perceptions of the extent to which their work organization prioritizes safety. By contrast, psychosocial safety climate refers to management's "policies, practices, and procedures" aimed at protecting workers' psychological health. Research on safety leadership is also relevant to understanding employee safety performance. Research suggests that safety-oriented transformational leadership is associated with a positive safety climate and safe worker practices. Workplace bullying, aggression and violence I-O psychologists are concerned with the related topics of workplace bullying, aggression, and violence. For example, I-O research found that exposure to workplace violence elicited ruminative thinking. Ruminative thinking is associated with poor well-being. Research has found that interpersonal aggressive behaviour is associated with worse team performance. Relation of I-O psychology to occupational health psychology A new discipline, occupational health psychology (OHP), emerged from both health psychology and I-O psychology as well as occupational medicine. OHP concerns itself with such topic areas as the impact of occupational stressors on mental and physical health, the health impact of involuntary unemployment, violence and bullying in the workplace, psychosocial factors that influence accident risk and safety, work-family balance, and interventions designed to improve/protect worker health. Spector observed that one of the problems facing I-O psychologists in the late 20 century who were interested in the health of working people was resistance within the field to publishing papers on worker health. In the 21 century, more I-O psychologists joined with their OHP colleagues from other disciplines in researching work and health. Work design Work design concerns the "content and organisational of one's work tasks, activities, relationships, and responsibilities." Research has demonstrated that work design has important implications for individual employees (e.g., level of engagement, job strain, chance of injury), teams (e.g., how effectively teams co-ordinate their activities), organisations (e.g., productivity, safety, efficiency targets), and society (e.g., whether a nation utilises the skills of its population or promotes effective aging). I-O psychologists review job tasks, relationships, and an individual's way of thinking about their work to ensure that their roles are meaningful and motivating, thus creating greater productivity and job satisfaction. Deliberate interventions aimed at altering work design are sometimes referred to as work redesign. Such interventions can be initiated by the management of an organization (e.g., job rotation, job enlargement, job enrichment) or by individual workers (e.g., job crafting, role innovation, idiosyncratic ideals). Remuneration and compensation Compensation includes wages or salary, bonuses, pension/retirement contributions, and employee benefits that can be converted to cash or replace living expenses. I-O psychologists may be asked to conduct a job evaluation for the purpose of determining compensation levels and ranges. I-O psychologists may also serve as expert witnesses in pay discrimination cases, when disparities in pay for similar work are alleged by employees. Training and training evaluation Training involves the systematic teaching of skills, concepts, or attitudes that results in improved performance in another environment. Because many people hired for a job are not already versed in all the tasks the job requires, training may be needed to help the individual perform the job effectively. Evidence indicates that training is often effective, and that it succeeds in terms of higher net sales and gross profitability per employee. Similar to performance management (see above), an I-O psychologist would employ a job analysis in concert with the application of the principles of instructional design to create an effective training program. A training program is likely to include a summative evaluation at its conclusion in order to ensure that trainees have met the training objectives and can perform the target work tasks at an acceptable level. Kirkpatrick describes four levels of criteria by which to evaluate training: Reactions are the extent to which trainees enjoyed the training and found it worthwhile. Learning is the knowledge and skill trainees acquired from the training. Behavior is the change in behavior trainees exhibit on the job after training,for example, did they perform trained tasks more quickly? Results are the effect of the change in knowledge or behavior on the job, for example, was overall productivity increased or costs decreased? Training programs often include formative evaluations to assess the effect of the training as the training proceeds. Formative evaluations can be used to locate problems in training procedures and help I-O psychologists make corrective adjustments while training is ongoing. The foundation for training programs is learning. Learning outcomes can be organized into three broad categories: cognitive, skill-based, and affective outcomes. Cognitive training is aimed at instilling declarative knowledge or the knowledge of rules, facts, and principles (e.g., police officer training covers laws and court procedures). Skill-based training aims to impart procedural knowledge (e.g., skills needed to use a special tool) or technical skills (e.g., understanding the workings of software program). Affective training concerns teaching individuals to develop specific attitudes or beliefs that predispose trainees to behave a certain way (e.g., show commitment to the organization, appreciate diversity). A needs assessment, an analysis of corporate and individual goals, is often undertaken prior to the development of a training program. In addition, a careful needs analysis is required in order to develop a systematic understanding of where training is needed, what should be taught, and who will be trained. A training needs analysis typically involves a three-step process that includes organizational analysis, task analysis and person analysis. An organizational analysis is an examination of organizational goals and resources as well as the organizational environment. The results of an organizational analysis help to determine where training should be directed. The analysis identifies the training needs of different departments or subunits. It systematically assesses manager, peer, and technological support for transfer of training. An organizational analysis also takes into account the climate of the organization and its subunits. For example, if a climate for safety is emphasized throughout the organization or in subunits of the organization (e.g., production), then training needs will likely reflect an emphasis on safety. A task analysis uses the results of a job analysis to determine what is needed for successful job performance, contributing to training content. With organizations increasingly trying to identify "core competencies" that are required for all jobs, task analysis can also include an assessment of competencies. A person analysis identifies which individuals within an organization should receive training and what kind of instruction they need. Employee needs can be assessed using a variety of methods that identify weaknesses that training can address. Motivation in the workplace Work motivation reflects the energy an individual applies "to initiate work-related behavior, and to determine its form, direction, intensity, and duration" Understanding what motivates an organization's employees is central to I-O psychology. Motivation is generally thought of as a theoretical construct that fuels behavior. An incentive is an anticipated reward that is thought to incline a person to behave a certain way. Motivation varies among individuals. Studying its influence on behavior, it must be examined together with ability and environmental influences. Because of motivation's role in influencing workplace behavior and performance, many organizations structure the work environment to encourage productive behaviors and discourage unproductive behaviors. Motivation involves three psychological processes: arousal, direction, and intensity. Arousal is what initiates action. It is often fueled by a person's need or desire for something that is missing from his or her life, either totally or partially. Direction refers to the path employees take in accomplishing the goals they set for themselves. Intensity is the amount of energy employees put into goal-directed work performance. The level of intensity often reflects the importance and difficulty of the goal. These psychological processes involve four factors. First, motivation serves to direct attention, focusing on particular issues, people, tasks, etc. Second, it serves to stimulate effort. Third, motivation influences persistence. Finally, motivation influences the choice and application of task-related strategies. Organizational climate Organizational climate is the perceptions of employees about what is important in an organization, that is, what behaviors are encouraged versus discouraged. It can be assessed in individual employees (climate perceptions) or averaged across groups of employees within a department or organization (organizational climate). Climates are usually focused on specific employee outcomes, or what is called “climate for something”. There are more than a dozen types of climates that have been assessed and studied. Some of the more popular include: Customer service climate: The emphasis placed on providing good service. It has been shown to relate to employee service performance. Diversity climate: The extent to which organizations value differences among employees and expect employees to treat everyone with respect. It has been linked to job satisfaction. Psychosocial safety climate: Such climates make employees emphasize psychological safety meaning people feel free to be themselves and express views without fear of being criticized or ridiculed. Safety climate: Such organizations emphasize safety and have fewer accidents and injuries. Climate concerns organizational policies and practices that encourage or discourage specific behaviors by employees. Shared perceptions of what the organization emphasizes (organizational climate) is part of organizational culture, but culture concerns far more than shared perceptions, as discussed in the next section. Organizational culture While there is no universal definition for organizational culture, a collective understanding shares the following assumptions: Organizational culture has been shown to affect important organizational outcomes such as performance, attraction, recruitment, retention, employee satisfaction, and employee well-being. There are three levels of organizational culture: artifacts, shared values, and basic beliefs and assumptions. Artifacts comprise the physical components of the organization that relay cultural meaning. Shared values are individuals' preferences regarding certain aspects of the organization's culture (e.g., loyalty, customer service). Basic beliefs and assumptions include individuals' impressions about the trustworthiness and supportiveness of an organization, and are often deeply ingrained within the organization's culture. In addition to an overall culture, organizations also have subcultures. Subcultures can be departmental (e.g. different work units) or defined by geographical distinction. While there is no single "type" of organizational culture, some researchers have developed models to describe different organizational cultures. Group behavior Group behavior involves the interactions among individuals in a collective. Most I-O group research is about teams which is a group in which people work together to achieve the same task goals. The individuals' opinions, attitudes, and adaptations affect group behavior, with group behavior in turn affecting those opinions, etc. The interactions are thought to fulfill some need satisfaction in an individual who is part of the collective. Team effectiveness Organizations often organize teams because teams can accomplish a much greater amount of work in a short period of time than an individual can accomplish. I-O research has examined the harm workplace aggression does to team performance. Team composition Team composition, or the configuration of team member knowledge, skills, abilities, and other characteristics, fundamentally influences teamwork. Team composition can be considered in the selection and management of teams to increase the likelihood of team success. To achieve high-quality results, teams built with members having higher skill levels are more likely to be effective than teams built around members having lesser skills; teams that include a members with a diversity of skills are also likely to show improved team performance. Team members should also be compatible in terms of personality traits, values, and work styles. There is substantial evidence that personality traits and values can shape the nature of teamwork, and influence team performance. Team task design A fundamental question in team task design is whether or not a task is even appropriate for a team. Those tasks that require predominantly independent work are best left to individuals, and team tasks should include those tasks that consist primarily of interdependent work. When a given task is appropriate for a team, task design can play a key role in team effectiveness. Job characteristic theory identifies core job dimensions that affect motivation, satisfaction, performance, etc. These dimensions include skill variety, task identity, task significance, autonomy and feedback. The dimensions map well to the team environment. Individual contributors who perform team tasks that are challenging, interesting, and engaging are more likely to be motivated to exert greater effort and perform better than team members who are working on tasks that lack those characteristics. Organizational resources Organizational support systems affect the team effectiveness and provide resources for teams operating in the multi-team environment. During the chartering of new teams, organizational enabling resources are first identified. Examples of enabling resources include facilities, equipment, information, training, and leadership. Team-specific resources (e.g., budgetary resources, human resources) are typically made available. Team-specific human resources represent the individual contributors who are selected to be team members. Intra-team processes (e.g., task design, task assignment) involve these team-specific resources. Teams also function in dynamic multi-team environments. Teams often must respond to shifting organizational contingencies. Contingencies affecting teams include constraints arising from conditions in which organizational resources are not exclusively earmarked for certain teams. When resources are scarce, they must be shared by multiple teams. Team rewards Organizational reward systems drive the strengthening and enhancing of individual team member efforts; such efforts contribute towards reaching team goals. In other words, rewards that are given to individual team members should be contingent upon the performance of the entire team. Several design elements are needed to enable organizational reward systems to operate successfully. First, for a collective assessment to be appropriate for individual team members, the group's tasks must be highly interdependent. If this is not the case, individual assessment is more appropriate than team assessment. Second, individual-level reward systems and team-level reward systems must be compatible. For example, it would be unfair to reward the entire team for a job well done if only one team member did most of the work. That team member would most likely view teams and teamwork negatively, and would not want to work on a team in the future. Third, an organizational culture must be created such that it supports and rewards employees who believe in the value of teamwork and who maintain a positive attitude towards team-based rewards. Team goals Goals potentially motivate team members when goals contain three elements: difficulty, acceptance, and specificity. Under difficult goal conditions, teams with more committed members tend to outperform teams with less committed members. When team members commit to team goals, team effectiveness is a function of how supportive members are with each other. The goals of individual team members and team goals interact. Team and individual goals must be coordinated. Individual goals must be consistent with team goals in order for a team to be effective. Job satisfaction and commitment Job satisfaction is often thought to reflect the extent to which a worker likes his or her job, or individual aspects or facets of jobs. It is one of the most heavily researched topics in I-O psychology. Job satisfaction has theoretical and practical utility for the field. It has been linked to important job outcomes including attitudinal variables (e.g., job involvement, organizational commitment), absenteeism, turnover intentions, actual turnover, job performance, and tension. A meta-analyses found job satisfaction to be related to life satisfaction, happiness, positive affect, and the absence of negative affect. Productive behavior Productive behavior is defined as employee behavior that contributes positively to the goals and objectives of an organization. When an employee begins a new job, there is a transition period during which he or she may not contribute significantly. To assist with this transition an employee typically requires job-related training. In financial terms, productive behavior represents the point at which an organization begins to achieve some return on the investment it has made in a new employee. IO psychologists are ordinarily more focused on productive behavior than job or task performance, including in-role and extra-role performance. In-role performance tells managers how well an employee performs the required aspects of the job; extra-role performance includes behaviors not necessarily required by job but nonetheless contribute to organizational effectiveness. By taking both in-role and extra-role performance into account, an I-O psychologist is able to assess employees' effectiveness (how well they do what they were hired to do), efficiency (outputs to relative inputs), and productivity (how much they help the organization reach its goals). Three forms of productive behavior that IO psychologists often evaluate include job performance, organizational citizenship behavior (see below), and innovation. Job performance Job performance represents behaviors employees engage in while at work which contribute to organizational goals. These behaviors are formally evaluated by an organization as part of an employee's responsibilities. In order to understand and ultimately predict job performance, it is important to be precise when defining the term. Job performance is about behaviors that are within the control of the employee and not about results (effectiveness), the costs involved in achieving results (productivity), the results that can be achieved in a period of time (efficiency), or the value an organization places on a given level of performance, effectiveness, productivity or efficiency (utility). To model job performance, researchers have attempted to define a set of dimensions that are common to all jobs. Using a common set of dimensions provides a consistent basis for assessing performance and enables the comparison of performance across jobs. Performance is commonly broken into two major categories: in-role (technical aspects of a job) and extra-role (non-technical abilities such as communication skills and being a good team member). While this distinction in behavior has been challenged it is commonly made by both employees and management. A model of performance by Campbell breaks performance into in-role and extra-role categories. Campbell labeled job-specific task proficiency and non-job-specific task proficiency as in-role dimensions, while written and oral communication, demonstrating effort, maintaining personal discipline, facilitating peer and team performance, supervision and leadership and management and administration are labeled as extra-role dimensions. Murphy's model of job performance also broke job performance into in-role and extra-role categories. However, task-orientated behaviors composed the in-role category and the extra-role category included interpersonally-oriented behaviors, down-time behaviors and destructive and hazardous behaviors. However, it has been challenged as to whether the measurement of job performance is usually done through pencil/paper tests, job skills tests, on-site hands-on tests, off-site hands-on tests, high-fidelity simulations, symbolic simulations, task ratings and global ratings. These various tools are often used to evaluate performance
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the Unitarian Universalist Association, had more than 160,000 members —including over 150,000 in the United States. History The original initiative for its establishment was contained in a resolution of the General Assembly of Unitarian and Free Christian Churches (British Unitarians) in 1987. This led to the establishment of the Advocates for the Establishment of an International Organization of Unitarians (AEIOU), which worked towards creating the council. However, the General Assembly resolution provided no funding. The Unitarian Universalist Association (UUA) became particularly interested in the establishment of a council when it had to deal with an increasing number of applications for membership from congregations outside North America. It had already granted membership to congregations in Adelaide, Auckland, the Philippines and Pakistan, and congregations in Sydney, Russia and Spain had applied for membership. Rather than admit congregations from all over the world, the UUA hoped that they would join a world council instead. The UUA thus became willing to provide funding for the council's establishment. As a result, the council was finally established at a meeting in Essex, Massachusetts, United States on 23–26 March 1995. Principles and purposes The Preamble to the Constitution of the International Council of Unitarians and Universalists reads: We, the member groups of the International Council of Unitarians and Universalists, affirming our belief in religious community based on: liberty of conscience and individual thought in matters of faith, the inherent worth and dignity of every person. justice and compassion in human relations, responsible stewardship in human relations, and our commitment to democratic principles, declare our purposes to be: to serve the Infinite Spirit of Life and the human community by strengthening the worldwide Unitarian and Universalist faith, to affirm the variety and richness of our living traditions, to facilitate mutual support among member organizations, to promote our ideals and principles around the world, to provide models of liberal religious response to the human condition which upholds our
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Society of Finland, 22 members Germany: Unitarier - Religionsgemeinschaft freien Glaubens Hungary: Unitarian Church of Hungary, 25,000 members India: The Indian Council of Unitarian Churches, which includes the Khasi Unitarian Union, 9,000 members, and the Unitarian Christian Church of Madras, 225 members Indonesia Global Church of God, around 200 members Netherlands: Vrijzinnige Geloofsgemeenschap NPB, 4,385 members (2011), 60 congregations Nigeria: First Unitarian Church of Nigeria and Ijo Isokan Gbogbo Eda (Unitarian Brotherhood Church)Defunct Norwegian Unitarian Church Philippines: Unitarian Universalist Church of the Philippines founded 1954, 2000 members Romania: Unitarian Church of Transylvania, 80,000 members South Africa: Unitarian Church of South Africa, 110 members Spain: Unitarian Universalist Society of Spain, 55 members UK: General Assembly of Unitarian and Free Christian Churches, 6,000 members USA: Unitarian Universalist Association (UUA), 162,796 (adult members) Reorganizing Kosciol Unitarianski (Unitarian Church in Poland), 80 attendees and friends. Polish Unitarians have reported a need for a period of reorganization, and that at this time they are unable to maintain the level of activity needed to be full Council members, be it moved that membership of these groups be suspended. This action is taken with regret and the ICUU looks forward to welcoming Poland back into membership at the earliest possible date. Provisional members Churches and religious associations which have expressed their will to become members of the Council may be admitted as "Provisional Members" for a period of time (generally two or four years), until the Council decides that they have shown their organizational stability, affinity with the ICUU principles and commitment to deserve becoming Full Members of the Council. Provisional Members are invited to Council meetings through a delegate but cannot vote. Kenyan Unitarians Emerging groups According to the Bylaws of the ICUU, Emerging Groups are "applicants that are deemed to be reasonable prospects for membership, but do not fulfil the conditions of either Provisional membership or Full Membership". These groups may be designated as Emerging Groups by the Executive Committee upon its sole discretion. Emerging Groups may be invited as observers to General Meetings. The current list of Emerging Groups after the last meeting of the Executive Committee (London, 22–25 November 2008) is as follows: Congo Unitarians French Unitarians (Assemblée Fraternelle des Chrétiens Unitariens) Unitarian Universalists Hong Kong—Hong Kong (China) Italian Unitarians Mexico (two groups: the Free Unitarian Congregation of Mexico, (LCUM) and the
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has a 12-wide issue architecture, multithreading enhancements, and new instructions to take advantage of parallelism, especially in virtualization. The Poulson L3 cache size is 32 MB. L2 cache size is 6 MB, 512 I KB, 256 D KB per core. Die size is 544 mm², less than its predecessor Tukwila (698.75 mm²). At ISSCC 2011, Intel presented a paper called "A 32nm 3.1 Billion Transistor 12-Wide-Issue Itanium Processor for Mission Critical Servers." Given Intel's history of disclosing details about Itanium microprocessors at ISSCC, this paper most likely referred to Poulson. Analyst David Kanter speculated that Poulson would use a new microarchitecture, with a more advanced form of multithreading that uses up to two threads, to improve performance for single threaded and multithreaded workloads. Some information was also released at the Hot Chips conference. Information presented improvements in multithreading, resiliency improvements (Intel Instruction Replay RAS) and few new instructions (thread priority, integer instruction, cache prefetching, and data access hints). Intel's Product Change Notification (PCN) 111456-01 lists four models of Itanium 9500 series CPU, which was later removed in a revised document. The parts were later listed in Intel's Material Declaration Data Sheets (MDDS) database. Intel later posted Itanium 9500 reference manual. The models are the following: {| class="wikitable" |- !Processor number||Frequency||Cache |- |9520||1.73 GHz||20MB |- |9540||2.13 GHz||24MB |- |9550||2.40 GHz||32MB |- |9560||2.53 GHz||32MB |} HP vs. Oracle During the 2012 Hewlett-Packard Co. v. Oracle Corp. support lawsuit, court documents unsealed by a Santa Clara County Court judge revealed that in 2008, Hewlett-Packard had paid Intel around $440 million to keep producing and updating Itanium microprocessors from 2009 to 2014. In 2010, the two companies signed another $250 million deal, which obliged Intel to continue making Itanium CPUs for HP's machines until 2017. Under the terms of the agreements, HP had to pay for chips it gets from Intel, while Intel launches Tukwila, Poulson, Kittson, and Kittson+ chips in a bid to gradually boost performance of the platform. Itanium 9700 (Kittson): 2017 Rumors of a successor to Poulson (code named Kittson) began to circulate in 2012–2013. This was at first associated with a forthcoming 22 nm process shrink, and later revised in the face of declining Itanium sales to a less-ambitious 32 nm node. In April 2015, Intel, although it had not yet confirmed formal specifications, did confirm that it continued to work on the project. Meanwhile, the aggressively multicore Xeon E7 platform displaced Itanium-based solutions in the Intel roadmap. Intel officially launched the Itanium 9700 series processor family on May 11, 2017. Notably, Kittson has no microarchitecture improvements over Poulson, only higher clock speeds. Intel announced that the 9700 series will be the last Itanium chips produced. The models are: {| class="wikitable sortable" |- !Processor number||Cores||Threads||Frequency||Cache |- |9720||4||8||1.73 GHz||20 MB |- |9740||8||16||2.13 GHz||24 MB |- |9750||4||8||2.53 GHz||32 MB |- |9760||8||16||2.66 GHz||32 MB |} Market share In comparison with its Xeon family of server processors, Itanium was never a high-volume product for Intel. Intel does not release production numbers. One industry analyst estimated that the production rate was 200,000 processors per year in 2007. According to Gartner Inc., the total number of Itanium servers (not processors) sold by all vendors in 2007, was about 55,000. (It is unclear whether clustered servers counted as a single server or not.) This compares with 417,000 RISC servers (spread across all RISC vendors) and 8.4 million x86 servers. IDC reports that a total of 184,000 Itanium-based systems were sold from 2001 through 2007. For the combined POWER/SPARC/Itanium systems market, IDC reports that POWER captured 42% of revenue and SPARC captured 32%, while Itanium-based system revenue reached 26% in the second quarter of 2008. According to an IDC analyst, in 2007, HP accounted for perhaps 80% of Itanium systems revenue. According to Gartner, in 2008, HP accounted for 95% of Itanium sales. HP's Itanium system sales were at an annual rate of $4.4Bn at the end of 2008, and declined to $3.5Bn by the end of 2009, compared to a 35% decline in UNIX system revenue for Sun and an 11% drop for IBM, with an x86-64 server revenue increase of 14% during this period. In December 2012, IDC released a research report stating that Itanium server shipments would remain flat through 2016, with annual shipment of 26,000 systems (a decline of over 50% compared to shipments in 2008). Hardware support Systems By 2006, HP manufactured at least 80% of all Itanium systems, and sold 7,200 in the first quarter of 2006. The bulk of systems sold were enterprise servers and machines for large-scale technical computing, with an average selling price per system in excess of US$200,000. A typical system uses eight or more Itanium processors. By 2012, only a few manufacturers offered Itanium systems, including HP, Bull, NEC, Inspur and Huawei. In addition, Intel offered a chassis that could be used by system integrators to build Itanium systems. By 2015, only HP supplied Itanium-based systems. With HP split in late 2015, Itanium systems (branded as Integrity) are handled by Hewlett-Packard Enterprise (HPE), with a major update in 2017 (Integrity i6, and HP-UX 11i v3 Update 16). HPE also supports a few other operating systems, including Windows up to Server 2008 R2, Linux, OpenVMS and NonStop. Itanium is not affected by Spectre and Meltdown. Chipsets The Itanium bus interfaces to the rest of the system via a chipset. Enterprise server manufacturers differentiate their systems by designing and developing chipsets that interface the processor to memory, interconnections, and peripheral controllers. The chipset is the heart of the system-level architecture for each system design. Development of a chipset costs tens of millions of dollars and represents a major commitment to the use of the Itanium. IBM created a chipset in 2003, and Intel in 2002, but neither of them developed chipsets to support newer technologies such as DDR2 or PCI Express. Before "Tukwila" moved away from the FSB, chipsets supporting such technologies were manufactured by all Itanium server vendors, such as HP, Fujitsu, SGI, NEC, and Hitachi. The "Tukwila" Itanium processor model had been designed to share a common chipset with the Intel Xeon processor EX (Intel's Xeon processor designed for four processor and larger servers). The goal was to streamline system development and reduce costs for server OEMs, many of which develop both Itanium- and Xeon-based servers. However, in 2013, this goal was pushed back to be "evaluated for future implementation opportunities". Software support Unix HP-UX 11 (supported until 2025) BSD NetBSD (a tier II port that "is a work-in-progress effort to port NetBSD to the Itanium family of processors. Currently no formal release is available.") FreeBSD (unsupported since 31 October 2018) Linux The Trillian Project was an effort by an industry consortium to port the Linux kernel to the Itanium processor. The project started in May 1999 with the goal of releasing the distribution in time for the initial release of Itanium, then scheduled for early 2000. By the end of 1999, the project included Caldera Systems, CERN, Cygnus Solutions, Hewlett-Packard, IBM, Intel, Red Hat, SGI, SuSE, TurboLinux and VA Linux Systems. The project released the resulting code in February 2000. The code then became part of the mainline Linux kernel more than a year before the release of the first Itanium processor. The Trillian project was able to do this for two reasons: the free and open source GCC compiler had already been enhanced to support the Itanium architecture. a free and open source simulator had been developed to simulate an Itanium processor on an existing computer. After the successful completion of Project Trillian, the resulting Linux kernel was used by all of the manufacturers of Itanium systems (HP, IBM, DELL, SGI, Fujitsu, Unisys, Hitachi, and Groupe Bull.) With the notable exception of HP, Linux is either the primary OS or the only OS the manufacturer supports for Itanium. Ongoing free and open source software support for Linux on Itanium subsequently coalesced at Gelato. Distribution support In 2005, Fedora Linux started adding support for Itanium and Novell added support for SUSE Linux. In 2007, CentOS added support for Itanium in a new release. Gentoo Linux Debian (unsupported since Debian 8; reportedly Debian 10 was ported to Itanium) Red Hat Enterprise Linux (unsupported since RHEL 6, had support in RHEL 5 until 2017, which supported other platforms up to November 30, 2020) SUSE Linux 11 (supported until 2019, for other platforms SUSE 11 is supported to 2022). Deprecation In 2009, Red Hat dropped Itanium support in Enterprise Linux 6. Ubuntu 10.10 dropped support for Itanium. In 2021, Linus Torvalds marked the Itanium code as orphaned. Torvalds said:"HPE no longer accepts orders for new Itanium hardware, and Intel stopped accepting orders a year ago. While intel is still officially shipping chips until July 29, 2021, it's unlikely that any such orders actually exist. It's dead, Jim." Microsoft Windows Windows XP 64-Bit Edition (unsupported since June 30, 2005) Windows Server 2003 (unsupported since July 14, 2015) Windows Server 2008 (unsupported since January 14, 2020) Windows Server 2008 R2 (unsupported since January 14, 2020, last Windows version to support Itanium processors) OpenVMS In 2001, Compaq announced that OpenVMS would be ported to the Itanium architecture. This led to the creation of the V8.x releases of OpenVMS, which support both Itanium-based HPE Integrity Servers and DEC Alpha hardware. Since the Itanium porting effort began, ownership of OpenVMS transferred from Compaq to HP in 2001, and then to VMS Software Inc. (VSI) in 2014. Noteworthy releases
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achieved by an Itanium 2 based system in the list was #2, achieved in June 2004, when Thunder (Lawrence Livermore National Laboratory) entered the list with an Rmax of 19.94 Teraflops. In November 2004, Columbia entered the list at #2 with 51.8 Teraflops, and there was at least one Itanium-based computer in the top 10 from then until June 2007. The peak number of Itanium-based machines on the list occurred in the November 2004 list, at 84 systems (16.8%); by June 2012, this had dropped to one system (0.2%), and no Itanium system remained on the list in November 2012. Processors Released processors The Itanium processors show a progression in capability. Merced was a proof of concept. McKinley dramatically improved the memory hierarchy and allowed Itanium to become reasonably competitive. Madison, with the shift to a 130 nm process, allowed for enough cache space to overcome the major performance bottlenecks. Montecito, with a 90 nm process, allowed for a dual-core implementation and a major improvement in performance per watt. Montvale added three new features: core-level lockstep, demand-based switching and front-side bus frequency of up to 667 MHz. Market reception High-end server market When first released in 2001, Itanium's performance was disappointing compared to better-established RISC and CISC processors. Emulation to run existing x86 applications and operating systems was particularly poor, with one benchmark in 2001 reporting that it was equivalent at best to a 100 MHz Pentium in this mode (1.1 GHz Pentiums were on the market at that time). Itanium failed to make significant inroads against IA-32 or RISC, and suffered further following the arrival of x86-64 systems which offered greater compatibility with older x86 applications. In a 2009 article on the history of the processor — "How the Itanium Killed the Computer Industry" — journalist John C. Dvorak reported "This continues to be one of the great fiascos of the last 50 years". Tech columnist Ashlee Vance commented that the delays and underperformance "turned the product into a joke in the chip industry". In an interview, Donald Knuth said "The Itanium approach...was supposed to be so terrific—until it turned out that the wished-for compilers were basically impossible to write." Both Red Hat and Microsoft announced plans to drop Itanium support in their operating systems due to lack of market interest; however, other Linux distributions such as Gentoo and Debian remain available for Itanium. On March 22, 2011, Oracle Corporation announced that it would no longer develop new products for HP-UX on Itanium, although it would continue to provide support for existing products. Following this announcement, HP sued Oracle for breach of contract, arguing that Oracle had violated conditions imposed during settlement over Oracle's hiring of former HP CEO Mark Hurd as its co-CEO, requiring the vendor to support Itanium on its software "until such time as HP discontinues the sales of its Itanium-based servers", and that the breach had harmed its business. In 2012, a court ruled in favor of HP, and ordered Oracle to resume its support for Itanium. In June 2016, Hewlett-Packard Enterprise (the corporate successor to HP's server business) was awarded $3 billion in damages from the lawsuit. Oracle unsuccessfully appealed the decision to the California Court of Appeal in 2021. A former Intel official reported that the Itanium business had become profitable for Intel in late 2009. By 2009, the chip was almost entirely deployed on servers made by HP, which had over 95% of the Itanium server market share, making the main operating system for Itanium HP-UX. On March 22, 2011, Intel reaffirmed its commitment to Itanium with multiple generations of chips in development and on schedule. Other markets Although Itanium did attain limited success in the niche market of high-end computing, Intel had originally hoped it would find broader acceptance as a replacement for the original x86 architecture. AMD chose a different direction, designing the less radical x86-64, a 64-bit extension to the existing x86 architecture, which Microsoft then supported, forcing Intel to introduce the same extensions in its own x86-based processors. These designs can run existing 32-bit applications at native hardware speed, while offering support for 64-bit memory addressing and other enhancements to new applications. This architecture has now become the predominant 64-bit architecture in the desktop and portable market. Although some Itanium-based workstations were initially introduced by companies such as SGI, they are no longer available. Timeline 1989 HP begins investigating EPIC. 1994 June: HP and Intel announce partnership. 1995 September: HP, Novell, and SCO announce plans for a "high volume UNIX operating system" to deliver "64-bit networked computing on the HP/Intel architecture". 1996 October: Compaq announces it will use IA-64. 1997 June: IDC predicts IA-64 systems sales will reach $38bn/yr by 2001. October: Dell announces it will use IA-64. December: Intel and Sun announce joint effort to port Solaris to IA-64. 1998 March: SCO admits HP/SCO Unix alliance is now dead. June: IDC predicts IA-64 systems sales will reach $30bn/yr by 2001. June: Intel announces Merced will be delayed, from second half of 1999 to first half of 2000. September: IBM announces it will build Merced-based machines. October: Project Monterey is formed to create a common UNIX for IA-64. 1999 February: Project Trillian is formed to port Linux to IA-64. August: IDC predicts IA-64 systems sales will reach $25bn/yr by 2002. October: Intel announces the Itanium name. October: the term Itanic is first used in The Register. 2000 February: Project Trillian delivers source code. June: IDC predicts Itanium systems sales will reach $25bn/yr by 2003. July: Sun and Intel drop Solaris-on-Itanium plans. August: AMD releases specification for x86-64, a set of 64-bit extensions to Intel's own x86 architecture intended to compete with IA-64. It will eventually market this under the name "AMD64". 2001 June: IDC predicts Itanium systems sales will reach $15bn/yr by 2004. June: Project Monterey dies. July: Itanium is released. October: IDC predicts Itanium systems sales will reach $12bn/yr by the end of 2004. November: IBM's 320-processor Titan NOW Cluster at National Center for Supercomputing Applications is listed on the TOP500 list at position #34. November: Compaq delays Itanium Product release due to problems with processor. December: Gelato is formed. 2002 March: IDC predicts Itanium systems sales will reach $5bn/yr by end 2004. June: Itanium 2 is released. 2003 April: IDC predicts Itanium systems sales will reach $9bn/yr by end 2007. April: AMD releases Opteron, the first processor with x86-64 extensions. June: Intel releases the "Madison" Itanium 2. 2004 February: Intel announces it has been working on its own x86-64 implementation (which it will eventually market under the name "Intel 64"). June: Intel releases its first processor with x86-64 extensions, a Xeon processor codenamed "Nocona". June: Thunder, a system at LLNL with 4096 Itanium 2 processors, is listed on the TOP500 list at position #2. November: Columbia, an SGI Altix 3700 with 10160 Itanium 2 processors at NASA Ames Research Center, is listed on the TOP500 list at position #2. December: Itanium system sales for 2004 reach $1.4bn. 2005 January: HP ports OpenVMS to Itanium February: IBM server design drops Itanium support. June: An Itanium 2 sets a record SPECfp2000 result of 2,801 in a Hitachi, Ltd. Computing blade. September: Itanium Solutions Alliance is formed. September: Dell exits the Itanium business. October: Itanium server sales reach $619M/quarter in the third quarter. October: Intel announces one-year delays for Montecito, Montvale, and Tukwila. 2006 January: Itanium Solutions Alliance announces a $10bn collective investment in Itanium by 2010. February: IDC predicts Itanium systems sales will reach $6.6bn/yr by 2009. June: Intel releases the dual-core "Montecito" Itanium 2 9000 series. 2007 April: CentOS (RHEL-clone) places Itanium support on hold for the 5.0 release. October: Intel releases the "Montvale" Itanium 2 9100 series. November: Intel renames the family from Itanium 2 back to Itanium. 2009 December: Red Hat announces that it is dropping support for Itanium in the next release of its enterprise OS, Red Hat Enterprise Linux 6. 2010 February: Intel
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updates are provided. On 21 August 2008, the US Department of Health and Human Services (HHS) proposed new code sets to be used for reporting diagnoses and procedures on health care transactions. Under the proposal, the ICD-9-CM code sets would be replaced with the ICD-10-CM code sets, effective 1 October 2013. On 17 April 2012 the Department of Health and Human Services (HHS) published a proposed rule that would delay, from 1 October 2013 to 1 October 2014, the compliance date for the ICD-10-CM and PCS. Once again, Congress delayed implementation date to 1 October 2015, after it was inserted into "Doc Fix" Bill without debate over objections of many. Revisions to ICD-10-CM Include: Relevant information for ambulatory and managed care encounter. Expanded injury codes. New combination codes for diagnosis/symptoms to reduce the number of codes needed to describe a problem fully. Addition of sixth and seventh digit classification. Classification specific to laterality. Classification refinement for increased data granularity. ICD-10-CA ICD-10-CA is a clinical modification of ICD-10 developed by the Canadian Institute for Health Information for morbidity classification in Canada. ICD-10-CA applies beyond acute hospital care, and includes conditions and situations that are not diseases but represent risk factors to health, such as occupational and environmental factors, lifestyle and psycho-social circumstances. ICD-11 The eleventh revision of the International Classification of Diseases, or the ICD-11, is almost five times as big as the ICD-10. It was created following a decade of development involving over 300 specialists from 55 countries. Following an alpha version in May 2011 and a beta draft in May 2012, a stable version of the ICD-11 was released on 18 June 2018, and officially endorsed by all WHO members during the 72nd World Health Assembly on 25 May 2019. For the ICD-11, the WHO decided to differentiate between the core of the system and its derived specialty versions, such as the ICD-O for oncology. As such, the collection of all ICD entities is called the Foundation Component. From this common core, subsets can be derived. The primary derivative of the Foundation is called the ICD-11 MMS, and it is this system that is commonly referred to and recognized as "the ICD-11". MMS stands for Mortality and Morbidity Statistics. ICD-11 comes with an implementation package that includes transition tables from and to ICD-10, a translation tool, a coding tool, web-services, a manual, training material, and more. All tools are accessible after self-registration from the Maintenance Platform. The ICD-11 will officially come into effect on 1 January 2022, although the WHO admitted that "not many countries are likely to adapt that quickly". In the United States, the advisory body of the Secretary of Health and Human Services has given an expected release year of 2025, but if a clinical modification is determined to be needed (similar to the ICD-10-CM), this could become 2027. Usage in the United States In the United States, the U.S. Public Health Service published The International Classification of Diseases, Adapted for Indexing of Hospital Records and Operation Classification (ICDA), completed in 1962 and expanding the ICD-7 in a number of areas to more completely meet the indexing needs of hospitals. The U.S. Public Health Service later published the Eighth Revision, International Classification of Diseases, Adapted for Use in the United States, commonly referred to as ICDA-8, for official national morbidity and mortality statistics. This was followed by the ICD, 9th Revision, Clinical Modification, known as ICD-9-CM, published by the U.S. Department of Health and Human Services and used by hospitals and other healthcare facilities to better describe the clinical picture of the patient. The diagnosis component of ICD-9-CM is completely consistent with ICD-9 codes, and remains the data standard for reporting morbidity. National adaptations of the ICD-10 progressed to incorporate both clinical code (ICD-10-CM) and procedure code (ICD-10-PCS) with the revisions completed in 2003. In 2009, the U.S. Centers for Medicare and Medicaid Services announced that it would begin using ICD-10 on April 1, 2010, with full compliance by all involved parties by 2013. However, the US extended the deadline twice and did not formally require transitioning to ICD-10-CM (for most clinical encounters) until October 1, 2015. The years for which causes of death in the United States have been classified by each revision as follows: ICD-1 – 1900 ICD-2 – 1910 ICD-3 – 1921 ICD-4 – 1930 ICD-5 – 1939 ICD-6 – 1949 ICD-7 – 1958 ICD-8A – 1968 ICD-9 – 1979 ICD-10 – 1999 Cause of death on United States death certificates, statistically compiled by the Centers for Disease Control and Prevention (CDC), are coded in the ICD, which does not include codes for human and system factors commonly called medical errors. Mental health issues The ICD includes a section classifying mental and behavioral disorders (Chapter V). This has developed alongside the Diagnostic and Statistical Manual of Mental Disorders (DSM) of the American Psychiatric Association and the two manuals seek to use the same codes. The WHO is revising their classifications in these sections as part the development of the ICD-11, and an "International Advisory Group" has been established to guide this. Section F66 of the ICD-10 deals with classifications of psychological and behavioural disorders that are associated with sexual development and orientation. It explicitly states that "sexual orientation by itself is not to be considered a disorder," in line with the DSM and other classifications that recognise homosexuality as a normal variation in human sexuality. The Working Group has reported that there is "no evidence that [these
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hospital data. In 1893, a French physician, Jacques Bertillon, introduced the Bertillon Classification of Causes of Death at a congress of the International Statistical Institute in Chicago. A number of countries adopted Bertillon's system, which was based on the principle of distinguishing between general diseases and those localized to a particular organ or anatomical site, as used by the City of Paris for classifying deaths. Subsequent revisions represented a synthesis of English, German, and Swiss classifications, expanding from the original 44 titles to 161 titles. In 1898, the American Public Health Association (APHA) recommended that the registrars of Canada, Mexico, and the United States also adopt it. The APHA also recommended revising the system every 10 years to ensure the system remained current with medical practice advances. As a result, the first international conference to revise the International Classification of Causes of Death took place in 1900, with revisions occurring every ten years thereafter. At that time, the classification system was contained in one book, which included an Alphabetic Index as well as a Tabular List. The book was small compared with current coding texts. The revisions that followed contained minor changes, until the sixth revision of the classification system. With the sixth revision, the classification system expanded to two volumes. The sixth revision included morbidity and mortality conditions, and its title was modified to reflect the changes: International Statistical Classification of Diseases, Injuries and Causes of Death (ICD). Prior to the sixth revision, responsibility for ICD revisions fell to the Mixed Commission, a group composed of representatives from the International Statistical Institute and the Health Organization of the League of Nations. In 1948, the WHO assumed responsibility for preparing and publishing the revisions to the ICD every ten years. WHO sponsored the seventh and eighth revisions in 1957 and 1968, respectively. It later became clear that the established ten year interval between revisions was too short. The ICD is currently the most widely used statistical classification system for diseases in the world. In addition, some countries—including Australia, Canada, and the United States—have developed their own adaptations of ICD, with more procedure codes for classification of operative or diagnostic procedures. Versions of ICD ICD-6 The ICD-6, published in 1949, was the first to be shaped to become suitable for morbidity reporting. Accordingly, the name changed from International List of Causes of Death to International Statistical Classification of Diseases. The combined code section for injuries and their associated accidents was split into two, a chapter for injuries, and a chapter for their external causes. With use for morbidity there was a need for coding mental conditions, and for the first time a section on mental disorders was added . ICD-7 The International Conference for the Seventh Revision of the International Classification of Diseases was held in Paris under the auspices of WHO in February 1955. In accordance with a recommendation of the WHO Expert Committee on Health Statistics, this revision was limited to essential changes and amendments of errors and inconsistencies. ICD-8a The 8th Revision Conference convened by WHO met in Geneva, from 6 to 12 July 1965. This revision was more radical than the Seventh but left unchanged the basic structure of the Classification and the general philosophy of classifying diseases, whenever possible, according to their etiology rather than a particular manifestation. During the years that the Seventh and Eighth Revisions of the ICD were in force, the use of the ICD for indexing hospital medical records increased rapidly and some countries prepared national adaptations which provided the additional detail needed for this application of the ICD. In the US, a group of consultants was asked to study the 8th revision of ICD (ICD-8a) for its applicability to various users in the United States. This group recommended that further detail be provided for coding hospital and morbidity data. The American Hospital Association's "Advisory Committee to the Central Office on ICDA" developed the needed adaptation proposals, resulting in the publication of the International Classification of Diseases, Adapted (ICDA). In 1968, the United States Public Health Service published the International Classification of Diseases, Adapted, 8th Revision for use in the United States (ICDA-8a). Beginning in 1968, ICDA-8a served as the basis for coding diagnostic data for both official morbidity [and mortality] statistics in the United States. ICD-9 The International Conference for the Ninth Revision of the International Statistical Classification of Diseases, Injuries, and Causes of Death, convened by WHO, met in Geneva from 30 September to 6 October 1975. In the discussions leading up to the conference, it had originally been intended that there should be little change other than updating of the classification. This was mainly because of the expense of adapting data processing systems each time the classification was revised. There had been an enormous growth of interest in the ICD and ways had to be found of responding to this, partly by modifying the classification
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for rings of analytic functions on connected open subsets of analytic manifolds. A regular local ring is an integral domain. In fact, a regular local ring is a UFD. Non-examples The following rings are not integral domains. The zero ring (the ring in which ). The quotient ring when m is a composite number. Indeed, choose a proper factorization (meaning that and are not equal to or ). Then and , but . A product of two nonzero commutative rings. In such a product , one has . The quotient ring for any . The images of and are nonzero, while their product is 0 in this ring. The ring of n × n matrices over any nonzero ring when n ≥ 2. If and are matrices such that the image of is contained in the kernel of , then . For example, this happens for . The quotient ring for any field and any non-constant polynomials . The images of and in this quotient ring are nonzero elements whose product is 0. This argument shows, equivalently, that is not a prime ideal. The geometric interpretation of this result is that the zeros of form an affine algebraic set that is not irreducible (that is, not an algebraic variety) in general. The only case where this algebraic set may be irreducible is when is a power of an irreducible polynomial, which defines the same algebraic set. The ring of continuous functions on the unit interval. Consider the functions Neither nor is everywhere zero, but is. The tensor product . This ring has two non-trivial idempotents, and . They are orthogonal, meaning that , and hence is not a domain. In fact, there is an isomorphism defined by . Its inverse is defined by . This example shows that a fiber product of irreducible affine schemes need not be irreducible. Divisibility, prime elements, and irreducible elements In this section, R is an integral domain. Given elements a and b of R, one says that a divides b, or that a is a divisor of b, or that b is a multiple of a, if there exists an element x in R such that . The units of R are the elements that divide 1; these are precisely the invertible elements in R. Units divide all other elements. If a divides b and b divides a, then a and b are associated elements or associates. Equivalently, a and b are associates if for some unit u. An irreducible element is a nonzero non-unit that cannot be written as a product of two non-units. A nonzero non-unit p is a prime element if, whenever p divides a product ab, then p divides a or p divides b. Equivalently, an element p is prime if and only if the principal ideal (p) is a nonzero prime ideal. Both notions of irreducible elements and prime elements generalize the ordinary definition of prime numbers in the ring if one considers as prime the negative primes. Every prime element is irreducible. The converse is not true in general: for example, in the quadratic integer ring the element 3 is irreducible (if it factored nontrivially, the factors would each have to have norm 3, but there are no norm 3 elements since has no integer solutions), but not prime (since 3 divides without dividing either factor). In a unique factorization domain (or more generally, a GCD domain), an irreducible element is a prime element. While unique factorization does not hold in , there is unique factorization of ideals. See Lasker–Noether theorem. Properties A commutative ring R is an integral domain if and only if the ideal (0) of R is a prime ideal. If R is a commutative ring and P is an ideal in R, then the quotient ring R/P is an integral domain if and only if P is a prime ideal. Let R be an integral domain. Then the polynomial rings over R (in any number of indeterminates) are integral domains. This is in particular the case if R is a field. The cancellation property holds in any integral domain: for any a, b, and c in an integral domain, if a ≠ 0 and ab = ac then b = c. Another way to state this is that the function x ax is injective for any nonzero a in the domain. The cancellation property holds for ideals in any integral domain: if xI = xJ, then either x is zero or I = J. An integral domain is equal to the intersection of its localizations at maximal ideals. An inductive limit of integral domains is an integral domain. If are integral domains over an algebraically closed field k, then is an integral domain. This is a consequence of Hilbert's nullstellensatz, and, in algebraic geometry, it implies the statement that the coordinate ring of the product of two affine algebraic varieties over an algebraically closed field is again an integral domain. Field of fractions The field of
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a field. In particular, all finite integral domains are finite fields (more generally, by Wedderburn's little theorem, finite domains are finite fields). The ring of integers provides an example of a non-Artinian infinite integral domain that is not a field, possessing infinite descending sequences of ideals such as: Rings of polynomials are integral domains if the coefficients come from an integral domain. For instance, the ring of all polynomials in one variable with integer coefficients is an integral domain; so is the ring of all polynomials in n-variables with complex coefficients. The previous example can be further exploited by taking quotients from prime ideals. For example, the ring corresponding to a plane elliptic curve is an integral domain. Integrality can be checked by showing is an irreducible polynomial. The ring is an integral domain for any non-square integer . If , then this ring is always a subring of , otherwise, it is a subring of The ring of p-adic integers is an integral domain. If is a connected open subset of the complex plane , then the ring consisting of all holomorphic functions is an integral domain. The same is true for rings of analytic functions on connected open subsets of analytic manifolds. A regular local ring is an integral domain. In fact, a regular local ring is a UFD. Non-examples The following rings are not integral domains. The zero ring (the ring in which ). The quotient ring when m is a composite number. Indeed, choose a proper factorization (meaning that and are not equal to or ). Then and , but . A product of two nonzero commutative rings. In such a product , one has . The quotient ring for any . The images of and are nonzero, while their product is 0 in this ring. The ring of n × n matrices over any nonzero ring when n ≥ 2. If and are matrices such that the image of is contained in the kernel of , then . For example, this happens for . The quotient ring for any field and any non-constant polynomials . The images of and in this quotient ring are nonzero elements whose product is 0. This argument shows, equivalently, that is not a prime ideal. The geometric interpretation of this result is that the zeros of form an affine algebraic set that is not irreducible (that is, not an algebraic variety) in general. The only case where this algebraic set may be irreducible is when is a power of an irreducible polynomial, which defines the same algebraic set. The ring of continuous functions on the unit interval. Consider the functions Neither nor is everywhere zero, but is. The tensor product . This ring has two non-trivial idempotents, and . They are orthogonal, meaning that , and hence is not a domain. In fact, there is an isomorphism defined by . Its inverse is defined by . This example shows that a fiber product of irreducible affine schemes need not be irreducible. Divisibility, prime elements, and irreducible elements In this section, R is an integral domain. Given elements a and b of R, one says that a divides b, or that a is a divisor of b, or that b is a multiple of a, if there exists an element x in R such that . The units of R are the elements that divide 1; these are precisely the invertible elements in R. Units divide all other elements. If a divides b and b divides a, then a and b are associated elements or associates. Equivalently, a and b are associates if for some unit u. An irreducible element is a nonzero non-unit that cannot be written as a product of two non-units. A nonzero non-unit p is a prime element if, whenever p divides a product ab, then p divides a or p divides b. Equivalently, an element p is prime if and only if the principal ideal (p) is a nonzero prime ideal. Both notions of irreducible elements and prime elements generalize the ordinary definition of prime numbers in the ring if one considers as prime the negative primes. Every prime element is irreducible. The converse is not true in general: for example, in the quadratic integer ring the element 3 is irreducible (if it factored nontrivially, the factors would each have to have norm 3,
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are also called infundibula. Sinus (anatomy): The ethmoidal infundibulum is the most important of three infundibula of the nose: the frontal infundibulum and the maxillary infundibulum flow into it. Infundibulum of uterine tube: the funnel-like end of the mammal oviduct nearest to the ovary. Gallbladder: The Infundibulum of the gallbladder (also known as the "neck" of the gallbladder) is the end of nearest to the cystic duct, which is often dilated relative to the body of the gallbladder, and is a common site for gallstones. Renal pelvis, sometimes called the renal infundibulum Veterinary medicine Infundibulum (tooth): In horses, other equines and ruminants, the infundibulum of a tooth is the central cup or funnel of tooth enamel and cementum. Botany Glossary of botanical terms: infundibular means "funnel-shaped" in plant morphology, for example referring to the corolla of
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frontal infundibulum and the maxillary infundibulum flow into it. Infundibulum of uterine tube: the funnel-like end of the mammal oviduct nearest to the ovary. Gallbladder: The Infundibulum of the gallbladder (also known as the "neck" of the gallbladder) is the end of nearest to the cystic duct, which is often dilated relative to the body of the gallbladder, and is a common site for gallstones. Renal pelvis, sometimes called the renal infundibulum Veterinary medicine Infundibulum (tooth): In horses, other equines and ruminants, the infundibulum of a tooth is the central cup or funnel of tooth enamel and cementum. Botany Glossary of botanical terms: infundibular means "funnel-shaped" in plant morphology, for example referring to the corolla of some flowers. Other uses Cephalopod limb: The outer shallow cavity of a sucker on a Cephalopod limb
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utilization may increase interrupt latency and decrease throughput. Minimum interrupt latency is largely determined by the interrupt controller circuit and its configuration. They can also affect the jitter in the interrupt latency, which can drastically affect the real-time schedulability of the system. The Intel APIC architecture is well known for producing a huge amount of interrupt latency jitter. Maximum interrupt latency is largely determined by the methods an OS uses for interrupt handling. For example, most processors allow programs to disable interrupts, putting off the execution of interrupt handlers, in order to protect critical sections of code. During the execution of such a critical section, all interrupt handlers that cannot execute safely within a critical section are blocked (they save the minimum amount of information required to restart the interrupt handler after all critical sections have exited). So the interrupt latency for a blocked interrupt is extended to the end of the critical section, plus any interrupts with equal and higher priority that arrived while the block was in place. Many
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is extended to the end of the critical section, plus any interrupts with equal and higher priority that arrived while the block was in place. Many computer systems require low interrupt latencies, especially embedded systems that need to control machinery in real-time. Sometimes these systems use a real-time operating system (RTOS). An RTOS makes the promise that no more than a specified maximum amount of time will pass between executions of subroutines. In order to do this, the RTOS must also guarantee that interrupt latency will never exceed a predefined maximum. Considerations Advanced interrupt controllers implement a multitude of hardware features in order to minimize the overhead during context switches and the effective interrupt latency. These include features like: Minimum jitter through non-interruptible instructions Zero wait states for the memory system Switchable register banks Tail chaining Lazy stacking Late arrival Pop preemption Sleep-on-exit feature Also, there are many other methods hardware may use
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İskender kebap is a Turkish dish that consists of sliced döner kebab meat topped with hot tomato sauce over pieces of pita bread (sometimes croutons) and generously slathered with melted special sheep's milk butter and yogurt. It can be prepared from thinly and carefully cut grilled lamb or chicken. Tomato sauce and melted butter are generally poured over the dish live at the table, for the customer's amusement. It is one of the most popular dishes of Turkey. It
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melted butter are generally poured over the dish live at the table, for the customer's amusement. It is one of the most popular dishes of Turkey. It takes its name from its inventor, İskender Efendi, who lived in Bursa in the late 19th century Ottoman Empire. "Kebapçı İskender" is trademarked by the İskenderoğlu family, who still run the restaurant in Bursa. This dish is available in many restaurants throughout the country mostly under the name "İskender
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demand for anal penetration from their male clients. In regards to homosexual intercourse, it is the enjoyment that is considered bad, rather than simply the penetration. Deep shame attaches to the passive partner. Similar sexual sociologies are reported for other Muslim societies from North Africa to Pakistan and the Far East. In 2015, The New York Times reported that U.S. soldiers serving in Afghanistan were instructed by their commanders to ignore child sexual abuse being carried out by Afghan security forces, except "when rape is being used as a weapon of war". American soldiers have been instructed not to intervene—in some cases, not even when their Afghan allies have abused boys on military bases, according to interviews and court records. But the U.S. soldiers have been increasingly troubled that instead of weeding out pedophiles, the U.S. military was arming them against the Taliban and placing them as the police commanders of villages—and doing little when they began abusing children. Modern laws in Muslim-majority countries Criminalization According to the International Lesbian and Gay Association (ILGA) seven countries still retain capital punishment for homosexual behavior: Saudi Arabia, Yemen, Iran, Afghanistan, Mauritania, and northern Nigeria. In United Arab Emirates it is a capital offense. In Qatar, Algeria, Uzbekistan, and the Maldives, homosexuality is punished with time in prison or a fine. This has led to controversy regarding Qatar, which is due to stage the 2022 FIFA World Cup. Human rights groups have questioned the awarding in 2010 of the right to host the competition, due to the possibility that gay football fans may be jailed. In response, Sepp Blatter, head of FIFA, joked that they would have to "refrain from sexual activity" while in Qatar. He later withdrew the remarks after condemnation from rights groups. Same-sex sexual activity is illegal in Chad since 1 August 2017 under a new penal code. Before that, homosexuality between consenting adults had not been criminalized ever prior to this law. In Egypt, openly gay men have been prosecuted under general public morality laws. (See Cairo 52.) "Sexual relations between consenting adult persons of the same sex in private are not prohibited as such. However, the Law on the Combating of Prostitution, and the law against debauchery have been used to imprison gay men in recent years." An Egyptian TV host was recently sentenced to a year in prison for interviewing a gay man in January 2019. Islamic state has decreed capital punishment for gay people. They have executed more than two dozen men and women for suspected homosexual activity, including several thrown off the top of buildings in highly publicized executions. In India, which has the third-largest Muslim population in the world, and where Muslims form a large minority, the largest Islamic seminary (Darul Uloom Deoband) has vehemently opposed recent government moves to abrogate and liberalize laws from the colonial era that banned homosexuality. As of September 2018, homosexuality is no longer a criminal act in India, and most of the religious groups withdrew their opposing claims against it in the Supreme Court. In Iraq, homosexuality is allowed by the government, but terrorist groups often carry out illegal executions of gay people. Saddam Hussein was "unbothered by sexual mores." Ali Hili reports that "since the 2003 invasion more than 700 people have been killed because of their sexuality." He calls Iraq the "most dangerous place in the world for sexual minorities." In Jordan, where homosexuality is legal, "gay hangouts have been raided or closed on bogus charges, such as serving alcohol illegally." Despite this legality, social attitudes towards homosexuality are still hostile and hateful. In Pakistan, its law is a mixture of both British colonial law as well as Islamic law, both which proscribe criminal penalties for same-sex sexual acts. The Pakistan Penal Code of 1860, originally developed under colonial rule, punishes sodomy with a possible prison sentence and has other provisions that impact the human rights of LGBT Pakistanis, under the guise of protecting public morality and order. Yet, the more likely situation for gay and bisexual men is sporadic police blackmail, harassment, fines, and jail sentences. In Bangladesh, homosexual acts are illegal and punishable according to section 377. Due to the traditional mentality of the predominantly conservative Bangladeshi society, negative attitudes towards those in the LGBT community are high. In 2009 and 2013, the Bangladeshi Parliament refused to overturn Section 377. In Saudi Arabia, the maximum punishment for homosexual acts is public execution by beheading. In Malaysia, homosexual acts are illegal and punishable with jail, fine, deportation, whipping or chemical castration. In October 2018, Prime Minister Mahathir Mohamad stated that Malaysia would not "copy" Western nations' approach towards LGBT rights, indicating that these countries were exhibiting a disregard for the institutions of the traditional family and marriage, as the value system in Malaysia is good. In May 2019, in response to the warning of George Clooney about intending to impose death penalty for homosexuals like Brunei, the Deputy Foreign Minister Marzuki Yahya pointed out that Malaysia does not kill gay people, and will not resort to killing sexual minorities. He also said, although such lifestyles deviate from Islam, the government would not impose such a punishment on the group. In Indonesia, most parts of the country do not have a sodomy law and do not currently criminalize private, non-commercial homosexual acts among consenting adults, except in the Aceh province where homosexuality is illegal for Muslims under Islamic Sharia law, and punishable by flogging. While not criminalising homosexuality, the country does not recognise same-sex marriage. In July 2015, the Minister of Religious Affairs stated that it is difficult in Indonesia to legalize Gay Marriage, because strongly held religious norms speak strongly against it. According to some jurists, there should be death stoning penalty for homosexuals. While another group consider flogging with 100 lashes is the correct punishment. In Turkey, homosexuality is legal, but "official censure can be fierce". A former interior minister, İdris Naim Şahin, called homosexuality an example of "dishonour, immorality and inhuman situations". Turkey held its 16th Gay Pride Parade in Istanbul on 30 June 2019. As the latest addition in the list of criminalizing Muslim counties, Brunei's has implemented penalty for homosexuals within Sharia Penal Code in stages since 2014. It prescribes death by stoning as punishment for sex between men, and sex between women is punishable by caning or imprisonment. The sultanate currently has a moratorium in effect on death penalty. Death penalty In 2016, the International Lesbian, Gay, Bisexual, Trans and Intersex Association (ILGA) released its most recent State Sponsored Homophobia Report. The report found that thirteen countries or regions impose the death penalty for "same-sex sexual acts" with reference to sharia-based laws. In Iran, according to article 129 and 131 there are up to 100 lashes of whip first three times and fourth time death penalty for lesbians. The death penalty is implemented nationwide in Brunei, Iran, Saudi Arabia, Afghanistan and Yemen; Northern Nigeria, United Arab Emirates, and Somalia. This punishment is also allowed by the law but not implemented in Mauritania, and Pakistan; and was back then implemented through non-state courts by ISIS in parts of Iraq and Syria (now no longer existing). Due to Brunei's law dictating that gay sex be punishable by stoning, many of its targeted citizens fled to Canada in hopes of finding refuge. The law is also set to impose the same punishment for adultery among heterosexual couples. Despite pushback from citizens in the LGBTQ+ community, Brunei prime minister's office produced a statement explaining Brunei's intention for carrying through with the law. It has been suggested that this is part of a plan to separate Brunei from the western world and towards a Muslim one. Minor penalty In Algeria, Bangladesh, Chad, Morocco , Aceh , Maldives, Oman, Pakistan, Qatar, Syria and Tunisia it is illegal, and penalties may be imposed. In Kuwait, Turkmenistan and Uzbekistan, homosexual acts between males are illegal, but homosexual relations between females are legal. Legalization The Ottoman Empire (predecessor of Turkey) decriminalized homosexuality in 1858. In Turkey, where 99.8% of the population is officially registered as Muslim, homosexuality has never been criminalized since the day it was founded in 1923. Same-sex sexual intercourse is legal in Albania, Azerbaijan, Bahrain, Bosnia and Herzegovina, Burkina Faso, Djibouti, Guinea-Bissau, Iraq, Jordan, Kazakhstan, Kosovo, Kyrgyzstan, Mali, Niger, Tajikistan, Turkey, West Bank (State of Palestine), Indonesia, and in Northern Cyprus. In Albania and Turkey, there have been discussions about legalizing same-sex marriage. Albania, Northern Cyprus, Bosnia and Herzegovina and Kosovo also protect LGBT people with anti-discrimination laws. Same-sex relations between females are legal in Kuwait, Turkmenistan, and Uzbekistan, but homosexual acts between males are illegal. In Lebanon, courts have ruled that the country's penal code must not be used to target homosexuals, but the law has yet to be changed by parliament. Same-sex marriage In 2007 there was a gay party in the Moroccan town of al-Qasr al-Kabir. Rumours spread that this was a gay marriage and more than 600 people took to the streets, condemning the alleged event and protesting against leniency towards homosexuals. Several persons who attended the party were detained and eventually six Moroccan men were sentenced to between four and ten months in prison for "homosexuality". In France there was an Islamic same-sex marriage on 18 February 2012. In Paris in November 2012 a room in a Buddhist prayer hall was used by gay Muslims and called a "gay-friendly mosque", and a French Islamic website is supporting religious same-sex marriage. The first American Muslim in the United States Congress, Keith Ellison (D-MN) said in 2010 that all discrimination against LGBT people is wrong. He further expressed support for gay marriage stating: I believe that the right to marry someone who you please is so fundamental it should not be subject to popular approval any more than we should vote on whether blacks should be allowed to sit in the front of the bus. In 2014 eight men were jailed for three years by a Cairo court after the circulation of a video of them allegedly taking part in a private wedding ceremony between two men on a boat on the Nile. Transgender In the late 1980s, Mufti Muhammad Sayyid Tantawy of Egypt issued a fatwa supporting the right for those who fit the description of mukhannathun to have sex reassignment surgery; Ayatollah Khomeini of Iran issued similar fatwas around the same time. Khomeini's initial fatwa concerned intersex individuals as well, but he later specified that sex reassignment surgery was also permissible in the case of transgender individuals. Because homosexuality is illegal in Iran but transgenderism is legal, some gay individuals have been forced to undergo sex reassignment surgery and transition into the opposite sex, regardless of their actual gender identity. While Iran has outlawed homosexuality, Iranian thinkers such as Ayatollah Khomeini have allowed for transgender people to change their sex so that they can enter heterosexual relationships. This position has been confirmed by the Supreme Leader of Iran, Ayatollah Ali Khamenei, and is also supported by many other Iranian clerics. Iran carries out more sex change operations than any other nation in the world, except for Thailand. It is regarded as a cure for homosexuality, which is punishable by death under Iranian law. The government even provides up to half the cost for those needing financial assistance and a sex change is recognized on the birth certificate. On 26 June 2016, clerics affiliated to the Pakistan-based organization Tanzeem Ittehad-i-Ummat issued a fatwa on transgender people where a trans woman (born male) with "visible signs of being a woman" is allowed to marry a man, and a trans man (born female) with "visible signs of being a man" is allowed to marry a woman. Pakistani transgender persons can also change their (legal) sex. Muslim ritual funerals also apply. Depriving transgender people of their inheritance, humiliating, insulting or teasing them were also declared haraam. In Pakistan, transgender people make up 0.005 percent of the total population. Previously, transgender people were isolated from society and had no legal rights or protections. They also suffered discrimination in healthcare services. For example, in 2016 a transgender individual died in a hospital while doctors were trying to decide which ward the patient should be placed in. Transgender people also faced discrimination in finding employment resulting from incorrect identity cards and incongruous legal status. Many were forced into poverty, dancing, singing, and begging on the streets to scrape by. However, in May 2018, the Pakistani parliament passed a bill giving transgender individuals the right to choose their legal sex and correct their official documents, such as ID cards, driver licenses, and passports. Today, transgender people in Pakistan have the right to vote and to search for a job free from discrimination. As of 2018, one transgender woman became a news anchor, and two others were appointed to the Supreme Court. In Lebanon, transgender women are not given any rights. Discrimination starts from their own family members when trans women are forced to leave their house. After that, trans women are not allowed to have any connections with their family members or with their neighbors. Trans women can't access educational institutions and medical services. Moreover, trans women face employment discrimination due to their wrong identity cards that are not being corrected by the government agencies. To support themselves financially, the only option often open to trans women is sex work, which is not safe for them either. Doing sex work, trans women are at higher risk of sexual abuse and violence. No laws are in existence to protect trans women. Instead, trans women are being arrested and put in jail for up to one year for having same-sex intercourse. Although it prohibits homosexuality, Iran is the only Muslim-majority country in the Persian Gulf region that allows transgender people to express themselves by recognizing their self-identified gender and subsidizing reassignment surgery. Despite this, those who do not commit to reassignment surgery are often seen as freaks, and due to their refusal to conform they are treated as outcasts. Public opinion among Muslims The Muslim community as a whole, worldwide, has become polarized on the subject of homosexuality. Some Muslims say that "no good Muslim can be gay," and "traditional schools of Islamic law consider homosexuality a grave sin." At the opposite pole, "some Muslims . . . are welcoming what they see as an opening within their communities to address anti-gay attitudes." Especially, it is "young Muslims" who are "increasingly speaking out in support of gay rights". According to the Albert Kennedy Trust, one in four young homeless people identify as LGBT due to their religious parents disowning them. The Trust suggests that the majority of individuals who are homeless due to religious out casting are either Christian or Muslim. Many young adults who come out to their parents are often forced out of the house to find refuge in a more accepting place. This leads many individual to be homeless or even attempt suicide. Opinion polls In 2013, the Pew Research Center conducted a study on the global acceptance of homosexuality and found a widespread rejection of homosexuality in many nations that are predominantly Muslim. In some countries, views were becoming more conservative among younger people. 2019 Arab Barometer Survey: A 2007 survey of British Muslims showed that 61% believe homosexuality should be illegal. A later Gallup poll in 2009 showed that none of the 500 British Muslims polled believed homosexuality to be "morally acceptable". In a 2016 ICM poll of 1,081 British Muslims, 52% of those polled disagreed with the statement 'Homosexuality should be legal in Britain' while 18% agreed. In the same poll, 56% of British Muslims polled disagreed with the statement 'Gay marriage should be legal in Britain' compared with 20% of the control group and 47% disagreed with the statement 'It is acceptable for a homosexual person to be a teacher in a school' compared with 14% of the control group. According to a 2012 poll, 51% of the Turks in Germany, who account for nearly two thirds of the total Muslim population in Germany, believed that homosexuality is an illness. However, a more recent poll from 2015 found that more than 60% of Muslims in Germany support gay marriage. A poll in 2017 also found 60% support for gay marriage. American Muslims - in line with general public attitudes in the United States - have become much more accepting of homosexuality over recent years. In a 2007 poll conducted by Pew Research Center, only 27% of American Muslims believed that homosexuality should be accepted. In a 2011 poll, that rose to 39%. In a July 2017 poll, Muslims who say homosexuality should be accepted by society clearly outnumber those who say it should be discouraged (52% versus 33%), a level of acceptance similar to American Protestants (52% in 2016). According to research by the Public Religion Research Institute's 2017 American Values Atlas, 51% of American Muslims favor same-sex marriage, while 34% are opposed. The 2009 Gallup poll showed that 35% of the French Muslims believed that homosexuality to be "morally acceptable". A 2016 iVOX survey of Belgian Muslims found that 53% agreed with the statement: "I have no issues with homosexuality." Approximately 30% disagreed with the statement while the rest refused to answer or were unsure. A 2016 survey of Canadian Muslims showed that 36% believes homosexuality should be generally accepted by society with up to 47% young Canadian Muslims(18-34) holding this belief.The survey also states that 43% of the Canadian Muslims disagreed with the statement homosexuality is acceptable. Muslims who opposed homosexuality are mostly older age groups 45 to 59 (55%), those with the lowest incomes (56%). Turkey Muslims: According to the survey conducted by the Kadir Has University in Istanbul in 2016, 33 per cent of people said that LGBT people should have equal rights. This increased to 45 per cent in 2020. Another survey by Kadir Has University in 2018 found that 55.3 percent of people wouldn't want a homosexual neighbour. This decreased to 46.5 per cent in 2019. Muslim leaders Sunni In 2017, the Egyptian cleric, Sheikh Yusuf al-Qaradawi (who has served as chairman of the European Council for Fatwa and Research) was asked how gay people should be punished. He replied that "there is disagreement," but "the important thing is to treat this act as a crime." Shia Iran's current Supreme Leader, Ayatollah Ali Khamenei has stated that "There is no worst form of moral degeneration than [homosexuality]. ... But it won't stop here. In the future, not sure exactly when, they will legalize incest and even worse." According to the conservative news website Khabaronline, Mohammad Javad Larijani, Khamenei's close adviser, stated "In our society, homosexuality is regarded as an illness and malady," and that "Promoting homosexuality is illegal and we have strong laws against it." He added, "It [homosexuality] is considered as a norm in the West and they are forcing us to accept it. We are strongly against this." Ayatollah Ali al-Sistani in Iraq has stated "It is not permissible for a man to look at another man with lust; similarly, it is not permissible for a woman to look at another woman with lust. Homosexuality (Ash-shudhûdh al-jinsi) is harãm. Similarly, it is forbidden for a female to engage in a sexual act with another female, i.e. lesbianism." LGBT-related movements within Islam Conservative movements Ex-gay organizations There are a number of Islamic ex-gay organizations, that is, those composed of people claiming to have experienced a basic change in sexual orientation from exclusive homosexuality to exclusive heterosexuality. These groups, like those based in socially conservative Christianity, are aimed at attempting to guide homosexuals towards heterosexuality. One of the leading LGBT reformatory Muslim organization is StraightWay Foundation, which was established in the United Kingdom in 2004 as an organization that provides information and advice for Muslims who struggle with homosexual attraction. They believe "that through following God's guidance", one may "cease to be" gay. They teach that the male-female pair is the "basis for humanity's growth" and that homosexual acts "are forbidden by God". NARTH has written favourably of the group. In 2004, Straightway entered into a controversy with the contemporary Mayor of London, Ken Livingstone, and the controversial Islamic cleric Yusuf al-Qaradawi. It was suggested that Livingstone was giving a platform to Islamic fundamentalists, and not liberal and progressive Muslims. Straightway responded to this by compiling a document to clarify what they regarded as fundamental issues concerning Islam and homosexuality. They sent Livingstone a letter thanking him for his support of al-Qaradawi. Livingstone then ignited controversy when he thanked Straightway for the letter. Chechnya anti-gay purge Since February 2017, over 100 male residents of the Chechen Republic (a majority-Muslim part of the Russian Federation) assumed to be gay or bisexual have been rounded up, detained and tortured by authorities on account of their sexual orientation. These crackdowns have been described as part of a systemic anti-LGBT "purge" in the region. The men are held and allegedly tortured in concentration camps. Allegations were initially reported in Novaya Gazeta on 1 April 2017 a Russian-language opposition newspaper, which reported that over 100 men have allegedly been detained and tortured and at least three people have died in an extrajudicial killing. The paper, citing its sources in the Chechen special services, called the wave of detentions a "prophylactic sweep." The journalist who first reported on the subject has gone into hiding, There have been calls for reprisals for journalists reporting on the situation. In response, the Russian LGBT Network is attempting to assist those who are threatened to evacuate from Chechnya. Human rights groups and foreign governments have called upon Russia and Chechnya to put an end to the internments. On 11 January 2019, it was reported that another 'gay purge' had begun in the country in December 2018, with several gay men and women being detained. The Russian LGBT Network believes that around 40 persons were detained and two killed. Attempts against LGBT people Several anti-LGBT incidents have occurred: In 2012, in the English city of Derby, some Muslim men "distributed . . . leaflets depicting gay men being executed in an attempt to encourage hatred against homosexuals." The leaflets had such titles as "Turn or Burn" and "God abhors you" and they advocated a death penalty for homosexuality. The men were "convicted of hate crimes" on 20 January 2012. One of the men said that he was doing his Muslim duty. 31 December 2013 - New Year's Eve arson attack on gay nightclub in Seattle, packed with 300+ revelers, but no one injured. Subject charged prosecuted under federal terror and hate-crime charges. 12 February 2016 - Across Europe, gay refugees facing abuse at migrant asylum shelters are forced to flee shelters. 25 April 2016 - Xulhaz Mannan, an employee of the United States embassy in Dhaka and the editor of Bangladesh's first and only LGBT magazine, was killed in his apartment by a gang of Islamic militants. 12 June 2016 - At least 49 people were killed and 50 injured in a mass shooting at Pulse gay nightclub in Orlando, Florida, in the second deadliest mass shooting by an individual and the deadliest incident of violence against LGBT people in U.S. history. The shooter, Omar Mateen, pledged allegiance to ISIL. The act has been described by investigators as an Islamic terrorist attack and a hate crime. Upon further review, investigators indicated Omar Mateen showed few signs of radicalization, suggesting that the shooter's pledge to ISIL may have been a calculated move to garner more news coverage. Afghanistan, Algeria, Azerbaijan, Bahrain, Djibouti, Egypt, Iraq, Iran, Pakistan, Saudi Arabia, Turkey, Turkmenistan and United Arab Emirates condemned the attack. Many American Muslims, including community leaders, swiftly condemned the attack. Prayer vigils for the victims were held at mosques across the country. The Florida mosque where Mateen sometimes prayed issued a statement condemning the attack and offering condolences to the victims. The Council on American–Islamic Relations called the attack "monstrous" and offered its condolences to the victims. CAIR Florida urged Muslims to donate blood and contribute funds in support of the victims' families. During March 2019, British Muslim parents began protesting Parkfield Community School, a town where more than a third of the children are Muslim, due to the school's implementation of a “No Outsiders” sex-education program. The aim of this program was to provide students with lessons on same-sex relationships. The protest led to the school backing down by no longer following through with the “No Outsider” program. Regardless of this, the school's minister emphasized that the school tries express equality. Liberal and progressive movements The coming together of "human rights discourses and sexual orientation struggles" has resulted in an abundance of "social movements and organizations concerned with gender and sexual minority oppression and discrimination." Today, most LGBTQ-affirming Islamic organizations and individual congregations are primarily based in the Western world and South Asian countries; they usually identify themselves with the liberal and progressive movements within Islam. In France there was an Islamic same-sex marriage on February 18, 2012. In Paris in November 2012 a room in a Buddhist prayer hall was used by gay Muslims and called a "gay-friendly mosque", and a French Islamic website is supporting religious same-sex marriage. The Ibn Ruschd-Goethe mosque in Berlin is a liberal mosque open to all types of Muslims, where men and women pray together and LGBT worshippers are welcomed and supported. Other significant LGBT-inclusive mosques or prayer groups include the El-Tawhid Juma Circle Unity Mosque in Toronto, Masjid an-Nur al-Isslaah (Light of Reform Mosque) in Washington D.C., Masjid Al-Rabia in Chicago, Unity Mosque in Atlanta, People's Mosque in Cape Town South Africa, Masjid Ul-Umam mosque in Cape Town, Qal'bu Maryamin in California, and the Nur Ashki Jerrahi Sufi Community in New York City. Muslims for Progressive Values, based in the United States and Malaysia, is "a faith-based, grassroots, human rights organization that embodies and advocates for the traditional Qur'anic values of social justice and equality for all, for the 21st Century." MPV has recorded "a lecture series that seeks to dismantle the religious justification for homophobia in Muslim communities." The lectures can be viewed at MPV Lecture Series. The Mecca Institute is an LGBT-inclusive and progressive online Islamic seminary, and serves as an online center of Islamic learning and research. Defunct movements The Al-Fatiha Foundation was an organization which tried to advance the cause of gay, lesbian, and transgender Muslims. It was founded in 1998 by Faisal Alam, a Pakistani American, and was registered as a nonprofit organization in the United States. The organization was an offshoot of an internet listserve that brought together many gay, lesbian and questioning Muslims from various countries. The Foundation accepted and considered homosexuality as natural, either regarding Qur'anic verses as obsolete in the context of modern society, or stating that the Qu'ran speaks out against homosexual lust and is silent on homosexual love. After Alam stepped down, subsequent leaders failed to sustain the organization and it began a process of legal dissolution in 2011. In 2001, Al-Muhajiroun, an international organization which sought the establishment of a global Islamic caliphate, but which is now a banned and defunct, issued a fatwa (ruling) declaring that all members of Al-Fatiha were murtadd (apostates), and condemning them to death. Because of this threat and their conservative familial backgrounds, many Al-Fatiha members chose anonymity to protect their identity. Al-Fatiha had fourteen chapters in the United States, as well as offices in England, Canada, Spain, Turkey, and South Africa. Active movements The Al-Fitrah Foundation, previously known as The Inner Circle was one of the first queer Muslim organizations founded in 1996 when its founder Imam Muhsin Hendricks publicly revealed his sexual orientation. Imam Muhsin Hendricks is also considered as the world's first openly queer Imam. His activism grew since then and the organization became public in 1998. It soon grew into an international organization with annual international retreats of up to 120 international delegates meeting annually in Cape Town to discuss issues pertaining to LGBTIQ Muslims. In 2018 after having served the organization for 20 years her resigned after detecting corruption in the organization and being maliciously and wrongfully accused of mismanagement of funds. He, along with other queer Muslims who left the old Al-Fitrah Foundation founded a new organization in 2018 called Al-Ghurbaah Foundation. Imam Muhsin Hendricks also administers the Compassion-centred Islamic Network (CCI Network) which is a global network that seeks to connect and create a stronger voice for queer Muslims amongst activists, academics, Islamic scholars and religious leaders (Imams). Currently, the organization's main focus is working with religious leaders (Imams) while serving the needs of the queer Muslim community globally. Al-Ghurbaah Foundation also runs an inclusive mosque called Masjidul Ghurbaah which is open to anyone who wants to connect spiritually regardless of sexual orientation, gender identity, religion or belief. In November 2012, a prayer room was set up in Paris by gay Islamic scholar and founder of the group 'Homosexual Muslims of France' Ludovic-Mohamed Zahed. It was described by the press as the first gay-friendly mosque in Europe. The reaction from the rest of the Muslim community in France has been mixed. The opening has been condemned by the Grand Mosque of Paris. In September 2019, a group of Muslims known as Imaan who identify and support LGBTQ+ members of Islam religion attempted to crowdfund £5,000 to host a festival for LGBTQ+ Muslims. Since homosexuality is against the law in some Middle Eastern countries, Imaan is taking a large stance against these laws and is attempting to change the way Middle Eastern countries look at LGBTQ+ individuals. Many LGBTQ+ Muslims are forced to choose between their sexuality and their religion, often forcing individuals to not express who they truly are. The Ibn Ruschd-Goethe mosque in Berlin is a liberal mosque open to all types of Muslims, where men and women pray together and LGBT worshippers are welcomed and supported. Imaan, a social support group for Muslim LGBT people and their families, exists in the UK. Imaan, like Al-Fatiha, was founded by gay Pakistani activists. Inclusive Mosque Initiative, a UK based grassroots activist organisation founded in 2012, which works toward "establishing a place of worship for the promotion and practice of an inclusive Islam". Nur Warsame has been an advocate for LGBTQ Muslims. He founded Marhaba, a support group for queer Muslims in Melbourne, Australia. In May 2016, Wahrsage revealed that he is homosexual in an interview on SBS2's The Feed, being the first openly gay Imam in Australia. The Muslim Alliance for Sexual and Gender Diversity (MASGD) in the United States began on 23 January 2013. It supports, empowers and connects LGBTQ Muslims. It aims "to increase the acceptance of gender and sexual diversity within Muslim communities." On 20 June 2016, an interview with Mirna Haidar (a member of the MASGD's steering committee) was published in The Washington Post. She described the MASGD as supporting "LGBT Muslims who want or need to embrace both their sexual and religious identities." Haidar said that the support which the MASGD provides is needed because a person who is "Muslim and queer " faces "two different systems of oppression": Islamophobia and homophobia. Muslims for Progressive Values, based in the United States and in Malaysia, is "a faith-based, grassroots, human rights organization that embodies and advocates for the traditional Qur'anic values of social justice and equality for all, for the 21st Century." MPV has recorded "a lecture series that seeks to dismantle the religious justification for homophobia in Muslim communities." The lectures can be viewed at MPV Lecture Series. The Safra Project for women is based in the UK. It supports and works on issues relating to prejudice LGBTQ Muslim women. It was founded in October 2001 by Muslim LBT women. The Safra Project's "ethos is one of inclusiveness and diversity." Salam is a voluntary organization that promotes an inclusive and safe environment for lesbians, gays, bisexuals, transgender people, and / or other non-binary Muslims backgrounds in Norway. Salaam is the first gay Muslim group in Canada and second in the world. Salaam was found in 1993 by El-Farouk Khaki, who organized the Salaam/Al-Fateha International Conference in 2003. Sarajevski Otvoreni Centar (Sarajevo Open Centre), abbreviated SOC, is an independent feminist civil society organization and advocacy group which campaigns for lesbian, gay, bisexual, trans and intersex (LGBTI) people and women rights in Bosnia and Herzegovina. The organization also gives asylum and psychological support to victims of discrimination and violence. The Pink Report is an annual report made by the organization on the state of the Human Rights of LGBTI People in the country and is supported by the Norwegian Embassy. In May 2009, the Toronto Unity Mosque / el-Tawhid Juma Circle was founded by Laury Silvers, a University of Toronto religious studies scholar, alongside Muslim gay-rights activists El-Farouk Khaki and Troy Jackson. Unity Mosque/ETJC is a gender-equal, LGBT+ affirming, mosque. The mosque offers aims to eliminate gender segregation by removing a dress code for women. While it was the only mosques of its kind when it first opened, more communities and mosques have become more accepting of LGBT members. El-Farouk Khaki has been quoted as saying “more and more groups, communities and mosques that celebrate and embrace inclusion and diversity are forming”. Imam Daayiee Abdullah, one of America's first openly gay Imam's,
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motifs alluding to what is forbidden, in particular homosexuality and wine. Greek homoerotic motifs may have accurately described pederastic practices in ancient Greece, but in their Islamic adaptations they tended to play a satirical or metaphorical rather than descriptive role. At the same time, many miniatures, especially from Ottoman Turkey, contain explicit depictions of pederasty, suggesting that the practice enjoyed a certain degree of popularity. A number of pre-modern texts discuss the possibility of sexual exploitation faced by young boys in educational institutions and warn teachers to take precautions against it. In modern times, despite the formal disapproval of religious authority, the segregation of women in Muslim societies and the strong emphasis on male virility leads some adolescent males and unmarried young men to seek sexual outlets with boys younger than themselves—in one study in Morocco, with boys in the age-range 7 to 13. Liwat can therefore be regarded as "temptation", and anal intercourse is not seen as repulsively unnatural so much as dangerously attractive. They believe "one has to avoid getting buggered precisely in order not to acquire a taste for it and thus become addicted." Not all sodomy is homosexual: one Moroccan sociologist, in a study of sex education in his native country, states that for many young men, heterosexual sodomy is considered better than vaginal penetration, and female prostitutes likewise report the demand for anal penetration from their male clients. In regards to homosexual intercourse, it is the enjoyment that is considered bad, rather than simply the penetration. Deep shame attaches to the passive partner. Similar sexual sociologies are reported for other Muslim societies from North Africa to Pakistan and the Far East. In 2015, The New York Times reported that U.S. soldiers serving in Afghanistan were instructed by their commanders to ignore child sexual abuse being carried out by Afghan security forces, except "when rape is being used as a weapon of war". American soldiers have been instructed not to intervene—in some cases, not even when their Afghan allies have abused boys on military bases, according to interviews and court records. But the U.S. soldiers have been increasingly troubled that instead of weeding out pedophiles, the U.S. military was arming them against the Taliban and placing them as the police commanders of villages—and doing little when they began abusing children. Modern laws in Muslim-majority countries Criminalization According to the International Lesbian and Gay Association (ILGA) seven countries still retain capital punishment for homosexual behavior: Saudi Arabia, Yemen, Iran, Afghanistan, Mauritania, and northern Nigeria. In United Arab Emirates it is a capital offense. In Qatar, Algeria, Uzbekistan, and the Maldives, homosexuality is punished with time in prison or a fine. This has led to controversy regarding Qatar, which is due to stage the 2022 FIFA World Cup. Human rights groups have questioned the awarding in 2010 of the right to host the competition, due to the possibility that gay football fans may be jailed. In response, Sepp Blatter, head of FIFA, joked that they would have to "refrain from sexual activity" while in Qatar. He later withdrew the remarks after condemnation from rights groups. Same-sex sexual activity is illegal in Chad since 1 August 2017 under a new penal code. Before that, homosexuality between consenting adults had not been criminalized ever prior to this law. In Egypt, openly gay men have been prosecuted under general public morality laws. (See Cairo 52.) "Sexual relations between consenting adult persons of the same sex in private are not prohibited as such. However, the Law on the Combating of Prostitution, and the law against debauchery have been used to imprison gay men in recent years." An Egyptian TV host was recently sentenced to a year in prison for interviewing a gay man in January 2019. Islamic state has decreed capital punishment for gay people. They have executed more than two dozen men and women for suspected homosexual activity, including several thrown off the top of buildings in highly publicized executions. In India, which has the third-largest Muslim population in the world, and where Muslims form a large minority, the largest Islamic seminary (Darul Uloom Deoband) has vehemently opposed recent government moves to abrogate and liberalize laws from the colonial era that banned homosexuality. As of September 2018, homosexuality is no longer a criminal act in India, and most of the religious groups withdrew their opposing claims against it in the Supreme Court. In Iraq, homosexuality is allowed by the government, but terrorist groups often carry out illegal executions of gay people. Saddam Hussein was "unbothered by sexual mores." Ali Hili reports that "since the 2003 invasion more than 700 people have been killed because of their sexuality." He calls Iraq the "most dangerous place in the world for sexual minorities." In Jordan, where homosexuality is legal, "gay hangouts have been raided or closed on bogus charges, such as serving alcohol illegally." Despite this legality, social attitudes towards homosexuality are still hostile and hateful. In Pakistan, its law is a mixture of both British colonial law as well as Islamic law, both which proscribe criminal penalties for same-sex sexual acts. The Pakistan Penal Code of 1860, originally developed under colonial rule, punishes sodomy with a possible prison sentence and has other provisions that impact the human rights of LGBT Pakistanis, under the guise of protecting public morality and order. Yet, the more likely situation for gay and bisexual men is sporadic police blackmail, harassment, fines, and jail sentences. In Bangladesh, homosexual acts are illegal and punishable according to section 377. Due to the traditional mentality of the predominantly conservative Bangladeshi society, negative attitudes towards those in the LGBT community are high. In 2009 and 2013, the Bangladeshi Parliament refused to overturn Section 377. In Saudi Arabia, the maximum punishment for homosexual acts is public execution by beheading. In Malaysia, homosexual acts are illegal and punishable with jail, fine, deportation, whipping or chemical castration. In October 2018, Prime Minister Mahathir Mohamad stated that Malaysia would not "copy" Western nations' approach towards LGBT rights, indicating that these countries were exhibiting a disregard for the institutions of the traditional family and marriage, as the value system in Malaysia is good. In May 2019, in response to the warning of George Clooney about intending to impose death penalty for homosexuals like Brunei, the Deputy Foreign Minister Marzuki Yahya pointed out that Malaysia does not kill gay people, and will not resort to killing sexual minorities. He also said, although such lifestyles deviate from Islam, the government would not impose such a punishment on the group. In Indonesia, most parts of the country do not have a sodomy law and do not currently criminalize private, non-commercial homosexual acts among consenting adults, except in the Aceh province where homosexuality is illegal for Muslims under Islamic Sharia law, and punishable by flogging. While not criminalising homosexuality, the country does not recognise same-sex marriage. In July 2015, the Minister of Religious Affairs stated that it is difficult in Indonesia to legalize Gay Marriage, because strongly held religious norms speak strongly against it. According to some jurists, there should be death stoning penalty for homosexuals. While another group consider flogging with 100 lashes is the correct punishment. In Turkey, homosexuality is legal, but "official censure can be fierce". A former interior minister, İdris Naim Şahin, called homosexuality an example of "dishonour, immorality and inhuman situations". Turkey held its 16th Gay Pride Parade in Istanbul on 30 June 2019. As the latest addition in the list of criminalizing Muslim counties, Brunei's has implemented penalty for homosexuals within Sharia Penal Code in stages since 2014. It prescribes death by stoning as punishment for sex between men, and sex between women is punishable by caning or imprisonment. The sultanate currently has a moratorium in effect on death penalty. Death penalty In 2016, the International Lesbian, Gay, Bisexual, Trans and Intersex Association (ILGA) released its most recent State Sponsored Homophobia Report. The report found that thirteen countries or regions impose the death penalty for "same-sex sexual acts" with reference to sharia-based laws. In Iran, according to article 129 and 131 there are up to 100 lashes of whip first three times and fourth time death penalty for lesbians. The death penalty is implemented nationwide in Brunei, Iran, Saudi Arabia, Afghanistan and Yemen; Northern Nigeria, United Arab Emirates, and Somalia. This punishment is also allowed by the law but not implemented in Mauritania, and Pakistan; and was back then implemented through non-state courts by ISIS in parts of Iraq and Syria (now no longer existing). Due to Brunei's law dictating that gay sex be punishable by stoning, many of its targeted citizens fled to Canada in hopes of finding refuge. The law is also set to impose the same punishment for adultery among heterosexual couples. Despite pushback from citizens in the LGBTQ+ community, Brunei prime minister's office produced a statement explaining Brunei's intention for carrying through with the law. It has been suggested that this is part of a plan to separate Brunei from the western world and towards a Muslim one. Minor penalty In Algeria, Bangladesh, Chad, Morocco , Aceh , Maldives, Oman, Pakistan, Qatar, Syria and Tunisia it is illegal, and penalties may be imposed. In Kuwait, Turkmenistan and Uzbekistan, homosexual acts between males are illegal, but homosexual relations between females are legal. Legalization The Ottoman Empire (predecessor of Turkey) decriminalized homosexuality in 1858. In Turkey, where 99.8% of the population is officially registered as Muslim, homosexuality has never been criminalized since the day it was founded in 1923. Same-sex sexual intercourse is legal in Albania, Azerbaijan, Bahrain, Bosnia and Herzegovina, Burkina Faso, Djibouti, Guinea-Bissau, Iraq, Jordan, Kazakhstan, Kosovo, Kyrgyzstan, Mali, Niger, Tajikistan, Turkey, West Bank (State of Palestine), Indonesia, and in Northern Cyprus. In Albania and Turkey, there have been discussions about legalizing same-sex marriage. Albania, Northern Cyprus, Bosnia and Herzegovina and Kosovo also protect LGBT people with anti-discrimination laws. Same-sex relations between females are legal in Kuwait, Turkmenistan, and Uzbekistan, but homosexual acts between males are illegal. In Lebanon, courts have ruled that the country's penal code must not be used to target homosexuals, but the law has yet to be changed by parliament. Same-sex marriage In 2007 there was a gay party in the Moroccan town of al-Qasr al-Kabir. Rumours spread that this was a gay marriage and more than 600 people took to the streets, condemning the alleged event and protesting against leniency towards homosexuals. Several persons who attended the party were detained and eventually six Moroccan men were sentenced to between four and ten months in prison for "homosexuality". In France there was an Islamic same-sex marriage on 18 February 2012. In Paris in November 2012 a room in a Buddhist prayer hall was used by gay Muslims and called a "gay-friendly mosque", and a French Islamic website is supporting religious same-sex marriage. The first American Muslim in the United States Congress, Keith Ellison (D-MN) said in 2010 that all discrimination against LGBT people is wrong. He further expressed support for gay marriage stating: I believe that the right to marry someone who you please is so fundamental it should not be subject to popular approval any more than we should vote on whether blacks should be allowed to sit in the front of the bus. In 2014 eight men were jailed for three years by a Cairo court after the circulation of a video of them allegedly taking part in a private wedding ceremony between two men on a boat on the Nile. Transgender In the late 1980s, Mufti Muhammad Sayyid Tantawy of Egypt issued a fatwa supporting the right for those who fit the description of mukhannathun to have sex reassignment surgery; Ayatollah Khomeini of Iran issued similar fatwas around the same time. Khomeini's initial fatwa concerned intersex individuals as well, but he later specified that sex reassignment surgery was also permissible in the case of transgender individuals. Because homosexuality is illegal in Iran but transgenderism is legal, some gay individuals have been forced to undergo sex reassignment surgery and transition into the opposite sex, regardless of their actual gender identity. While Iran has outlawed homosexuality, Iranian thinkers such as Ayatollah Khomeini have allowed for transgender people to change their sex so that they can enter heterosexual relationships. This position has been confirmed by the Supreme Leader of Iran, Ayatollah Ali Khamenei, and is also supported by many other Iranian clerics. Iran carries out more sex change operations than any other nation in the world, except for Thailand. It is regarded as a cure for homosexuality, which is punishable by death under Iranian law. The government even provides up to half the cost for those needing financial assistance and a sex change is recognized on the birth certificate. On 26 June 2016, clerics affiliated to the Pakistan-based organization Tanzeem Ittehad-i-Ummat issued a fatwa on transgender people where a trans woman (born male) with "visible signs of being a woman" is allowed to marry a man, and a trans man (born female) with "visible signs of being a man" is allowed to marry a woman. Pakistani transgender persons can also change their (legal) sex. Muslim ritual funerals also apply. Depriving transgender people of their inheritance, humiliating, insulting or teasing them were also declared haraam. In Pakistan, transgender people make up 0.005 percent of the total population. Previously, transgender people were isolated from society and had no legal rights or protections. They also suffered discrimination in healthcare services. For example, in 2016 a transgender individual died in a hospital while doctors were trying to decide which ward the patient should be placed in. Transgender people also faced discrimination in finding employment resulting from incorrect identity cards and incongruous legal status. Many were forced into poverty, dancing, singing, and begging on the streets to scrape by. However, in May 2018, the Pakistani parliament passed a bill giving transgender individuals the right to choose their legal sex and correct their official documents, such as ID cards, driver licenses, and passports. Today, transgender people in Pakistan have the right to vote and to search for a job free from discrimination. As of 2018, one transgender woman became a news anchor, and two others were appointed to the Supreme Court. In Lebanon, transgender women are not given any rights. Discrimination starts from their own family members when trans women are forced to leave their house. After that, trans women are not allowed to have any connections with their family members or with their neighbors. Trans women can't access educational institutions and medical services. Moreover, trans women face employment discrimination due to their wrong identity cards that are not being corrected by the government agencies. To support themselves financially, the only option often open to trans women is sex work, which is not safe for them either. Doing sex work, trans women are at higher risk of sexual abuse and violence. No laws are in existence to protect trans women. Instead, trans women are being arrested and put in jail for up to one year for having same-sex intercourse. Although it prohibits homosexuality, Iran is the only Muslim-majority country in the Persian Gulf region that allows transgender people to express themselves by recognizing their self-identified gender and subsidizing reassignment surgery. Despite this, those who do not commit to reassignment surgery are often seen as freaks, and due to their refusal to conform they are treated as outcasts. Public opinion among Muslims The Muslim community as a whole, worldwide, has become polarized on the subject of homosexuality. Some Muslims say that "no good Muslim can be gay," and "traditional schools of Islamic law consider homosexuality a grave sin." At the opposite pole, "some Muslims . . . are welcoming what they see as an opening within their communities to address anti-gay attitudes." Especially, it is "young Muslims" who are "increasingly speaking out in support of gay rights". According to the Albert Kennedy Trust, one in four young homeless people identify as LGBT due to their religious parents disowning them. The Trust suggests that the majority of individuals who are homeless due to religious out casting are either Christian or Muslim. Many young adults who come out to their parents are often forced out of the house to find refuge in a more accepting place. This leads many individual to be homeless or even attempt suicide. Opinion polls In 2013, the Pew Research Center conducted a study on the global acceptance of homosexuality and found a widespread rejection of homosexuality in many nations that are predominantly Muslim. In some countries, views were becoming more conservative among younger people. 2019 Arab Barometer Survey: A 2007 survey of British Muslims showed that 61% believe homosexuality should be illegal. A later Gallup poll in 2009 showed that none of the 500 British Muslims polled believed homosexuality to be "morally acceptable". In a 2016 ICM poll of 1,081 British Muslims, 52% of those polled disagreed with the statement 'Homosexuality should be legal in Britain' while 18% agreed. In the same poll, 56% of British Muslims polled disagreed with the statement 'Gay marriage should be legal in Britain' compared with 20% of the control group and 47% disagreed with the statement 'It is acceptable for a homosexual person to be a teacher in a school' compared with 14% of the control group. According to a 2012 poll, 51% of the Turks in Germany, who account for nearly two thirds of the total Muslim population in Germany, believed that homosexuality is an illness. However, a more recent poll from 2015 found that more than 60% of Muslims in Germany support gay marriage. A poll in 2017 also found 60% support for gay marriage. American Muslims - in line with general public attitudes in the United States - have become much more accepting of homosexuality over recent years. In a 2007 poll conducted by Pew Research Center, only 27% of American Muslims believed that homosexuality should be accepted. In a 2011 poll, that rose to 39%. In a July 2017 poll, Muslims who say homosexuality should be accepted by society clearly outnumber those who say it should be discouraged (52% versus 33%), a level of acceptance similar to American Protestants (52% in 2016). According to research by the Public Religion Research Institute's 2017 American Values Atlas, 51% of American Muslims favor same-sex marriage, while 34% are opposed. The 2009 Gallup poll showed that 35% of the French Muslims believed that homosexuality to be "morally acceptable". A 2016 iVOX survey of Belgian Muslims found that 53% agreed with the statement: "I have no issues with homosexuality." Approximately 30% disagreed with the statement while the rest refused to answer or were unsure. A 2016 survey of Canadian Muslims showed that 36% believes homosexuality should be generally accepted by society with up to 47% young Canadian Muslims(18-34) holding this belief.The survey also states that 43% of the Canadian Muslims disagreed with the statement homosexuality is acceptable. Muslims who opposed homosexuality are mostly older age groups 45 to 59 (55%), those with the lowest incomes (56%). Turkey Muslims: According to the survey conducted by the Kadir Has University in Istanbul in 2016, 33 per cent of people said that LGBT people should have equal rights. This increased to 45 per cent in 2020. Another survey by Kadir Has University in 2018 found that 55.3 percent of people wouldn't want a homosexual neighbour. This decreased to 46.5 per cent in 2019. Muslim leaders Sunni In 2017, the Egyptian cleric, Sheikh Yusuf al-Qaradawi (who has served as chairman of the European Council for Fatwa and Research) was asked how gay people should be punished. He replied that "there is disagreement," but "the important thing is to treat this act as a crime." Shia Iran's current Supreme Leader, Ayatollah Ali Khamenei has stated that "There is no worst form of moral degeneration than [homosexuality]. ... But it won't stop here. In the future, not sure exactly when, they will legalize incest and even worse." According to the conservative news website Khabaronline, Mohammad Javad Larijani, Khamenei's close adviser, stated "In our society, homosexuality is regarded as an illness and malady," and that "Promoting homosexuality is illegal and we have strong laws against it." He added, "It [homosexuality] is considered as a norm in the West and they are forcing us to accept it. We are strongly against this." Ayatollah Ali al-Sistani in Iraq has stated "It is not permissible for a man to look at another man with lust; similarly, it is not permissible for a woman to look at another woman with lust. Homosexuality (Ash-shudhûdh al-jinsi) is harãm. Similarly, it is forbidden for a female to engage in a sexual act with another female, i.e. lesbianism." LGBT-related movements within Islam Conservative movements Ex-gay organizations There are a number of Islamic ex-gay organizations, that is, those composed of people claiming to have experienced a basic change in sexual orientation from exclusive homosexuality to exclusive heterosexuality. These groups, like those based in socially conservative Christianity, are aimed at attempting to guide homosexuals towards heterosexuality. One of the leading LGBT reformatory Muslim organization is StraightWay Foundation, which was established in the United Kingdom in 2004 as an organization that provides information and advice for Muslims who struggle with homosexual attraction. They believe "that through following God's guidance", one may "cease to be" gay. They teach that the male-female pair is the "basis for humanity's growth" and that homosexual acts "are forbidden by God". NARTH has written favourably of the group. In 2004, Straightway entered into a controversy with the contemporary Mayor of London, Ken Livingstone, and the controversial Islamic cleric Yusuf al-Qaradawi. It was suggested that Livingstone was giving a platform to Islamic fundamentalists, and not liberal and progressive Muslims. Straightway responded to this by compiling a document to clarify what they regarded as fundamental issues concerning Islam and homosexuality. They sent Livingstone a letter thanking him for his support of al-Qaradawi. Livingstone then ignited controversy when he thanked Straightway for the letter. Chechnya anti-gay purge Since February 2017, over 100 male residents of the Chechen Republic (a majority-Muslim part of the Russian Federation) assumed to be gay or bisexual have been rounded up, detained and tortured by authorities on account of their sexual orientation. These crackdowns have been described as part of a systemic anti-LGBT "purge" in the region. The men are held and allegedly tortured in concentration camps. Allegations were initially reported in Novaya Gazeta on 1 April 2017 a Russian-language opposition newspaper, which reported that over 100 men have allegedly been detained and tortured and at least three people have died in an extrajudicial killing. The paper, citing its sources in the Chechen special services, called the wave of detentions a "prophylactic sweep." The journalist who first reported on the subject has gone into hiding, There have been calls for reprisals for journalists reporting on the situation. In response, the Russian LGBT Network is attempting to assist those who are threatened to evacuate from Chechnya. Human rights groups and foreign governments have called upon Russia and Chechnya to put an end to the internments. On 11 January 2019, it was reported that another 'gay purge' had begun in the country in December 2018, with several gay men and women being detained. The Russian LGBT Network believes that around 40 persons were detained and two killed. Attempts against LGBT people Several anti-LGBT incidents have occurred: In 2012, in the English city of Derby, some Muslim men "distributed . . . leaflets depicting gay men being executed in an attempt to encourage hatred against homosexuals." The leaflets had such titles as "Turn or Burn" and "God abhors you" and they advocated a death penalty for homosexuality. The men were "convicted of hate crimes" on 20 January 2012. One of the men said that he was doing his Muslim duty. 31 December 2013 - New Year's Eve arson attack on gay nightclub in Seattle, packed with 300+ revelers, but no one injured. Subject charged prosecuted under federal terror and hate-crime charges. 12 February 2016 - Across Europe, gay refugees facing abuse at migrant asylum shelters are forced to flee shelters. 25 April 2016 - Xulhaz Mannan, an employee of the United States embassy in Dhaka and the editor of Bangladesh's first and only LGBT magazine, was killed in his apartment by a gang of Islamic militants. 12 June 2016 - At least 49 people were killed and 50 injured in a mass shooting at Pulse gay nightclub in Orlando, Florida, in the second deadliest mass shooting by an individual and the deadliest incident of violence against LGBT people in U.S. history. The shooter, Omar Mateen, pledged allegiance to ISIL. The act has been described by investigators as an Islamic terrorist attack and a hate crime. Upon further review, investigators indicated Omar Mateen showed few signs of radicalization, suggesting that the shooter's pledge to ISIL may have been a calculated move to garner more news coverage. Afghanistan, Algeria, Azerbaijan, Bahrain, Djibouti, Egypt, Iraq, Iran, Pakistan, Saudi Arabia, Turkey, Turkmenistan and
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receive wages, I will send them to you. In the meantime, if (good fortune to you!) you give birth, if it is a boy, let it live; if it is a girl, expose it.", "If you give birth to a boy, keep it. If it is a girl, expose it. Try not to worry. I'll send the money as soon as we get paid." In some periods of Roman history it was traditional for a newborn to be brought to the pater familias, the family patriarch, who would then decide whether the child was to be kept and raised, or left to die by exposure. The Twelve Tables of Roman law obliged him to put to death a child that was visibly deformed. The concurrent practices of slavery and infanticide contributed to the "background noise" of the crises during the Republic. Infanticide became a capital offense in Roman law in 374, but offenders were rarely if ever prosecuted. According to mythology, Romulus and Remus, twin infant sons of the war god Mars, survived near-infanticide after being tossed into the Tiber River. According to the myth, they were raised by wolves, and later founded the city of Rome. Middle Ages Whereas theologians and clerics preached sparing their lives, newborn abandonment continued as registered in both the literature record and in legal documents. According to William Lecky, exposure in the early Middle Ages, as distinct from other forms of infanticide, "was practiced on a gigantic scale with absolute impunity, noticed by writers with most frigid indifference and, at least in the case of destitute parents, considered a very venial offence". The first foundling house in Europe was established in Milan in 787 on account of the high number of infanticides and out-of-wedlock births. The Hospital of the Holy Spirit in Rome was founded by Pope Innocent III because women were throwing their infants into the Tiber river. Unlike other European regions, in the Middle Ages the German mother had the right to expose the newborn. In the High Middle Ages, abandoning unwanted children finally eclipsed infanticide. Unwanted children were left at the door of church or abbey, and the clergy was assumed to take care of their upbringing. This practice also gave rise to the first orphanages. However, very high sex ratios were common in even late medieval Europe, which may indicate sex-selective infanticide. Judaism Judaism prohibits infanticide, and has for some time, dating back to at least early Common Era. Roman historians wrote about the ideas and customs of other peoples, which often diverged from their own. Tacitus recorded that the Jews "take thought to increase their numbers, for they regard it as a crime to kill any late-born children". Josephus, whose works give an important insight into 1st-century Judaism, wrote that God "forbids women to cause abortion of what is begotten, or to destroy it afterward". Pagan European tribes In his book Germania, Tacitus wrote in that the ancient Germanic tribes enforced a similar prohibition. He found such mores remarkable and commented: "To restrain generation and the increase of children, is esteemed [by the Germans] an abominable sin, as also to kill infants newly born." It has become clear over the millennia, though, that Tacitus' description was inaccurate; the consensus of modern scholarship significantly differs. John Boswell believed that in ancient Germanic tribes unwanted children were exposed, usually in the forest. "It was the custom of the [Teutonic] pagans, that if they wanted to kill a son or daughter, they would be killed before they had been given any food." Usually children born out of wedlock were disposed of that way. In his highly influential Pre-historic Times, John Lubbock described burnt bones indicating the practice of child sacrifice in pagan Britain. The last canto, Marjatan poika (Son of Marjatta), of Finnish national epic Kalevala describes assumed infanticide. Väinämöinen orders the infant bastard son of Marjatta to be drowned in a marsh. The Íslendingabók, the main source for the early history of Iceland, recounts that on the Conversion of Iceland to Christianity in 1000 it was provided – in order to make the transition more palatable to Pagans – that "the old laws allowing exposure of newborn children will remain in force". However, this provision – among other concessions made at the time to the Pagans – was abolished some years later. Christianity Christianity explicitly rejects infanticide. The Teachings of the Apostles or Didache said "thou shalt not kill a child by abortion, neither shalt thou slay it when born". The Epistle of Barnabas stated an identical command, both thus conflating abortion and infanticide. Apologists Tertullian, Athenagoras, Minucius Felix, Justin Martyr and Lactantius also maintained that exposing a baby to death was a wicked act. In 318, Constantine I considered infanticide a crime, and in 374, Valentinian I mandated the rearing of all children (exposing babies, especially girls, was still common). The Council of Constantinople declared that infanticide was homicide, and in 589, the Third Council of Toledo took measures against the custom of killing their own children. Arabia Some Muslim sources allege that pre-Islamic Arabian society practiced infanticide as a form of "post-partum birth control". The word waʾd was used to describe the practice. These sources state that infanticide was practiced either out of destitution (thus practiced on males and females alike), or as "disappointment and fear of social disgrace felt by a father upon the birth of a daughter". Some authors believe that there is little evidence that infanticide was prevalent in pre-Islamic Arabia or early Muslim history, except for the case of the Tamim tribe, who practiced it during severe famine according to Islamic sources. Others state that "female infanticide was common all over Arabia during this period of time" (pre-Islamic Arabia), especially by burying alive a female newborn. A tablet discovered in Yemen, forbidding the people of a certain town from engaging in the practice, is the only written reference to infanticide within the peninsula in pre-Islamic times. Islam Infanticide is explicitly prohibited by the Qur'an. "And do not kill your children for fear of poverty; We give them sustenance and yourselves too; surely to kill them is a great wrong." Together with polytheism and homicide, infanticide is regarded as a grave sin (see and ). Infanticide is also implicitly denounced in the story of Pharaoh's slaughter of the male children of Israelites (see ; ; ; ; ; ). Ukraine and Russia Infanticide may have been practiced as human sacrifice, as part of the pagan cult of Perun. Ibn Fadlan describes sacrificial practices at the time of his trip to Kiev Rus (present-day Ukraine) in 921–922, and describes an incident of a woman voluntarily sacrificing her life as part of a funeral rite for a prominent leader, but makes no mention of infanticide. The Primary Chronicle, one of the most important literary sources before the 12th century, indicates that human sacrifice to idols may have been introduced by Vladimir the Great in 980. The same Vladimir the Great formally converted Kiev Rus into Christianity just 8 years later, but pagan cults continued to be practiced clandestinely in remote areas as late as the 13th century. American explorer George Kennan noted that among the Koryaks, a Mongoloid people of north-eastern Siberia, infanticide was still common in the nineteenth century. One of a pair of twins was always sacrificed. Great Britain Infanticide (as a crime) gained both popular and bureaucratic significance in Victorian Britain. By the mid-19th century, in the context of criminal lunacy and the insanity defence, killing one's own child(ren) attracted ferocious debate, as the role of women in society was defined by motherhood, and it was thought that any woman who murdered her own child was by definition insane and could not be held responsible for her actions. Several cases were subsequently highlighted during the Royal Commission on Capital Punishment 1864–66, as a particular felony where an effective avoidance of the death penalty had informally begun. The New Poor Law Act of 1834 ended parish relief for unmarried mothers and allowed fathers of illegitimate children to avoid paying for "child support". Unmarried mothers then received little assistance and the poor were left with the option either entering the workhouse, prostitution, infanticide or abortion. By the middle of the century infanticide was common for social reasons, such as illegitimacy, and the introduction of child life insurance additionally encouraged some women to kill their children for gain. Examples are Mary Ann Cotton, who murdered many of her 15 children as well as three husbands, Margaret Waters, the 'Brixton Baby Farmer', a professional baby-farmer who was found guilty of infanticide in 1870, Jessie King hanged in 1889, Amelia Dyer, the 'Angel Maker', who murdered over 400 babies in her care, and Ada Chard-Williams, a baby farmer who was later hanged at Newgate prison. The Times reported that 67 infants were murdered in London in 1861 and 150 more recorded as "found dead", many of which were found on the streets. Another 250 were suffocated, half of them not recorded as accidental deaths. The report noted that "infancy in London has to creep into life in the midst of foes." Recording a birth as a still-birth was also another way of concealing infanticide because still-births did not need to be registered until 1926 and they did not need to be buried in public cemeteries. In 1895 The Sun (London) published an article "Massacre of the Innocents" highlighting the dangers of baby-farming, in the recording of stillbirths and quoting Braxton-Hicks, the London Coroner, on lying-in houses: "I have not the slightest doubt that a large amount of crime is covered by the expression 'still-birth'. There are a large number of cases of what are called newly-born children, which are found all over England, more especially in London and large towns, abandoned in streets, rivers, on commons, and so on." He continued "a great deal of that crime is due to what are called lying-in houses, which are not registered, or under the supervision of that sort, where the people who act as midwives constantly, as soon as the child is born, either drop it into a pail of water or smother it with a damp cloth. It is a very common thing, also, to find that they bash their heads on the floor and break their skulls." The last British woman to be executed for infanticide of her own child was Rebecca Smith, who was hanged in Wiltshire in 1849. The Infant Life Protection Act of 1897 required local authorities to be notified within 48 hours of changes in custody or the death of children under seven years. Under the Children's Act of 1908 "no infant could be kept in a home that was so unfit and so overcrowded as to endanger its health, and no infant could be kept by an unfit nurse who threatened, by neglect or abuse, its proper care, and maintenance." Asia China Short of execution, the harshest penalties were imposed on practitioners of infanticide by the legal codes of the Qin dynasty and Han dynasty of ancient China. The Venetian explorer Marco Polo claimed to have seen newborns exposed in Manzi. China's society practiced sex selective infanticide. Philosopher Han Fei Tzu, a member of the ruling aristocracy of the , who developed a school of law, wrote: "As to children, a father and mother when they produce a boy congratulate one another, but when they produce a girl they put it to death." Among the Hakka people, and in Yunnan, Anhui, Sichuan, Jiangxi and Fujian a method of killing the baby was to put her into a bucket of cold water, which was called "baby water". Infanticide was reported as early as the , and, by the time of the Song dynasty (), it was widespread in some provinces. Belief in transmigration allowed poor residents of the country to kill their newborn children if they felt unable to care for them, hoping that they would be reborn in better circumstances. Furthermore, some Chinese did not consider newborn children fully "human" and saw "life" beginning at some point after the sixth month after birth. Contemporary writers from the Song dynasty note that, in Hubei and Fujian provinces, residents would only keep three sons and two daughters (among poor farmers, two sons, and one daughter), and kill all babies beyond that number at birth. Initially the sex of the child was only one factor to consider. By the time of the Ming Dynasty, however (1368–1644), male infanticide was becoming increasingly uncommon. The prevalence of female infanticide remained high much longer. The magnitude of this practice is subject to some dispute; however, one commonly quoted estimate is that, by late Qing, between one fifth and one-quarter of all newborn girls, across the entire social spectrum, were victims of infanticide. If one includes excess mortality among female children under 10 (ascribed to gender-differential neglect), the share of victims rises to one third. Scottish physician John Dudgeon, who worked in Peking, China, during the early 20th century said that, "Infanticide does not prevail to the extent so generally believed among us, and in the north, it does not exist at all." Gender-selected abortion or sex identification (without medical uses), abandonment, and infanticide are illegal in present-day Mainland China. Nevertheless, the US State Department, and the human rights organization Amnesty International have all declared that Mainland China's family planning programs, called the one child policy (which has since changed to a two-child policy), contribute to infanticide. The sex gap between males and females aged 0–19 years old was estimated to be 25 million in 2010 by the United Nations Population Fund. But in some cases, in order to avoid Mainland China's family planning programs, parents will not report to government when a child is born (in most cases a girl), so she or he will not have an identity in the government and they can keep on giving birth until they are satisfied, without fines or punishment. In 2017, the government announced that all children without an identity can now have an identity legally, known as family register. Japan Since feudal Edo era Japan the common slang for infanticide was "mabiki" (間引き) which means to pull plants from an overcrowded garden. A typical method in Japan was smothering the baby's mouth and nose with wet paper. It became common as a method of population control. Farmers would often kill their second or third sons. Daughters were usually spared, as they could be married off, sold off as servants or prostitutes, or sent off to become geishas. Mabiki persisted in the 19th century and early 20th century. To bear twins was perceived as barbarous and unlucky and efforts were made to hide or kill one or both twins. India Female infanticide of newborn girls was systematic in feudatory Rajputs in South Asia for illegitimate female children during the Middle Ages. According to Firishta, as soon as the illegitimate female child was born she was held "in one hand, and a knife in the other, that any person who wanted a wife might take her now, otherwise she was immediately put to death". The practice of female infanticide was also common among the Kutch, Kehtri, Nagar, Bengal, Miazed, Kalowries and Sindh communities. It was not uncommon that parents threw a child to the sharks in the Ganges River as a sacrificial offering. The East India Company administration were unable to outlaw the custom until the beginning of the 19th century. According to social activists, female infanticide has remained a problem in India into the 21st century, with both NGOs and the government conducting awareness campaigns to combat it. Africa In some African societies some neonates were killed because of beliefs in evil omens or because they were considered unlucky. Twins were usually put to death in Arebo; as well as by the Nama people of South West Africa; in the Lake Victoria Nyanza region; by the Tswana in Portuguese East Africa; in some parts of Igboland, Nigeria twins were sometimes abandoned in a forest at birth (as depicted in Things Fall Apart), oftentimes one twin was killed or hidden by midwives of wealthier mothers; and by the !Kung people of the Kalahari Desert. The Kikuyu, Kenya's most populous ethnic group, practiced ritual killing of twins. Infanticide is rooted in the old traditions and beliefs prevailing all over the country. A survey conducted by Disability Rights International found that 45% of women interviewed by them in Kenya were pressured to kill their children born with disabilities. The pressure is much higher in the rural areas, with every two mothers being forced out of three. Australia Literature suggests infanticide may have occurred reasonably commonly among Indigenous Australians, in all areas of Australia prior to European settlement. Infanticide may have continued to occur quite often up until the 1960s. An 1866 issue of The Australian News for Home Readers informed readers that "the crime of infanticide is so prevalent amongst the natives that it is rare to see an infant". Author Susanna de Vries in 2007 told a newspaper that her accounts of Aboriginal violence, including infanticide, were censored by publishers in the 1980s and 1990s. She told reporters that the censorship "stemmed from guilt over the stolen children question". Keith Windschuttle weighed in on the conversation, saying this type of censorship started in the 1970s. In the same article Louis Nowra suggested that infanticide in customary Aboriginal law may have been because it was difficult to keep an abundant number of Aboriginal children alive; there were life-and-death decisions modern-day Australians no longer have to face. South Australia and Victoria According to William D. Rubinstein, "Nineteenth-century European observers of Aboriginal life in South Australia and Victoria reported that about 30% of Aboriginal infants were killed at birth." James Dawson wrote a passage about infanticide among Indigenous people in the western district of Victoria, which stated that "Twins are as common among them as among Europeans; but as food is occasionally very scarce, and a large family troublesome to move about, it is lawful and customary to destroy the weakest twin child, irrespective of sex. It is usual also to destroy those which are malformed." He also wrote "When a woman has children too rapidly for the convenience and necessities of the parents, she makes up her mind to let one be killed, and consults with her husband which it is to be. As the strength of a tribe depends more on males than females, the girls are generally sacrificed. The child is put to death and buried, or burned without ceremony; not, however, by its father or mother, but by relatives. No one wears mourning for it. Sickly children are never killed on account of their bad health, and are allowed to die naturally." Western Australia In 1937, a reverend in the Kimberley offered a "baby bonus" to Aboriginal families as a deterrent against infanticide and to increase the birthrate of the local Indigenous population. Australian Capital Territory A Canberran journalist in 1927 wrote of the "cheapness of life" to the Aboriginal people local to the Canberra area 100 years before. "If drought or bush fires had devastated the country and curtailed food supplies, babies got a short shift. Ailing babies, too would not be kept" he wrote. New South Wales A bishop wrote in 1928 that it was common for Aboriginal Australians to restrict the size of their tribal groups, including by infanticide, so that the food resources of the tribal area may be sufficient for them. Northern Territory Annette Hamilton, a professor of anthropology at Macquarie University who carried out research in the Aboriginal community of Maningrida in Arnhem Land during the 1960s wrote that prior to that time part-European babies born to Aboriginal mothers had not been allowed to live, and that 'mixed-unions are frowned on by men and women alike as a matter of principle'. North America Inuit There is no agreement about the actual estimates of the frequency of newborn female infanticide in the Inuit population. Carmel Schrire mentions diverse studies ranging from 15 to 50% to 80%. Polar Inuit (Inughuit) killed the child by throwing him or her into the sea. There is even a legend in Inuit mythology, "The Unwanted Child", where a mother throws her child into the fjord. The Yukon and the Mahlemuit tribes of Alaska exposed the female newborns by first stuffing their mouths with grass before leaving them to die. In Arctic Canada the Inuit exposed their babies on the ice and left them to die. Female Inuit infanticide disappeared in the 1930s and 1940s after contact with the Western cultures from the South. Canada The Handbook of North American Indians reports infanticide among the Dene Natives and those of the Mackenzie Mountains. Native Americans In the Eastern Shoshone there was a scarcity of Indian women as a result of female infanticide. For the Maidu Native Americans twins were so dangerous that they not only killed them, but the mother as well. In the region known today as southern Texas, the Mariame Indians practiced infanticide of females on a large scale. Wives had to be obtained from neighboring groups. Mexico Bernal Díaz recounted that, after landing on the Veracruz coast, they came across a temple dedicated to Tezcatlipoca. "That day they had sacrificed two boys, cutting open their chests and offering their blood and hearts to that accursed idol". In The Conquest of New Spain Díaz describes more child sacrifices in the towns before the Spaniards reached the large Aztec city Tenochtitlan. South America Although academic data of infanticides among the indigenous people in South America is not as abundant as that of North America, the estimates seem to be similar. Brazil The Tapirapé indigenous people of Brazil allowed no more than three children per woman, and no more than two of the same sex. If the rule was broken infanticide was practiced. The Bororo killed all the newborns that did not appear healthy enough. Infanticide is also documented in the case of the Korubo people in the Amazon. The Yanomami men killed children while raiding enemy villages. Helena Valero, a Brazilian woman kidnapped by Yanomami warriors in the 1930s, witnessed a Karawetari raid on her tribe: Peru, Paraguay and Bolivia While qhapaq hucha was practiced in the Peruvian large cities, child sacrifice in the pre-Columbian tribes of the region is less documented. However, even today studies on the Aymara Indians reveal high incidences of mortality among the newborn, especially female deaths, suggesting infanticide. The Abipones, a small tribe of Guaycuruan stock, of about 5,000 by the end of the 18th century in Paraguay, practiced systematic infanticide; with never more than two children being reared in one family. The Machigenga killed their disabled children. Infanticide among the Chaco in Paraguay was estimated as high as 50% of all newborns in that tribe, who were usually buried. The infanticidal custom had such roots among the Ayoreo in Bolivia and Paraguay that it persisted until the late 20th century. Modern times Infanticide has become less common in the Western world. The frequency has been estimated to be 1 in approximately 3000 to 5000 children of all ages and 2.1 per 100,000 newborns per year. It is thought that infanticide today continues at a much higher rate in areas of extremely high poverty and overpopulation, such as parts of India. Female infants, then and even now, are particularly vulnerable, a factor in sex-selective infanticide. Recent estimates suggest that over 100 million girls and women are 'missing' in Asia. Benin In spite of the fact that it is illegal, in Benin, West Africa, parents secretly continue with infanticidal customs. North Korea According to "The Hidden Gulag" published by the Committee for Human Rights in North Korea, Mainland China returns all illegal immigrants from North Korea which usually imprisons them in a short term facility. Korean women who are suspected of being impregnated by Chinese fathers are subjected to forced abortions; babies born alive are killed, sometimes by exposure or being buried alive. Mainland China There have been some accusations that infanticide occurs in Mainland China due to the one-child policy. In the 1990s, a certain stretch of the Yangtze River was known to be a common site of infanticide by drowning, until government projects made access to it more difficult. Recent studies suggest that over 40 million girls and women are missing in Mainland China (Klasen and Wink 2002). India The practice has continued in some rural areas of India. Infanticide is illegal in India but still has the highest infanticide rate in the world. According to a recent report by the United Nations Children's Fund (UNICEF) up to 50 million girls and women are missing in India's population as a result of systematic sex discrimination and sex selective abortions. Pakistan Killings of newborn babies have been on the rise in Pakistan, corresponding to an increase in poverty across the country. More than 1,000 infants, mostly girls, were killed or abandoned to die in Pakistan in 2009 according to a Pakistani charity organization. The Edhi Foundation found 1,210 dead babies in 2010. Many more are abandoned and left at the doorsteps of mosques. As a result, Edhi centers feature signs "Do not murder, lay them here." Though female infanticide is punishable by life in prison, such crimes are rarely prosecuted. Oceania On November 28, 2008, The National, one of Papua New Guinea’s two largest newspapers at the time, ran a story entitled “Male Babies Killed To Stop Fights” which claimed that in Agibu and Amosa villages of Gimi region of Eastern Highlands province of Papua New Guinea where tribal fighting in the region of Gimi has been going on since 1986 (many of the clashes arising over claims of sorcery) women had agreed that if they stopped producing males, allowing only female babies to survive, their tribe's stock of boys would go down and there would be no men in the future to fight. They had supposedly agreed to have all newborn male babies killed. It is not known how many male babies were supposedly killed by being smothered, but it had reportedly happened to all males over a 10-year period. However, this claim about male infanticide in Papua New Guinea was probably just the result of inaccurate and sensationalistic news reporting, because Salvation Army workers in the region of Gimi denied that the supposed male infanticide actually happened, and said that the tribal women were merely speaking hypothetically and hyperbolically about male infanticide at a peace and reconciliation workshop in order to make a point. The tribal women had never planned to actually kill their own sons. England and Wales In England and Wales there were typically 30 to 50 homicides per million children less than 1 year old between 1982 and 1996. The younger the infant, the higher the risk. The rate for children 1 to 5 years was around 10 per million children. The homicide rate of infants less than 1 year is significantly higher than for the general population. In English law infanticide is established as a distinct offence by the Infanticide Acts. Defined as the killing of a child under 12 months of age by their mother, the effect of
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stuffing their mouths with grass before leaving them to die. In Arctic Canada the Inuit exposed their babies on the ice and left them to die. Female Inuit infanticide disappeared in the 1930s and 1940s after contact with the Western cultures from the South. Canada The Handbook of North American Indians reports infanticide among the Dene Natives and those of the Mackenzie Mountains. Native Americans In the Eastern Shoshone there was a scarcity of Indian women as a result of female infanticide. For the Maidu Native Americans twins were so dangerous that they not only killed them, but the mother as well. In the region known today as southern Texas, the Mariame Indians practiced infanticide of females on a large scale. Wives had to be obtained from neighboring groups. Mexico Bernal Díaz recounted that, after landing on the Veracruz coast, they came across a temple dedicated to Tezcatlipoca. "That day they had sacrificed two boys, cutting open their chests and offering their blood and hearts to that accursed idol". In The Conquest of New Spain Díaz describes more child sacrifices in the towns before the Spaniards reached the large Aztec city Tenochtitlan. South America Although academic data of infanticides among the indigenous people in South America is not as abundant as that of North America, the estimates seem to be similar. Brazil The Tapirapé indigenous people of Brazil allowed no more than three children per woman, and no more than two of the same sex. If the rule was broken infanticide was practiced. The Bororo killed all the newborns that did not appear healthy enough. Infanticide is also documented in the case of the Korubo people in the Amazon. The Yanomami men killed children while raiding enemy villages. Helena Valero, a Brazilian woman kidnapped by Yanomami warriors in the 1930s, witnessed a Karawetari raid on her tribe: Peru, Paraguay and Bolivia While qhapaq hucha was practiced in the Peruvian large cities, child sacrifice in the pre-Columbian tribes of the region is less documented. However, even today studies on the Aymara Indians reveal high incidences of mortality among the newborn, especially female deaths, suggesting infanticide. The Abipones, a small tribe of Guaycuruan stock, of about 5,000 by the end of the 18th century in Paraguay, practiced systematic infanticide; with never more than two children being reared in one family. The Machigenga killed their disabled children. Infanticide among the Chaco in Paraguay was estimated as high as 50% of all newborns in that tribe, who were usually buried. The infanticidal custom had such roots among the Ayoreo in Bolivia and Paraguay that it persisted until the late 20th century. Modern times Infanticide has become less common in the Western world. The frequency has been estimated to be 1 in approximately 3000 to 5000 children of all ages and 2.1 per 100,000 newborns per year. It is thought that infanticide today continues at a much higher rate in areas of extremely high poverty and overpopulation, such as parts of India. Female infants, then and even now, are particularly vulnerable, a factor in sex-selective infanticide. Recent estimates suggest that over 100 million girls and women are 'missing' in Asia. Benin In spite of the fact that it is illegal, in Benin, West Africa, parents secretly continue with infanticidal customs. North Korea According to "The Hidden Gulag" published by the Committee for Human Rights in North Korea, Mainland China returns all illegal immigrants from North Korea which usually imprisons them in a short term facility. Korean women who are suspected of being impregnated by Chinese fathers are subjected to forced abortions; babies born alive are killed, sometimes by exposure or being buried alive. Mainland China There have been some accusations that infanticide occurs in Mainland China due to the one-child policy. In the 1990s, a certain stretch of the Yangtze River was known to be a common site of infanticide by drowning, until government projects made access to it more difficult. Recent studies suggest that over 40 million girls and women are missing in Mainland China (Klasen and Wink 2002). India The practice has continued in some rural areas of India. Infanticide is illegal in India but still has the highest infanticide rate in the world. According to a recent report by the United Nations Children's Fund (UNICEF) up to 50 million girls and women are missing in India's population as a result of systematic sex discrimination and sex selective abortions. Pakistan Killings of newborn babies have been on the rise in Pakistan, corresponding to an increase in poverty across the country. More than 1,000 infants, mostly girls, were killed or abandoned to die in Pakistan in 2009 according to a Pakistani charity organization. The Edhi Foundation found 1,210 dead babies in 2010. Many more are abandoned and left at the doorsteps of mosques. As a result, Edhi centers feature signs "Do not murder, lay them here." Though female infanticide is punishable by life in prison, such crimes are rarely prosecuted. Oceania On November 28, 2008, The National, one of Papua New Guinea’s two largest newspapers at the time, ran a story entitled “Male Babies Killed To Stop Fights” which claimed that in Agibu and Amosa villages of Gimi region of Eastern Highlands province of Papua New Guinea where tribal fighting in the region of Gimi has been going on since 1986 (many of the clashes arising over claims of sorcery) women had agreed that if they stopped producing males, allowing only female babies to survive, their tribe's stock of boys would go down and there would be no men in the future to fight. They had supposedly agreed to have all newborn male babies killed. It is not known how many male babies were supposedly killed by being smothered, but it had reportedly happened to all males over a 10-year period. However, this claim about male infanticide in Papua New Guinea was probably just the result of inaccurate and sensationalistic news reporting, because Salvation Army workers in the region of Gimi denied that the supposed male infanticide actually happened, and said that the tribal women were merely speaking hypothetically and hyperbolically about male infanticide at a peace and reconciliation workshop in order to make a point. The tribal women had never planned to actually kill their own sons. England and Wales In England and Wales there were typically 30 to 50 homicides per million children less than 1 year old between 1982 and 1996. The younger the infant, the higher the risk. The rate for children 1 to 5 years was around 10 per million children. The homicide rate of infants less than 1 year is significantly higher than for the general population. In English law infanticide is established as a distinct offence by the Infanticide Acts. Defined as the killing of a child under 12 months of age by their mother, the effect of the Acts are to establish a partial defence to charges of murder. United States In the United States the infanticide rate during the first hour of life outside the womb dropped from 1.41 per 100,000 during 1963 to 1972 to 0.44 per 100,000 for 1974 to 1983; the rates during the first month after birth also declined, whereas those for older infants rose during this time. The legalization of abortion, which was completed in 1973, was the most important factor in the decline in neonatal mortality during the period from 1964 to 1977, according to a study by economists associated with the National Bureau of Economic Research. Canada In Canada, 114 cases of infanticide by a parent were reported during 1964–1968. Spain In Spain, far-right political party Vox has claimed that female perpetrators of infanticide outnumber male perpetrators of femicide. However, neither the Spanish National Statistics Institute nor the Ministry of the Interior keep data on the gender of perpetrators, but victims of femicide consistently number higher than victims of infanticide. From 2013 to March 2018, 28 infanticide cases perpetrated by 22 mothers and three stepmothers were reported in Spain. Explanations for the practice There are various reasons for infanticide. Neonaticide typically has different patterns and causes than for the killing of older infants. Traditional neonaticide is often related to economic necessity – the inability to provide for the infant. In the United Kingdom and the United States, older infants are typically killed for reasons related to child abuse, domestic violence or mental illness. For infants older than one day, younger infants are more at risk, and boys are more at risk than girls. Risk factors for the parent include: Family history of violence, violence in a current relationship, history of abuse or neglect of children, and personality disorder and/or depression. Religious In the late 17th and early 18th centuries, "loopholes" were invented by some suicidal members of Lutheran churches who wanted to avoid the damnation that was promised by most Christian doctrine as a penalty of suicide. One famous example of someone who wished to end their life but avoid the eternity in hell was Christina Johansdotter (died 1740). She was a Swedish murderer who killed a child in Stockholm with the sole purpose of being executed. She is an example of those who seek suicide through execution by committing a murder. It was a common act, frequently targeting young children or infants as they were believed to be free from sin, thus believing to go "straight to heaven". Although most mainstream Christian denominations, including Lutherans, view the murder of an innocent as being condemned in the Fifth Commandment, the suicidal members of Lutheran churches who deliberately killed children with the intent of getting executed were usually well aware of Christian doctrine against murder, and planned to repent and seek forgiveness of their sins afterwards. For example, in 18th century Denmark up until the year 1767, murderers were given the opportunity to repent of their sins before they were executed either way. But it’s ambiguous as to whether or not the perpetrators’ repentance in this situation is actually genuine, as some may genuinely regret their actions, while others may not. In Denmark on the year of 1767, the religiously motivated suicidal murders finally ceased in that country with the abolishment of the death penalty. In 1888, Lieut. F. Elton reported that Ugi beach people in the Solomon Islands killed their infants at birth by burying them, and women were also said to practice abortion. They reported that it was too much trouble to raise a child, and instead preferred to buy one from the bush people. Economic Many historians believe the reason to be primarily economic, with more children born than the family is prepared to support. In societies that are patrilineal and patrilocal, the family may choose to allow more sons to live and kill some daughters, as the former will support their birth family until they die, whereas the latter will leave economically and geographically to join their husband's family, possibly only after the payment of a burdensome dowry price. Thus the decision to bring up a boy is more economically rewarding to the parents. However, this does not explain why infanticide would occur equally among rich and poor, nor why it would be as frequent during decadent periods of the Roman Empire as during earlier, less affluent, periods. Before the appearance of effective contraception, infanticide was a common occurrence in ancient brothels. Unlike usual infanticide – where historically girls have been more likely to be killed – prostitutes in certain areas preferred to kill their male offspring. UK 18th and 19th century Instances of infanticide in Britain in 18th and 19th centuries is often attributed to the economic position of the women, with juries committing “pious perjury” in many subsequent murder cases. The knowledge of the difficulties faced in the 18th century by those women who attempted to keep their children can be seen as a reason for juries to show compassion. If the woman chose to keep the child, society was not set up to ease the pressure placed upon the woman, legally, socially or economically. In mid-18th century Britain there was assistance available for women who were not able to raise their children. The Foundling Hospital opened in 1756 and was able to take in some of the illegitimate children. However, the conditions within the hospital caused Parliament to withdraw funding and the governors to live off of their own incomes. This resulted in a stringent entrance policy, with the committee requiring that the hospital: Will not receive a child that is more than a year old, nor the child of a domestic servant, nor any child whose father can be compelled to maintain it. Once a mother had admitted her child to the hospital, the hospital did all it could to ensure that the parent and child were not re-united. MacFarlane argues in Illegitimacy and Illegitimates in Britain (1980) that English society greatly concerned itself with the burden that a bastard child places upon its communities and had gone to some lengths to ensure that the father of the child is identified in order to maintain its well-being. Assistance could be gained through maintenance payments from the father, however, this was capped "at a miserable 2 s and 6 d a week". If the father fell behind with the payments he could only be asked "to pay a maximum of 13 weeks arrears". Despite the accusations of some that women were getting a free hand-out, there is evidence that many women were far from receiving adequate assistance from their parish. "Within Leeds in 1822 ... relief was limited to 1 s per week". Sheffield required women to enter the workhouse, whereas Halifax gave no relief to the women who required it. The prospect of entering the workhouse was certainly something to be avoided. Lionel Rose quotes Dr Joseph Rogers in Massacre of the Innocents ... (1986). Rogers, who was employed by a London workhouse in 1856 stated that conditions in the nursery were ‘wretchedly damp and miserable ... [and] ... overcrowded with young mothers and their infants’. The loss of social standing for a servant girl was a particular problem in respect of producing a bastard child as they relied upon a good character reference in order to maintain their job and more importantly, to get a new or better job. In a large number of trials for the crime of infanticide, it is the servant girl that stood accused. The disadvantage of being a servant girl is that they had to live to the social standards of their superiors or risk dismissal and no references. Whereas within other professions, such as in the factory, the relationship between employer and employee was much more anonymous and the mother would be better able to make other provisions, such as employing a minder. The result of the lack of basic social care in Britain in the 18th and 19th century is the numerous accounts in court records of women, particularly servant girls, standing trial for the murder of their child. There may have been no specific offense of infanticide in England before about 1623 because infanticide was a matter for the by ecclesiastical courts, possibly because infant mortality from natural causes was high (about 15% or one in six). Thereafter the accusation of the suppression of bastard children by lewd mothers was a crime incurring the presumption of guilt. The Infanticide Acts are several laws. That of 1922 made the killing of an infant child by its mother during the early months of life as a lesser crime than murder. The acts of 1938 and 1939 abolished the earlier act, but introduced the idea that postpartum depression was legally to be regarded as a form of diminished responsibility. Population control Marvin Harris estimated that among Paleolithic hunters 23–50% of newborn children were killed. He argued that the goal was to preserve the 0.001% population growth of that time. He also wrote that female infanticide may be a form of population control. Population control is achieved not only by limiting the number of potential mothers; increased fighting among men for access to relatively scarce wives would also lead to a decline in population. For example, on the Melanesian island of Tikopia infanticide was used to keep a stable population in line with its resource base. Research by Marvin Harris and William Divale supports this argument, it has been cited as an example of environmental determinism. Psychological Evolutionary psychology Evolutionary psychology has proposed several theories for different forms of infanticide. Infanticide by stepfathers, as well as child abuse in general by stepfathers, has been explained by spending resources on not genetically related children reducing reproductive success (See the Cinderella effect and Infanticide (zoology)). Infanticide is one of the few forms of violence more often done by women than men. Cross-cultural research has found that this is more likely to occur when the child has deformities or illnesses as well as when there are lacking resources due to factors such as poverty, other children requiring resources, and no male support. Such a child may have a low chance of reproductive success in which case it would decrease the mother's inclusive fitness, in particular since women generally have a greater parental investment than men, to spend resources on the child. "Early infanticidal childrearing" A minority of academics subscribe to an alternate school of thought, considering the practice as "early infanticidal childrearing". They attribute parental infanticidal wishes to massive projection or displacement of the parents' unconscious onto the child, because of intergenerational, ancestral abuse by their own parents. Clearly, an infanticidal parent may have multiple motivations, conflicts, emotions, and thoughts about their baby and their relationship with their baby, which are often colored both by their individual psychology, current relational context and attachment history, and, perhaps most saliently, their psychopathology Almeida, Merminod, and Schechter suggest that parents with fantasies, projections, and delusions involving infanticide need to be taken seriously and assessed carefully, whenever possible, by an interdisciplinary team that includes infant mental health specialists or mental health practitioners who have experience in working with parents, children, and families. Wider effects In addition to debates over the morality of infanticide itself, there is some debate over the effects of infanticide on surviving children, and the effects of childrearing in societies that also sanction infanticide. Some argue that the practice of infanticide in any widespread form causes enormous psychological damage in children. Conversely, studying societies that practice infanticide Géza Róheim reported that even infanticidal mothers in New Guinea, who ate a child, did not affect the personality development of the surviving children; that "these are good mothers who eat their own children". Harris and Divale's work on the relationship between female infanticide and warfare suggests that there are, however, extensive negative effects. Psychiatric Postpartum psychosis is
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layering." Encapsulation of different mechanisms was intended to create an environment where the upper layers could access only what was needed from the lower layers. A monolithic design would be inflexible and lead to scalability issues. In version 3 of TCP, written in 1978, the Transmission Control Program was split into two distinct protocols, the Internet Protocol as connectionless layer and the Transmission Control Protocol as a reliable connection-oriented service. The design of the network included the recognition that it should provide only the functions of efficiently transmitting and routing traffic between end nodes and that all other intelligence should be located at the edge of the network, in the end nodes. This design is known as the end-to-end principle. Using this design, it became possible to connect other networks to the ARPANET that used the same principle, irrespective of other local characteristics, thereby solving Kahn's initial internetworking problem. A popular expression is that TCP/IP, the eventual product of Cerf and Kahn's work, can run over "two tin cans and a string." Years later, as a joke, the IP over Avian Carriers formal protocol specification was created and successfully tested. DARPA contracted with BBN Technologies, Stanford University, and the University College London to develop operational versions of the protocol on several hardware platforms. During development of the protocol the version number of the packet routing layer progressed from version 1 to version 4, the latter of which was installed in the ARPANET in 1983. It became known as Internet Protocol version 4 (IPv4) as the protocol that is still in use in the Internet, alongside its current successor, Internet Protocol version 6 (IPv6). Early implementation In 1975, a two-network IP communications test was performed between Stanford and University College London. In November 1977, a three-network IP test was conducted between sites in the US, the UK, and Norway. Several other IP prototypes were developed at multiple research centers between 1978 and 1983. Before the January 1, 1983 "Flag Day", the Internet used NCP instead of TCP as the transport layer protocol. A computer called a router is provided with an interface to each network. It forwards network packets back and forth between them. Originally a router was called gateway, but the term was changed to avoid confusion with other types of gateways. Adoption In March 1982, the US Department of Defense declared TCP/IP as the standard for all military computer networking. In the same year, NORSAR and Peter Kirstein's research group at University College London adopted the protocol. The migration of the ARPANET to TCP/IP was officially completed on flag day January 1, 1983, when the new protocols were permanently activated. In 1985, the Internet Advisory Board (later Internet Architecture Board) held a three-day TCP/IP workshop for the computer industry, attended by 250 vendor representatives, promoting the protocol and leading to its increasing commercial use. In 1985, the first Interop conference focused on network interoperability by broader adoption of TCP/IP. The conference was founded by Dan Lynch, an early Internet activist. From the beginning, large corporations, such as IBM and DEC, attended the meeting. IBM, AT&T and DEC were the first major corporations to adopt TCP/IP, this despite having competing proprietary protocols. In IBM, from 1984, Barry Appelman's group did TCP/IP development. They navigated the corporate politics to get a stream of TCP/IP products for various IBM systems, including MVS, VM, and OS/2. At the same time, several smaller companies, such as FTP Software and the Wollongong Group, began offering TCP/IP stacks for DOS and Microsoft Windows. The first VM/CMS TCP/IP stack came from the University of Wisconsin. Some of the early TCP/IP stacks were written single-handedly by a few programmers. Jay Elinsky and of IBM Research wrote TCP/IP stacks for VM/CMS and OS/2, respectively. In 1984 Donald Gillies at MIT wrote a ntcp multi-connection TCP which runs atop the IP/PacketDriver layer maintained by John Romkey at MIT in 1983–4. Romkey leveraged this TCP in 1986 when FTP Software was founded. Starting in 1985, Phil Karn created a multi-connection TCP application for ham radio systems (KA9Q TCP). The spread of TCP/IP was fueled further in June 1989, when the University of California, Berkeley agreed to place the TCP/IP code developed for BSD UNIX into the public domain. Various corporate vendors, including IBM, included this code in commercial TCP/IP software releases. Microsoft released a native TCP/IP stack in Windows 95. This event helped cement TCP/IP's dominance over other protocols on Microsoft-based networks, which included IBM's Systems Network Architecture (SNA), and on other platforms such as Digital Equipment Corporation's DECnet, Open Systems Interconnection (OSI), and Xerox Network Systems (XNS). Nonetheless, for a period in the late 1980s and early 1990s, engineers, organizations and nations were polarized over the issue of which standard, the OSI model or the Internet protocol suite, would result in the best and most robust computer networks. Formal specification and standards The technical standards underlying the Internet protocol suite and its constituent protocols have been delegated to the Internet Engineering Task Force (IETF). The characteristic architecture of the Internet Protocol Suite is its broad division into operating scopes for the protocols that constitute its core functionality. The defining specification of the suite is RFC 1122, which broadly outlines four abstraction layers. These have stood the test of time, as the IETF has never modified this structure. As such a model of networking, the Internet Protocol Suite predates the OSI model, a more comprehensive reference framework for general networking systems. Key architectural principles The end-to-end principle has evolved over time. Its original expression put the maintenance of state and overall intelligence at the edges, and assumed the Internet that connected the edges retained no state and concentrated on speed and simplicity. Real-world needs for firewalls, network address translators, web content caches and the like have forced changes in this principle. The robustness principle states: "In general, an implementation must be conservative in its sending behavior, and liberal in its receiving behavior. That is, it must be careful to send well-formed datagrams, but must accept any datagram that it can interpret (e.g., not object to technical errors where the meaning is still clear)." "The second part of the principle is almost as important: software on other hosts may contain deficiencies that
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part of the principle is almost as important: software on other hosts may contain deficiencies that make it unwise to exploit legal but obscure protocol features." Encapsulation is used to provide abstraction of protocols and services. Encapsulation is usually aligned with the division of the protocol suite into layers of general functionality. In general, an application (the highest level of the model) uses a set of protocols to send its data down the layers. The data is further encapsulated at each level. An early architectural document, , emphasizes architectural principles over layering. RFC 1122, titled Host Requirements, is structured in paragraphs referring to layers, but the document refers to many other architectural principles and does not emphasize layering. It loosely defines a four-layer model, with the layers having names, not numbers, as follows: The application layer is the scope within which applications, or processes, create user data and communicate this data to other applications on another or the same host. The applications make use of the services provided by the underlying lower layers, especially the transport layer which provides reliable or unreliable pipes to other processes. The communications partners are characterized by the application architecture, such as the client–server model and peer-to-peer networking. This is the layer in which all application protocols, such as SMTP, FTP, SSH, HTTP, operate. Processes are addressed via ports which essentially represent services. The transport layer performs host-to-host communications on either the local network or remote networks separated by routers. It provides a channel for the communication needs of applications. UDP is the basic transport layer protocol, providing an unreliable connectionless datagram service. The Transmission Control Protocol provides flow-control, connection establishment, and reliable transmission of data. The internet layer exchanges datagrams across network boundaries. It provides a uniform networking interface that hides the actual topology (layout) of the underlying network connections. It is therefore also the layer that establishes internetworking. Indeed, it defines and establishes the Internet. This layer defines the addressing and routing structures used for the TCP/IP protocol suite. The primary protocol in this scope is the Internet Protocol, which defines IP addresses. Its function in routing is to transport datagrams to the next host, functioning as an IP router, that has the connectivity to a network closer to the final data destination. The link layer defines the networking methods within the scope of the local network link on which hosts communicate without intervening routers. This layer includes the protocols used to describe the local network topology and the interfaces needed to affect the transmission of Internet layer datagrams to next-neighbor hosts. Link layer The protocols of the link layer operate within the scope of the local network connection to which a host is attached. This regime is called the link in TCP/IP parlance and is the lowest component layer of the suite. The link includes all hosts accessible without traversing a router. The size of the link is therefore determined by the networking hardware design. In principle, TCP/IP is designed to be hardware independent and may be implemented on top of virtually any link-layer technology. This includes not only hardware implementations, but also virtual link layers such as virtual private networks and networking tunnels. The link layer is used to move packets between the Internet layer interfaces of two different hosts on the same link. The processes of transmitting and receiving packets on the link can be controlled in the device driver for the network card, as well as in firmware or by specialized chipsets. These perform functions, such as framing, to prepare the Internet layer packets for transmission, and finally transmit the frames to the physical layer and over a transmission medium. The TCP/IP model includes specifications for translating the network addressing methods used in the Internet Protocol to link-layer addresses, such as media access control (MAC) addresses. All other aspects below that level, however, are implicitly assumed to exist, and are not explicitly defined in the TCP/IP model. The link layer in the TCP/IP model has corresponding functions in Layer 2 of the OSI model. Internet layer Internetworking requires sending data from the source network to the destination network. This process is called routing and is supported by host addressing and identification using the hierarchical IP addressing system. The internet layer provides an unreliable datagram transmission facility between hosts located on potentially different IP networks by forwarding datagrams to an appropriate next-hop router for further relaying to its destination. The internet layer has the responsibility of sending packets across potentially multiple networks. With this functionality, the internet layer makes possible internetworking, the interworking of different IP networks, and it essentially establishes the Internet. The internet layer does not distinguish between the various transport layer protocols. IP carries data for a variety of different upper layer protocols. These protocols are each identified by a unique protocol number: for example, Internet Control Message Protocol (ICMP) and Internet Group Management Protocol (IGMP) are protocols 1 and 2, respectively. The Internet Protocol is the principal component of the internet layer, and it defines two addressing systems to identify network hosts and to locate them on the network. The original address system of the ARPANET and its successor, the Internet, is Internet Protocol version 4 (IPv4). It uses a 32-bit IP address and is therefore capable of identifying approximately four billion hosts. This limitation was eliminated in 1998 by the standardization of Internet Protocol version 6 (IPv6) which uses 128-bit addresses. IPv6 production implementations emerged in approximately 2006. Transport layer The transport layer establishes basic data channels that applications use for task-specific data exchange. The layer establishes host-to-host connectivity in the form of end-to-end message transfer services that are independent of the underlying network and independent of the structure of user data and the logistics of exchanging information. Connectivity at the transport layer can be categorized as either connection-oriented, implemented in TCP, or connectionless, implemented in UDP. The protocols in this layer may provide error control, segmentation, flow control, congestion control, and application addressing (port numbers). For the purpose of providing process-specific transmission channels for applications, the layer establishes the concept of the network port. This is a numbered logical construct allocated specifically for each of the communication channels an application needs. For many types of services, these port numbers have been standardized so that client computers may address specific services of a server computer without the involvement of service discovery or directory services. Because IP provides only a best-effort delivery, some transport-layer protocols offer reliability. TCP is a connection-oriented protocol that addresses numerous reliability issues in providing a reliable byte stream: data arrives in-order data has minimal error (i.e., correctness) duplicate data is discarded lost or discarded packets are resent includes traffic congestion control The newer Stream Control Transmission Protocol (SCTP) is also a reliable, connection-oriented transport mechanism. It is message-stream-oriented, not byte-stream-oriented like TCP, and provides multiple streams multiplexed over a single connection. It also provides multihoming support, in which a connection end can be represented by multiple IP addresses (representing multiple physical interfaces), such that if one fails, the connection is not interrupted. It was developed initially for telephony applications (to transport SS7 over IP). Reliability can also be achieved by running IP over a reliable data-link protocol such as the High-Level Data Link Control (HDLC). The User Datagram Protocol (UDP) is a connectionless datagram protocol. Like IP, it is a best-effort, unreliable protocol. Reliability is addressed through error detection using a checksum algorithm. UDP is typically used for applications such as streaming media (audio, video, Voice over IP etc.) where on-time arrival is more important than reliability, or for simple query/response applications like DNS lookups, where the overhead of setting up a reliable connection is disproportionately large. Real-time Transport Protocol (RTP) is a datagram protocol that is used over UDP and is designed for real-time data such as streaming media. The applications at any given network address are distinguished by their TCP or UDP port. By convention, certain well known ports are associated with specific applications. The TCP/IP model's transport or host-to-host layer corresponds roughly to the fourth layer in the OSI model, also called the transport layer. QUIC is rapidly emerging as an alternative transport protocol. Whilst it is technically carried via UDP packets it seeks to offer enhanced transport connectivity relative to TCP. HTTP/3 works exclusively via QUIC. Application layer The application layer includes the protocols used by most applications for providing user services or exchanging application data over the network connections established by the lower level protocols. This may include some basic network support services such as routing protocols and host configuration. Examples of application layer protocols include the Hypertext Transfer Protocol (HTTP), the File Transfer Protocol (FTP), the Simple Mail Transfer Protocol (SMTP), and the Dynamic Host Configuration Protocol (DHCP). Data coded according to application layer protocols are encapsulated into transport layer protocol units (such as TCP streams or UDP datagrams), which in turn use lower layer protocols to effect actual data transfer. The TCP/IP model does not consider the specifics of formatting and presenting data and does not define additional layers between the application and transport layers as in the OSI model (presentation and session layers). According to the TCP/IP model, such functions are the realm
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Umar al Turkistani) speaking of his time training at the Al Khaldan training camp and his meeting with Ibn al-Shaykh al-Libi. The Uyghurs in Afghanistan fought against the American bombing and the Northern Alliance after the September 11, 2001, attacks. Ibn Umar died fighting against Americans at the Qalai Jangi prison riot. Al-Libi was captured by Pakistani officials in November 2001, as he attempted to flee Afghanistan following the collapse of the Taliban after the 2001 U.S. invasion of Afghanistan, and was transferred to the US military in January 2002. Department of Defense spokesmen used to routinely describe the Khaldan training camp as an al-Qaeda training camp, and Al-Libi and Abu Zubaydah as senior members of al-Qaeda. But, during testimony at their Combatant Status Review Tribunals, several Guantanamo captives, including Zubaydah, described the Khaldan camp as having been run by a rival jihadist organizationone that did not support attacking civilians. Cooperation with the FBI Al-Libi was turned over to the FBI and held at Bagram Air Base. When talking to the FBI interrogators Russell Fincher and Marty Mahon, he seemed "genuinely friendly" and spoke chiefly in English, calling for a translator only when necessary. He seemed to bond with Fincher, a devout Christian, and the two prayed together and discussed religion at length. Al-Libi told the interrogators details about Richard Reid, a British citizen who had joined al-Qaeda and trained to carry out a suicide bombing of an airliner, which he unsuccessfully attempted on December 22, 2001. Al-Libi agreed to continue cooperating if the United States would allow his wife and her family to emigrate, while he was prosecuted within the American legal system. In CIA custody The CIA asked President Bush for permission to take al-Libi into their own custody and rendition him to a foreign country for more "tough guy" questioning, and were granted permission. They "simply came and took al-Libi away from the FBI." One CIA officer was heard telling their new prisoner that "You know where you are going. Before you get there, I am going to find your mother and fuck her". In the second week of January 2002, al-Libi was flown to the USS Bataan in the northern Arabian Sea, a ship being used to hold eight other notable prisoners, including John Walker Lindh. He was subsequently transferred to Egyptian interrogators. Information provided According to The Washington Post, On September 15, 2002, Time published an article that detailed the CIA interrogations of Omar al-Faruq. It said, On Sept. 9, according to a secret CIA summary of the interview, al-Faruq confessed that he was, in fact, al-Qaeda's senior representative in Southeast Asia. Then came an even more shocking confession: according to the CIA document, al-Faruq said two senior al-Qaeda officials, Abu Zubaydah and Ibn al-Shaykh al-Libi, had ordered him to 'plan large-scale attacks against U.S. interests in Indonesia, Malaysia, the Philippines, Singapore, Thailand, Taiwan, Vietnam and Cambodia.' Al-Libi has been identified as a principal source of faulty prewar intelligence regarding chemical weapons training between Iraq and al-Qaeda that was used by the Bush Administration to justify the invasion of Iraq. Specifically, he told interrogators that Iraq provided training to al-Qaeda in the area of "chemical and biological weapons". In Cincinnati in October 2002, Bush informed the public: "Iraq has trained al Qaeda members in bomb making and poisons and gases." This claim was repeated several times in the run-up to the war, including in then-Secretary of State Colin Powell's speech to the U.N Security Council on February 5, 2003, which concluded with a long recitation of the information provided by al-Libi. Powell's speech was made less than a month after a then-classified CIA report concluded that the information provided by al-Libi was unreliable, and about a year after a DIA report concluded the same thing. Al-Libi recanted these claims in January 2004 after U.S. interrogators presented "new evidence from other detainees that cast doubt on his claims", according to Newsweek. The DIA concluded in February 2002 that al-Libi deliberately misled interrogators, in what the CIA called an "attempt to exaggerate his importance". Some speculate that his reason for giving disinformation was in order to draw the U.S. into an attack on Iraq—Islam's "weakest" state; a remark attributed to al-Libi—which al-Qaeda believes will lead to a global jihad. Others, including al-Libi himself, have insisted that he gave false information due to the use of torture (so-called "enhanced interrogation techniques"). An article published in the November 5, 2005, The New York Times quoted two paragraphs of a Defense Intelligence Agency report, declassified upon request by Senator Carl Levin, that expressed doubts about the results of al-Libi's interrogation in February 2002. Al-Libi told a foreign intelligence service that: Iraq — acting on the request of al-Qa'ida militant Abu Abdullah, who was Muhammad Atif's emissary — agreed to provide unspecified chemical or biological weapons training for two al-Qa'ida associates beginning in December 2000. The two individuals departed for Iraq but did not return, so al-Libi was not in a position to know if any training had taken place. The September 2002 version of Iraqi Support for Terrorism stated that al-Libi said Iraq had "provided" chemical and biological weapons training for two al-Qaeda associates in 2000, but also stated that al-Libi "did not know the results of the training." The 2006 Senate Report on Pre-war Intelligence on Iraq stated that "Although DIA coordinated on CIA's Iraqi Support for Terrorism paper, DIA analysis preceding that assessment was more skeptical of the al-Libi reporting." In July 2002, DIA assessed It is plausible al-Qa'ida attempted to obtain CB assistance from Iraq and Ibn al-Shaykh is sufficiently senior to have access to such sensitive information. However, Ibn al-Shaykh's information lacks details concerning the individual Iraqis involved, the specific CB materials associated with the assistance and the location where the alleged training occurred. The information is also second hand, and not derived from Ibn al-Shaykh's personal experience. The Senate report also states "According to al-Libi, after his decision to fabricate information for debriefers, he 'lied about being a member of al-Qa'ida. Although he considered himself close to, but not a member of, al-Qa'ida, he knew enough about the senior members, organization and operations to claim to be a member.'" Senate Reports on Pre-war Intelligence on Iraq On September 8, 2006, the United States Senate Select Committee on Intelligence released "Phase II" of its report on prewar intelligence on Iraq. Conclusion 3 of the report states the following: On June 11, 2008, Newsweek published an account of material from a "previously undisclosed CIA report written
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Department of Defense spokesmen used to routinely describe the Khaldan training camp as an al-Qaeda training camp, and Al-Libi and Abu Zubaydah as senior members of al-Qaeda. But, during testimony at their Combatant Status Review Tribunals, several Guantanamo captives, including Zubaydah, described the Khaldan camp as having been run by a rival jihadist organizationone that did not support attacking civilians. Cooperation with the FBI Al-Libi was turned over to the FBI and held at Bagram Air Base. When talking to the FBI interrogators Russell Fincher and Marty Mahon, he seemed "genuinely friendly" and spoke chiefly in English, calling for a translator only when necessary. He seemed to bond with Fincher, a devout Christian, and the two prayed together and discussed religion at length. Al-Libi told the interrogators details about Richard Reid, a British citizen who had joined al-Qaeda and trained to carry out a suicide bombing of an airliner, which he unsuccessfully attempted on December 22, 2001. Al-Libi agreed to continue cooperating if the United States would allow his wife and her family to emigrate, while he was prosecuted within the American legal system. In CIA custody The CIA asked President Bush for permission to take al-Libi into their own custody and rendition him to a foreign country for more "tough guy" questioning, and were granted permission. They "simply came and took al-Libi away from the FBI." One CIA officer was heard telling their new prisoner that "You know where you are going. Before you get there, I am going to find your mother and fuck her". In the second week of January 2002, al-Libi was flown to the USS Bataan in the northern Arabian Sea, a ship being used to hold eight other notable prisoners, including John Walker Lindh. He was subsequently transferred to Egyptian interrogators. Information provided According to The Washington Post, On September 15, 2002, Time published an article that detailed the CIA interrogations of Omar al-Faruq. It said, On Sept. 9, according to a secret CIA summary of the interview, al-Faruq confessed that he was, in fact, al-Qaeda's senior representative in Southeast Asia. Then came an even more shocking confession: according to the CIA document, al-Faruq said two senior al-Qaeda officials, Abu Zubaydah and Ibn al-Shaykh al-Libi, had ordered him to 'plan large-scale attacks against U.S. interests in Indonesia, Malaysia, the Philippines, Singapore, Thailand, Taiwan, Vietnam and Cambodia.' Al-Libi has been identified as a principal source of faulty prewar intelligence regarding chemical weapons training between Iraq and al-Qaeda that was used by the Bush Administration to justify the invasion of Iraq. Specifically, he told interrogators that Iraq provided training to al-Qaeda in the area of "chemical and biological weapons". In Cincinnati in October 2002, Bush informed the public: "Iraq has trained al Qaeda members in bomb making and poisons and gases." This claim was repeated several times in the run-up to the war, including in then-Secretary of State Colin Powell's speech to the U.N Security Council on February 5, 2003, which concluded with a long recitation of the information provided by al-Libi. Powell's speech was made less than a month after a then-classified CIA report concluded that the information provided by al-Libi was unreliable, and about a year after a DIA report concluded the same thing. Al-Libi recanted these claims in January 2004 after U.S. interrogators presented "new evidence from other detainees that cast doubt on his claims", according to Newsweek. The DIA concluded in February 2002 that al-Libi deliberately misled interrogators, in what the CIA called an "attempt to exaggerate his importance". Some speculate that his reason for giving disinformation was in order to draw the U.S. into an attack on Iraq—Islam's "weakest" state; a remark attributed to al-Libi—which al-Qaeda believes will lead to a global jihad. Others, including al-Libi himself, have insisted that he gave false information due to the use of torture (so-called "enhanced interrogation techniques"). An article published in the November 5, 2005, The New York Times quoted two paragraphs of a Defense Intelligence Agency report, declassified upon request by Senator Carl Levin, that expressed doubts about the results of al-Libi's interrogation in February 2002. Al-Libi told a foreign intelligence service that: Iraq — acting on the request of al-Qa'ida militant Abu Abdullah, who was Muhammad Atif's emissary — agreed to provide unspecified chemical or biological weapons training for two al-Qa'ida associates beginning in December 2000. The two individuals departed for Iraq but did not return, so al-Libi was not in a position to know if any training had taken place. The September 2002 version of Iraqi Support for Terrorism stated that al-Libi said Iraq had "provided" chemical and biological weapons training for two al-Qaeda associates in 2000, but also stated that al-Libi "did not know the results of the training." The 2006 Senate Report on Pre-war Intelligence on Iraq stated that "Although DIA coordinated on CIA's Iraqi Support for Terrorism paper, DIA analysis preceding that assessment was more skeptical of the al-Libi reporting." In July 2002, DIA assessed It is plausible al-Qa'ida attempted to obtain CB assistance from Iraq and Ibn al-Shaykh is sufficiently senior to have access to such sensitive information. However, Ibn al-Shaykh's information lacks details concerning the individual Iraqis involved, the specific CB materials associated with the assistance and the location where the alleged training occurred. The information is also second hand, and not derived from Ibn al-Shaykh's personal experience. The Senate report also states "According to al-Libi, after his decision to fabricate information for debriefers, he 'lied about being a member of al-Qa'ida. Although he considered himself close to, but not a member of, al-Qa'ida, he knew enough about the senior members, organization and operations to claim to be a member.'" Senate Reports on Pre-war Intelligence on Iraq On September 8, 2006, the United States Senate Select Committee on Intelligence released "Phase II" of its report on prewar intelligence on Iraq. Conclusion 3
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idf may refer to: Defence forces Irish Defence Forces Israel Defense Forces Iceland Defense Force, of the US Armed Forces, 1951-2006 Indian Defence Force, a part-time force, 1917 Organizations Israeli Diving Federation Interaction Design Foundation International Diabetes Federation International DOI Foundation, of the digital object identifier Places Idiofa
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for rainfall Intel Developer Forum Intermediate Data Format, a file format for electronic design automation Intermediate distribution frame, for telecommunications wiring AIDC F-CK-1 Ching-kuo, Indigenous Defense Fighter, Taiwanese aircraft Inverse
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work throughout its territory. Universality The International Red Cross and Red Crescent Movement, in which all Societies have equal status and share equal responsibilities and duties in helping each other, is worldwide. International Conference and the Standing Commission The International Conference of the Red Cross and Red Crescent, which occurs once every four years, is the highest institutional body of the Movement. It gathers delegations from all of the national societies as well as from the ICRC, the IFRC and the signatory states to the Geneva Conventions. In between the conferences, the Standing Commission of the Red Cross and Red Crescent acts as the supreme body and supervises implementation of and compliance with the resolutions of the conference. In addition, the Standing Commission coordinates the cooperation between the ICRC and the IFRC. It consists of two representatives from the ICRC (including its president), two from the IFRC (including its president), and five individuals who are elected by the International Conference. The Standing Commission convenes every six months on average. Moreover, a convention of the Council of Delegates of the Movement takes place every two years in the course of the conferences of the General Assembly of the International Federation. The Council of Delegates plans and coordinates joint activities for the Movement. International Committee of the Red Cross Mission The official mission of the ICRC as an impartial, neutral, and independent organization is to stand for the protection of the life and dignity of victims of international and internal armed conflicts. According to the 1997 Seville Agreement, it is the "Lead Agency" of the Movement in conflicts. Responsibilities The core tasks of the committee, which are derived from the Geneva Conventions and its own statutes, are the following: to monitor compliance of warring parties with the Geneva Conventions to organize nursing and care for those who are wounded on the battlefield to supervise the treatment of prisoners of war to help with the search for missing persons in an armed conflict (tracing service) to organize protection and care for civil populations to arbitrate between warring parties in an armed conflict Legal status and organization The ICRC is headquartered in the Swiss city of Geneva and has external offices in about 80 countries. It has about 12,000 staff members worldwide, about 800 of them working in its Geneva headquarters, 1,200 expatriates with about half of them serving as delegates managing its international missions and the other half being specialists like doctors, agronomists, engineers or interpreters, and about 10,000 members of individual national societies working on site. According to Swiss law, the ICRC is defined as a private association. Contrary to popular belief, the ICRC is not a non-governmental organization in the most common sense of the term, nor is it an international organization. As it limits its members (a process called cooptation) to Swiss nationals only, it does not have a policy of open and unrestricted membership for individuals like other legally defined NGOs. The word "international" in its name does not refer to its membership but to the worldwide scope of its activities as defined by the Geneva Conventions. The ICRC has special privileges and legal immunities in many countries, based on national law in these countries or through agreements between the committee and respective national governments. According to its statutes, it consists of 15 to 25 Swiss-citizen members, which it coopts for a period of four years. There is no limit to the number of terms an individual member can have although a three-quarters majority of all members is required for re-election after the third term. The leading organs of the ICRC are the Directorate and the Assembly. The Directorate is the executive body of the committee. It consists of a general director and five directors in the areas of "Operations", "Human Resources", "Resources and Operational Support", "Communication", and "International Law and Cooperation within the Movement". The members of the Directorate are appointed by the Assembly to serve for four years. The Assembly, consisting of all of the members of the committee, convenes on a regular basis and is responsible for defining aims, guidelines, and strategies and for supervising the financial matters of the committee. The president of the Assembly is also the president of the committee as a whole. Furthermore, the Assembly elects a five-member Assembly Council which has the authority to decide on behalf of the full Assembly in some matters. The council is also responsible for organizing the Assembly meetings and for facilitating communication between the Assembly and the Directorate. Due to Geneva's location in the French-speaking part of Switzerland, the ICRC usually acts under its French name Comité international de la Croix-Rouge (CICR). The official symbol of the ICRC is the Red Cross on white background with the words "COMITE INTERNATIONAL GENEVE" circling the cross. Funding and financial matters The 2009 budget of the ICRC amounts to more than 1 billion Swiss francs. Most of that money comes from the States, including Switzerland in its capacity as the depositary state of the Geneva Conventions, from national Red Cross societies, the signatory states of the Geneva Conventions, and from international organizations like the European Union. All payments to the ICRC are voluntary and are received as donations based on two types of appeals issued by the committee: an annual Headquarters Appeal to cover its internal costs and Emergency Appeals for its individual missions. The ICRC asked donors for more than 1.1 billion Swiss francs to fund its work in 2010. Afghanistan was projected to become the ICRC's biggest humanitarian operation (at 86 million Swiss francs, an 18% increase over the initial 2009 budget), followed by Iraq (85 million francs) and Sudan (76 million francs). The initial 2010 field budget for medical activities of 132 million francs represented an increase of 12 million francs over 2009. IFRC Activities and organization Mission and responsibilities The International Federation of Red Cross and Red Crescent Societies coordinates cooperation between national Red Cross and Red Crescent societies throughout the world and supports the foundation of new national societies in countries where no official society exists. On the international stage, the IFRC organizes and leads relief assistance missions after emergencies such as natural disasters, manmade disasters, epidemics, mass refugee flights, and other emergencies. As per the 1997 Seville Agreement, the IFRC is the Lead Agency of the Movement in any emergency situation which does not take place as part of an armed conflict. The IFRC cooperates with the national societies of those countries affected – each called the Operating National Society (ONS) – as well as the national societies of other countries willing to offer assistance – called Participating National Societies (PNS). Among the 187 national societies admitted to the General Assembly of the International Federation as full members or observers, about 25–30 regularly work as PNS in other countries. The most active of those are the American Red Cross, the British Red Cross, the German Red Cross, and the Red Cross societies of Sweden and Norway. Another major mission of the IFRC which has gained attention in recent years is its commitment to work towards a codified, worldwide ban on the use of land mines and to bring medical, psychological, and social support for people injured by land mines. The tasks of the IFRC can therefore be summarized as follows: to promote humanitarian principles and values to provide relief assistance in emergency situations of large magnitude, such as natural disasters to support the national societies with disaster preparedness through the education of voluntary members and the provision of equipment and relief supplies to support local health care projects to support the national societies with youth-related activities Legal status and organization The IFRC has its headquarters in Geneva. It also runs five zone offices (Africa, Americas, Asia Pacific, Europe, Middle East-North Africa), 14 permanent regional offices and has about 350 delegates in more than 60 delegations around the world. The legal basis for the work of the IFRC is its constitution. The executive body of the IFRC is a secretariat, led by a secretary general. The secretariat is supported by five divisions including "Programme Services", "Humanitarian values and humanitarian diplomacy", "National Society and Knowledge Development" and "Governance and Management Services". The highest decision making body of the IFRC is its General Assembly, which convenes every two years with delegates from all of the national societies. Among other tasks, the General Assembly elects the secretary general. Between the convening of General Assemblies, the Governing Board is the leading body of the IFRC. It has the authority to make decisions for the IFRC in a number of areas. The Governing Board consists of the president and the vice presidents of the IFRC, the chairpersons of the Finance and Youth Commissions, and twenty elected representatives from national societies. The symbol of the IFRC is the combination of the Red Cross (left) and Red Crescent (right) on a white background surrounded by a red rectangular frame. Funding and financial matters The main parts of the budget of the IFRC are funded by contributions from the national societies which are members of the IFRC and through revenues from its investments. The exact amount of contributions from each member society is established by the Finance Commission and approved by the General Assembly. Any additional funding, especially for unforeseen expenses for relief assistance missions, is raised by "appeals" published by the IFRC and comes for voluntary donations by national societies, governments, other organizations, corporations, and individuals. National Societies Official recognition National Red Cross and Red Crescent societies exist in nearly every country in the world. Within their home country, they take on the duties and responsibilities of a national relief society as defined by International Humanitarian Law. Within the Movement, the ICRC is responsible for legally recognizing a relief society as an official national Red Cross or Red Crescent society. The exact rules for recognition are defined in the statutes of the Movement. Article 4 of these statutes contains the "Conditions for recognition of National Societies": In order to be recognized in terms of Article 5, paragraph 2 b) as a National Society, the Society shall meet the following conditions: Be constituted on the territory of an independent State where the Geneva Convention for the Amelioration of the Condition of the Wounded and Sick in Armed Forces in the Field is in force. Be the only National Red Cross and-or Red Crescent Society of the said State and be directed by a central body which shall alone be competent to represent it in its dealings with other components of the Movement. Be duly recognized by the legal government of its country on the basis of the Geneva Conventions and of the national legislation as a voluntary aid society, auxiliary to the public authorities in the humanitarian field. Have an autonomous status which allows it to operate in conformity with the Fundamental Principles of the Movement. Use the name and emblem of the Red Cross or Red Crescent in conformity with the Geneva Conventions. Be so organized as to be able to fulfill the tasks defined in its own statutes, including the preparation in peace time for its statutory tasks in case of armed conflict. Extend its activities to the entire territory of the State. Recruit its voluntary members and its staff without consideration of race, sex, class, religion or political opinions. Adhere to the present Statutes, share in the fellowship which unites the components of the Movement and co-operate with them. Respect the Fundamental Principles of the Movement and be guided in its work by the principles of international humanitarian law. Once a National Society has been recognized by the ICRC as a component of the International Red Cross and Red Crescent Movement (the Movement), it is in principle admitted to the International Federation of Red Cross and Red Crescent Societies in accordance with the terms defined in the Constitution and Rules of Procedure of the International Federation. There are today 192 National Societies recognized within the Movement and which are members of the International Federation. The most recent National Societies to have been recognized within the Movement are the Maldives Red Crescent Society (9 November 2011), the Cyprus Red Cross Society, the South Sudan Red Cross Society (12 November 2013) and, the last, the Tuvalu Red Cross Society (on 1 March 2016). Activities Despite formal independence regarding its organizational structure and work, each national society is still bound by the laws of its home country. In many countries, national Red Cross and Red Crescent societies enjoy exceptional privileges due to agreements with their governments or specific "Red Cross Laws" granting full independence as required by the International Movement. The duties and responsibilities of a national society as defined by International Humanitarian Law and the statutes of the Movement include humanitarian aid in armed conflicts and emergency crises such as natural disasters through activities such as Restoring Family Links. Depending on their respective human, technical, financial, and organizational resources, many national societies take on additional humanitarian tasks within their home countries such as blood donation services or acting as civilian Emergency Medical Service (EMS) providers. The ICRC and the International Federation cooperate with the national societies in their international missions, especially with human, material, and financial resources and organizing on-site logistics. History of the emblems Emblems in use Red Cross The Red Cross emblem was officially approved in Geneva in 1863. The Red Cross flag is not to be confused with the Saint George's Cross depicted on the flags of England, Barcelona, Georgia, Freiburg im Breisgau, and several other places. In order to avoid this confusion the protected symbol is sometimes referred to as the "Greek Red Cross"; that term is also used in United States law to describe the Red Cross. The red cross of the Saint George cross extends to the edge of the flag, whereas the red cross on the Red Cross flag does not. The Red Cross flag is the colour-switched version of the Flag of Switzerland. In 1906, to put an end to the argument of the Ottoman Empire that the flag took its roots from Christianity, it was decided to promote officially the idea that the Red Cross flag had been formed by reversing the federal colours of Switzerland, although no clear evidence of this origin had ever been found. Red Crescent The Red Crescent emblem was first used by ICRC volunteers during the armed conflict of 1876–1878 between the Ottoman Empire and the Russian Empire. The symbol was officially adopted in 1929, and so far 33 states in the Muslim world have recognized it. In common with the official promotion of the red cross symbol as a colour-reversal of the Swiss flag (rather than a religious symbol), the red crescent is similarly presented as being derived from a colour-reversal of the flag of the Ottoman Empire. Red Crystal The International Committee of the Red Cross (ICRC) was concerned with the possibility that the two previous symbols (Red Cross and Red Crescent) were conveying religious meanings. This may not be compatible in a majority Hindu or Buddhist country from the Asia-Pacific region, for example, where the majority did not associate with these symbols. Therefore, in 1992, the then-president Cornelio Sommaruga decided that a third, more neutral symbol was required. On 8 December 2005, in response to growing pressure to accommodate Magen David Adom (MDA), Israel's national emergency medical, disaster, ambulance, and blood bank service, as a full member of the Red Cross and Red Crescent movement, a new emblem (officially the Third Protocol Emblem, but more commonly known as the Red Crystal) was adopted by an amendment of the Geneva Conventions known as Protocol III, thereby fulfilling Sommaruga's call. The Crystal can be found on official buildings and occasionally in the field. This symbolises equality and has no political, religious, or geographical connotations, thus allowing any country not comfortable with the symbolism of the original two flags to join the movement. Recognised emblems in disuse Red Lion and Sun The Red Lion and Sun Society of Iran was established in 1922 and admitted to the Red Cross and Red Crescent movement in 1923. The symbol was introduced at Geneva in 1864, as a counter example to the crescent and cross used by two of Iran's rivals, the Ottoman and the Russian empires. Although that claim is inconsistent with the Red Crescent's history, that history also suggests that the Red Lion and Sun, like the Red Crescent, may have been conceived during the 1877–1878 war between Russia and Turkey. Due to the emblem's association with the Iranian monarchy, the Islamic Republic of Iran replaced the Red Lion and Sun with the Red Crescent in 1980, consistent with two existing Red Cross and Red Crescent symbols. Although the Red Lion and Sun has now fallen into disuse, Iran has in the past reserved the right to take it up again at any time; the Geneva Conventions continue to recognize it as an official emblem, and that status was confirmed by Protocol III in 2005 even as it added the Red Crystal. Unrecognised emblems Red Star of David For over 50 years, Israel requested the addition of a red Star of David, arguing that since Christian and Muslim emblems were recognized, the corresponding Jewish emblem should be as well. This emblem has been used by Magen David Adom (MDA), or Red Star of David, but it is not recognized by the Geneva Conventions as a protected symbol. The first use of the ″Magen David Adom″ was during the Anglo Boer War in South Africa (1899–1902) when it was used by the Ambulance Corps founded by Ben Zion Aaron in Johannesburg as a first aid corps to assist the Boer forces. Permission was given by President Paul Kruger of the South African Republic for the Star of David to be used as its insignia, rather than the conventional red cross. The Red Star of David is not recognized as a protected symbol outside Israel; instead the MDA uses the Red Crystal emblem during international operations in order to ensure protection. Depending on the circumstances, it may place the Red Star of David inside the Red Crystal, or use the Red Crystal alone. Hostage crisis allegations The Australian TV network ABC and the indigenous rights group Rettet die Naturvölker released a documentary called Blood on the Cross in 1999. It alleged the involvement of the Red Cross with the British and Indonesian military in a massacre in the Southern Highlands of Western New Guinea during the World Wildlife Fund's Mapenduma hostage crisis of May 1996, when Western and Indonesian activists were held hostage by separatists. Following the broadcast of the documentary, the Red Cross announced publicly that it would appoint an individual outside the organization to investigate the allegations made in the film and any responsibility on its part. Piotr Obuchowicz was appointed to investigate the matter. The report categorically states that the Red Cross personnel accused of involvement were proven not to have been present; that a white helicopter was probably used in a military operation, but the helicopter was not a Red Cross helicopter, and must have been painted by one of several military organizations operating in the region at the time. Perhaps the Red Cross logo itself was also used, although
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that Jews were not deported from Theresienstadt. Claude Lanzmann recorded his experiences in 1979, producing a documentary entitled A Visitor from the Living. On 12 March 1945, ICRC president Jacob Burckhardt received a message from SS General Ernst Kaltenbrunner allowing ICRC delegates to visit the concentration camps. This agreement was bound by the condition that these delegates would have to stay in the camps until the end of the war. Ten delegates, among them Louis Haefliger (Mauthausen-Gusen), Paul Dunant (Theresienstadt) and Victor Maurer (Dachau), accepted the assignment and visited the camps. Louis Haefliger prevented the forceful eviction or blasting of Mauthausen-Gusen by alerting American troops. Friedrich Born (1903–1963), an ICRC delegate in Budapest who saved the lives of about 11,000 to 15,000 Jewish people in Hungary. Marcel Junod (1904–1961), a physician from Geneva was one of the first foreigners to visit Hiroshima after the atomic bomb was dropped. In 1944, the ICRC received its second Nobel Peace Prize. As in World War I, it received the only Peace Prize awarded during the main period of war, 1939 to 1945. At the end of the war, the ICRC worked with national Red Cross societies to organize relief assistance to those countries most severely affected. In 1948, the Committee published a report reviewing its war-era activities from 1 September 1939 to 30 June 1947. The ICRC opened its archives from World War II in 1996. After World War II On 12 August 1949, further revisions to the existing two Geneva Conventions were adopted. An additional convention "for the Amelioration of the Condition of Wounded, Sick and Shipwrecked Members of Armed Forces at Sea", now called the second Geneva Convention, was brought under the Geneva Convention umbrella as a successor to the 1907 Hague Convention X. The 1929 Geneva convention "relative to the Treatment of Prisoners of War" may have been the second Geneva Convention from a historical point of view (because it was actually formulated in Geneva), but after 1949 it came to be called the third Convention because it came later chronologically than the Hague Convention. Reacting to the experience of World War II, the Fourth Geneva Convention, a new Convention "relative to the Protection of Civilian Persons in Time of War", was established. Also, the additional protocols of 8 June 1977 were intended to make the conventions apply to internal conflicts such as civil wars. Today, the four conventions and their added protocols contain more than 600 articles, a remarkable expansion when compared to the mere 10 articles in the first 1864 convention. In celebration of its centennial in 1963, the ICRC, together with the League of Red Cross Societies, received its third Nobel Peace Prize. Since 1993, non-Swiss individuals have been allowed to serve as Committee delegates abroad, a task which was previously restricted to Swiss citizens. Indeed, since then, the share of staff without Swiss citizenship has increased to about 35%. On 16 October 1990, the UN General Assembly decided to grant the ICRC observer status for its assembly sessions and sub-committee meetings, the first observer status given to a private organization. The resolution was jointly proposed by 138 member states and introduced by the Italian ambassador, Vieri Traxler, in memory of the organization's origins in the Battle of Solferino. An agreement with the Swiss government signed on 19 March 1993, affirmed the already long-standing policy of full independence of the committee from any possible interference by Switzerland. The agreement protects the full sanctity of all ICRC property in Switzerland including its headquarters and archive, grants members and staff legal immunity, exempts the ICRC from all taxes and fees, guarantees the protected and duty-free transfer of goods, services, and money, provides the ICRC with secure communication privileges at the same level as foreign embassies, and simplifies Committee travel in and out of Switzerland. At the end of the Cold War, the ICRC's work actually became more dangerous. In the 1990s, more delegates lost their lives than at any point in its history, especially when working in local and internal armed conflicts. These incidents often demonstrated a lack of respect for the rules of the Geneva Conventions and their protection symbols. Among the slain delegates were: Frédéric Maurice. He died on 19 May 1992 at the age of 39, one day after a Red Cross transport he was escorting was attacked in the Bosnian city of Sarajevo. Fernanda Calado (Spain), Ingeborg Foss (Norway), Nancy Malloy (Canada), Gunnhild Myklebust (Norway), Sheryl Thayer (New Zealand), and Hans Elkerbout (Netherlands). They were shot at point-blank range while sleeping in the early hours of 17 December 1996 in the ICRC field hospital in the Chechen city of Nowije Atagi near Grozny. Their murderers have never been caught and there was no apparent motive for the killings. Rita Fox (Switzerland), Véronique Saro (Democratic Republic of the Congo, formerly known as Zaire), Julio Delgado (Colombia), Unen Ufoirworth (DR Congo), Aduwe Boboli (DR Congo), and Jean Molokabonge (DR Congo). On 26 April 2001, they were en route with two cars on a relief mission in the northeast of the Democratic Republic of the Congo when they came under fatal fire from unknown attackers. Ricardo Munguia (El Salvador). He was working as a water engineer in Afghanistan and travelling with local colleagues on 27 March 2003 when their car was stopped by unknown armed men. He was shot execution-style while his colleagues were allowed to escape. He was 39 years old. The killing prompted the ICRC to temporarily suspend operations across Afghanistan. Vatche Arslanian (Canada). Since 2001, he worked as a logistics coordinator for the ICRC mission in Iraq. He died when he was travelling through Baghdad together with members of the Iraqi Red Crescent. On 8 April 2003 their car accidentally came into the cross fire of fighting in the city. Nadisha Yasassri Ranmuthu (Sri Lanka). He was killed by unknown attackers on 22 July 2003 when his car was fired upon near the city of Hilla in the south of Baghdad. In the 2000s, the ICRC has been active in the Afghanistan conflict areas and has set up six physical rehabilitation centers to help land mine victims. Their support extends to the national and international armed forces, civilians and the armed opposition. They regularly visit detainees under the custody of the Afghan government and the international armed forces, but have also occasionally had access since 2009 to people detained by the Taliban. They have provided basic first aid training and aid kits to both the Afghan security forces and Taliban members because, according to an ICRC spokesperson, "ICRC's constitution stipulates that all parties harmed by warfare will be treated as fairly as possible". In August 2021, when NATO-led forces retreated from Afghanistan, the ICRC decided to remain in the country to continue its mission to assist and protect victims of conflict. Since June 2021, ICRC-supported facilities have treated more than 40,000 people wounded during armed confrontations there. Among the ten largest ICRC deployments worldwide has been the Ukraine, where the organisation is active since 2014, working closely with the Ukrainian Red Cross Society. At first, the ICRC was active primarily in the disputed regions of the Donbas and Donetsk, assisting persons injured by armed confrontations there. With the onset of open hostilities between Russian and Ukrainian armed forces on 24 February 2022, the fighting moved to more populated areas in the Eastern Ukraine. The head of the ICRC delegation in Kyiv warned on 26 February 2022 that neighborhoods of major cities are becoming the frontline with significant consequences for their populations, including children, the sick and elderly. The ICRC had urgently called on all parties to the conflict not to forget their obligations under international humanitarian law to ensure the protection of the civilian population and infrastructure, and respect the dignity of refugees and prisoners of war. IFRC History In 1919, representatives from the national Red Cross societies of Britain, France, Italy, Japan, and the US came together in Paris to found the "League of Red Cross Societies" (IFRC). The original idea came from Henry Davison, who was then president of the American Red Cross. This move, led by the American Red Cross, expanded the international activities of the Red Cross movement beyond the strict mission of the ICRC to include relief assistance in response to emergency situations which were not caused by war (such as man-made or natural disasters). The ARC already had great disaster relief mission experience extending back to its foundation. The formation of the League, as an additional international Red Cross organization alongside the ICRC, was not without controversy for a number of reasons. The ICRC had, to some extent, valid concerns about a possible rivalry between the two organizations. The foundation of the League was seen as an attempt to undermine the leadership position of the ICRC within the movement and to gradually transfer most of its tasks and competencies to a multilateral institution. In addition to that, all founding members of the League were national societies from countries of the Entente or from associated partners of the Entente. The original statutes of the League from May 1919 contained further regulations which gave the five founding societies a privileged status and, due to the efforts of Henry Davison, the right to permanently exclude the national Red Cross societies from the countries of the Central Powers, namely Germany, Austria, Hungary, Bulgaria and Turkey, and in addition to that the national Red Cross society of Russia. These rules were contrary to the Red Cross principles of universality and equality among all national societies, a situation which furthered the concerns of the ICRC. The first relief assistance mission organized by the League was an aid mission for the victims of a famine and subsequent typhus epidemic in Poland. Only five years after its foundation, the League had already issued 47 donation appeals for missions in 34 countries, an impressive indication of the need for this type of Red Cross work. The total sum raised by these appeals reached 685 million Swiss francs, which were used to bring emergency supplies to the victims of famines in Russia, Germany, and Albania; earthquakes in Chile, Persia, Japan, Colombia, Ecuador, Costa Rica, and Turkey; and refugee flows in Greece and Turkey. The first large-scale disaster mission of the League came after the 1923 earthquake in Japan which killed about 200,000 people and left countless more wounded and without shelter. Due to the League's coordination, the Red Cross society of Japan received goods from its sister societies reaching a total worth of about $100 million. Another important new field initiated by the League was the creation of youth Red Cross organizations within the national societies. A joint mission of the ICRC and the League in the Russian Civil War from 1917 to 1922 marked the first time the movement was involved in an internal conflict, although still without an explicit mandate from the Geneva Conventions. The League, with support from more than 25 national societies, organized assistance missions and the distribution of food and other aid goods for civil populations affected by hunger and disease. The ICRC worked with the Russian Red Cross Society and later the society of the Soviet Union, constantly emphasizing the ICRC's neutrality. In 1928, the "International Council" was founded to coordinate cooperation between the ICRC and the League, a task which was later taken over by the "Standing Commission". In the same year, a common statute for the movement was adopted for the first time, defining the respective roles of the ICRC and the League within the movement. During the Abyssinian war between Ethiopia and Italy from 1935 to 1936, the League contributed aid supplies worth about 1.7 million Swiss francs. Because the Italian fascist regime under Benito Mussolini refused any cooperation with the Red Cross, these goods were delivered solely to Ethiopia. During the war, an estimated 29 people lost their lives while being under explicit protection of the Red Cross symbol, most of them due to attacks by the Italian Army. During the civil war in Spain from 1936 to 1939 the League once again joined forces with the ICRC with the support of 41 national societies. In 1939 on the brink of the Second World War, the League relocated its headquarters from Paris to Geneva to take advantage of Swiss neutrality. In 1952, the 1928 common statute of the movement was revised for the first time. Also, the period of decolonization from 1960 to 1970 was marked by a huge jump in the number of recognized national Red Cross and Red Crescent societies. By the end of the 1960s, there were more than 100 societies around the world. On December 10, 1963, the Federation and the ICRC received the Nobel Peace Prize. In 1983, the League was renamed to the "League of Red Cross and Red Crescent Societies" to reflect the growing number of national societies operating under the Red Crescent symbol. Three years later, the seven basic principles of the movement as adopted in 1965 were incorporated into its statutes. The name of the League was changed again in 1991 to its current official designation the "International Federation of Red Cross and Red Crescent Societies". In 1997, the ICRC and the IFRC signed the Seville Agreement which further defined the responsibilities of both organizations within the movement. In 2004, the IFRC began its largest mission to date after the tsunami disaster in South Asia. More than 40 national societies have worked with more than 22,000 volunteers to bring relief to the countless victims left without food and shelter and endangered by the risk of epidemics. Activities Organization Altogether, there are about 97 million people worldwide who serve with the ICRC, the International Federation, and the National Societies, the majority with the latter. The 1965 International Conference in Vienna adopted seven basic principles which should be shared by all parts of the Movement, and they were added to the official statutes of the Movement in 1986. Fundamental principles At the 20th International Conference in Neue Hofburg, Vienna, from 2–9 October 1965, delegates "proclaimed" seven fundamental principles which are shared by all components of the Movement, and they were added to the official statutes of the Movement in 1986. The durability and universal acceptance is a result of the process through which they came into being in the form they have. Rather than an effort to arrive at agreement, it was an attempt to discover what successful operations and organisational units, over the past 100 years, had in common. As a result, the Fundamental Principles of the Red Cross and Red Crescent were not revealed, but found – through a deliberate and participative process of discovery. That makes it even more important to note that the text that appears under each "heading" is an integral part of the Principle in question and not an interpretation that can vary with time and place. Humanity The International Red Cross and Red Crescent Movement, born of a desire to bring assistance without discrimination to the wounded on the battlefield, endeavours, in its international and national capacity, to prevent and alleviate human suffering wherever it may be found. Its purpose is to protect life and health and to ensure respect for the human being. It promotes mutual understanding, friendship, cooperation and lasting peace amongst all peoples. Impartiality It makes no discrimination as to nationality, race, religious beliefs, class or political opinions. It endeavours to relieve the suffering of individuals, being guided solely by their needs, and to give priority to the most urgent cases of distress. Neutrality In order to continue to enjoy the confidence of all, the Movement may not take sides in hostilities or engage at any time in controversies of a political, racial, religious or ideological nature. Independence The Movement is independent. The National Societies, while auxiliaries in the humanitarian services of their governments and subject to the laws of their respective countries, must always maintain their autonomy so that they may be able at all times to act in accordance with the principles of the Movement. Voluntary Service It is a voluntary relief movement not prompted in any manner by desire for gain. Unity There can be only one Red Cross or one Red Crescent Society in any one country. It must be open to all. It must carry on its humanitarian work throughout its territory. Universality The International Red Cross and Red Crescent Movement, in which all Societies have equal status and share equal responsibilities and duties in helping each other, is worldwide. International Conference and the Standing Commission The International Conference of the Red Cross and Red Crescent, which occurs once every four years, is the highest institutional body of the Movement. It gathers delegations from all of the national societies as well as from the ICRC, the IFRC and the signatory states to the Geneva Conventions. In between the conferences, the Standing Commission of the Red Cross and Red Crescent acts as the supreme body and supervises implementation of and compliance with the resolutions of the conference. In addition, the Standing Commission coordinates the cooperation between the ICRC and the IFRC. It consists of two representatives from the ICRC (including its president), two from the IFRC (including its president), and five individuals who are elected by the International Conference. The Standing Commission convenes every six months on average. Moreover, a convention of the Council of Delegates of the Movement takes place every two years in the course of the conferences of the General Assembly of the International Federation. The Council of Delegates plans and coordinates joint activities for the Movement. International Committee of the Red Cross Mission The official mission of the ICRC as an impartial, neutral, and independent organization is to stand for the protection of the life and dignity of victims of international and internal armed conflicts. According to the 1997 Seville Agreement, it is the "Lead Agency" of the Movement in conflicts. Responsibilities The core tasks of the committee, which are derived from the Geneva Conventions and its own statutes, are the following: to monitor compliance of warring parties with the Geneva Conventions to organize nursing and care for those who are wounded on the battlefield to supervise the treatment of prisoners of war to help with the search for missing persons in an armed conflict (tracing service) to organize protection and care for civil populations to arbitrate between warring parties in an armed conflict Legal status and organization The ICRC is headquartered in the Swiss city of Geneva and has external offices in about 80 countries. It has about 12,000 staff members worldwide, about 800 of them working in its Geneva headquarters, 1,200 expatriates with about half of them serving as delegates managing its international missions and the other half being specialists like doctors, agronomists, engineers or interpreters, and about 10,000 members of individual national societies working on site. According to Swiss law, the ICRC is defined as a private association. Contrary to popular belief, the ICRC is not a non-governmental organization in the most common sense of the term, nor is it an international organization. As it limits its members (a process called cooptation) to Swiss nationals only, it does not have a policy of open and unrestricted membership for individuals like other legally defined NGOs. The word "international" in its name does not refer to its membership but to the worldwide scope of its activities as defined by the Geneva Conventions. The ICRC has special privileges and legal immunities in many countries, based on national law in these countries or through agreements between the committee and respective national governments. According to its statutes, it consists of 15 to 25 Swiss-citizen members, which it coopts for a period of four years. There is no limit to the number of terms an individual member can have although a three-quarters majority of all members is required for
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until George's sudden death from a brain tumor in 1937. Following his brother's death, Ira waited nearly three years before writing again. After this temporary retirement, Ira teamed up with accomplished composers such as Jerome Kern (Cover Girl); Kurt Weill (Where Do We Go from Here?; Lady in the Dark); and Harold Arlen (Life Begins at 8:40; A Star Is Born). Over the next 14 years, Gershwin continued to write the lyrics for many film scores and a few Broadway shows. But the failure of Park Avenue in 1946 (a "smart" show about divorce, co-written with composer Arthur Schwartz) was his farewell to Broadway. As he wrote at the time, "Am reading a couple of stories for possible musicalization (if there is such a word) but I hope I don't like them as I think I deserve a long rest." In 1947, he took 11 songs George had written but never used, provided them with new lyrics, and incorporated them into the Betty Grable film The Shocking Miss Pilgrim. He later wrote comic lyrics for Billy Wilder's 1964 movie Kiss Me, Stupid, although most critics believe his final major work was for the 1954 Judy Garland film A Star Is Born. American singer, pianist and musical historian Michael Feinstein worked for Gershwin in the lyricist's latter years, helping him with his archive. Several lost musical treasures were unearthed during this period, and Feinstein performed some of the material. Feinstein's book The Gershwins and Me: A Personal History in Twelve Songs about working for Ira, and George and Ira's music was published in 2012. According to a 1999 story in Vanity Fair, Ira Gershwin's love for loud music was as great as his wife's loathing of it. When Debby Boone—daughter-in-law of his neighbor Rosemary Clooney—returned from Japan with one of the first Sony Walkmans (utilizing cassette tape), Clooney gave it to Michael Feinstein to give to Ira, "so he could crank it in his ears, you know. And he said, 'This is absolutely wonderful!' And he called his broker and bought Sony stock!" Awards and honors Three of Ira Gershwin's songs ("They Can't Take That Away From Me" (1937), "Long Ago (And Far Away)" (1944) and "The Man That Got Away" (1954)) were nominated for an Academy Award for Best Original Song, though none won. Along with George S Kaufman and Morrie Ryskind, he was a recipient of the 1932 Pulitzer Prize for Drama for Of Thee I Sing. In 1988 UCLA established The George and Ira Gershwin Lifetime Musical Achievement Award in recognition of the brothers' contribution to music, and for their gift to UCLA of the fight song "Strike Up the Band for UCLA". Recipients include Angela Lansbury (1988), Ray Charles (1991), Mel Tormé (1994), Bernadette Peters (1995), Frank Sinatra (2000), Stevie Wonder (2002), k.d. lang (2003), James Taylor (2004), Babyface (2005), Burt Bacharach (2006), Quincy Jones (2007), Lionel Richie (2008) and Julie Andrews (2009). Legacy Ira Gershwin was a joyous listener to the sounds of the modern world. "He had a sharp eye and ear for the minutiae of living." He noted in a diary: "Heard in a day: An elevator's purr, telephone's ring, telephone's buzz, a baby's moans, a shout of delight,
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works include "The Man I Love", "Fascinating Rhythm", "Someone to Watch Over Me", "I Got Rhythm" and "They Can't Take That Away from Me". Their partnership continued until George's sudden death from a brain tumor in 1937. Following his brother's death, Ira waited nearly three years before writing again. After this temporary retirement, Ira teamed up with accomplished composers such as Jerome Kern (Cover Girl); Kurt Weill (Where Do We Go from Here?; Lady in the Dark); and Harold Arlen (Life Begins at 8:40; A Star Is Born). Over the next 14 years, Gershwin continued to write the lyrics for many film scores and a few Broadway shows. But the failure of Park Avenue in 1946 (a "smart" show about divorce, co-written with composer Arthur Schwartz) was his farewell to Broadway. As he wrote at the time, "Am reading a couple of stories for possible musicalization (if there is such a word) but I hope I don't like them as I think I deserve a long rest." In 1947, he took 11 songs George had written but never used, provided them with new lyrics, and incorporated them into the Betty Grable film The Shocking Miss Pilgrim. He later wrote comic lyrics for Billy Wilder's 1964 movie Kiss Me, Stupid, although most critics believe his final major work was for the 1954 Judy Garland film A Star Is Born. American singer, pianist and musical historian Michael Feinstein worked for Gershwin in the lyricist's latter years, helping him with his archive. Several lost musical treasures were unearthed during this period, and Feinstein performed some of the material. Feinstein's book The Gershwins and Me: A Personal History in Twelve Songs about working for Ira, and George and Ira's music was published in 2012. According to a 1999 story in Vanity Fair, Ira Gershwin's love for loud music was as great as his wife's loathing of it. When Debby Boone—daughter-in-law of his neighbor Rosemary Clooney—returned from Japan with one of the first Sony Walkmans (utilizing cassette tape), Clooney gave it to Michael Feinstein to give to Ira, "so he could crank it in his ears, you know. And he said, 'This is absolutely wonderful!' And he called his broker and bought Sony stock!" Awards and honors Three of Ira Gershwin's songs ("They Can't Take That Away From Me" (1937), "Long Ago (And Far Away)" (1944) and "The Man That Got Away" (1954)) were nominated for an Academy Award for Best Original Song, though none won. Along with George S Kaufman and Morrie Ryskind, he was a recipient of the 1932 Pulitzer Prize for Drama for Of Thee I Sing. In 1988 UCLA established The George and Ira Gershwin Lifetime Musical Achievement Award in recognition of the brothers' contribution to music, and for their gift to UCLA of the fight song "Strike Up the Band
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sharply to the left after the Nanga Parbat massif, and flows south-by-southwest through Pakistan, before it empties into the Arabian Sea near the port city of Karachi. The river has a total drainage area exceeding . Its estimated annual flow is around , making it one of the 50 largest rivers in the world in terms of average annual flow. Its left-bank tributary in Ladakh is the Zanskar River, and its left-bank tributary in the plains is the Panjnad River which itself has five major tributaries, namely the Chenab, Jhelum, Ravi, Beas, and Sutlej rivers. Its principal right-bank tributaries are the Shyok, Gilgit, Kabul, Kurram, and Gomal rivers. Beginning in a mountain spring and fed with glaciers and rivers in the Himalayan, Karakoram, and Hindu Kush ranges, the river supports the ecosystems of temperate forests, plains, and arid countryside. The northern part of the Indus Valley, with its tributaries, forms the Punjab region of South Asia, while the lower course of the river ends in a large delta in the southern Sindh province of Pakistan. The river has historically been important to many cultures of the region. The 3rd millennium BC saw the rise of Indus Valley Civilisation, a major urban civilization of the Bronze Age. During the 2nd millennium BC, the Punjab region was mentioned in the Rigveda hymns as Sapta Sindhu and in the Avesta religious texts as Saptha Hindu (both terms meaning "seven rivers"). Early historical kingdoms that arose in the Indus Valley include Gandhāra, and the Ror dynasty of Sauvīra. The Indus River came into the knowledge of the Western world early in the classical period, when King Darius of Persia sent his Greek subject Scylax of Caryanda to explore the river, c. 515 BC. Etymology and names This river was known to the ancient Indians in Sanskrit as Sindhu and the Persians as Hindu which was regarded by both of them as "the border river". The variation between the two names is explained by the Old Iranian sound change *s > h, which occurred between 850 and 600 BCE according to Asko Parpola. From the Persian Achaemenid Empire, the name passed to the Greeks as Indós (Ἰνδός). It was adopted by the Romans as Indus. The name India is derived from Indus. Description The Indus River provides key water resources for Pakistan's economy – especially the breadbasket of Punjab province, which accounts for most of the nation's agricultural production, and Sindh. The word Punjab means "land of five rivers" and the five rivers are Jhelum, Chenab, Ravi, Beas and Sutlej, all of which finally flow into the Indus. The Indus also supports many heavy industries and provides the main supply of potable water in Pakistan. The ultimate source of the Indus is in Tibet; the river begins at the confluence of the Sengge Zangbo and Gar Tsangpo rivers that drain the Nganglong Kangri and Gangdise Shan (Gang Rinpoche, Mt. Kailash) mountain ranges. The Indus then flows northwest through Ladakh, India, and Baltistan into Gilgit, just south of the Karakoram range. The Shyok, Shigar and Gilgit rivers carry glacial waters into the main river. It gradually bends to the south and descends into the Punjab plains at Kalabagh, Pakistan. The Indus passes gigantic gorges deep near the Nanga Parbat massif. It flows swiftly across Hazara and is dammed at the Tarbela Reservoir. The Kabul River joins it near Attock. The remainder of its route to the sea is in the plains of the Punjab and Sindh, where the flow of the river becomes slow and highly braided. It is joined by the Panjnad at Mithankot. Beyond this confluence, the river, at one time, was named the Satnad River (sat = "seven", nadī = "river"), as the river now carried the waters of the Kabul River, the Indus River and the five Punjab rivers. Passing by Jamshoro, it ends in a large delta to the South of Thatta in the Sindh province of Pakistan The Indus is one of the few rivers in the world to exhibit a tidal bore. The Indus system is largely fed by the snows and glaciers of the Himalayas, Karakoram and the Hindu Kush ranges of Tibet, Ladakh, the disputed region of Jammu and Kashmir of India and the disputed Gilgit-Baltistan region of Pakistan. The flow of the river is also determined by the seasons – it diminishes greatly in the winter, while flooding its banks in the monsoon months from July to September. There is also evidence of a steady shift in the course of the river since prehistoric times – it deviated westwards from flowing into the Rann of Kutch and adjoining Banni grasslands after the 1816 earthquake. Presently, Indus water flows in to the Rann of Kutch during its floods breaching flood banks. The traditional source of the river is the Sênggê Kanbab (a.k.a. Sênggê Zangbo, Senge Khabab) or "Lion's Mouth", a perennial spring, not far from the sacred Mount Kailash marked by a long low line of Tibetan chortens. There are several other tributaries nearby, which may possibly form a longer stream than Sênggê Kanbab, but unlike the Sênggê Kanbab, are all dependent on snowmelt. The Zanskar River, which flows into the Indus in Ladakh, has a greater volume of water than the Indus itself before that point. History The major cities of the Indus Valley Civilisation, such as Harappa and Mohenjo-daro, date back to around 3300 BC, and represent some of the largest human habitations of the ancient world. The Indus Valley Civilisation extended from across northeast Afghanistan to Pakistan and northwest India, with an upward reach from east of Jhelum River to Ropar on the upper Sutlej. The coastal settlements extended from Sutkagan Dor at the Pakistan, Iran border to Kutch in modern Gujarat, India. There is an Indus site on the Amu Darya at Shortughai in northern Afghanistan, and the Indus site Alamgirpur at the Hindon River is located only from Delhi. To date, over 1,052 cities and settlements have been found, mainly in the general region of the Ghaggar-Hakra River and its tributaries. Among the settlements were the major urban centres of Harappa and Mohenjo-daro, as well as Lothal, Dholavira, Ganeriwala, and Rakhigarhi. Only 40 Indus Valley sites have been discovered on the Indus and its tributaries. However, it is notable that majority of the Indus script seals and inscribed objects discovered were found at sites along the Indus river. Most scholars believe that settlements of Gandhara grave culture of the early Indo-Aryans flourished in Gandhara from 1700 BC to 600 BC, when Mohenjo-daro and Harappa had already been abandoned. The Rigveda describes several rivers, including one named "Sindhu". The Rigvedic "Sindhu" is thought to be the present-day Indus river. It is attested 176 times in its text, 94 times in the plural, and most often used in the generic sense of "river". In the Rigveda, notably in the later hymns, the meaning of the word is narrowed to refer to the Indus river in particular, e.g. in the list of rivers mentioned in the hymn of Nadistuti sukta. The Rigvedic hymns apply a feminine gender to all the rivers mentioned therein, except for the Brahmaputra. The word "India" is derived from the Indus River. In ancient times, "India" initially referred to those regions immediately along the east bank of the Indus, but by 300 BC, Greek writers including Herodotus and Megasthenes were applying the term to the entire subcontinent that extends much farther eastward. The lower basin of the Indus forms a natural boundary between the Iranian Plateau and the Indian subcontinent; this region embraces all or parts of the Pakistani provinces Balochistan, Khyber Pakhtunkhwa, Punjab and Sindh and the countries Afghanistan and India. The first West Eurasian empire to annex the Indus Valley was the Persian Empire, during the reign of Darius the Great. During his reign, the Greek explorer Scylax of Caryanda was commissioned to explore the course of the Indus. It was crossed by the invading armies of Alexander, but after his Macedonians conquered the west bank—joining it to the Hellenic world, they elected to retreat along the southern course of the river, ending Alexander's Asian campaign. Alexander's admiral Nearchus set out from the Indus Delta to explore the Persian Gulf, until reaching the Tigris River. The Indus Valley was later dominated by the Mauryan and Kushan Empires, Indo-Greek Kingdoms, Indo-Scythians and Hepthalites. Over several centuries Muslim armies of Muhammad bin Qasim, Mahmud of Ghazni, Mohammed Ghori, Tamerlane and Babur crossed the river to invade Sindh and Punjab, providing a gateway to the Indian subcontinent. Geography Tributaries Beas River Chenab River Gar River Gilgit River Gomal River Hunza River Jhelum River Kabul River Kunar River Kurram River Panjnad River Ravi River Shyok River Soan River Suru River Satluj River Swat River Zanskar River Zhob River Geology The Indus river feeds the Indus submarine fan, which is the second largest sediment body on the Earth. It consists of around 5 million cubic kilometres of material eroded from the mountains. Studies of the sediment in the modern river indicate that the Karakoram Mountains in northern Pakistan and India are the single most important source of material, with the Himalayas providing the next largest contribution, mostly via the large rivers of the Punjab (Jhelum, Ravi, Chenab, Beas and Sutlej). Analysis of sediments from the Arabian Sea has demonstrated that prior to five million years ago the Indus was not connected to these Punjab rivers which instead flowed east into the Ganga and were captured after that time. Earlier work showed that sand and silt from western Tibet was reaching the Arabian Sea by 45 million years ago, implying the existence of an ancient Indus River by that time. The delta of this proto-Indus river has subsequently been found in the Katawaz Basin, on the Afghan-Pakistan border. In the Nanga Parbat region, the massive amounts of erosion due to the Indus river following the capture and rerouting through that area is thought to bring middle and lower crustal rocks to the surface. In November 2011, satellite images showed that the Indus river had re-entered India, feeding Great Rann of Kutch, Little Rann of Kutch and a lake near Ahmedabad known as Nal Sarovar. Heavy rains had left the river basin along with the Lake Manchar, Lake Hemal and Kalri Lake (all in modern-day Pakistan) inundated. This happened two centuries after the Indus river shifted its course westwards following the 1819 Rann of Kutch earthquake. The Induan Age at start of the Triassic Period of geological time is named for the Indus region. Wildlife Accounts of the Indus valley from the times of Alexander's campaign indicate a healthy forest cover in the region. The Mughal Emperor Babur writes of encountering rhinoceroses along its bank in his memoirs (the Baburnama). Extensive deforestation and human interference in the ecology of the Shivalik Hills has led to a marked deterioration in vegetation and growing conditions. The Indus valley regions are arid with poor vegetation. Agriculture is sustained largely due to irrigation works. The Indus river and its watershed has a rich biodiversity. It is home to around 25 amphibian species. Mammals The Indus river dolphin (Platanista indicus minor) is found only in the Indus River. It is subspecies of the South Asian river dolphin. The Indus river dolphin formerly also occurred in the tributaries of the Indus river. According to the World Wildlife Fund it is one of the most threatened cetaceans with only about 1,000 still existing. There are two otter species in the Indus River basin: the Eurasian otter in the northeastern highland sections and the smooth-coated otter elsewhere in the river basin. The smooth-coated otters in the Indus River represent a subspecies found nowhere else, the Sindh otter (Lutrogale perspicillata sindica). Fish The Indus River basin has a high diversity, being the home of more than 180 freshwater fish species, including 22 which are found nowhere else. Fish also played a major role in earlier cultures of the region, including the ancient Indus Valley Civilisation where depictions of fish were frequent. The Indus script has a commonly used fish sign, which in its various forms may simply have meant "fish", or referred to stars or gods. In the uppermost, highest part of the Indus River basin there are relatively few genera and species: Diptychus, Ptychobarbus, Schizopyge, Schizopygopsis and Schizothorax snowtrout, Triplophysa loaches, and the catfish Glyptosternon reticulatum.
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and the latter are rare. Many of the species of the middle sections of the Indus basin are also present in the lower. Notable examples of genera that are present in the lower plain but generally not elsewhere in the Indus River basin are the Aphanius pupfish, Aplocheilus killifish, palla fish (Tenualosa ilisha), catla (Labeo catla), rohu (Labeo rohita) and Cirrhinus mrigala. The lowermost part of the river and its delta are home to freshwater fish, but also a number of brackish and marine species. This includes pomfret and prawns. The large delta has been recognized by conservationists as an important ecological region. Here, the river turns into many marshes, streams and creeks and meets the sea at shallow levels. Palla fish (Tenualosa ilisha) of the river is a delicacy for people living along the river. The population of fish in the river is moderately high, with Sukkur, Thatta, and Kotri being the major fishing centres – all in the lower Sindh course. As a result, damming and irrigation has made fish farming an important economic activity. Economy The Indus is the most important supplier of water resources to the Punjab and Sindh plains – it forms the backbone of agriculture and food production in Pakistan. The river is especially critical since rainfall is meagre in the lower Indus valley. Irrigation canals were first built by the people of the Indus Valley Civilisation, and later by the engineers of the Kushan Empire and the Mughal Empire. Modern irrigation was introduced by the British East India Company in 1850 – the construction of modern canals accompanied with the restoration of old canals. The British supervised the construction of one of the most complex irrigation networks in the world. The Guddu Barrage is long – irrigating Sukkur, Jacobabad, Larkana and Kalat. The Sukkur Barrage serves over . After Pakistan came into existence, a water control treaty signed between India and Pakistan in 1960 guaranteed that Pakistan would receive water from the Indus River and its two tributaries the Jhelum River & the Chenab River independently of upstream control by India. The Indus Basin Project consisted primarily of the construction of two main dams, the Mangla Dam built on the Jhelum River and the Tarbela Dam constructed on the Indus River, together with their subsidiary dams. The Pakistan Water and Power Development Authority undertook the construction of the Chashma-Jhelum link canal – linking the waters of the Indus and Jhelum rivers – extending water supplies to the regions of Bahawalpur and Multan. Pakistan constructed the Tarbela Dam near Rawalpindi – standing long and high, with an long reservoir. It supports the Chashma Barrage near Dera Ismail Khan for irrigation use and flood control and the Taunsa Barrage near Dera Ghazi Khan which also produces 100,000 kilowatts of electricity. The Kotri Barrage near Hyderabad is long and provides additional water supplies for Karachi. The extensive linking of tributaries with the Indus has helped spread water resources to the valley of Peshawar, in the Khyber Pakhtunkhwa. The extensive irrigation and dam projects provide the basis for Pakistan's large production of crops such as cotton, sugarcane and wheat. The dams also generate electricity for heavy industries and urban centers. People Indus river is sacred to Hindus. Sindhu Darshan Festival is held on every Guru Purnima on the banks of Indus. The ethnicities of the Indus Valley (Pakistan and Northwest India) have a greater amount of ANI (or West Eurasian) admixture than other South Asians, including inputs from Western Steppe Herders, with evidence of more sustained and multi-layered migrations from the west. Modern issues Indus delta Originally, the delta used to receive almost all of the water from the Indus river, which has an annual flow of approximately , and is accompanied by of silt. Since the 1940s, dams, barrages and irrigation works have been constructed on the river. The Indus Basin Irrigation System is the "largest contiguous irrigation system developed over the past 140 years" anywhere in the world. This has reduced the flow of water and by 2018, the average annual flow of water below the Kotri barrage was , and annual amount of silt discharged was estimated at . As a result, the 2010 Pakistan floods were considered "good news" for the ecosystem and population of the river delta as they brought much needed fresh water. Any further utilization of the river basin water is not economically feasible. Vegetation and wildlife of the Indus delta are threatened by the reduced inflow of fresh water, along with extensive deforestation, industrial pollution and global warming. Damming has also isolated the delta population of Indus river dolphins from those further upstream. Large-scale diversion of the river's water for irrigation has raised far-reaching issues. Sediment clogging from poor maintenance of canals has affected agricultural production and vegetation on numerous occasions. Irrigation itself is increasing soil salinization, reducing crop yields and in some cases rendering farmland useless for cultivation. Effects of climate change on the river The Tibetan Plateau contains the world's third-largest store of ice. Qin Dahe, the former head of the China Meteorological Administration, said the recent fast pace of melting and warmer temperatures will be good for agriculture and tourism in the short term, but issued a strong warning: "Temperatures are rising four times faster than elsewhere in China, and the Tibetan glaciers are retreating at a higher speed than in any other part of the world... In the short term, this will cause lakes to expand and bring floods and mudflows.. In the long run, the glaciers are vital lifelines of the Indus River. Once they vanish, water supplies in Pakistan will be in peril." "There is insufficient data to say what will happen to the Indus," says David Grey, the World Bank's senior water advisor in South Asia. "But we all have very nasty fears that the flows of the Indus could be severely, severely affected by glacier melt as a consequence of climate change," and reduced by perhaps as much as 50 percent. "Now what does that mean to a population that lives in a desert [where], without the river, there would be no life? I don't know the answer to that question," he says. "But we need to be concerned about that. Deeply, deeply concerned." U.S. diplomat Richard Holbrooke said, shortly before his death in 2010, that he believed that falling water levels in the Indus River "could very well precipitate World War III." Pollution Over the years factories on the banks of the Indus River have increased levels of water pollution in the river and the atmosphere around it. High levels of pollutants in the river have led to the deaths of endangered Indus river dolphin. The Sindh Environmental Protection Agency has ordered polluting factories around the river to shut down under the Pakistan Environmental Protection Act, 1997. Death of the Indus river dolphin has also been attributed to fishermen using poison to kill fish and scooping them up. As a result, the government banned fishing from Guddu Barrage to Sukkur. The Indus is second among a group of ten rivers responsible for about 90% of all the plastic that reaches the oceans. The Yangtze is the only river contributing more plastic. 2010 floods Frequently, Indus river is prone to moderate to severe flooding. In July 2010, following abnormally heavy monsoon rains, the Indus River rose above its banks and started flooding. The rain continued for the next two months, devastating large areas of Pakistan. In Sindh, the Indus burst its banks near Sukkur on 8 August, submerging the village of Mor Khan Jatoi. In early August, the heaviest flooding moved southward along the Indus River from severely affected northern regions toward western Punjab, where at least of cropland was destroyed, and the southern province of Sindh. , over two thousand people had died and over a million homes had been destroyed since the flooding began. 2011 floods The 2011 Sindh floods began during the Pakistani monsoon season in mid-August 2011, resulting from heavy monsoon rains in Sindh, eastern Balochistan, and southern Punjab. The floods caused considerable damage; an estimated 434 civilians were killed, with 5.3 million people and 1,524,773 homes affected. Sindh is a fertile region and often called the "breadbasket" of the country; the damage and toll of the floods on the local agrarian economy was said to be extensive. At least of arable land were inundated. The flooding followed the previous year's floods, which devastated a large part of the country. Unprecedented torrential monsoon rains caused severe flooding in 16 districts of Sindh. Barrages, bridges, levees and dams In Pakistan currently there are six barrages on the Indus: Guddu Barrage, Sukkur
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given length are equally hard to factor. The hardest instances of these problems (for currently known techniques) are semiprimes, the product of two prime numbers. When they are both large, for instance more than two thousand bits long, randomly chosen, and about the same size (but not too close, for example, to avoid efficient factorization by Fermat's factorization method), even the fastest prime factorization algorithms on the fastest computers can take enough time to make the search impractical; that is, as the number of digits of the primes being factored increases, the number of operations required to perform the factorization on any computer increases drastically. Many cryptographic protocols are based on the difficulty of factoring large composite integers or a related problem—for example, the RSA problem. An algorithm that efficiently factors an arbitrary integer would render RSA-based public-key cryptography insecure. Prime decomposition By the fundamental theorem of arithmetic, every positive integer has a unique prime factorization. (By convention, 1 is the empty product.) Testing whether the integer is prime can be done in polynomial time, for example, by the AKS primality test. If composite, however, the polynomial time tests give no insight into how to obtain the factors. Given a general algorithm for integer factorization, any integer can be factored into its constituent prime factors by repeated application of this algorithm. The situation is more complicated with special-purpose factorization algorithms, whose benefits may not be realized as well or even at all with the factors produced during decomposition. For example, if where are very large primes, trial division will quickly produce the factors 3 and 19 but will take p divisions to find the next factor. As a contrasting example, if n is the product of the primes 13729, 1372933, and 18848997161, where , Fermat's factorization method will begin with which immediately yields and hence the factors and . While these are easily recognized as composite and prime respectively, Fermat's method will take much longer to factor the composite number because the starting value of for a is nowhere near 1372933. Current state of the art Among the b-bit numbers, the most difficult to factor in practice using existing algorithms are those that are products of two primes of similar size. For this reason, these are the integers used in cryptographic applications. The largest such semiprime yet factored was RSA-250, a 829-bit number with 250 decimal digits, in February 2020. The total computation time was roughly 2700 core-years of computing using Intel Xeon Gold 6130 at 2.1 GHz. Like all recent factorization records, this factorization was completed with a highly optimized implementation of the general number field sieve run on hundreds of machines. Difficulty and complexity No algorithm has been published that can factor all integers in polynomial time, that is, that can factor a b-bit number n in time O(bk) for some constant k. Neither the existence nor non-existence of such algorithms has been proved, but it is generally suspected that they do not exist and hence that the problem is not in class P. The problem is clearly in class NP, but it is generally suspected that it is not NP-complete, though this has not been proven. There are published algorithms that are faster than O((1 + ε)b) for all positive ε, that is, sub-exponential. As of 2021-03-12, the algorithm with best theoretical asymptotic running time is the general number field sieve (GNFS), first published in 1993, running on a b-bit number n in time: For current computers, GNFS is the best published algorithm for large n (more than about 400 bits). For a quantum computer, however, Peter Shor discovered an algorithm in 1994 that solves it in polynomial time. This will have significant implications for cryptography if quantum computation becomes scalable. Shor's algorithm takes only time and O(b) space on b-bit number inputs. In 2001, Shor's algorithm was implemented for the first time, by using NMR techniques on molecules that provide 7 qubits. It is not known exactly which complexity classes contain the decision version of the integer factorization problem (that is: does have a factor smaller than ?). It is known to be in both NP and co-NP, meaning that both "yes" and "no" answers can be verified in polynomial time. An answer of "yes" can be certified by exhibiting a factorization with . An answer of "no" can be certified by exhibiting the factorization of n into distinct primes, all larger than k; one can verify their primality using the AKS primality test, and then multiply them to obtain n. The fundamental theorem of arithmetic guarantees that there is only one possible string of increasing primes that will be accepted, which shows that the problem is in both UP and co-UP. It is known to be in BQP because of Shor's algorithm. The problem is suspected to be outside all three of the complexity classes P, NP-complete, and co-NP-complete. It is therefore a candidate for the NP-intermediate complexity class. If it could be proved to be either NP-complete or co-NP-complete, this would imply NP = co-NP, a very surprising result, and therefore integer factorization is widely suspected to be outside both these classes. Many people have tried to find classical polynomial-time algorithms for it and failed, and therefore it is widely suspected to be outside P. In contrast, the decision problem "Is n a composite number?" (or equivalently: "Is n a prime number?") appears to be much easier than the problem of specifying factors of n. The composite/prime problem can be solved in polynomial time (in the number b of digits of n) with the AKS primality test. In addition,
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polynomial time, for example, by the AKS primality test. If composite, however, the polynomial time tests give no insight into how to obtain the factors. Given a general algorithm for integer factorization, any integer can be factored into its constituent prime factors by repeated application of this algorithm. The situation is more complicated with special-purpose factorization algorithms, whose benefits may not be realized as well or even at all with the factors produced during decomposition. For example, if where are very large primes, trial division will quickly produce the factors 3 and 19 but will take p divisions to find the next factor. As a contrasting example, if n is the product of the primes 13729, 1372933, and 18848997161, where , Fermat's factorization method will begin with which immediately yields and hence the factors and . While these are easily recognized as composite and prime respectively, Fermat's method will take much longer to factor the composite number because the starting value of for a is nowhere near 1372933. Current state of the art Among the b-bit numbers, the most difficult to factor in practice using existing algorithms are those that are products of two primes of similar size. For this reason, these are the integers used in cryptographic applications. The largest such semiprime yet factored was RSA-250, a 829-bit number with 250 decimal digits, in February 2020. The total computation time was roughly 2700 core-years of computing using Intel Xeon Gold 6130 at 2.1 GHz. Like all recent factorization records, this factorization was completed with a highly optimized implementation of the general number field sieve run on hundreds of machines. Difficulty and complexity No algorithm has been published that can factor all integers in polynomial time, that is, that can factor a b-bit number n in time O(bk) for some constant k. Neither the existence nor non-existence of such algorithms has been proved, but it is generally suspected that they do not exist and hence that the problem is not in class P. The problem is clearly in class NP, but it is generally suspected that it is not NP-complete, though this has not been proven. There are published algorithms that are faster than O((1 + ε)b) for all positive ε, that is, sub-exponential. As of 2021-03-12, the algorithm with best theoretical asymptotic running time is the general number field sieve (GNFS), first published in 1993, running on a b-bit number n in time: For current computers, GNFS is the best published algorithm for large n (more than about 400 bits). For a quantum computer, however, Peter Shor discovered an algorithm in 1994 that solves it in polynomial time. This will have significant implications for cryptography if quantum computation becomes scalable. Shor's algorithm takes only time and O(b) space on b-bit number inputs. In 2001, Shor's algorithm was implemented for the first time, by using NMR techniques on molecules that provide 7 qubits. It is not known exactly which complexity classes contain the decision version of the integer factorization problem (that is: does have a factor smaller than ?). It is known to be in both NP and co-NP, meaning that both "yes" and "no" answers can be verified in polynomial time. An answer of "yes" can be certified by exhibiting a factorization with . An answer of "no" can be certified by exhibiting the factorization of n into distinct primes, all larger than k; one can verify their primality using the AKS primality test, and then multiply them to obtain n. The fundamental theorem of arithmetic guarantees that there is only one possible string of increasing primes that will be accepted, which shows that the problem is in both UP and co-UP. It is known to be in BQP because of Shor's algorithm. The problem is suspected to be outside all three of the complexity classes P, NP-complete, and co-NP-complete. It is therefore a candidate for the NP-intermediate complexity class. If it could be proved to be either NP-complete or co-NP-complete, this would imply NP = co-NP, a very surprising result, and therefore integer factorization is widely suspected to be outside both these classes. Many people have tried to find classical polynomial-time algorithms for it and failed, and therefore it is widely suspected to be outside P. In contrast, the decision problem "Is n a composite number?" (or equivalently: "Is n a prime number?") appears to be much easier than the problem of specifying factors of n. The composite/prime problem can be solved in polynomial time (in the number b of digits of n) with the AKS primality test. In addition, there are several probabilistic algorithms that can test primality very quickly in practice if one is willing to accept a vanishingly small possibility of error. The ease of primality testing is a crucial part of the RSA algorithm, as it is necessary to find large prime numbers to start with. Factoring algorithms Special-purpose A special-purpose factoring algorithm's running time depends on the properties of the number to be factored or on one of its unknown factors: size, special form, etc. The parameters which determine the running time vary among algorithms. An important subclass of special-purpose factoring algorithms is the Category 1 or First Category algorithms, whose running time depends on the size
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as the Chinese system. In order to distinguish between the units of the two systems, the units can be prefixed with "Ying" (, jing1) for the imperial system and "Wa" (, waa4) for the Chinese system. In writing, derived characters are often used, with an additional (mouth) radical to the left of the original Chinese character, for writing imperial units. The most commonly used units are the mile or "li" (, li1), the yard or "ma" (, maa5), the foot or "chek" (, cek3), and the inch or "tsun" (, cyun3). The traditional measure of flat area is the square foot (, fong1 cek3, ping4 fong1 cek3) of the imperial system, which is still in common use for real estate purposes. The measurement of agricultural plots and fields is traditionally conducted in (mau5) of the Chinese system. For the measurement of volume, Hong Kong officially uses the metric system, though the gallon (, gaa1 leon4-2) is also occasionally used. Canada During the 1970s, the metric system and SI units were introduced in Canada to replace the imperial system. Within the government, efforts to implement the metric system were extensive; almost any agency, institution, or function provided by the government uses SI units exclusively. Imperial units were eliminated from all public road signs and both systems of measurement will still be found on privately owned signs, such as the height warnings at the entrance of a parkade. In the 1980s, momentum to fully convert to the metric system stalled when the government of Brian Mulroney was elected. There was heavy opposition to metrication and as a compromise the government maintains legal definitions for and allows use of imperial units as long as metric units are shown as well. The law requires that measured products (such as fuel and meat) be priced in metric units and an imperial price can be shown if a metric price is present. There tends to be leniency in regards to fruits and vegetables being priced in imperial units only. Environment Canada still offers an imperial unit option beside metric units, even though weather is typically measured and reported in metric units in the Canadian media. Some radio stations near the United States border (such as CIMX and CIDR) primarily use imperial units to report the weather. Railways in Canada also continue to use imperial units. Imperial units are still used in ordinary conversation. Today, Canadians typically use a mix of metric and imperial measurements in their daily lives. The use of the metric and imperial systems varies by age. The older generation mostly uses the imperial system, while the younger generation more often uses the metric system. Quebec has implemented metrication more fully. Newborns are measured in SI at hospitals, but the birth weight and length is also announced to family and friends in imperial units. Drivers' licences use SI units, though many English-speaking Canadians give their height and weight in imperial. In livestock auction markets, cattle are sold in dollars per hundredweight (short), whereas hogs are sold in dollars per hundred kilograms. Imperial units still dominate in recipes, construction, house renovation and gardening. Land is now surveyed and registered in metric units whist initial surveys used imperial units. For example, partitioning of farm land on the prairies in the late 19th and early 20th centuries was done in imperial units; this accounts for imperial units of distance and area retaining wide use in the Prairie Provinces. In English-speaking Canada commercial and residential spaces are mostly (but not exclusively) constructed using square feet, while in French-speaking Quebec commercial and residential spaces are constructed in metres and advertised using both square metres and square feet as equivalents. Carpet or flooring tile is purchased by the square foot, but less frequently also in square metres. Motor-vehicle fuel consumption is reported in both litres per and statute miles per imperial gallon, leading to the erroneous impression that Canadian vehicles are 20% more fuel-efficient than their apparently identical American counterparts for which fuel economy is reported in statute miles per US gallon (neither country specifies which gallon is used). Canadian railways maintain exclusive use of imperial measurements to describe train length (feet), train height (feet), capacity (tons), speed (mph), and trackage (miles). Imperial units also retain common use in firearms and ammunition. Imperial measures are still used in the description of cartridge types, even when the cartridge is of relatively recent invention (e.g., .204 Ruger, .17 HMR, where the calibre is expressed in decimal fractions of an inch). Ammunition that is already classified in metric is still kept metric (e.g., 9×19mm). In the manufacture of ammunition, bullet and powder weights are expressed in terms of grains for both metric and imperial cartridges. As in most of the western world, air navigation is based on nautical units, e.g., the nautical mile, which is neither imperial nor metric, though altitude is still measured in imperial feet in keeping with the international standard. Australia While Metrication in Australia has largely ended the official use of imperial units, for particular measurements, international use of imperial units is still followed. In licensed venues, draught beer and cider is sold in glasses and jugs with sizes based on the imperial fluid ounce, though rounded to the nearest 5 mL. Newborns are measured in metric at hospitals, but the birth weight and length is also announced to family and friends in imperial units. Screen sizes, are frequently advertised in inches instead of or as well as centimetres. Property size is frequently advertised in acres, but is mostly as square metres. Navigation is done in nautical miles, and water-based speed limits are in nautical miles per hour. Advertising billboards are measured by feet because of the still pervading influence of the United States' practices on such activities. Historical writing and presentations may include pre-metric units to reflect the context of the era represented. The illicit drug trade in Australia still often uses imperial measurements, particularly when dealing with smaller amounts closer to end user levels e.g. "8-ball" an 8th of an ounce or ; cannabis is often traded in ounces ("oz") and pounds ("p") Firearm barrel length are almost always referred by in inches, ammunition is also still measured in grain and ounces as well as grams. As a result of cultural transmission of British and American English in Australia, there has also been noted to be a cause for residual use of imperial units of measure. New Zealand New Zealand introduced the metric system on 15 December 1976. Aviation was exempt, with altitude and airport elevation continuing to be measured in feet whilst navigation is done in nautical miles; all other aspects (fuel quantity, aircraft weight, runway length, etc.) use metric units. Screen sizes for devices such as televisions, monitors and phones, and wheel rim sizes for vehicles, are stated in inches, as is the convention in the rest of the world - and a 1992 study found a continued use of imperial units for birth weight and human height alongside metric units. Ireland Ireland has officially changed over to the metric system
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available in both litre- and pint-based containers in supermarkets and shops. Areas of land associated with farming, forestry and real estate are commonly advertised in acres and square feet but, for contracts and land registration purposes, the units are always hectares and square metres. Office space and industrial units are usually advertised in square feet. Steel pipe sizes are sold in increments of inches, while copper pipe is sold in increments of millimetres. Road bicycles have their frames measured in centimetres, while off-road bicycles have their frames measured in inches. Display sizes for screens on television sets and computer monitors are always diagonally measured in inches. Food sold by length or width, e.g. pizzas or sandwiches, is generally sold in inches. Clothing is always sized in inches, with the metric equivalent often shown as a small supplementary indicator. Gas is usually measured by the cubic foot or cubic metre, but is billed like electricity by the kilowatt hour. Pre-packaged products can show both metric and imperial measures, and it is also common to see imperial pack sizes with metric only labels, e.g. a tin of Lyle's Golden Syrup is always labelled with no imperial indicator. Similarly most jars of jam and packs of sausages are labelled with no imperial indicator. India India began converting to the metric system from the imperial system between 1955 and 1962. The metric system in weights and measures was adopted by the Indian Parliament in December 1956 with the Standards of Weights and Measures Act, which took effect beginning 1 October 1958. For the next five years, both the previous and new system were legal. In April 1962, all other systems were banned. Today all official measurements are made in the metric system. In common usage some older Indians may still refer to imperial units. Some measurements, such as the heights of mountains, are still recorded in feet. Tyre rim diameters are still measured in inches, as used worldwide. Industries like the construction and the real estate industry still use both the metric and the imperial system though it is more common for sizes of homes to be given in square feet and land in acres. In Standard Indian English, as in Australian, Singaporean, and British English, metric units such as the litre, metre, and tonne utilise the traditional spellings brought over from French, which differ from those used in the United States and the Philippines. The imperial long ton is invariably spelt with one 'n'. Hong Kong Hong Kong has three main systems of units of measurement in current use: The Chinese units of measurement of the Qing Empire (no longer in widespread use in China); British imperial units; and The metric system. In 1976 the Hong Kong Government started the conversion to the metric system, and as of 2012 measurements for government purposes, such as road signs, are almost always in metric units. All three systems are officially permitted for trade, and in the wider society a mixture of all three systems prevails. The Chinese system's most commonly used units for length are (lei5), (zoeng6), (cek3), (cyun3), (fan1) in descending scale order. These units are now rarely used in daily life, the imperial and metric systems being preferred. The imperial equivalents are written with the same basic Chinese characters as the Chinese system. In order to distinguish between the units of the two systems, the units can be prefixed with "Ying" (, jing1) for the imperial system and "Wa" (, waa4) for the Chinese system. In writing, derived characters are often used, with an additional (mouth) radical to the left of the original Chinese character, for writing imperial units. The most commonly used units are the mile or "li" (, li1), the yard or "ma" (, maa5), the foot or "chek" (, cek3), and the inch or "tsun" (, cyun3). The traditional measure of flat area is the square foot (, fong1 cek3, ping4 fong1 cek3) of the imperial system, which is still in common use for real estate purposes. The measurement of agricultural plots and fields is traditionally conducted in (mau5) of the Chinese system. For the measurement of volume, Hong Kong officially uses the metric system, though the gallon (, gaa1 leon4-2) is also occasionally used. Canada During the 1970s, the metric system and SI units were introduced in Canada to replace the imperial system. Within the government, efforts to implement the metric system were extensive; almost any agency, institution, or function provided by the government uses SI units exclusively. Imperial units were eliminated from all public road signs and both systems of measurement will still be found on privately owned signs, such as the height warnings at the entrance of a parkade. In the 1980s, momentum to fully convert to the metric system stalled when the government of Brian Mulroney was elected. There was heavy opposition to metrication and as a compromise the government maintains legal definitions for and allows use of imperial units as long as metric units are shown as well. The law requires that measured products (such as fuel and meat) be priced in metric units and an imperial price can be shown if a metric price is present. There tends to be leniency in regards to fruits and vegetables being priced in imperial units only. Environment Canada still offers an imperial unit option beside metric units, even though weather is typically measured and reported in metric units in the Canadian media. Some radio stations near the United States border (such as CIMX and CIDR) primarily use imperial units to report the weather. Railways in Canada also continue to use imperial units. Imperial units are still used in ordinary conversation. Today, Canadians typically use a mix of metric and imperial measurements in their daily lives. The use of the metric and imperial systems varies by age. The older generation mostly uses the imperial system, while the younger generation more often uses the metric system. Quebec has implemented metrication more fully. Newborns are measured in SI at hospitals, but the birth weight and length is also announced to family and friends in imperial units. Drivers' licences use SI units, though many English-speaking Canadians give their height and weight in imperial. In livestock auction markets, cattle are sold in dollars per hundredweight (short), whereas hogs are sold in dollars per hundred kilograms. Imperial units still dominate in recipes, construction, house renovation and gardening. Land is now surveyed and registered in metric units whist initial surveys used imperial units. For example, partitioning of farm land on the prairies in the late 19th and early 20th centuries was done in imperial units; this accounts for imperial units of distance and area retaining wide use in the Prairie Provinces. In English-speaking Canada commercial and residential spaces are mostly (but not exclusively) constructed using square feet, while in French-speaking Quebec commercial and residential spaces are constructed in metres and advertised using both square metres and square feet as equivalents. Carpet or flooring tile is purchased by the square foot, but less frequently also in square metres. Motor-vehicle fuel consumption is reported in both litres per and statute miles per imperial gallon, leading to the erroneous impression that Canadian vehicles are 20% more fuel-efficient than their apparently identical American counterparts for which fuel economy is reported in statute miles per US gallon (neither country specifies which gallon is used). Canadian railways maintain exclusive use of imperial measurements to describe train length (feet), train height (feet), capacity (tons), speed (mph), and trackage (miles). Imperial units also retain common use in firearms and ammunition. Imperial measures are still used in the description of cartridge types, even when the cartridge is of relatively recent invention (e.g., .204 Ruger, .17 HMR, where the calibre is expressed in decimal fractions of an inch). Ammunition that is already classified in metric is still kept metric (e.g., 9×19mm). In the manufacture of ammunition, bullet and powder weights are expressed in terms of grains for both metric and imperial cartridges. As in most of the western world, air navigation is based on nautical units, e.g., the nautical mile, which is neither imperial nor metric, though altitude is still measured in imperial feet in keeping with the international standard. Australia While Metrication in Australia has largely ended the official use of imperial units, for particular measurements, international use of imperial units is still followed. In licensed venues, draught beer and cider is sold in glasses and jugs with sizes based on the imperial fluid
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God to be "good". He simply is good, but is capable of evil. Purpose vs. timelessness One argument based on incompatible properties rests on a definition of God that includes a will, plan or purpose and an existence outside of time. To say that a being possesses a purpose implies an inclination or tendency to steer events toward some state that does not yet exist. This, in turn, implies a privileged direction, which we may call "time". It may be one direction of causality, the direction of increasing entropy, or some other emergent property of a world. These are not identical, but one must exist in order to progress toward a goal. In general, God's time would not be related to our time. God might be able to operate within our time without being constrained to do so. However, God could then step outside this game for any purpose. Thus God's time must be aligned with our time if human activities are relevant to God's purpose. (In a relativistic universe, presumably this means—at any point in spacetime—time measured from t=0 at the Big Bang or end of inflation.) A God existing outside of any sort of time could not create anything because creation substitutes one thing for another, or for nothing. Creation requires a creator that existed,
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to lead to a contradiction. Evil vs. good and omnipotence The problem of evil is the argument that the existence of evil is incompatible with the concept of an omnipotent and perfectly good God. A variation does not depend on the existence of evil. A truly omnipotent God could create all possible worlds. A "good" God can create only "good" worlds. A God that created all possible worlds would have no moral qualities whatsoever, and could be replaced by a random generator. The standard response is to argue a distinction between "could create" and "would create." In other words, God "could" create all possible worlds but that is simply not in God's nature. This has been argued by theologians for centuries. However, the result is that a "good" God is incompatible with some possible worlds, thus incapable of creating them
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history, through the gathering of historical and statistical data concerning the Olympic Movement and Olympic Games, through the publication of the research via journals and other publications, and through the cooperation of the membership. From its inception to 2000, Ian Buchanan has been the president of the ISOH. In 2000, this function was taken over by Bill Mallon. From 2004 to 2012 Dr. Karl Lennartz (Germany) and from 2012 to 2020 David Wallechinsky (United States) served as presidents. Since 2020 the archaeologist and sports historian Dr. Christian Wacker (Germany) is president. Journal of Olympic History The ISOH publishes the Journal of Olympic History (formerly Citius, Altius, Fortius). Membership , the ISOH has about 340 members from 48 nations.ISOH 2007, cited. The membership includes well-known Olympic historians and researchers on Olympic topics.
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States), and Wolf Lyberg (Sweden). ISOH was formed with the purpose of promoting and studying the Olympic Movement and the Olympic Games. This purpose is achieved primarily through research into their history, through the gathering of historical and statistical data concerning the Olympic Movement and Olympic Games, through the publication of the research via journals and other publications, and through the cooperation of the membership. From its inception to 2000, Ian Buchanan has been the president of the ISOH. In 2000, this function was taken over by Bill Mallon. From 2004 to 2012 Dr. Karl Lennartz (Germany) and from 2012 to 2020 David Wallechinsky (United States) served as presidents. Since 2020 the archaeologist and sports historian Dr. Christian Wacker (Germany) is president. Journal of Olympic History The ISOH publishes the Journal of Olympic History (formerly Citius, Altius, Fortius). Membership , the ISOH has about
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famous clubs as Juventus, AC Milan and Inter Milan, all founding members of the G-14, a group which represented the largest and most prestigious European football clubs from 2000 to 2008, with the first two also being founding members of its successive organisation, European Club Association (ECA). More players have won the Ballon d'Or award while playing at a Serie A club than any league in the world other than Spain's La Liga, although La Liga has the highest total number of Ballon d'Or winners. Juventus, Italy's most successful club of the 20th century and the most successful Italian team, is tied for sixth in Europe and twelfth in the world with the most official international titles with eleven. It was also the only one in the world to have won all possible official confederation competitions, after the campaign in the UEFA Intertoto Cup in 1999 and prior to the introduction of the UEFA Europa Conference League in 2021. Milan is joint third club overall for official international titles won with eighteen. Inter Milan, following their achievements in the 2009–10 season, became the first Italian team to have achieved a seasonal treble. It is also the team to have competed ininterruptely for the most time in the top flight of Italian football, having seen its debut in 1909. All these clubs, along with Lazio, Fiorentina, Roma and Napoli, are known as the Seven Sisters of Italian football. Serie A is one of the most storied football leagues in the world. Of the 100 greatest footballers in history chosen by FourFourTwo magazine in 2017, 42 players have played in Serie A, more than any other league in the world. Juventus is the team that has produced the most World Cup champions (25), with Inter (19), Roma (15) and Milan (10), being respectively third, fourth and ninth in that ranking. History Serie A, as it is structured today, began during the 1929–30 season. From 1898 to 1922, the competition was organised into regional groups. Because of ever growing teams attending regional championships, the Italian Football Federation (FIGC) split the CCI (Italian Football Confederation) in 1921, which founded in Milan the Lega Nord (Northern Football League), ancestor of present-day Lega Serie A. When CCI teams rejoined the FIGC created two interregional divisions renaming Categories into Divisions and splitting FIGC sections into two north–south leagues. In 1926, due to internal crises and fascist pressures, the FIGC changed internal settings, adding southern teams to the national division, ultimately leading to the 1929–30 final settlement. Torino were declared champions in the 1948–49 season following a plane crash near the end of the season in which the entire team was killed. The Serie A Championship title is often referred to as the scudetto ("small shield") because since the 1923–24 season, the winning team will bear a small coat of arms with the Italian tricolour on their strip in the following season. The most successful club is Juventus with 36 championships, followed by Inter Milan and AC Milan with 19 and 18 championships respectively. From the 2004–05 season onwards, an actual trophy was awarded to club on the pitch after the last turn of the championship. The trophy, called the Coppa Campioni d'Italia, has officially been used since the 1960–61 season, but between 1961 and 2004 was consigned to the winning clubs at the head office of the Lega Nazionale Professionisti. In April 2009, Serie A announced a split from Serie B. Nineteen of the twenty clubs voted in favour of the move in an argument over television rights; the relegation-threatened Lecce had voted against the decision. Maurizio Beretta, the former head of Italy's employers' association, became president of the new league. In April 2016, it was announced that Serie A was selected by the International Football Association Board to test video replays, which were initially private for the 2016–17 season, allowing them to become a live pilot phase, with replay assistance implemented in the 2017–18 season. On the decision, FIGC President Carlo Tavecchio said, "We were among the first supporters of using technology on the pitch and we believe we have everything required to offer our contribution to this important experiment." Format For most of Serie A's history, there were 16 or 18 clubs competing at the top level. Since 2004–05, however, there have been 20 clubs in total. One season (1947–48) was played with 21 teams for political reasons, following post-war tensions with Yugoslavia. Below is a complete record of how many teams played in each season throughout the league's history; 18 clubs: 1929–1934 16 clubs: 1934–1943 20 clubs: 1946–1947 21 clubs: 1947–1948 20 clubs: 1948–1952 18 clubs: 1952–1967 16 clubs: 1967–1988 18 clubs: 1988–2004 20 clubs: 2004–present During the season, which runs from August to May, each club plays each of the other teams twice; once at home and once away, totalling 38 games for each team by the end of the season. Thus, in Italian football a true round-robin format is used. In the first half of the season, called the andata, each team plays once against each league opponent, for a total of 19 games. In the second half of the season, called the ritorno, the teams play another 19 games, once more against each opponent, in which home and away matches are reversed. The two halves of the season had exactly the same order of fixtures until the 2021–22 season, when an asymmetrical calendar was introduced, following the format of the English, Spanish, and French leagues. Since the 1994–95 season, teams are awarded three points for a win, one point for a draw, and no points for a loss. Prior to this, teams were awarded two points for a win, one for a draw, and none for a loss. The top four teams in the Serie A qualify straight to the UEFA Champions League. The team finishing fifth, with the winner of the Coppa Italia, qualify for the UEFA Europa League tournament. The sixth or the seventh ranked club, depending from the Coppa Italia winner's performance, joins the preliminary round of the UEFA Europa Conference League. The three lowest-placed teams are relegated to Serie B. Since the 2005–06 season, when two or more teams are tied in points (for
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team will bear a small coat of arms with the Italian tricolour on their strip in the following season. The most successful club is Juventus with 36 championships, followed by Inter Milan and AC Milan with 19 and 18 championships respectively. From the 2004–05 season onwards, an actual trophy was awarded to club on the pitch after the last turn of the championship. The trophy, called the Coppa Campioni d'Italia, has officially been used since the 1960–61 season, but between 1961 and 2004 was consigned to the winning clubs at the head office of the Lega Nazionale Professionisti. In April 2009, Serie A announced a split from Serie B. Nineteen of the twenty clubs voted in favour of the move in an argument over television rights; the relegation-threatened Lecce had voted against the decision. Maurizio Beretta, the former head of Italy's employers' association, became president of the new league. In April 2016, it was announced that Serie A was selected by the International Football Association Board to test video replays, which were initially private for the 2016–17 season, allowing them to become a live pilot phase, with replay assistance implemented in the 2017–18 season. On the decision, FIGC President Carlo Tavecchio said, "We were among the first supporters of using technology on the pitch and we believe we have everything required to offer our contribution to this important experiment." Format For most of Serie A's history, there were 16 or 18 clubs competing at the top level. Since 2004–05, however, there have been 20 clubs in total. One season (1947–48) was played with 21 teams for political reasons, following post-war tensions with Yugoslavia. Below is a complete record of how many teams played in each season throughout the league's history; 18 clubs: 1929–1934 16 clubs: 1934–1943 20 clubs: 1946–1947 21 clubs: 1947–1948 20 clubs: 1948–1952 18 clubs: 1952–1967 16 clubs: 1967–1988 18 clubs: 1988–2004 20 clubs: 2004–present During the season, which runs from August to May, each club plays each of the other teams twice; once at home and once away, totalling 38 games for each team by the end of the season. Thus, in Italian football a true round-robin format is used. In the first half of the season, called the andata, each team plays once against each league opponent, for a total of 19 games. In the second half of the season, called the ritorno, the teams play another 19 games, once more against each opponent, in which home and away matches are reversed. The two halves of the season had exactly the same order of fixtures until the 2021–22 season, when an asymmetrical calendar was introduced, following the format of the English, Spanish, and French leagues. Since the 1994–95 season, teams are awarded three points for a win, one point for a draw, and no points for a loss. Prior to this, teams were awarded two points for a win, one for a draw, and none for a loss. The top four teams in the Serie A qualify straight to the UEFA Champions League. The team finishing fifth, with the winner of the Coppa Italia, qualify for the UEFA Europa League tournament. The sixth or the seventh ranked club, depending from the Coppa Italia winner's performance, joins the preliminary round of the UEFA Europa Conference League. The three lowest-placed teams are relegated to Serie B. Since the 2005–06 season, when two or more teams are tied in points (for any place), the deciding tie-breakers are as follows: Head-to-head records (results and points) Goal difference of head-to-head games Goal difference overall Higher number of goals scored Play-off game at a neutral venue if relevant to decide champion, European spot, or relegation; otherwise by draw The only time a playoff was used to decide the champion occurred in the 1963–64 season when Bologna and Inter both finished on 54 points. At that time, there were no tiebreakers after total points (under today's rules, Inter would have won on the first tiebreaker, head-to-head points, as they defeated Bologna 2–1 away and played a scoreless draw at home). Bologna won the playoff 2–0 at the Stadio Olimpico in Rome to win the scudetto. Clubs Before 1929, many clubs competed in the top level of Italian football as the earlier rounds were competed up to 1922 on a regional basis then interregional up to 1929. Below is a list of Serie A clubs who have competed in the competition since it has been a league format (66 in total). 2021–22 season Clubs The following 20 clubs are competing in the Serie A during the 2021–22 season. Maps Seasons in Serie A There are 66 teams that have taken part in 90 Serie A championships in a single round that was played from the 1929–30 season until the 2021–22 season. The teams in bold compete in Serie A currently. Inter Milan is the only team that has played Serie A football in every season. 90 seasons: Inter Milan 89 seasons: Juventus, Roma 88 seasons: AC Milan 84 seasons: Fiorentina 79 seasons: Lazio 78 seasons: Torino 76 seasons: Napoli 75 seasons: Bologna 65 seasons: Sampdoria 61 seasons: Atalanta 55 seasons: Genoa 49 seasons: Udinese 42 seasons: Cagliari 31 seasons: Hellas Verona 30 seasons: Bari, Vicenza 29 seasons: Palermo 27 seasons: Parma 26 seasons: Triestina 23 seasons: Brescia 19 seasons: SPAL 18 seasons: Livorno 17 seasons: Catania, Chievo 16 seasons: Ascoli, Lecce, Padova 14 seasons: Empoli 13 seasons: Alessandria, Cesena, Como, Modena, Novara, Perugia, Venezia 12 seasons: Pro Patria 11 seasons: Foggia 10 seasons: Avellino 9 seasons: Reggina, Sassuolo, Siena 8 seasons: Lucchese, Piacenza 7 seasons: Catanzaro, Cremonese, Mantova, Pescara, Pisa, Varese 6 seasons: Pro Vercelli 5 seasons: Messina 4 seasons: Casale 3 seasons: Crotone, Lecco, Legnano, Reggiana, Salernitana 2 seasons: Ancona, Benevento, Frosinone, Spezia, Ternana 1 season: Carpi, Pistoiese, Treviso Logos Serie A had logos that featured its sponsor Telecom Italia (TIM). The logo that was introduced in 2010 had a minor change in 2016 due to the change of the logo of Telecom Italia itself. In August 2018, a new logo was announced, and another one in August 2019. Television rights In the past, individual clubs competing in the league had the rights to sell their broadcast rights to specific channels throughout Italy, unlike in most other European countries. Currently, the two broadcasters in Italy are the satellite broadcaster Sky Italia and streaming platform DAZN for its own pay television networks; RAI is allowed to broadcast only highlights (in exclusive from 13:30 to 22:30 CET). This is a list of television rights in Italy (since 2021–22): Sky Italia (3 matches per week) DAZN (all matches) OneFootball (highlights) Since the 2010–11 season, Serie A clubs have negotiated television rights collectively rather than on an individual club basis, having previously abandoned collective negotiation at the end of the 1998–99 season. In the 1990s, Serie A was at its most popular in the United Kingdom when it was shown on Football Italia on Channel 4, although it has actually appeared on more UK channels than any other league, rarely staying in one place for long since 2002.
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users who are pregnant may have adverse effects on the fetus, and the baby may be smaller when it is born and may need additional health care (similar to those seen with alcohol – fetal alcohol syndrome). There is some evidence of birth defects and disabilities in babies born to women who sniffed solvents such as gasoline. In the short term, death from solvent use occurs most commonly from aspiration of vomit while unconscious or from a combination of respiratory depression and hypoxia, the second cause being especially a risk with heavier-than-air vapors such as butane or gasoline vapor. Deaths typically occur from complications related to excessive sedation and vomiting. Actual overdose from the drug does occur, however, and inhaled solvent use is statistically more likely to result in life-threatening respiratory depression than intravenous use of opioids such as heroin. Most deaths from solvent use could be prevented if individuals were resuscitated quickly when they stopped breathing and their airway cleared if they vomited. However, most inhalant use takes place when people inhale solvents by themselves or in groups of people who are intoxicated. Certain solvents are more hazardous than others, such as gasoline. In contrast, a few inhalants like amyl nitrate and diethyl ether have medical applications and are not toxic in the same sense as solvents, though they can still be dangerous when used recreationally. Nitrous oxide is thought to be particularly non-toxic, though heavy long-term use can lead to a variety of serious health problems linked to destruction of vitamin B12 and folic acid. Risks of specific agents The hypoxic effect of inhalants can cause damage to many organ systems (particularly the brain, which has a very low tolerance for oxygen deprivation), but there can also be additional toxicity resulting from either the physical properties of the compound itself or additional ingredients present in a product. Organochlorine solvents are particularly hazardous; many of these are now restricted in developed countries due to their environmental impact. Methylene chloride, after being metabolized, can cause carbon monoxide poisoning. Gasoline sniffing can cause lead poisoning, in locations where leaded gas is not banned. Ingestion of alkyl nitrites can cause methemoglobinemia, and by inhalation it has not been ruled out. Carbon tetrachloride can cause significant damage to multiple systems, but its association with liver damage is so strong that it is used in animal models to induce liver injury. Use of butane, propane, nitrous oxide and other inhalants can create a risk of freezing burns from contact with the extremely cold liquid (See aerosol burn). The risk of such contact is greatly increased by the impaired judgement and motor coordination brought on by inhalant intoxication. Benzene use can cause bone marrow depression. It is also a known carcinogen. Toluene can damage myelin. Toxicity may also result from the pharmacological properties of the drug; excess NMDA antagonism can completely block calcium influx into neurons and provoke cell death through apoptosis, although this is more likely to be a long-term result of chronic solvent use than a consequence of short-term use. Sudden sniffing death syndrome Sudden sniffing death syndrome is commonly known as SSDS. Inhaling butane gas can cause drowsiness, unconsciousness, asphyxia, and cardiac arrhythmia. Butane is the most commonly misused volatile solvent in the UK and caused 52% of solvent-related deaths in 2000. When butane is sprayed directly into the throat, the jet of fluid can cool rapidly to −20 °C by adiabatic expansion, causing prolonged laryngospasm. Some inhalants can also indirectly cause sudden death by cardiac arrest, in a syndrome known as "sudden sniffing death". The anaesthetic gases present in the inhalants appear to sensitize the user to adrenaline and, in this state, a sudden surge of adrenaline (e.g., from a frightening hallucination or run-in with aggressors), may cause fatal cardiac arrhythmia. Furthermore, the inhalation of any gas that is capable of displacing oxygen in the lungs (especially gases heavier than oxygen) carries the risk of hypoxia as a result of the very mechanism by which breathing is triggered. Since reflexive breathing is prompted by elevated carbon dioxide levels (rather than diminished blood oxygen levels), breathing a concentrated, relatively inert gas (such as computer-duster tetrafluoroethane or nitrous oxide) that removes carbon dioxide from the blood without replacing it with oxygen will produce no outward signs of suffocation even when the brain is experiencing hypoxia. Once full symptoms of hypoxia appear, it may be too late to breathe without assistance, especially if the gas is heavy enough to lodge in the lungs for extended periods. Even completely inert gases, such as argon, can have this effect if oxygen is largely excluded. Legal aspects Solvent glue Even though solvent glue is normally a legal product, there is a case where a court has ruled that supplying glue to children is illegal. Khaliq v HM Advocate was a Scottish criminal case decided by the High Court of Justiciary on appeal, in which it was decided that it was an offense at common law to supply glue-sniffing materials that were otherwise legal in the knowledge that they would be used recreationally by children. Two shopkeepers in Glasgow were arrested and charged with supplying to children "glue-sniffing kits" consisting of a quantity of petroleum-based glue in a plastic bag. They argued there was nothing illegal about the items that they had supplied. On appeal, the High Court took the view that, even though glue and plastic bags might be perfectly legal, everyday items, the two shopkeepers knew perfectly well that the children were going to use the articles as inhalants and the charge on the indictment should stand. When the case came to trial at Glasgow High Court the two were sentenced to three years' imprisonment. "Thirty-eight of 50 [US] states have enacted laws making various inhalants unavailable to those under the age of 18. Other states prohibit the sale of these items to anyone without recognition of purpose for the purchase. Some states mandate laws against using these products for purposes of getting high, while some states have laws about possessing certain inhalants. Nearly every state imposes fines and jail terms for violation of their specific laws." "Connecticut law bans the unauthorized manufacture or compounding, possession, control, sale, delivery, or administration of any "restricted substance". It defines restricted substances as... specific volatile substances if they are sold, compounded, possessed or controlled, or delivered or administered to another person for breathing, inhaling, sniffing, or drinking to induce a stimulant, depressant, or hallucinogenic effect. Violators can be fined up to $100." As well, 24 states "ban the use, possession, or sale or other distribution of inhalants... like glue and solvents." "Louisiana prohibits the sale, transfer, or possession of model glue and inhalable toluene substances to minors. In Ohio, it is illegal to inhale certain compounds for intoxication—a common, general prohibition other states have enacted. Some states draw their prohibitions more narrowly... In Massachusetts, retailers must ask minors for identification before selling them glue or cement that contains a solvent that can release toxic vapors." Propellant gases "New Jersey... prohibits selling or offering to sell minors products containing chlorofluorocarbon that is used in refrigerant." Poppers The sale of alkyl nitrite-based poppers was banned in Canada in 2013. Although not considered a narcotic and not illegal to possess or use, they are considered a drug. Sales that are not authorized can now be punished with fines and prison. Since 2007, reformulated poppers containing isopropyl nitrite are sold in Europe because only isobutyl nitrite is prohibited. In France, the sale of products containing butyl nitrite, pentyl nitrite, or isomers thereof, has been prohibited since 1990 on grounds of danger to consumers. In 2007, the government extended this prohibition to all alkyl nitrites that were not authorized for sale as drugs. After litigation by sex shop owners, this extension was quashed by the Council of State on the grounds that the government had failed to justify such a blanket prohibition: according to the court, the risks cited, concerning rare accidents often following abnormal usage, rather justified compulsory warnings on the packaging. In the United Kingdom, poppers are widely available and frequently (legally) sold in gay clubs/bars, sex shops, drug paraphernalia head shops, over the Internet and on markets. It is illegal under Medicines Act 1968 to sell them advertised for human consumption, and to bypass this, they are usually sold as odorizers. In the U.S., originally marketed as a prescription drug in 1937, amyl nitrite remained so until 1960, when the Food and Drug Administration removed the prescription requirement due to its safety record. This requirement was reinstated in 1969, after observation of an increase in recreational use. Other alkyl nitrites were outlawed in the U.S. by Congress through the Anti-Drug Abuse Act of 1988. The law includes an exception for commercial purposes. The term commercial purpose is defined to mean any use other than for the production of consumer products containing volatile alkyl nitrites meant for inhaling or otherwise introducing volatile alkyl nitrites into the human body for euphoric or physical effects. The law came into effect in 1990. Visits to retail outlets selling these products reveal that some manufacturers have since reformulated their products to abide by the regulations, through the use of the legal cyclohexyl nitrite as the primary ingredient in their products, which are sold as video head cleaners, polish removers, or room odorants. Nitrous oxide In the United States, possession of nitrous oxide is legal under federal law and is not subject to DEA purview. It is, however, regulated by the Food and Drug Administration under the Food Drug and Cosmetics Act; prosecution is possible under its "misbranding" clauses, prohibiting the sale or distribution of nitrous oxide for the purpose of human consumption as a recreational drug. Many states have laws regulating the possession, sale, and distribution of nitrous oxide. Such laws usually ban distribution to minors or limit the amount of nitrous oxide that may be sold without a special license. For example, in the state of California, possession for recreational use is prohibited and qualifies as a misdemeanor. In New Zealand, the Ministry of Health has warned that nitrous oxide is a prescription medicine, and its sale or possession without a prescription is an offense under the Medicines Act. This statement would seemingly prohibit all non-medicinal uses of the chemical, though it is implied that only recreational use will be legally targeted. In India, for general anesthesia purposes, nitrous oxide is available as Nitrous Oxide IP. India's gas cylinder rules (1985) permit the transfer of gas from one cylinder to another for breathing purposes. Because India's Food & Drug Authority (FDA-India) rules state that transferring a drug from one container to another (refilling) is equivalent to manufacturing, anyone found doing so must possess a drug manufacturing license. Patterns of non-medical use Inhalant drugs are often used by children, teenagers, incarcerated or institutionalized people, and impoverished people, because these solvents and gases are ingredients in hundreds of legally available, inexpensive products, such as deodorant sprays, hair spray, contact cement and aerosol air fresheners. However, most users tend to be "... adolescents (between the ages of 12 and 17)." In some countries, chronic, heavy inhalant use is concentrated in marginalized, impoverished communities. Young people who become used to heavy amounts of inhalants chronically are also more likely to be those who are isolated from their families and community. The article "Epidemiology of Inhalant Abuse: An International Perspective" notes that "[t]he most serious form of obsession with inhalant use probably occurs in countries other than the United States where young children live on the streets completely without family ties. These groups almost always use inhalants at very high levels (Leal et al. 1978). This isolation can make it harder to keep in touch with the sniffer and encourage him or her to stop sniffing." The article also states that "... high [inhalant use] rates among barrio Hispanics almost undoubtedly are related to the poverty, lack of opportunity, and social dysfunction that occur in barrios" and states that the "... same general tendency appears for Native-American youth" because "... Indian reservations are among the most disadvantaged environments in the United States; there are high rates of unemployment, little opportunity, and high rates of alcoholism and other health problems." There are a wide range of social problems associated with inhalant use, such as feelings of distress, anxiety and grief for the community; violence and damage to property; violent crime; stresses on the juvenile justice system; and stresses on youth agencies and support services. Africa and Asia Glue and gasoline (petrol) sniffing is also a problem in parts of Africa, especially with street children. In India and South Asia, three of the most widely used inhalants are the Dendrite brand and other forms of contact adhesives and rubber cement manufactured in Kolkata, and toluenes in paint thinners. Genkem is a brand of glue, which had become the generic name for all the glues used by glue-sniffing children in Africa before the manufacturer replaced n-hexane in its ingredients in 2000. The United Nations Office on Drugs and Crime has reported that glue sniffing is at the core of "street culture" in Nairobi, Kenya, and that the majority of street children in the city are habitual solvent users. Research conducted by Cottrell-Boyce for the African Journal of Drug and Alcohol Studies found that glue sniffing amongst Kenyan street children was primarily functional – dulling the senses against the hardship of life on the street – but it also provided a link to the support structure of the "street family" as a potent symbol of shared experience. Similar incidents of glue sniffing among destitute youth in the Philippines have also been reported, most commonly from groups of street children and teenagers collectively known as "Rugby" boys, which were named after a brand of toluene-laden contact cement. Other toluene-containing substances have also been used, most notably the Vulca Seal brand of roof sealants. Bostik Philippines, which currently owns the Rugby and Vulca Seal brands, has since responded to the issue by adding bitterants such as mustard oil to their Rugby line, as well as reformulating it by replacing toluene with xylene. Several other manufacturers have also followed suit. Another very common inhalant is Erase-X, a correction fluid that contains toluene. It has become very common for school and college students to use it, because it is easily available in stationery shops in India. This fluid is also used by street and working children in Delhi. Europe and North America In the UK, marginalized youth use a number of inhalants, such as solvents and propellants. In Russia and Eastern Europe, gasoline sniffing became common on Russian ships following attempts to limit the supply of alcohol to ship crews in the 1980s. The documentary Children Underground depicts the huffing of a solvent called Aurolac (a product used in chroming) by Romanian homeless children. During the Interbellum the inhalation of ether (etheromania) was widespread in some regions of Poland, especially in Upper Silesia—tens of thousands of people were affected by this problem. In Canada, Native children in the isolated Northern Labrador community of Davis Inlet were the focus of national concern in 1993, when many were found to be sniffing gasoline. The Canadian and provincial Newfoundland and Labrador governments intervened on a number of occasions, sending many children away for treatment. Despite being moved to the new community of Natuashish in 2002, serious inhalant use problems have continued. Similar problems were reported in Sheshatshiu in 2000 and also in Pikangikum First Nation. In 2012, the issue once again made the news media in Canada. In Mexico, the inhaling of a mixture of gasoline and industrial solvents, known locally as "Activo" or "Chemo", has risen in popularity among the homeless and among the street children of
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makes a deeper level of anesthesia achievable more easily using anesthetic gases but can also make them more dangerous than other drugs used for this purpose. Chemical structure Inhalants can also be classified by chemical structure. Classes include: Administration and effects Inhalant users inhale vapors or aerosol propellant gases using plastic bags held over the mouth or by breathing from an open container of solvents, such as gasoline or paint thinner. Nitrous oxide gases from whipped cream aerosol cans, aerosol hairspray or non-stick frying spray are sprayed into plastic bags. Some nitrous oxide users spray the gas into balloons. When inhaling non-stick cooking spray or other aerosol products, some users may filter the aerosolized particles out with a rag. Some gases, such as propane and butane gases, are inhaled directly from the canister. Once these solvents or gases are inhaled, the extensive capillary surface of the lungs rapidly absorb the solvent or gas, and blood levels peak rapidly. The intoxication effects occur so quickly that the effects of inhalation can resemble the intensity of effects produced by intravenous injection of other psychoactive drugs. Ethanol is also inhaled, either by vaporizing it by pouring it over dry ice in a narrow container and inhaling with a straw or by pouring alcohol in a corked bottle with a pipe, and then using a bicycle pump to make a spray. Alcohol can be vaporized using a simple container and open-flame heater. Medical devices such as asthma nebulizers and inhalers were also reported as means of application. The practice gained popularity in 2004, with the marketing of the device dubbed AWOL (Alcohol without liquid), a play on the military term AWOL (Absent Without Leave). AWOL, created by British businessman Dominic Simler, was first introduced in Asia and Europe, and then in the United States in August 2004. AWOL was used by nightclubs, at gatherings and parties, and it garnered attraction as a novelty, as people 'enjoyed passing it around in a group'. AWOL uses a nebulizer, a machine that agitates the liquid into an aerosol. AWOL's official website states that "AWOL and AWOL 1 are powered by Electrical Air Compressors while AWOL 2 and AWOL 3 are powered by electrical oxygen generators", which refer to a couple of mechanisms used by the nebulizer drug delivery device for inhalation. Although the AWOL machine is marketed as having no downsides, such as the lack of calories or hangovers, Amanda Shaffer of Slate describes these claims as "dubious at best". Although inhaled alcohol does reduce the caloric content, the savings are minimal. After expressed safety and health concerns, sale or use of AWOL machines was banned in a number of American states. The effects of solvent intoxication can vary widely depending on the dose and what type of solvent or gas is inhaled. A person who has inhaled a small amount of rubber cement or paint thinner vapor may be impaired in a manner resembling alcohol inebriation. A person who has inhaled a larger quantity of solvents or gases, or a stronger chemical, may experience stronger effects such as distortion in perceptions of time and space, hallucinations, and emotional disturbances. The effects of inhalant use are also modified by the combined use of inhalants and alcohol or other drugs. In the short term, many users experience headaches, nausea and vomiting, slurred speech, loss of motor coordination, and wheezing. A characteristic "glue sniffer's rash" around the nose and mouth is sometimes seen after prolonged use. An odor of paint or solvents on clothes, skin, and breath is sometimes a sign of inhalant abuse, and paint or solvent residues can sometimes emerge in sweat. According to NIH, even a single session of inhalant use "can disrupt heart rhythms and lower oxygen levels", which can lead to death. "Regular abuse can result in serious harm to the brain, heart, kidneys, and liver." Dangers and health problems Statistics on deaths caused by heavy inhalant use are difficult to determine. It may be severely under-reported because death is often attributed to a discrete event such as a stroke or a heart attack, even if the event happened because of inhalant use. Inhalant use was mentioned on 144 death certificates in Texas during the period 1988–1998 and was reported in 39 deaths in Virginia between 1987 and 1996 from acute voluntary exposure to used inhalants. General risks Regardless of which inhalant is used, inhaling vapors or gases can lead to injury or death. One major risk is hypoxia (lack of oxygen), which can occur due to inhaling fumes from a plastic bag, or from using proper inhalation mask equipment (e.g., a medical mask for nitrous oxide) but not adding oxygen or room air. Another danger is freezing the throat. When a gas that was stored under high pressure is released, it cools abruptly and can cause frostbite if it is inhaled directly from the container. This can occur, for example, with inhaling nitrous oxide. When nitrous oxide is used as an automotive power adder, its cooling effect is used to make the fuel-air charge denser. In a person, this effect is potentially lethal. Many inhalants are volatile organic chemicals and can catch fire or explode, especially when combined with smoking. As with many other drugs, users may also injure themselves due to loss of coordination or impaired judgment, especially if they attempt to operate machinery. Solvents have many potential risks in common, including pneumonia, cardiac failure or arrest, and aspiration of vomit. The inhaling of some solvents can cause hearing loss, limb spasms, and damage to the central nervous system and brain. Serious but potentially reversible effects include liver and kidney damage and blood-oxygen depletion. Death from inhalants is generally caused by a very high concentration of fumes. Deliberately inhaling solvents from an attached paper or plastic bag or in a closed area greatly increases the chances of suffocation. Brain damage is typically seen with chronic long-term use as opposed to short-term exposure. Parkinsonism (see: Signs and symptoms of Parkinson's disease) has been associated with huffing. Female inhalant users who are pregnant may have adverse effects on the fetus, and the baby may be smaller when it is born and may need additional health care (similar to those seen with alcohol – fetal alcohol syndrome). There is some evidence of birth defects and disabilities in babies born to women who sniffed solvents such as gasoline. In the short term, death from solvent use occurs most commonly from aspiration of vomit while unconscious or from a combination of respiratory depression and hypoxia, the second cause being especially a risk with heavier-than-air vapors such as butane or gasoline vapor. Deaths typically occur from complications related to excessive sedation and vomiting. Actual overdose from the drug does occur, however, and inhaled solvent use is statistically more likely to result in life-threatening respiratory depression than intravenous use of opioids such as heroin. Most deaths from solvent use could be prevented if individuals were resuscitated quickly when they stopped breathing and their airway cleared if they vomited. However, most inhalant use takes place when people inhale solvents by themselves or in groups of people who are intoxicated. Certain solvents are more hazardous than others, such as gasoline. In contrast, a few inhalants like amyl nitrate and diethyl ether have medical applications and are not toxic in the same sense as solvents, though they can still be dangerous when used recreationally. Nitrous oxide is thought to be particularly non-toxic, though heavy long-term use can lead to a variety of serious health problems linked to destruction of vitamin B12 and folic acid. Risks of specific agents The hypoxic effect of inhalants can cause damage to many organ systems (particularly the brain, which has a very low tolerance for oxygen deprivation), but there can also be additional toxicity resulting from either the physical properties of the compound itself or additional ingredients present in a product. Organochlorine solvents are particularly hazardous; many of these are now restricted in developed countries due to their environmental impact. Methylene chloride, after being metabolized, can cause carbon monoxide poisoning. Gasoline sniffing can cause lead poisoning, in locations where leaded gas is not banned. Ingestion of alkyl nitrites can cause methemoglobinemia, and by inhalation it has not been ruled out. Carbon tetrachloride can cause significant damage to multiple systems, but its association with liver damage is so strong that it is used in animal models to induce liver injury. Use of butane, propane, nitrous oxide and other inhalants can create a risk of freezing burns from contact with the extremely cold liquid (See aerosol burn). The risk of such contact is greatly increased by the impaired judgement and motor coordination brought on by inhalant intoxication. Benzene use can cause bone marrow depression. It is also a known carcinogen. Toluene can damage myelin. Toxicity may also result from the pharmacological properties of the drug; excess NMDA antagonism can completely block calcium influx into neurons and provoke cell death through apoptosis, although this is more likely to be a long-term result of chronic solvent use than a consequence of short-term use. Sudden sniffing death syndrome Sudden sniffing death syndrome is commonly known as SSDS. Inhaling butane gas can cause drowsiness, unconsciousness, asphyxia, and cardiac arrhythmia. Butane is the most commonly misused volatile solvent in the UK and caused 52% of solvent-related deaths in 2000. When butane is sprayed directly into the throat, the jet of fluid can cool rapidly to −20 °C by adiabatic expansion, causing prolonged laryngospasm. Some inhalants can also indirectly cause sudden death by cardiac arrest, in a syndrome known as "sudden sniffing death". The anaesthetic gases present in the inhalants appear to sensitize the user to adrenaline and, in this state, a sudden surge of adrenaline (e.g., from a frightening hallucination or run-in with aggressors), may cause fatal cardiac arrhythmia. Furthermore, the inhalation of any gas that is capable of displacing oxygen in the lungs (especially gases heavier than oxygen) carries the risk of hypoxia as a result of the very mechanism by which breathing is triggered. Since reflexive breathing is prompted by elevated carbon dioxide levels (rather than diminished blood oxygen levels), breathing a concentrated, relatively inert gas (such as computer-duster tetrafluoroethane or nitrous oxide) that removes carbon dioxide from the blood without replacing it with oxygen will produce no outward signs of suffocation even when the brain is experiencing hypoxia. Once full symptoms of hypoxia appear, it may be too late to breathe without assistance, especially if the gas is heavy enough to lodge in the lungs for extended periods. Even completely inert gases, such as argon, can have this effect if oxygen is largely excluded. Legal aspects Solvent glue Even though solvent glue is normally a legal product, there is a case where a court has ruled that supplying glue to children is illegal. Khaliq v HM Advocate was a Scottish criminal case decided by the High Court of Justiciary on appeal, in which it was decided that it was an offense at common law to supply glue-sniffing materials that were otherwise legal in the knowledge that they would be used recreationally by children. Two shopkeepers in Glasgow were arrested and charged with supplying to children "glue-sniffing kits" consisting of a quantity of petroleum-based glue in a plastic bag. They argued there was nothing illegal about the items that they had supplied. On appeal, the High Court took the view that, even though glue and plastic bags might be perfectly legal, everyday items, the two shopkeepers knew perfectly well that the children were going to use the articles as inhalants and the charge on the indictment should stand. When the case came to trial at Glasgow High Court the two were sentenced to three years' imprisonment. "Thirty-eight of 50 [US] states have enacted laws making various inhalants unavailable to those under the age of 18. Other states prohibit the sale of these items to anyone without recognition of purpose for the purchase. Some states mandate laws against using these products for purposes of getting high, while some states have laws about possessing certain inhalants. Nearly every state imposes fines and jail terms for violation of their specific laws." "Connecticut law bans the unauthorized manufacture or compounding, possession, control, sale, delivery, or administration of any "restricted substance". It defines restricted substances as... specific volatile substances if they are sold, compounded, possessed or controlled, or delivered or administered to another person for breathing, inhaling, sniffing, or drinking to induce a stimulant, depressant, or hallucinogenic effect. Violators can be fined up to $100." As well, 24 states "ban the use, possession, or sale or other distribution of inhalants... like glue and solvents." "Louisiana prohibits the sale, transfer, or possession of model glue and inhalable toluene substances to minors. In Ohio, it is illegal to inhale certain compounds for intoxication—a common, general prohibition other states have enacted. Some states draw their prohibitions more narrowly... In Massachusetts, retailers must ask minors for identification before selling them glue or cement that contains a solvent that can release toxic vapors." Propellant gases "New Jersey... prohibits selling or offering to sell minors products containing chlorofluorocarbon that is used in refrigerant." Poppers The sale of alkyl nitrite-based poppers was banned in Canada in 2013. Although not considered a narcotic and not illegal to possess or use, they are considered a drug. Sales that are not authorized can now be punished with fines and prison. Since 2007, reformulated poppers containing isopropyl nitrite are sold in Europe because only isobutyl nitrite is prohibited. In France, the sale of products containing butyl nitrite, pentyl nitrite, or isomers thereof, has been prohibited since 1990 on grounds of danger to consumers. In 2007, the government extended this prohibition to all alkyl nitrites that were not authorized for sale as drugs. After litigation by sex shop owners, this extension was quashed by the Council of State on the grounds that the government had failed to justify such a blanket prohibition: according to the court, the risks cited, concerning rare accidents often following abnormal usage, rather justified compulsory warnings on the packaging. In the United Kingdom, poppers are widely available and frequently (legally) sold in gay clubs/bars, sex shops, drug paraphernalia head shops, over the Internet and on markets. It is illegal under Medicines Act 1968 to sell them advertised for human consumption, and to bypass this, they are usually sold as odorizers. In the U.S., originally marketed as a prescription drug in 1937, amyl nitrite remained so until 1960, when the Food and Drug Administration removed the prescription requirement due to its safety record. This requirement was reinstated in 1969, after observation of an increase in recreational use. Other alkyl nitrites were outlawed in the U.S. by Congress through the Anti-Drug Abuse Act of 1988. The law includes an exception for commercial purposes. The term commercial purpose is defined to mean any use other than for the production of consumer products containing volatile alkyl nitrites meant for inhaling or otherwise introducing volatile alkyl nitrites into the human body for euphoric or physical effects. The law came into effect in 1990. Visits to retail outlets selling these products reveal that some manufacturers have since reformulated their products to abide by the regulations, through the use of the legal cyclohexyl nitrite as the primary ingredient in their products, which are sold as video head cleaners, polish removers, or room odorants. Nitrous oxide In the United States, possession of nitrous oxide is legal under federal law and is not subject to DEA purview. It is, however, regulated by the Food and Drug Administration under the Food Drug and Cosmetics Act; prosecution is possible under its "misbranding" clauses, prohibiting the sale or distribution of nitrous oxide for the purpose of human consumption as a recreational drug. Many states have laws regulating the possession, sale, and distribution of nitrous oxide. Such laws usually ban distribution to minors or limit the amount of nitrous oxide that may be sold without a special license. For example, in the state of California, possession for recreational use is prohibited and qualifies as a misdemeanor. In New Zealand, the Ministry of Health has warned that nitrous oxide is a prescription medicine, and its
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present time with no knowledge where they were originally from. Upon learning this, Iceman joins the rest of the young X-Men and leaves the rest of the X-Men to find their place in the world. Iceman then joins Magneto in Madripoor along with the rest of the time-displaced X-Men; however, due to a lack of trust in their new leader, the X-Men make plans and train in case Magneto returns to his former villainous ways to kill them. Instead of training with his teammates, Iceman spends most of his time trying to reach out Romeo unsuccessfully, placing him into a stupor. The time-displaced X-Men continue fighting crime in the present day although following a battle with the Brotherhood of Evil Mutants from an alternate timeline, they are disheartened to realize that they must eventually return to their original time. This particularly upsets Bobby who is sad that all of their growth as people will be undone once they go back. While the team are in space working alongside Venom to defeat the Poisons, a race of mind-controlling symbiotes, Magneto attacks several Hellfire Club parties searching for Emma Frost. The X-Men find her first and offer to protect her from Magneto although they quickly discover that he had taken mutant growth hormones to enhance his powers and, rather than kill the team he has mentored, Magneto leaves. Young Jean senses that they must return to their own time period soon and the X-Men have heart-to-hearts with their adult selves. During a game of pool with older Iceman, Bobby breaks down, knowing that his memory of the present must be erased and he will be forced back into the closet and, despite Iceman's best efforts to convince his younger self that he will grow up to be someone awesome, Bobby admits that he likes the person he has already become but that remaining that person is no longer an option. As the team prepare to leave, a news report announces that Magneto has formed a new brotherhood, leading the X-Men to decide to stay in the present for a little while longer. Extermination While en route to help young Cyclops, Bobby is attacked by a mysterious assailant but is rescued by Cable, who urges him to flee. Iceman refuses but is incapacitated and captured while Cable is killed. Young Jean attempts to use Cerebro to locate Bobby but states that she is unable to find him. In a secret lab, the man who attacked Bobby is revealed to be a time-displaced version of Cable who has him locked up in a tube. Kitty gathers all of the X-Men, who split into four teams tasked with protecting one of the remaining time-displaced X-Men. Young Jean uses her telepathy to guide her team to young Cable's base, where he admits to murdering his older self because he had failed in his mission to maintain the timeline by allowing the young X-Men to stay in the present for so long. They discover that Cable has been genetically modifying young Iceman so that he looks the way he looked when he left his original time period. He releases Bobby and teleports them all to Atlantis, where Ahab is attempting to kill young Cyclops so that the timeline can never be restored. The X-Men find themselves overwhelmed by Ahab's forces and Cable convinces the young X-Men that they must return home immediately in order to save the others. Young Iceman breaks down to his older self, admitting he doesn't want to be forced back into the closet but the present day Bobby tells him that his younger self finally allowed him to accept that he was gay and promises that he will be finally be able to truly be himself when he grows up. Cable then sends the X-Men back to their original time, informing them that everything will return to normal once they officially close the time loop. In 1964, the young X-Men change into their original clothes and young Jean performs a mind wipe so that they won't remember their time in the present day although she informs them that she is able to lock their memories away so that, once the loop is closed, their older selves will regain those memories. Back in modern day, the founding X-Men inherit the memories of their younger selves allowing them to defeat Ahab. Returned to their original time, the young X-Men forget about their adventures in the present and are greeted by Professor Xavier. Powers and abilities Iceman possesses the power to instantly decrease the temperature of ambient water vapor in his immediate environment to below zero degrees Celsius, thereby freezing it into ice. He is able to make ice that will not break unless he wills it to. In this manner he is able to quickly form a great variety of ice structures, including projectiles, shields, ladders, baseball bats, etc. Iceman often makes ice slides which form rapidly beneath and behind his feet, moving him along the slick surface at high speeds. He is also able to form exceedingly complicated structures within relative short time, such as miniature cities. Originally, Iceman's own body temperature would lower dramatically when his powers were active, reaching within a few tenths of a second (now his body usually converts to organic ice; see below). Iceman is immune to sub-zero temperatures; he is also able to perceive the thermal energy level of objects around him. Because cold is the absence of heat, Iceman does not actually 'emanate' cold; rather, he decreases thermal energy. As mentioned by writer Mike Carey, Iceman is "an Omega-level mutant ... [and] has powers that can influence the ecosystem of the entire world." Iceman has yet to tap into his full mutant potential, but over the years he has taken more interest in developing his abilities. In his early appearances, Iceman generally covered his body in a thick layer of what appeared to be snow; hence he looked more like a traditional snowman than an ice-man. Upon further training in the use of his powers, he was able to fashion an armor of solid ice around his body when using his powers, which afforded him some degree of protection against concussive force and projectiles. Later on, he manifested the ability to convert the tissue of his body into organic ice. He sometimes augments his organic ice form with razor sharp adornments to his shoulders, elbows, knees, and fists. Iceman has also been able to move rapidly to another distant location while in his organic ice form, being able to deposit his bodily mass into a river and reconstitute his entire mass a great distance away in a matter of minutes (by temporarily merging his molecules with those of the river). On one occasion, Iceman suffered a severe chest injury while in his ice form and was able to heal himself by converting back into his normal human form. Iceman is also able to reconstitute his organic ice form if any part of it is damaged, or even if it is completely shattered, without permanently harming himself. He can temporarily add the mass of a body of water to his own, increasing his mass, size, and strength. He can survive not only as ice, but as liquid water and water vapor. He can also transform his body from a gaseous state back to a solid, although it is physically and mentally taxing. Iceman can also freeze sea water, as seen during the "Operation: Zero Tolerance" story arc. While he usually does not use his powers in lethal ways, his powers are so vast that they extend to the molecular level, to the point that he can freeze all of the molecules of an object/being with a thought; he once froze every single molecule of water within the body of David Haller. Iceman is also able to dissolve his own icy constructs. Iceman's powers were pushed to their limit while possessed by Emma Frost, who used Iceman to discover the fate of her Hellions. During this time Iceman was able to control all forms of moisture, freeze fluids inside people's bodies, travel as a liquid, solid or gas. Not even the combined might of the X-Men Gold team was able to stop Emma Frost in Iceman's body. Following this, Bobby confronted Emma about how she was able to use his powers so effectively. While together they made some initial progress, she refused to train him further. Instead he turned to Storm because they share similar elemental powers and she agreed to tutor him. When Iceman was injected with Mister Sinister's neuro-inhibiter by Mystique, he was able to save himself by drawing in all of the ambient moisture around him, rapidly replacing his poisoned cells with healthy material before the injection could kill him. During the 2013–2014 "Battle of the Atom" storyline, Iceman's future self revealed that he has the ability to create semi-independent ice structures that can act on their own, although one of these structures—demonstrating a Hulk-like physique and intellect—has gone on to join the future version of the Brotherhood. Aside from his superhuman powers, Iceman is also a fair hand-to-hand combatant, and received combat training at Xavier's School as well as coaching from the Black Widow and Hercules while serving with the Champions of Los Angeles. Iceman has taken as much combat training as Cyclops or Beast. Characterization Personality According to writer Mike Carey "one of Iceman's best personality traits is that emotionally Bobby Drake is like the ice he manipulates—not cold but transparent. 'He's devastatingly honest. He is very up-front with his emotions and his thoughts all the time.'" "Also, he's obviously incredibly brave both in terms of facing external, physical danger as well as facing up to unpleasant situations and admitting his own mistakes." Friendships and relationships Iceman had a brief relationship with a Japanese-American New Yorker named Opal Tanaka. He subsequently exhibited strong feelings for his fellow X-Man Polaris, but she did not return those feelings, due to her feelings towards Havok. Northstar developed an unrequited crush for Iceman during their time on the same team, though Iceman never did find out about this. Iceman later had a brief relationship with the Xavier School's nurse, Annie, but she eventually left him for Havok, who had just left Polaris at the altar. When Iceman attempted to rekindle his relationship with Polaris, that too ended abruptly, and Polaris returned to Havok. Iceman then had a relationship with the X-Men's enemy Mystique, who later betrayed him, despite her continued fixation on him, in as much as she stated that she would either kill him or cure him of his personal uncertainty. Iceman has long-lasting friendships with Spider-Man, Firestar and the Human Torch. Sexuality In All-New X-Men #40, the time-displaced Iceman is revealed to be gay, which eventually forces the youth to confront the adult version of himself about the matter. As both speak, the adult Iceman confirms the fact and that he had put all his energy into just being an X-Man as he couldn't cope with being a mutant and gay simultaneously. With the help of his younger self and Jean Grey, however, he finally comes to terms with his own sexuality, and comes out to fellow gay X-Man Anole in Extraordinary X-Men #6. The end of the Extermination X-Men event saw the redirecting of the time displaced version of Bobby back into the "closet" when he returned to his original timeline alongside the other X-Men, due to a mind lock by Jean Grey. In the present day, the current version retains both sets of memories and remains an out gay man. Other versions 1602 Iceman is Roberto Trefusis in the miniseries Marvel 1602, a member of the group of "witchbreeds" founded by Carlos Javier and led by Scotius Summerisle. He is the nephew of naval commander Sir Francis Drake. As in the Marvel Universe, he generates ice and can assume a physical ice form. "Age of Apocalypse" In the "Age of Apocalypse" storyline, Bobby, along with the rest of the X-Men, is trained by Magneto. Because Magneto is harder on his students than Professor X, Bobby lacks his 616-counterpart's sense of humor. Instead, Bobby becomes very cold and inhuman, making his teammates feel uncomfortable. In addition to his normal abilities, Bobby is capable of breaking down his body and merging it with another body of water to travel great distances in a matter of seconds. He can bring others along through a process that he calls "moisture molecular inversion", though it is a painful process for the passengers. Bobby is also able to reconstitute his body from broken pieces. Just before Apocalypse's defeat, Colossus stormed right through Iceman, causing him to fall into pieces in an attempt to reach his sister. A couple of months later, Iceman, Exodus, Wild Child, and Morph were sent on a secret mission by Magneto; for a time, only Wild Child's fate was revealed. Iceman returned in the Uncanny X-Force arc "The Dark Angel Saga", when the title team was forced to travel to the AoA reality. He abandoned the X-Men during a battle with the minions of Weapon X, who had by this time been transformed into that world's new Apocalypse, a defection later revealed to be the result of Iceman's having lost faith in his X-Men's ability to save their world. He was soon brought to Earth-616 by the Dark Beast, where he joined forces with Archangel on his quest to eradicate all life on Earth so he could create a new evolution process. Tired of seeing the people he cared about being killed fighting what he thought to be an unwinnable war, Drake agreed to help Archangel – despite the latter's now being the mainstream Marvel Universe's version of Drake's X-Men's arch-enemy, Apocalypse – in exchange for transport to the relative paradise that was Earth-616. After X-Force defeated Archangel, Bobby managed to escape with McCoy and most of Archangel's other minions, but eventually broke away from them and went into hiding, living a life of hedonistic bliss in Madripoor. The "Age of Apocalypse" version of Nightcrawler – who, after being brought to Earth-616 along with the rest of his world's X-Men to help take down Archangel, decided to stay behind there in order to track down and kill the various villains who also came to the mainstream Marvel Universe – eventually tracked Bobby down to execute him for his treason. Nightcrawler is quickly overwhelmed by Drake's avatars, but eventually forces Iceman into a factory boiler room, where there's not enough moisture in the air for him to effectively use his powers. Nightcrawler quickly disables his former friend, and shoves him into an incinerator, killing the once noble hero. Earth X During the miniseries Earth X, Bobby had become trapped in his ice form, making him vulnerable to melting. He moves to the Arctic regions of Earth, and made an ice city for himself and the Inuit. Due to a series of events where Earth's orbital path moves, Bobby is able to return to the United States to aid in the battle against the demon Mephisto. "House of M" In the alternate timeline of the "House of M" storyline, Iceman was seen in Magneto's army during his rise to power. Bobby later appears as one of the Horsemen of Apocalypse because Apocalypse rescued Bobby from a mutant internment camp that his parents had sent him to. Magneto sends Apocalypse to dispose of his rival Black Panther; when Apocalypse is attacked en route by Black Panther's allies, Iceman aids him by freezing Namor solid and attempting to attack Storm, but he is severely injured by Sunfire. Marvel Zombies A zombified Iceman appears in Marvel Zombies: Dead Days alongside zombies Wolverine and Cyclops. Ultimately, he is seen attacking Magneto. But Iceman perished at the hands of the Master Of Magnetism himself when Iceman is cut apart. Mutant X In the Mutant X universe, the Asgardian god Loki amplified Bobby's powers to a dangerous level, leaving him unable to touch any living thing without killing it. Despite this, he retains a jovial and optimistic personality. When Havok has a disagreement with Magneto and decides to leave the X-Men, Ice-Man is one of those who follow him, becoming a founding member of the Six, who eventually come to be considered the world's premiere mutant team. New Exiles After the New Exiles land on the world of warring empires, they encounter Dame Emma Frost, head of Britain's Department X and founder of Force-X. This team includes Roberta "Bobby" Drake, a female version of Bobby who is code named Aurion and displays ice-based abilities. "Battle of the Atom" In the alternate future witnessed in the "Battle of the Atom" storyline, Iceman's had truly evolved to become Sir Robert, the wizard-like Icemaster. As one of the most respected X-Men, he had incredible control over his powers and could even grow a beard! Though never outright mentioned, he may had a relationship with Kitty Pryde and even fathered a son with her, denoting the existence of Carmen Drake, a boy with the powers of both Iceman and Shadowcat. He has also developed the ability to create semi-independent ice structures that can act on their own, although one of these structures, possessing a Hulk-like physique and intellect, has gone on to join the future version of the Brotherhood, resulting in the Brotherhood using the duplicate to reinforce the illusion of themselves as the future X-Men. The duplicate Iceman was defeated by the O5 Iceman, the present Iceman, and the future Iceman during the battle in the past (Prompting the youngest Iceman to note that they only needed one more Iceman for a five-a-side basketball team). Icemaster later returned to the mainstream marvel universe and confronts Iceman about trusts and decisions. He does it in order to prevent him from doing the same mistakes Icemaster did in the future. Knowing he had little time left, Icemaster eventually revealed to Iceman that after beginning a relationship with Daken, they both led the X-Men to space in order to prevent the Shi'ar from overwhelm the Earth and lay waste to it. However Icemaster would discover that Daken's plan was actually to obtain the M'Kraan Crystal in the first place, killing in the process the other X-Men and later Deathbird herself. Icemaster attempts to stop Daken, but he is seconds too late as having the Nexus of all Realities made Daken a Thanos-level player in the cosmos, and he acted as such. Icemaster eventually became convinced, after seeing Bobby's character growth, that his present
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Legion does not kill Magneto, but instead accidentally murdered Xavier, his own father, years before Legion had been conceived much less born. This paradox caused the events of the Age of Apocalypse. At the last moment before the original reality ended, Iceman's fellow X-Men, Rogue and Gambit shared a kiss. When reality resumed, Rogue's mind-absorbing touch renders Gambit comatose. Having absorbed some secret haunting memories, she needs to get away from the X-Men and Iceman volunteers to join her on a road trip, though at the same time he was starting to see visions of Emma Frost. When Gambit awoke from his coma, he tracked them down and confronted Rogue about what she saw in his mind. She broke off their relationship, Iceman and Gambit returned to the X-Men. When the entity known as Onslaught first appeared, Iceman was chosen as one of his test subjects, along with Storm, Cyclops and Wolverine. They were pitted against a servant of Onslaught named Post, in a specific battle area of harsh environment to test the extent of their abilities. They won and were returned to the mansion. However, Iceman's chest had been shattered in his ice form during battle, making it impossible to change back to human form. He confronted Emma Frost and demanded to know what she did to his powers in his body and how to save himself. She refused to help since she knew that Bobby would have to do it himself. When he captured her with his ice powers, she telepathically showed him his insecurities. By confronting Opal and his father in her simulation, Iceman realized that Emma was right and managed to transform back to his human body with his chest fully intact. When Graydon Creed was running for President (with a heavy anti mutant campaign), Bobby was chosen to infiltrate in the campaign. His father stood out in a crowd and spoke in favor of the mutants, which came as a surprise to Bobby. His father's connection with Bobby was discovered, so the people that worked for Graydon captured him and almost beat him to death. Bobby decided to stay away from the X-Men for a while to be with his dad. Zero Tolerance came across and Bobby found and helped Cecilia Reyes who was trying to keep a secret that she was a mutant. They also joined with Charlotte Jones and the Morlock Marrow. After Bastion was defeated, he took Cecilia and Marrow to the mansion, and soon left the X-Men again for a while to be with his parents. Much later, the X-Men found evidence in one of Destiny's journals of a group known as the Twelve, including Xavier, Magneto, Cyclops, Phoenix, Iceman, Polaris, Storm, Cable, Bishop, Sunfire, Mikhail Rasputin and the Living Monolith. They also learned that the Apocalypse's Horsemen had been kidnapping these mutants from around the globe. Iceman was captured in the woods near his home by Deathbird, who had become the Horseman War. Gathering the remaining Twelve, the X-Men traveled to Egypt and confronted Apocalypse and the Skrulls. Apocalypse and his forces captured all of the Twelve during the battle, using them in a ritual to give the Chaos-Bringer a new body and incredible power. Magneto and Polaris created opposite magnetic polarities, Iceman, Storm, and Sunfire provided elemental extremes, Cyclops, Phoenix, and Cable gave the sheer power of family, Xavier represented the power of mind and Bishop and Mikhail stood for time and space, while the Monolith linked all their energies together. Nate Grey was to be Apocalypse's new host, a powerhouse to store his massive lifeforce. The Twelve managed to free themselves and Cyclops sacrificed his own body and life force to keep Apocalypse from getting Nate. Though the new Apocalypse was defeated, Cyclops seemed lost forever. After that incident, Iceman helped the Beast to secretly enter Genosha, as he wanted to study the legacy-infected mutates. When the High Evolutionary released his anti-mutation wave, they were trapped in the war-ravaged country. With the aid of Magneto, they escaped and joined forces with the rest of the scattered X-Men. They raided the Evolutionary's satellite, disabled the mutation field and defeated Sinister, who had been manipulating the Evolutionary. Iceman was recruited by the living ship Prosh, along with other mutants, like Jean Grey, Mystique, Toad and Juggernaut, to preserve evolution and save it. In this journey Iceman developed his powers even further, which led him to no longer be afraid of the natural course of his powers and he returned to the X-Men. He joined a new team of X-Men, consisting of Angel, Nightcrawler, Wolverine and Chamber. He was using his abilities in a whole new way now, just channeling the power and not turning his body into ice. Second mutation During a heated battle with a recently evolved Black Tom Cassidy, he received a chest wound. After returning to normal his chest did not fully recover and some parts of it remained icy, and he was unable to return them to normal. At first he became afraid of it but in time it made him gain a new attitude in life, even rude at some times. Nobody seemed to realize it at the time, but evidently this was an early sign of Iceman undergoing a secondary mutation of his own. When he repeatedly tried to evade his regular medical check-ups, school nurse Annie Ghazikhanian recognized that something odd was going on with him and pressured him to show her the wound. Bobby made her promise not to tell anyone and showed her that parts of his chest are now made of ice and he is unable to change them back to flesh and blood. Iceman wonders if he will entirely turn into ice on a permanent basis. He developed an attitude that, to some of the newer addition to the X-Men, like Stacy X, Juggernaut and Northstar, he comes across as rather arrogant, denouncing their status as team members, as they have not been around as long as he. Iceman even went as far as offending Nightcrawler by claiming that only the original five, and no one else, has the right to call themselves an X-Man. Bobby was further frustrated when Havok and Polaris announced their imminent wedding, him having carried a torch for Lorna for quite some time. In his frustration he turned to Annie, who had problems with the wedding too, as she was secretly in love with Havok. The nurse surprised him with the accusation of him being a racist – feeling comfortable as a mutant who could pass like a human when needed, opposed to being a fully obvious mutant or a "mere" human. With his secondary mutation manifesting, though, Iceman was in danger of losing this status. Shocked by the truth of her words, Bobby fully opened up about his fears, that as a man fully made of ice he could never feel the warmth of a physical relationship again. Touched, Annie allowed him to kiss her, but when Havok called off the wedding, wanting to be with Annie instead, she quickly dumped Bobby. Upon encountering Azazel and his followers, Iceman's body is shattered from the neck down. Afterward, he regains his entire ice form, but cannot change back to his human appearance. As a result, Bobby becomes both bitter and despondent because of this drastic change. Rogue's Team Iceman joins Rogue's team after she tells him that she wants him as a member. Their first mission as a team is to fight a new threat, a powerful group known as the Children of the Vault. The team is successful and during this time, Bobby learns that he can be completely destroyed but then pull himself back together again. It was shown several times during the arc. The next mission for the team was to locate a man called Pandemic and defeat him. The team was again successful, but Rogue was infected with a virus called Strain 88. Cable took the team, including Bobby, to his island so Rogue could get treatment. While on Cable's island, the team and Iceman began working to defeat the Shi'ar weapon known as the Hecatomb. During the chaos, he shared a passionate kiss with Mystique. Even as he did so, he saved many lives by containing the explosion of the Conquistador, and, later, the Hecatomb itself. Blinded by the Light As the team recovers from Hecatomb attack in Rogue's childhood home, it appears that Mystique and Iceman begin a romantic relationship. This was a front, as Mystique was using Iceman and the X-Men as a Marauder spy for Mister Sinister. Marauders soon infiltrated the house; they attempt to gain access to Destiny's Diaries on the order of Mr. Sinister (who has been gathering information about the future from anybody and anything that could foretell the future). Bobby and Cannonball escape from the Marauders in the X-Jet, with help from Emma Frost. They are pursued by Sunfire; they manage to get the better of him and take him prisoner, but not before he manages to cripple the jet. While Sunfire is unconscious, Iceman and Sam discuss the Mauraders' plan to eliminate all precognitive mutants and anyone with knowledge of the future as well as retrieving Destiny's Diaries before the Marauders can. During this time, Bobby displayed sub-atomic control of energy transfers when he prevented Sunfire from using his fire-based powers. Cannonball and Bobby, telepathically prompted by Emma Frost, attempt to recover the diaries which are hidden in a dilapidated brewery. Mr. Sinister uses the reverse-engineered version of Xavier's Cerebro to track the pair of X-Men to the brewery. The Marauders attack Cannonball and Iceman and overtake them. Bobby, while in his ice form, suffers a gunshot wound from Mystique, which severs one of his arms above the elbow. Mister Sinister, who takes Cannonball prisoner, attempts to telepathically erase his mind so that the X-Men will find him as an empty shell. Iceman attacks Sinister, distracting him, which allows both of the X-Men to escape. Messiah Complex The New X-Men team decided to raid the headquarters of the Purifiers in Washington, D.C., but were forced to retreat. Pixie teleported them back to the mansion in a rush, but the entire team was scattered between D.C. and Westchester. Iceman, after recovering from his injuries, volunteered to go look for them and was given telepathic directions by Emma Frost. Iceman was successful in finding the New X-Men, most of them injured. On the way back, they found that the O*N*E* Sentinels guarding the Xavier Institute had become infected by nano-Sentinels and attacked the school. Iceman and New X-Man X-23 helped out in the battle with the O*N*E* Sentinels. With the help of Dust and X-23, the X-Men were able to survive this battle but the nano-Sentinel infected human escaped. Soon, Iceman participated in the final battle against the Marauders, the Acolytes, and Predator X. He was one of the X-Men who came running in to fight Predator X after it swallowed Wolverine whole. However, he also witnesses his mentor, Professor Xavier, "killed" by Bishop's bullet, which was not meant for him. Divided We Stand Iceman arrives in San Francisco, where he was set to meet Hepzibah, Warpath, and Angel. All four are caught in the effects of a citywide illusion created by Martinique Jason, who used her powers to transform the city into a hippie paradise. Now calling himself "Frosty", he and the others are sent by Martinique to confront Scott Summers and Emma Frost. Emma Frost is able to break up the illusion and free everyone. They eventually set up their base of operations in San Francisco as X-Men. Secret Invasion and Utopia Iceman is one of the X-Men that assists in fighting the Skrull invasion in San Francisco. Iceman rescues Colossus from Venom and is later made a part of a team to battle Emma Frost's Dark X-Men. During the final battle on Utopia, Iceman teams up with the X-Students to take on Mimic. Iceman had the labor of providing water to the population. He attempted to use humor to keep everyone's spirits up even though he believed that the situation was helpless and that the X-Men were living in the last days of mutantkind. Bobby then helped defeat Predator X and also helped stop Selene's resurrected army's invasion of Utopia. Second Coming During the battle with Bastion's Nimrod Sentinels, Iceman is severely injured following an attack from one of them that reversed his ice form and left him with burns on his body. He is only there for a short time because his mutant powers help him minimize the injuries he suffered and he is seen back in battle alongside Psylocke and the other X-Men. Post Schism Early solicitations show that after Wolverine and Cyclops have a major falling out, Wolverine decides to branch off and open The Jean Grey School for Higher Learning back in New York. Iceman is the first person Wolverine approaches and recruits to his new X-Men squad as both a professor and teammate. Iceman is chosen because Wolverine feels he has the kind of spirit the new school needs. He also has an off-and-on romantic relationship with Kitty Pryde. Extraordinary X-Men When the Terrigen became toxic for mutants, Iceman was one of the recruits in Storm's new team dedicated to protecting mutants from the Terrigen by leading them to X-haven. Iceman mostly works alongside Nightcrawler, helping him search for Colossus after he is transformed into one of Apocalypse's new horsemen. Iceman and Nightcrawler manage to track Colossus to Egypt, where he ambushes them and almost kills them until another squad of X-Men comes in to help. After that Iceman joins the X-Men when they declare war against the Inhumans after discovering that in a matter of weeks the Terrigen will render earth as completely uninhabitable for mutants. Fantastic Four Returns Iceman is among the heroes summoned by Mr. Fantastic - a group consisting of former substitute members of the Fantastic Four - to help the Future Foundation against the cosmic entity known as the Griever. However, the Human Torch objects to Iceman's presence during the battle, emphatically asserting that Iceman was never a member of the FF. Iceman states that he was made a member during an adventure involving Namor. The Torch simply counters with "That didn't COUNT!" As recounted in Fantastic Four vol. 6 #24, Iceman's induction into the FF did not feature Namor, but occurred during the early days of the FF and the original X-Men. One morning years ago, the youthful Torch 'quit' the FF in an immature fit of pique. That same day, the sensitive teen-aged Iceman left the X-Men after being laughed at by his peers for his poor showing in a Danger Room exercise. Iceman encountered the remaining FF members and assisted them with a day-long series of crises, being casually admitted to the team as a result. When the Torch discovered that he had been replaced, he attacked Iceman during the FF's current battle and forcefully declared that Iceman was not an FF member. The Invisible Girl forced the pair to work together to help defeat the FF's final opponent of the day. Iceman was then telepathically summoned back to the X-Men by Professor X, who praised his student's performance. Mr. Fantastic told the departing Iceman that he could return to the FF whenever he wanted. The Torch was also 'readmitted', with a penance of a week's laundry detail. In the present time, Iceman returns the teen-aged Franklin Richards to the FF's Yancy Street home/headquarters from Krakoa and is recognized by the building's security system as an FF member. This angers the Torch once again, and he declares that Iceman had never been a member of the team. The two men bicker over the issue until Iceman realizes that the Torch was never upset about Iceman replacing him on the team, but believes that he was trying to take his place in the FF family. The Torch finally admits that what bothered him most was that other substitute members—who were also considered family by the FF—were always brought in due to major events, and that if Iceman was the actual first substitute member, that meant the Torch had given up his place "over nothing." The Torch ultimately drops the matter of Iceman's legitimacy and says that he was an official substitute FF member, and is also a part of the FF 'family'. Solo series After being outed as gay by the time-displaced Jean Grey, the younger time-displaced Iceman confronts his older self, asking him why he has been presenting as straight for most of his adult life. The older Bobby breaks down and admits that he has known he was gay for a long time but forcibly repressed that part of himself, fearful of how others would react. He further acknowledges that he was scared to reveal his true self to the world due to already facing prejudice for being a mutant and not wanting to receive hatred for another part of himself. Following all of this, Bobby decides to take a break from the limelight and focus on himself, declining to join the new X-team formed by Kitty Pryde, instead acting as a reserve member and teaching classes at the Xavier School. After a training session with his younger self, Bobby sees the time-displaced Iceman head out for a date with his boyfriend Romeo while he tries to set up an online dating profile to meet guys. He receives a text from his mother stating that his father has had a heart attack so Bobby rushes to the hospital only to be chastises by his father for missing family events due to his commitments as a superhero. Following a brief battle in the hospital, Bobby's parents ask him to leave, angry that their mutant son is bringing yet more trouble into
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this Council of Toledo promulgated a decree commanding all bishops to establish seminaries in their cathedral cities along the lines of the cathedral school at Seville, which had educated Isidore decades earlier. The decree prescribed the study of Greek, Hebrew, and the liberal arts and encouraged interest in law and medicine. The authority of the council made this education policy obligatory upon all bishops of the Kingdom of the Visigoths. The council granted remarkable position and deference to the king of the Visigoths. The independent Church bound itself in allegiance to the acknowledged king; it said nothing of allegiance to the Bishop of Rome. Death Isidore of Seville died on 4 April 636 after serving more than 32 years as archbishop of Seville. Work Isidore's Latin style in the Etymologiae and elsewhere, though simple and lucid, reveals increasing local Visigothic traditions. Etymologiae Isidore was the first Christian writer to try to compile a summa of universal knowledge, in his most important work, the Etymologiae (taking its title from the method he uncritically used in the transcription of his era's knowledge). It is also known by classicists as the Origines (the standard abbreviation being Orig.). This encyclopedia—the first such Christian epitome—formed a huge compilation of 448 chapters in 20 volumes. In it, Isidore entered his own terse digest of Roman handbooks, miscellanies and compendia, he continued the trend towards abridgements and summaries that had characterised Roman learning in Late Antiquity. In the process, many fragments of classical learning are preserved that otherwise would have been hopelessly lost; "in fact, in the majority of his works, including the Origines, he contributes little more than the mortar which connects excerpts from other authors, as if he was aware of his deficiencies and had more confidence in the stilus maiorum than his own," his translator Katherine Nell MacFarlane remarks. Some of these fragments were lost in the first place because Isidore's work was so highly regarded—Braulio called it quaecunque fere sciri debentur, "practically everything that it is necessary to know"—that it superseded the use of many individual works of the classics themselves, which were not recopied and have therefore been lost: "all secular knowledge that was of use to the Christian scholar had been winnowed out and contained in one handy volume; the scholar need search no further". The fame of this work imparted a new impetus to encyclopedic writing, which bore abundant fruit in the subsequent centuries of the Middle Ages. It was the most popular compendium in medieval libraries. It was printed in at least ten editions between 1470 and 1530, showing Isidore's continued popularity in the Renaissance. Until the 12th century brought translations from Arabic sources, Isidore transmitted what western Europeans remembered of the works of Aristotle and other Greeks, although he understood only a limited amount of Greek. The Etymologiae was much copied, particularly into medieval bestiaries. On the Catholic faith against the Jews Isidore's De fide catholica contra Iudaeos furthers Augustine of Hippo's ideas on the Jewish presence in Christian society. Like Augustine, Isidore accepted the necessity of the Jewish presence because of their expected role in the anticipated Second Coming of Christ. In De fide catholica contra Iudaeos, Isidore exceeds the anti-rabbinic polemics of earlier theologians by criticizing Jewish practice as deliberately disingenuous. He contributed two decisions to the Fourth Council of Toledo: Canon 60 calling for the forced removal of children from parents practising Crypto-Judaism and their education by Christians, and Canon 65 forbidding Jews and Christians of Jewish origin from holding public office. Other works Isidore's authored more than a dozen major works on various topics including mathematics, holy scripture, and monastic life, all in Latin: Historia de regibus Gothorum, Vandalorum et Suevorum, a history of the Gothic, Vandal and Suebi kings. The longer edition, issued in 624, includes the Laus Spaniae and the Laus Gothorum. Chronica Majora, a universal history De differentiis verborum, a brief theological treatise on the doctrine of the Trinity, the nature of Christ, of Paradise, angels, and men De natura rerum (On the Nature of Things), a book of astronomy and natural history dedicated to the Visigothic king Sisebut Questions on the Old Testament a mystical treatise on the allegorical meanings of numbers a number of brief letters Sententiae libri tres Codex Sang. 228; 9th century De viris illustribus De ecclesiasticis officiis De summo bono De ortu et obitu patrum Veneration Isidore was one of the last of the ancient Christian philosophers and was contemporary with Maximus the Confessor. He has been called the most learned man of
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the Kingdom of the Visigoths. The council granted remarkable position and deference to the king of the Visigoths. The independent Church bound itself in allegiance to the acknowledged king; it said nothing of allegiance to the Bishop of Rome. Death Isidore of Seville died on 4 April 636 after serving more than 32 years as archbishop of Seville. Work Isidore's Latin style in the Etymologiae and elsewhere, though simple and lucid, reveals increasing local Visigothic traditions. Etymologiae Isidore was the first Christian writer to try to compile a summa of universal knowledge, in his most important work, the Etymologiae (taking its title from the method he uncritically used in the transcription of his era's knowledge). It is also known by classicists as the Origines (the standard abbreviation being Orig.). This encyclopedia—the first such Christian epitome—formed a huge compilation of 448 chapters in 20 volumes. In it, Isidore entered his own terse digest of Roman handbooks, miscellanies and compendia, he continued the trend towards abridgements and summaries that had characterised Roman learning in Late Antiquity. In the process, many fragments of classical learning are preserved that otherwise would have been hopelessly lost; "in fact, in the majority of his works, including the Origines, he contributes little more than the mortar which connects excerpts from other authors, as if he was aware of his deficiencies and had more confidence in the stilus maiorum than his own," his translator Katherine Nell MacFarlane remarks. Some of these fragments were lost in the first place because Isidore's work was so highly regarded—Braulio called it quaecunque fere sciri debentur, "practically everything that it is necessary to know"—that it superseded the use of many individual works of the classics themselves, which were not recopied and have therefore been lost: "all secular knowledge that was of use to the Christian scholar had been winnowed out and contained in one handy volume; the scholar need search no further". The fame of this work imparted a new impetus to encyclopedic writing, which bore abundant fruit in the subsequent centuries of the Middle Ages. It was the most popular compendium in medieval libraries. It was printed in at least ten editions between 1470 and 1530, showing Isidore's continued popularity in the Renaissance. Until the 12th century brought translations from Arabic sources, Isidore transmitted what western Europeans remembered of the works of Aristotle and other Greeks, although he understood only a limited amount of Greek. The Etymologiae was much copied, particularly into medieval bestiaries. On the Catholic faith against the Jews Isidore's De fide catholica contra Iudaeos furthers Augustine of Hippo's ideas on the Jewish presence in Christian society. Like Augustine, Isidore accepted the necessity of the Jewish presence because of their expected role in the anticipated Second Coming of Christ. In De fide catholica contra Iudaeos, Isidore exceeds the anti-rabbinic polemics of earlier theologians by criticizing Jewish practice as deliberately disingenuous. He contributed two decisions to the Fourth Council of Toledo: Canon 60 calling for the forced removal of children from parents practising Crypto-Judaism and their education by Christians, and Canon 65 forbidding Jews and Christians of Jewish origin from holding public office. Other works Isidore's authored more than a dozen major works on various topics including mathematics, holy scripture, and monastic life, all in Latin: Historia de regibus Gothorum, Vandalorum et Suevorum, a history of the Gothic, Vandal and Suebi kings. The longer edition, issued in 624, includes the Laus Spaniae and the Laus Gothorum. Chronica Majora, a universal history De differentiis verborum, a brief theological treatise on the doctrine of the Trinity, the nature of Christ, of Paradise, angels, and men De natura rerum (On the Nature of Things), a book of astronomy and natural history dedicated to the Visigothic king Sisebut Questions on the Old Testament a mystical treatise on the allegorical meanings of numbers a number of brief letters Sententiae libri tres Codex Sang. 228; 9th century De viris illustribus De ecclesiasticis officiis De summo bono De ortu et obitu patrum Veneration Isidore was one of the last of the ancient Christian philosophers and was contemporary with Maximus the Confessor. He has been called the most learned man of his age by some scholars, and he exercised a far-reaching and immeasurable influence on the educational life of the Middle Ages. His contemporary and friend, Braulio of Zaragoza, regarded him as a man raised up by God to save the Iberian peoples from the tidal wave of barbarism that threatened to inundate the ancient civilization of Hispania. The Eighth Council of Toledo (653) recorded its admiration of his character in these glowing terms: "The extraordinary doctor, the latest ornament of the Catholic Church, the most learned man of the latter ages, always to be named with reverence, Isidore". This tribute was endorsed by the Fifteenth Council of Toledo, held in 688, and later in 1598 by Pope Clement VIII. Isidore was declared a Doctor of the Church in 1722 by Pope Innocent XIII. Isidore was interred in Seville. His tomb represented an important place of veneration for the Mozarabs during the centuries after the Arab conquest of Visigothic Hispania. In the middle of the 11th century, with the division of Al Andalus into taifas and the strengthening of the Christian holdings in the Iberian peninsula, Ferdinand I of León and Castile found himself in a position to extract tribute from the fractured Arab states. In addition to money, Abbad II al-Mu'tadid, the Abbadid ruler of Seville (1042–1069), agreed to turn over St. Isidore's remains to Ferdinand I. A Catholic poet described al-Mutatid placing a brocaded cover over Isidore's sarcophagus, and remarked, "Now you are leaving here, revered Isidore. You know well how much your fame was mine!" Ferdinand had Isidore's remains reinterred in the then-recently constructed Basilica of San Isidoro in León. Today, many of his bones are buried in the cathedral of Murcia, Spain. Legacy In Dante's Paradiso (X.130), Isidore is mentioned among theologians and Doctors of the Church alongside the Scot Richard of St. Victor and the Englishman Bede the Venerable. The University of Dayton has named their implementation of the Sakai Project in honour of Saint Isidore. His likeness, along with that of Leander of Sevile and Ferdinand III of Castile, is depicted on the crest badge of Sevilla FC. The Order of St. Isidore of Seville is a chivalric order formed on 1 January 2000. An international organisation,
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Small inorganic carbon – nitrogen compounds are cyanogen, hydrogen cyanide, cyanamide, isocyanic acid and cyanogen chloride. Paracyanogen is the polymerization product of cyanogen. Cyanuric chloride is the trimer of cyanogen chloride and 2-cyanoguanidine is the dimer of cyanamide. Other types of inorganic compounds include the inorganic salts and complexes of the carbon-containing cyanide, cyanate, fulminate, thiocyanate and cyanamide ions. Examples of cyanides are copper cyanide (CuCN) and potassium cyanide (KCN), examples of cyanates are potassium cyanate (KNCO) and silver cyanate (AgNCO), examples of fulminates are silver fulminate (AgOCN) and mercury fulminate (HgOCN) and an example of a thiocyanate is potassium thiocyanate (KSCN). Carbon halides The common carbon halides are carbon tetrafluoride (CF4), carbon tetrachloride (CCl4), carbon tetrabromide (CBr4), carbon tetraiodide (CI4), and a large number of other carbon-halogen compounds. Carboranes A carborane is a cluster composed of boron and carbon atoms such as H2C2B10H10.... Alloys There are hundreds of alloys that contain carbon. The most common of these alloys is steel, sometimes called "carbon steel" (see :Category:Steels). All kinds of steel contain some amount of carbon, by definition, and all ferrous alloys contain some carbon. Some other common alloys that are based on iron and carbon include anthracite iron, cast iron, pig iron, and wrought iron. In more technical uses, there are also spiegeleisen, an alloy of iron, manganese, and carbon; and stellite, an alloy of cobalt, chromium, tungsten, and carbon. Whether it was placed there deliberately or not, some traces of carbon is also found in these common metals
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for hydrogen. Organic carbon compounds are far more numerous than inorganic carbon compounds. In general bonds of carbon with other elements are covalent bonds. Carbon is tetravalent but carbon free radicals and carbenes occur as short-lived intermediates. Ions of carbon are carbocations and carbanions are also short-lived. An important carbon property is catenation as the ability to form long carbon chains and rings. Allotropes of carbon The known inorganic chemistry of the allotropes of carbon (diamond, graphite, and the fullerenes) blossomed with the discovery of buckminsterfullerene in 1985, as additional fullerenes and their various derivatives were discovered. One such class of derivatives is inclusion compounds, in which an ion is enclosed by the all-carbon shell of the fullerene. This inclusion is denoted by the "@" symbol in endohedral fullerenes. For example, an ion consisting of a lithium ion trapped within buckminsterfullerene would be denoted Li+@C60. As with any other ionic compound, this complex ion could in principle pair with a counterion to form a salt. Other elements are also incorporated in so-called graphite intercalation compounds. Carbides Carbides are binary compounds of carbon with an element that is less electronegative than it. The most important are Al4C3, B4C, CaC2, Fe3C, HfC, SiC, TaC, TiC, and WC. Organic compounds It was once thought that organic compounds could only be created by living organisms. Over time, however, scientists learned how to synthesize organic compounds in the lab. The number of organic compounds is immense and the known number of defined compounds is close to 10 million. However, an indefinitely large number of such compounds is theoretically possible. By definition, an organic compound must contain at least one atom of carbon, but this criterion is not generally regarded as sufficient. Indeed, the distinction between organic and inorganic compounds is ultimately a matter of convention, and there are several compounds that have been classified either way, such as: COCl2, CSCl2, CS(NH2)2, CO(NH2)2. With carbon bonded to metals the field of organic chemistry crosses over into organometallic chemistry. Inorganic compounds There is a rich variety of carbon chemistry that does not fall within the realm of organic chemistry and is thus called inorganic carbon chemistry. Carbon-oxygen compounds There are many oxides of carbon (oxocarbons), of which the most common are carbon dioxide (CO2) and carbon monoxide (CO). Other less known oxides include carbon suboxide (C3O2) and mellitic anhydride (C12O9). There are also numerous unstable or elusive oxides, such as dicarbon monoxide (C2O), oxalic anhydride (C2O4), and carbon trioxide (CO3). There are several oxocarbon anions, negative ions that consist solely of oxygen and carbon. The most common are the carbonate
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Wright in Spycatcher as having been "doubled" by the Belgian Sûreté de l'État. He revealed information about industrial espionage conducted by the ring, including the fact that Russian agents had obtained details of Concorde's advanced electronics system. He testified against two Kodak employees, living and working in Britain, during a trial in which they were accused of passing information on industrial processes to him, though they were eventually acquitted. According to a 2020 American Economic Review study, East German industrial espionage in West Germany significantly reduced the gap in total factor productivity between the two countries. Soviet system A secret report from the Military-Industrial Commission of the USSR (VPK), from 1979–80, detailed how (, "special records") could be utilised in twelve different military industrial areas. Writing in the Bulletin of the Atomic Scientists, Philip Hanson detailed a system in which 12 industrial branch ministries formulated requests for information to aid technological development in their military programs. Acquisition plans were described as operating on 2-year and 5-year cycles with about 3000 tasks underway each year. Efforts were aimed at civilian and military industrial targets, such as in the petrochemical industries. Some information was gathered to compare Soviet technological advancement with that of their competitors. Much unclassified information was also gathered, blurring the boundary with "competitive intelligence". The Soviet military was recognised as making much better use of acquired information than civilian industries, where their record in replicating and developing industrial technology was poor. The legacy of Cold War espionage Following the demise of the Soviet Union and the end of the Cold War, commentators, including the US Congressional Intelligence Committee, noted a redirection amongst the espionage community from military to industrial targets, with Western and former communist countries making use of "underemployed" spies and expanding programs directed at stealing such information. The legacy of Cold War spying included not just the redirection of personnel but the use of spying apparatus such as computer databases, scanners for eavesdropping, spy satellites, bugs and wires. Industrial espionage as part of US foreign policy According to an article from news website theintercept.com, "potentially sabotaging another country's hi-tech industries and their top companies has long been a sanctioned American strategy." The article was based on a leaked report issued from former U.S. Director of National Intelligence James R. Clapper's office that evaluated a theoretical scenario on how intelligence could be used to overcome a loss of the United States' technological and innovative edge. The report did not show any actual occurrence of U.S. conducted industrial espionage, and when contacted the Director of National Intelligence office responded with, "the United States—unlike our adversaries—does not steal proprietary corporate information to further private American companies' bottom lines", and that "the Intelligence Community regularly engages in analytic exercises to identify potential future global environments, and how the IC could help the United States Government respond". The report, he said, "is not intended to be, and is not, a reflection of current policy or operations". Former CIA Director Stansfield Turner stated in 1991 "Nevertheless, as we increase emphasis on securing economic intelligence, we will have to spy on the more developed countries-our allies and friends with whom we compete economically-but to whom we turn first for political and military assistance in a crisis. This means that rather than instinctively reaching for human, on-site spying, the United States will want to look to those impersonal technical systems, primarily satellite photography and intercepts". Former CIA Director James Woolsey acknowledged in 2000 that the United States steals economic secrets from foreign firms and their governments "with espionage, with communications, with reconnaissance satellites". He also stated it is "not to provide secrets, technological secrets to American industry." He listed the three reasons as understanding whether sanctions are functioning for countries under sanction, monitoring dual-use technology that could be used to produce or develop weapons of mass destruction, and to spy on bribery to uphold the Foreign Corrupt Practices Act. In 2013 The United States was accused of spying on Brazilian oil company Petrobras. Brazil's President Dilma Rousseff stated that it was tantamount to industrial espionage and had no security justification. In 2014 former US intelligence officer Edward Snowden stated that America's National Security Agency was engaged in industrial espionage and that they spied on German companies that compete with US firms. He also highlighted the fact the NSA uses mobile phone apps such as Angry Birds to gather personal data. In September 2019, security firm Qi An Xin published report linking the CIA to a series of attacks targeting Chinese aviation agencies between 2012 and 2017. Israel's economic espionage in the United States Israel has an active program to gather proprietary information within the United States. These collection activities are primarily directed at obtaining information on military systems and advanced computing applications that can be used in Israel's sizable armaments industry. Israel was accused by the US government of selling US military technology and secrets to China. In 2014 American counter-intelligence officials told members of the House Judiciary and Foreign Affairs committees that Israel's current espionage activities in America are "unrivaled". Use of computers and the Internet Personal computers Computers have become key in exercising industrial espionage due to the enormous amount of information they contain and the ease at which it can be copied and transmitted. The use of computers for espionage increased rapidly in the 1990s. Information has commonly been stolen by individuals posing as subsidiary workers, such as cleaners or repairmen, gaining access to unattended computers and copying information from them. Laptops were, and still are, a prime target, with those traveling abroad on business being warned not to leave them for any period of time. Perpetrators of espionage have been known to find many ways of conning unsuspecting individuals into parting, often only temporarily, from their possessions, enabling others to access and steal information. A "bag-op" refers to the use of hotel staff to access data, such as through laptops, in hotel rooms. Information may be stolen in transit, in taxis, at airport baggage counters, baggage carousels, on trains and so on. The Internet The rise of the internet and computer networks has expanded the range and detail of information available and the ease of access for the purpose of industrial espionage. This type of operation is generally identified as state backed or sponsored, because the "access to personal, financial or analytic resources" identified exceed that which could be accessed by cybercriminals or individual hackers. Sensitive military or defense engineering or other industrial information may not have immediate monetary value to criminals, compared with, say, bank details. Analysis of cyberattacks suggests deep knowledge of networks, with targeted attacks, obtained by numerous individuals operating in a sustained organized way. Opportunities for sabotage The rising use of the internet has also extended opportunities for industrial espionage with the aim of sabotage. In the early 2000s, it was noticed that energy companies were increasingly coming under attack from hackers. Energy power systems, doing jobs like monitoring power grids or water flow, once isolated from the other computer networks, were now being connected to the internet, leaving them more vulnerable, having historically few built-in security features. The use of these methods of industrial espionage have increasingly become a concern for governments, due to potential attacks by terrorist groups or hostile foreign governments. Malware One of the means of perpetrators conducting industrial espionage is by exploiting vulnerabilities in computer software. Malware and spyware are "tool[s] for industrial espionage", in "transmitting digital copies of trade secrets, customer plans, future plans and contacts". Newer forms of malware include devices which surreptitiously switch on mobile phones camera and recording devices. In attempts to tackle such attacks on their intellectual property, companies are increasingly keeping important information off network, leaving an "air gap", with some companies building Faraday cages to shield from electromagnetic or cellphone transmissions. Distributed denial of service (DDoS) attack The distributed denial of service (DDoS) attack uses compromised computer systems to orchestrate a flood of requests on the target system, causing it to shut down and deny service to other users. It could potentially be used for economic or industrial espionage with the purpose of sabotage. This method was allegedly utilized by Russian secret services, over a period of two weeks on a cyberattack on Estonia in May 2007, in response to the removal of a Soviet era war memorial. Notable cases France and the United States Between 1987 and 1989, IBM and Texas Instruments were thought to have been targeted by French spies with the intention of helping France's Groupe Bull. In 1993, U.S. aerospace companies were also thought to have been targeted by French interests. During the early 1990s, France was described as one of the most aggressive pursuers of espionage to garner foreign industrial and technological secrets. France accused the U.S. of attempting to sabotage its high tech industrial base. The government of France has been alleged to have conducted ongoing industrial espionage against American aerodynamics and satellite companies. Volkswagen In 1993, car manufacturer Opel, the German division of General Motors, accused Volkswagen of industrial espionage after Opel's chief of production, Jose Ignacio Lopez, and seven other
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loss of the United States' technological and innovative edge. The report did not show any actual occurrence of U.S. conducted industrial espionage, and when contacted the Director of National Intelligence office responded with, "the United States—unlike our adversaries—does not steal proprietary corporate information to further private American companies' bottom lines", and that "the Intelligence Community regularly engages in analytic exercises to identify potential future global environments, and how the IC could help the United States Government respond". The report, he said, "is not intended to be, and is not, a reflection of current policy or operations". Former CIA Director Stansfield Turner stated in 1991 "Nevertheless, as we increase emphasis on securing economic intelligence, we will have to spy on the more developed countries-our allies and friends with whom we compete economically-but to whom we turn first for political and military assistance in a crisis. This means that rather than instinctively reaching for human, on-site spying, the United States will want to look to those impersonal technical systems, primarily satellite photography and intercepts". Former CIA Director James Woolsey acknowledged in 2000 that the United States steals economic secrets from foreign firms and their governments "with espionage, with communications, with reconnaissance satellites". He also stated it is "not to provide secrets, technological secrets to American industry." He listed the three reasons as understanding whether sanctions are functioning for countries under sanction, monitoring dual-use technology that could be used to produce or develop weapons of mass destruction, and to spy on bribery to uphold the Foreign Corrupt Practices Act. In 2013 The United States was accused of spying on Brazilian oil company Petrobras. Brazil's President Dilma Rousseff stated that it was tantamount to industrial espionage and had no security justification. In 2014 former US intelligence officer Edward Snowden stated that America's National Security Agency was engaged in industrial espionage and that they spied on German companies that compete with US firms. He also highlighted the fact the NSA uses mobile phone apps such as Angry Birds to gather personal data. In September 2019, security firm Qi An Xin published report linking the CIA to a series of attacks targeting Chinese aviation agencies between 2012 and 2017. Israel's economic espionage in the United States Israel has an active program to gather proprietary information within the United States. These collection activities are primarily directed at obtaining information on military systems and advanced computing applications that can be used in Israel's sizable armaments industry. Israel was accused by the US government of selling US military technology and secrets to China. In 2014 American counter-intelligence officials told members of the House Judiciary and Foreign Affairs committees that Israel's current espionage activities in America are "unrivaled". Use of computers and the Internet Personal computers Computers have become key in exercising industrial espionage due to the enormous amount of information they contain and the ease at which it can be copied and transmitted. The use of computers for espionage increased rapidly in the 1990s. Information has commonly been stolen by individuals posing as subsidiary workers, such as cleaners or repairmen, gaining access to unattended computers and copying information from them. Laptops were, and still are, a prime target, with those traveling abroad on business being warned not to leave them for any period of time. Perpetrators of espionage have been known to find many ways of conning unsuspecting individuals into parting, often only temporarily, from their possessions, enabling others to access and steal information. A "bag-op" refers to the use of hotel staff to access data, such as through laptops, in hotel rooms. Information may be stolen in transit, in taxis, at airport baggage counters, baggage carousels, on trains and so on. The Internet The rise of the internet and computer networks has expanded the range and detail of information available and the ease of access for the purpose of industrial espionage. This type of operation is generally identified as state backed or sponsored, because the "access to personal, financial or analytic resources" identified exceed that which could be accessed by cybercriminals or individual hackers. Sensitive military or defense engineering or other industrial information may not have immediate monetary value to criminals, compared with, say, bank details. Analysis of cyberattacks suggests deep knowledge of networks, with targeted attacks, obtained by numerous individuals operating in a sustained organized way. Opportunities for sabotage The rising use of the internet has also extended opportunities for industrial espionage with the aim of sabotage. In the early 2000s, it was noticed that energy companies were increasingly coming under attack from hackers. Energy power systems, doing jobs like monitoring power grids or water flow, once isolated from the other computer networks, were now being connected to the internet, leaving them more vulnerable, having historically few built-in security features. The use of these methods of industrial espionage have increasingly become a concern for governments, due to potential attacks by terrorist groups or hostile foreign governments. Malware One of the means of perpetrators conducting industrial espionage is by exploiting vulnerabilities in computer software. Malware and spyware are "tool[s] for industrial espionage", in "transmitting digital copies of trade secrets, customer plans, future plans and contacts". Newer forms of malware include devices which surreptitiously switch on mobile phones camera and recording devices. In attempts to tackle such attacks on their intellectual property, companies are increasingly keeping important information off network, leaving an "air gap", with some companies building Faraday cages to shield from electromagnetic or cellphone transmissions. Distributed denial of service (DDoS) attack The distributed denial of service (DDoS) attack uses compromised computer systems to orchestrate a flood of requests on the target system, causing it to shut down and deny service to other users. It could potentially be used for economic or industrial espionage with the purpose of sabotage. This method was allegedly utilized by Russian secret services, over a period of two weeks on a cyberattack on Estonia in May 2007, in response to the removal of a Soviet era war memorial. Notable cases France and the United States Between 1987 and 1989, IBM and Texas Instruments were thought to have been targeted by French spies with the intention of helping France's Groupe Bull. In 1993, U.S. aerospace companies were also thought to have been targeted by French interests. During the early 1990s, France was described as one of the most aggressive pursuers of espionage to garner foreign industrial and technological secrets. France accused the U.S. of attempting to sabotage its high tech industrial base. The government of France has been alleged to have conducted ongoing industrial espionage against American aerodynamics and satellite companies. Volkswagen In 1993, car manufacturer Opel, the German division of General Motors, accused Volkswagen of industrial espionage after Opel's chief of production, Jose Ignacio Lopez, and seven other executives moved to Volkswagen. Volkswagen subsequently threatened to sue for defamation, resulting in a four-year legal battle. The case, which was finally settled in 1997, resulted in one of the largest settlements in the history of industrial espionage, with Volkswagen agreeing to pay General Motors $100 million and to buy at least $1 billion of car parts from the company over 7 years, although it did not explicitly apologize for Lopez's behavior. Hilton and Starwood In April 2009, Starwood accused its rival Hilton Worldwide of a "massive" case of industrial espionage. After being acquired by The Blackstone Group, Hilton employed 10 managers and executives from Starwood. Starwood accused Hilton of stealing corporate information relating to its luxury brand concepts, used in setting up its Denizen hotels. Specifically, former head of its luxury brands group, Ron Klein, was accused of downloading "truckloads of documents" from a laptop to his personal email account. Google and Operation Aurora On 13 January 2010, Google announced that operators, from within China, had hacked into their Google China operation, stealing intellectual property and, in particular, accessing the email accounts of human rights activists. The attack was thought to have been part of a more widespread cyber attack on companies within China which has become known as Operation Aurora. Intruders were thought to have launched a zero-day attack, exploiting a weakness in the Microsoft Internet Explorer browser, the malware used being a modification of the trojan "Hydraq". Concerned about the possibility of hackers taking advantage of this previously unknown weakness in Internet Explorer, the governments of Germany and, subsequently France, issued warnings not to use the browser. There was speculation that "insiders" had been involved in the attack, with some Google China employees being denied access to the company's internal networks after the company's announcement. In February 2010, computer experts from the U.S. National Security Agency claimed that the attacks on Google probably originated from two Chinese universities associated with expertise in computer science, Shanghai Jiao Tong University and the Shandong Lanxiang Vocational School, the latter having close links to the Chinese military. Google claimed at least 20 other companies had also been targeted in the cyber attack, said by the London Times, to have been part of an "ambitious and sophisticated attempt to steal secrets from unwitting corporate victims" including "defence contractors, finance and technology companies". Rather than being the work of individuals or organised criminals, the level of sophistication of the attack was thought to have been "more typical of a nation state". Some commentators speculated as to whether the attack was part of what is thought to be a concerted Chinese industrial espionage operation aimed at getting "high-tech information to jump-start China's economy". Critics pointed to what was alleged to be a lax attitude to the intellectual property of foreign businesses in China, letting them operate but then seeking to copy or reverse engineer their technology for the benefit of Chinese "national champions". In Google's case, they may have (also) been concerned about the possible misappropriation of source code or other technology for the benefit of Chinese rival Baidu. In March 2010 Google subsequently decided to cease offering censored results in China, leading to the closing of its Chinese operation. USA v. Lan Lee, et al. The United States charged two former NetLogic Inc. engineers, Lan Lee and Yuefei Ge, of committing economic espionage against TSMC and NetLogic, Inc. A jury acquitted the defendants of the charges with regard to TSMC and deadlocked on the charges with regard to NetLogic. In May 2010, a federal judge dismissed all the espionage charges against the two defendants. The judge ruled that the U.S. government presented no evidence of espionage. Dongxiao Yue and Chordiant Software, Inc. In May 2010, the federal jury convicted Chordiant Software, Inc., a U.S. corporation, of stealing Dongxiao Yue's JRPC technologies and used them in a product called Chordiant Marketing Director. Yue previously filed lawsuits against Symantec Corporation for a similar theft. Concerns of national governments Brazil Revelations from the Snowden documents have provided information to the effect that the United States, notably vis-à-vis the NSA, has been conducting aggressive economic espionage against Brazil. Canadian intelligence has apparently supported U.S. economic espionage efforts. China The Chinese cybersecurity company Qihoo 360 accused Central Intelligence Agency of the United States of an 11-year-long hacking campaign that targeted several industries including aviation organizations, scientific research institutions, petroleum firms, internet companies, and government agencies. United States A 2009 report to the US government, by aerospace and defense company Northrop Grumman, describes Chinese economic espionage as comprising "the single greatest threat to U.S. technology". Blogging on the 2009 cyber attack on Google, Joe Stewart of SecureWorks referred to a "persistent campaign of 'espionage-by-malware' emanating from the People's Republic
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of his birth name was . The exact date of his birth is uncertain, but most sources say it was probably November 11, a date similar to the one that Singer gave to his official biographer Paul Kresh, his secretary Dvorah Telushkin, and Rabbi William Berkowitz. The year 1903 is consistent with the historical events that his brother refers to in their childhood memoirs, including the death of Theodor Herzl. The often-quoted birth date, July 14, 1904 was made up by the author in his youth, possibly to make himself younger to avoid the draft. His father was a Hasidic rabbi and his mother, Bathsheba, was the daughter of the rabbi of Biłgoraj. Singer later used her first name in an initial literary pseudonym, Izaak Baszewis, which he later expanded. Both his older siblings, sister Esther Kreitman (1891–1954) and brother Israel Joshua Singer (1893–1944), became writers as well. Esther was the first of the family to write stories. The family moved to the court of the Rabbi of Radzymin in 1907, where his father became head of the Yeshiva. After the Yeshiva building burned down in 1908, the family moved to Warsaw, a flat at Krochmalna Street 10. In the spring of 1914, the Singers moved to No. 12. The street where Singer grew up was located in the impoverished, Yiddish-speaking Jewish quarter of Warsaw. There his father served as a rabbi, and was called on to be a judge, arbitrator, religious authority and spiritual leader in the Jewish community. The unique atmosphere of pre-war Krochmalna Street can be found both in the collection of Varshavsky-stories, which tell stories from Singer's childhood, as well as in those novels and stories which take place in pre-war Warsaw. World War I In 1917, because of the hardships of World War I, the family split up. Singer moved with his mother and younger brother Moshe to his mother's hometown of Biłgoraj, a traditional shtetl, where his mother's brothers had followed his grandfather as rabbis. When his father became a village rabbi again in 1921, Singer returned to Warsaw. He entered the Tachkemoni Rabbinical Seminary and soon decided that neither the school nor the profession suited him. He returned to Biłgoraj, where he tried to support himself by giving Hebrew lessons, but soon gave up and joined his parents, considering himself a failure. In 1923, his older brother Israel Joshua arranged for him to move to Warsaw to work as a proofreader for the Jewish magazine , of which the brother was an editor. United States In 1935, four years before the Nazi invasion, Singer emigrated from Poland to the United States. He was fearful of the growing threat in neighboring Germany. The move separated the author from his common-law first wife Runia Pontsch and son Israel Zamir (1929–2014); they emigrated to Moscow and then Palestine. The three met again twenty years later in 1955. Singer settled in New York City, where he took up work as a journalist and columnist for The Jewish Daily Forward (), a Yiddish-language newspaper. After a promising start, he became despondent and for some years felt "Lost in America" (title of his 1974 memoir published in Yiddish; published in English in 1981). In 1938, he met Alma Wassermann née Haimann (1907–1996), a German-Jewish refugee from Munich. They married in 1940, and their union seemed to release energy in him; he returned to prolific writing and to contributing to the Forward. In addition to his pen name of "Bashevis", he published under the pen names of "Warszawski" (pron. Varshavsky) during World War II, and "D. Segal". They lived for many years in the Belnord apartment building on Manhattan's Upper West Side. In 1981, Singer delivered a commencement address at the University at Albany, and was presented with an honorary doctorate. Singer died on July 24, 1991, in Surfside, Florida, after suffering a series of strokes. He was buried in Cedar Park Cemetery, Paramus, New Jersey. A street in Surfside, Florida is named Isaac Singer Boulevard in his honor; and so is a city square in Lublin, Poland, and a street in Tel-Aviv. The full academic scholarship for undergraduate students at the University of Miami is also named in his honor. Literary career Singer's first published story "Oyf der elter" ("In Old Age", 1925) won the literary competition of the Literarishe Bletter, where he worked as a proofreader. A reflection of his formative years in "the kitchen of literature" can be found in many of his later works. Singer published his first novel, Satan in Goray, in installments in the literary magazine Globus, which he had co-founded with his lifelong friend, the Yiddish poet Aaron Zeitlin in 1935. It is set in the years following 1648, when the Chmelnicki massacres, considered one of the greatest Jewish catastrophes, occurred. The story describes the Jewish messianic cult that arose in the village of Goraj. It explores the effects of the faraway false messiah, Shabbatai Zvi, on the local population. Its last chapter imitates the style of a medieval Yiddish chronicle. With a stark depiction of innocence crushed by circumstance, the novel appears to foreshadow coming danger. In his later work The Slave (1962), Singer returns to the aftermath of 1648 in a love story between a Jewish man and a gentile woman. He portrays the traumatized and desperate survivors of the historic catastrophe with even deeper understanding. The Family Moskat Singer became a literary contributor to The Jewish Daily Forward only after his older brother Israel died in 1945. That year, Singer published The Family Moskat in his brother's honor. His own style showed in the daring turns of his action and characters, with double adultery during the holiest of nights of Judaism, the evening of Yom Kippur (despite being printed in a Jewish family newspaper in 1945). He was nearly forced to stop writing the novel by his editor-in-chief, Abraham Cahan, but was saved by readers who wanted the story to continue. After this, his stories—which he had published in Yiddish literary newspapers before—were printed in the Forward as well. Throughout the 1940s, Singer's reputation grew. Singer believed in the power of his native language and thought that there was still a large audience, including in New York, who longed to read in Yiddish. In an interview in Encounter (February 1979), he said that although the Jews of Poland had died, "something—call it spirit or whatever—is still somewhere in the universe. This is a mystical kind of feeling, but I feel there is truth in it." Some of his colleagues and readers were shocked by his all-encompassing view of human nature. He wrote about female homosexuality ("Zeitl and Rickel", "Tseytl un Rikl"), published in The Seance and Other Stories), transvestism ("Yentl the Yeshiva Boy" in Short Friday), and of rabbis corrupted by demons ("Zeidlus the Pope" in Short Friday). In those novels and stories which refer to events in his own life, he portrays himself unflatteringly (with some degree of accuracy) as an artist who is self-centered yet has a keen eye for the sufferings and tribulations of others. Literary influences Singer had many literary influences. Besides the religious texts he studied, he grew up with a rich array of Jewish folktales and worldly Yiddish detective-stories about "Max Spitzkopf" and his assistant "Fuchs". He read Russian, including Dostoyevsky's Crime and Punishment at the age of fourteen. He wrote in memoirs about the importance of the Yiddish translations donated in book-crates from America, which he studied as a teenager in Bilgoraj: "I read everything: Stories, novels, plays, essays... I read Rajsen, Strindberg, Don Kaplanowitsch, Turgenev, Tolstoy, Maupassant and Chekhov." He studied the philosophers Spinoza, Arthur Schopenhauer, and Otto Weininger. Among his Yiddish contemporaries, Singer considered his elder brother to be his greatest artistic example. He was also a life-long friend and admirer of the author and poet Aaron Zeitlin. His short stories, which critics feel contain his most lasting contributions, were influenced by Russian Anton Chekhov and French Guy de Maupassant. From Maupassant, Singer developed a finely grained sense of drama. Like those of the French master, Singer's stories can pack enormous visceral excitement in the space of a few pages. From Chekhov, Singer developed his ability to draw characters of enormous complexity and dignity in the briefest of spaces. In the foreword to his personally selected volume of his finest short stories he describes the two aforementioned writers as the greatest masters of the short story form. Of his non-Yiddish-contemporaries, he was strongly
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He was fearful of the growing threat in neighboring Germany. The move separated the author from his common-law first wife Runia Pontsch and son Israel Zamir (1929–2014); they emigrated to Moscow and then Palestine. The three met again twenty years later in 1955. Singer settled in New York City, where he took up work as a journalist and columnist for The Jewish Daily Forward (), a Yiddish-language newspaper. After a promising start, he became despondent and for some years felt "Lost in America" (title of his 1974 memoir published in Yiddish; published in English in 1981). In 1938, he met Alma Wassermann née Haimann (1907–1996), a German-Jewish refugee from Munich. They married in 1940, and their union seemed to release energy in him; he returned to prolific writing and to contributing to the Forward. In addition to his pen name of "Bashevis", he published under the pen names of "Warszawski" (pron. Varshavsky) during World War II, and "D. Segal". They lived for many years in the Belnord apartment building on Manhattan's Upper West Side. In 1981, Singer delivered a commencement address at the University at Albany, and was presented with an honorary doctorate. Singer died on July 24, 1991, in Surfside, Florida, after suffering a series of strokes. He was buried in Cedar Park Cemetery, Paramus, New Jersey. A street in Surfside, Florida is named Isaac Singer Boulevard in his honor; and so is a city square in Lublin, Poland, and a street in Tel-Aviv. The full academic scholarship for undergraduate students at the University of Miami is also named in his honor. Literary career Singer's first published story "Oyf der elter" ("In Old Age", 1925) won the literary competition of the Literarishe Bletter, where he worked as a proofreader. A reflection of his formative years in "the kitchen of literature" can be found in many of his later works. Singer published his first novel, Satan in Goray, in installments in the literary magazine Globus, which he had co-founded with his lifelong friend, the Yiddish poet Aaron Zeitlin in 1935. It is set in the years following 1648, when the Chmelnicki massacres, considered one of the greatest Jewish catastrophes, occurred. The story describes the Jewish messianic cult that arose in the village of Goraj. It explores the effects of the faraway false messiah, Shabbatai Zvi, on the local population. Its last chapter imitates the style of a medieval Yiddish chronicle. With a stark depiction of innocence crushed by circumstance, the novel appears to foreshadow coming danger. In his later work The Slave (1962), Singer returns to the aftermath of 1648 in a love story between a Jewish man and a gentile woman. He portrays the traumatized and desperate survivors of the historic catastrophe with even deeper understanding. The Family Moskat Singer became a literary contributor to The Jewish Daily Forward only after his older brother Israel died in 1945. That year, Singer published The Family Moskat in his brother's honor. His own style showed in the daring turns of his action and characters, with double adultery during the holiest of nights of Judaism, the evening of Yom Kippur (despite being printed in a Jewish family newspaper in 1945). He was nearly forced to stop writing the novel by his editor-in-chief, Abraham Cahan, but was saved by readers who wanted the story to continue. After this, his stories—which he had published in Yiddish literary newspapers before—were printed in the Forward as well. Throughout the 1940s, Singer's reputation grew. Singer believed in the power of his native language and thought that there was still a large audience, including in New York, who longed to read in Yiddish. In an interview in Encounter (February 1979), he said that although the Jews of Poland had died, "something—call it spirit or whatever—is still somewhere in the universe. This is a mystical kind of feeling, but I feel there is truth in it." Some of his colleagues and readers were shocked by his all-encompassing view of human nature. He wrote about female homosexuality ("Zeitl and Rickel", "Tseytl un Rikl"), published in The Seance and Other Stories), transvestism ("Yentl the Yeshiva Boy" in Short Friday), and of rabbis corrupted by demons ("Zeidlus the Pope" in Short Friday). In those novels and stories which refer to events in his own life, he portrays himself unflatteringly (with some degree of accuracy) as an artist who is self-centered yet has a keen eye for the sufferings and tribulations of others. Literary influences Singer had many literary influences. Besides the religious texts he studied, he grew up with a rich array of Jewish folktales and worldly Yiddish detective-stories about "Max Spitzkopf" and his assistant "Fuchs". He read Russian, including Dostoyevsky's Crime and Punishment at the age of fourteen. He wrote in memoirs about the importance of the Yiddish translations donated in book-crates from America, which he studied as a teenager in Bilgoraj: "I read everything: Stories, novels, plays, essays... I read Rajsen, Strindberg, Don Kaplanowitsch, Turgenev, Tolstoy, Maupassant and Chekhov." He studied the philosophers Spinoza, Arthur Schopenhauer, and Otto Weininger. Among his Yiddish contemporaries, Singer considered his elder brother to be his greatest artistic example. He was also a life-long friend and admirer of the author and poet Aaron Zeitlin. His short stories, which critics feel contain his most lasting contributions, were influenced by Russian Anton Chekhov and French Guy de Maupassant. From Maupassant, Singer developed a finely grained sense of drama. Like those of the French master, Singer's stories can pack enormous visceral excitement in the space of a few pages. From Chekhov, Singer developed his ability to draw characters of enormous complexity and dignity in the briefest of spaces. In the foreword to his personally selected volume of his finest short stories he describes the two aforementioned writers as the greatest masters of the short story form. Of his non-Yiddish-contemporaries, he was strongly influenced by the writings of Knut Hamsun, many of whose works he later translated, while he had a more critical attitude towards Thomas Mann, whose approach to writing he considered opposed to his own. Contrary to Hamsun's approach, Singer shaped his world not only with the egos of his characters, but also from Jewish moral tradition embodied by his father in the stories about Singer's youth. There was a dichotomy between the life his heroes lead and the life they feel they should lead—which gives his art a modernity his predecessors did not express. His themes of witchcraft, mystery and legend draw on traditional sources, but they are contrasted with a modern and ironic consciousness. They are also concerned with the bizarre and the grotesque. An important strand of his art is intra-familial strife, which he experienced when taking refuge with his mother and younger brother at his uncle's home in Biłgoraj. This is the central theme in Singer's family chronicles such as The Family Moskat (1950), The Manor (1967), and The Estate (1969). Some critics believe these show the influence of Thomas Mann's novel Buddenbrooks; Singer had translated Mann's Der Zauberberg (The Magic Mountain) into Yiddish as a young writer. Language Singer always wrote and published in Yiddish. His novels were serialized in newspapers, which also published his short stories. He edited his novels and stories for publication in English, which was used as the basis for translation into other languages. He referred to his English versions as his "second original". This has led to an ongoing controversy whether the "real Singer" is the Yiddish original, with its finely tuned language and sometimes rambling construction, or in the more tightly edited American versions, where the language is usually simpler and more direct. Many of Singer's stories and novels have not yet been translated. Illustrators The artists who have illustrated Singer's novels, short stories, and children's books, include Raphael Soyer, Maurice Sendak, Larry Rivers, and Irene Lieblich. Singer personally selected Lieblich to illustrate two of his books for children, A Tale of Three Wishes and The Power of Light: Eight Stories for Hanukkah, after seeing her paintings at an Artists Equity exhibition in New York City. A Holocaust survivor, Lieblich was from Zamosc, Poland, a town adjacent to the area where Singer was raised. As their memories of shtetl life were so similar, Singer found Lieblich's images ideally suited to illustrate his texts. Of her style, Singer wrote that "her works are rooted in Jewish folklore and are faithful to Jewish life and the Jewish spirit." Summary Singer published at least 18 novels, 14 children's books, a number of memoirs, essays and articles. He is best known as a writer of short stories, which have been published in more than a dozen collections. The first collection of Singer's short stories in English, Gimpel the Fool, was published in 1957. The title story was translated by Saul Bellow and published in May 1953 in the Partisan Review. Selections from Singer's "Varshavsky-stories" in the Daily Forward were later published in anthologies such as My Father's Court (1966). Later collections include A Crown of Feathers (1973), with notable masterpieces in between, such as The Spinoza of Market Street (1961) and A Friend of Kafka (1970). His stories and novels reflect the world of the East European Jewry in which he grew up. After his many years in America, his stories also portrayed the world of the immigrants and their pursuit of an elusive American dream, which seems always beyond reach. Prior to Singer's winning the Nobel Prize, English translations of dozens of his stories were published in popular magazines such as Playboy and Esquire that published literary works. Throughout the 1960s, Singer continued to write about questions of personal morality. Because of the controversial aspects of his plots, he was a target of scathing criticism from many quarters, some of it for not being "moral" enough, some for writing stories that no one wanted to hear. To his critics, he replied, "Literature must spring from the past, from the love of the uniform force that wrote it, and not from the uncertainty of the future." Singer was awarded the Nobel Prize in 1978. Between 1981 and 1989, Singer contributed articles to Moment Magazine, an
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refers to the Second Coming, or the return to life of a given past historical figure after that person's physical death. Shia believe that before the Day of Judgement, Muhammad al-Mahdi will return with a group of chosen companions. This return is more properly known as zuhur or 'appearance,' as the Hidden Imam is believed to have remained alive during his period of occultation, since the year 874. The return of these historical figures will signify the beginning of the Last Judgment. The purpose of this return is to establish justice for those who were oppressed in their lifetime up until their death: the oppressors are punished directly by the oppressed during this future reappearance. Some Sunni scholars do believe in Raj’a, citing the return of numerous people, such as the Seven Sleepers, synchronous with the appearance of the Mahdi. According to Jalaluddin Al-Sayuti, in contrast to Shia belief, the return of Muhammad is not limited to a specific time in the future. Al-Sayuti did not mention if any other religious figures will return after death before the resurrection. According to Abu 'Abdullah Al-Qurtubi, raj`a is understood to be the lack of physical presence of a prophet, who marks his apparent death by absence in the physical world but will reappear, from time to time, to those who are pure in heart. Isa Isa is the Arabic name for Jesus, and his return is considered the third major sign of the last days (the second being the appearance of Jesus's nemesis Masih ad-Dajjal). Although Muhammad is the preeminent prophet in Islam, Jesus is mentioned in the Quran, and so is Idris (Enoch), who is said not to have died but to have been raised up by God. Thus, in accordance with post-Quranic hadith, Jesus conceivably will return to Earth as a just judge before the Day of Judgment. As written in hadith: Hadith reference both the Mahdi and Isa simultaneously and the return of the Mahdi will coincide with the return of Isa, who will descend from the heavens in al-Quds at dawn. The two will meet, and the Mahdi will lead the people in fajr prayer. After the prayer, they will open a gate to the west and encounter Masih ad-Dajjal. After the defeat of ad-Dajjal, Isa will lead a peaceful forty-year reign until his death. He will be buried in a tomb beside Muhammad in Medina. Though the two certainly differ regarding their role and persona in Islamic eschatology, the figures of the Mahdi and Isa are ultimately inseparable, according to Muhammad. Though Isa is said to descend upon the world once again, the Mahdi will already be present. What will be your reaction when the son of Mary (Jesus) descends and your Imam is from among yourselves? (Sahih Muslim, bab nuzul 'isa, Vol. 2; Sahih Bukhari, kitab bad' al-khalq wa nuzul 'isa, Vol. 4) Resurrection and final judgement The resurrection and final judgement are fundamental beliefs in Islam. According to the Quran, without them, the creation of humanity would be in vain. Thus the Day of Judgment, al-Qiyāmah, (also known as the Day of Reckoning or Resurrection, the Last Day, or the Hour) is one of the six articles of faith in Sunni Islam, and one of seven in Shia Islam. It is believed in Islam that the Qur'an states Allah will resurrect everyone from their graves on the day of judgement. It is believed that the time is coming and that there shall be no doubt that Allah will do as promised. Just as Allah created the people, they will be brought back to the same form. Allah will double the deeds of his most faithful servants. Major events Kaaba destruction and the beast of the earth Before doomsday, an Abyssinian, with short legs, will attack Mecca and destroy the Kaaba. Another sign is the appearance of the da'ba-tul-ard, or the Beast of the Earth. The entire world will be engulfed by dukhan or smoke, for forty days, and there will be three huge earthquakes. The Quran will be taken to heaven and even the huffaz will not recall its verses. Finally, a pleasant breeze will blow that shall cause all believers to die, but infidels and sinners will remain alive. A fire will start, from Hadramawt in Yemen, that will gather all the people of the world in the land of Mahshar, and al-Qiyamah will commence. Resurrection of the dead In the Quran, barzakh () is the intermediate state for the soul, until the day of resurrection. The eighth sign is a breeze bearing a pleasant scent, which will emanate from Yemen, causing the awliya, sulaha and the pious to die peacefully once they inhale it. The ninth sign is the rising of the sun from the west after a long night. After midday, the sun will set again. According to hadith:The final signs will be nafkhatu'l-ula, when a trumpet will be sounded for the first time, and which will result in the death of the remaining sinners. Then there will be a period of forty years, after which the eleventh sign is the sounding of a second trumpet to signal the resurrection as ba'as ba'da'l-mawt. As written in the Quran: All will be naked and running to the Place of Gathering, while the enemies of God will be travelling on their faces with their legs upright. Finally, there will be no more injustice: Separation of the righteous and the damned At divine judgment, each person's Book of Deeds will be read, in which "every small and great thing is recorded," but with actions before adolescence omitted. Records shall be given with the right hand if they are good, and the left if they are evil. Even the smallest acts will not be ignored: This will be followed by perfect, divine, and merciful justice. The age of the hereafter, or the rest of eternity, is the final stage after the Day of Judgment, when all will receive their judgment from God. The dead will stand in a grand assembly, awaiting a scroll detailing their righteous deeds, sinful acts, and ultimate judgment. Muhammad will be the first to be resurrected. According to ancient belief, God will descend to Mount Moriah, where he will judge souls. The complex of the Haram al-Sharif in Jerusalem, built under the Umayyad Caliph 'Abd al-Malik (r. 685–705), might thus be interpreted as a reminder of the approaching Last Judgement. If one did good deeds, one would go to Jannah, and if unrighteous, would go to Jahannam. Punishments will include adhab, or severe pain, and khizy or shame. There will also be a punishment of the grave (for those who disbelieved) between death and the resurrection. Resurrection theories Although Islamic philosophers and scholars were in general agreement on a bodily resurrection after death, interpretations differ in regard to the specifications of bodily resurrection. Some of the theories are the following: The return to the same material body, someone had during lifetime, that will be restored. Conjunction of the soul with a Mithali body, which is congenial to the worlds of Barzakh and the Akhirah. Resurrection with a Hurqaliyati body, accordingly a second invisible body, that survives death. Eschatological views in the early Muslim period One of the primary beliefs pertaining to Islamic eschatology during the Early Muslim Period was that all humans could receive God's mercy and were worthy of salvation. These early depictions even show how small, insignificant deeds were enough to warrant mercy. Most early depictions of the end of days depict only those who reject Tawhid, the concept of monotheism, are subject to eternal punishment. However, everybody is held responsible for their own actions. Concepts of rewards and punishments were seen as beyond this world, a view that is also held today. Limbo Theory of Islam In terms of classical Islam, the Limbo Theory of Islam, as described by Jane Smith and Yvonne Haddad, implies that some individuals are not immediately sent to the afterlife, but are held in a state of limbo. The fate awaiting all people after their death is either the Gardens, heaven, or the Fire, hell. Traditional interpretations agree that, at minimum, these are two of the possible fates that await the dead. However, some have interpreted 7:46, "And there will be a veil between them. And upon the Heights are men who know all by their marks. They will call out to the inhabitants of the Garden, 'peace be upon you!' They will not have entered it, though they hope". Some have taken the mention of this veil between heaven and hell as an allusion to there being individuals who are not immediately sent to their ultimate destination. The Current Existence of the Afterlife There was considerable debate regarding whether heaven and hell exists at the current moment. The Mu'tazila argued that heaven and hell both cannot exist until the trumpet blasts that bring in the end times occurs, as the Quran states that once the trumpet sounds, all except God will be destroyed. However, the Ash'ariya argued that although the trumpet's sounding will precede all being destroyed, creation was a constant process. Furthermore, as Adam and Eve once resided in the Garden of Eden, the garden already exists. Also, hadith reports pertaining to the Night Journey state that Muhammad saw visions of both destinations and creatures inhabiting it. Thus, heaven and hell are usually regarded as coexisting with the current world. The Concept of Eternity In Classical Islam, there was a consensus among the theological community regarding the finality of the Gardens; faithful servants of God would find themselves in this heaven for eternity. However, some practitioners in the early Muslim community held a concept that stated that hell may not be eternal in and of itself. These views were based upon interpretations that viewed the upper levels of Hell as only lasting for as long as God deemed necessary. Once Muslims had their sins purged, these levels would be closed. These interpretations are centered on verses 11:106-107 in the Quran, stating, "As for those who are wretched, they shall be in the Fire, wherein there shall be for them groaning and wailing, abiding therein for so long as the heavens and the earth endure, save as thy Lord wills. Surely thy Lord does whatsoever He wills". To this end, the Quran itself gives a conflicting account of Hell, stating that Hell will endure as long as Heaven will, which has been established as eternal, but also the Quran maintains the possibility that God may yet commute a sentence to Hell. In a sense, these levels of Hell were interpreted to have a similar function as Purgatory in Christianity, with the exception to this comparison being that Hell in this context is for the punishment of the sinner's complete body, as opposed to the only the soul being punished in Purgatory. Arguments questioning the permanence of Hell take the view that Hell is not necessarily solely there to punish the evil, but to purify their souls. To clarify, the Garden is the reward while the Fire is for purification. Gender and Islamic Eschatology Eschatological beliefs in Islam do not tend to distinguish the afterlife on the basis of gender. Amina Wadud discusses Hell and Paradise in her book "Qur'an and Woman" very briefly. Wadud mentions that the Qur'an does not mention any specific gender when talking about Hell. All genders have an equal chance and consequence to experience hell and one is not over the other. The Qur'an 43:74-76 states that "the guilty are immortal in hell's torment," not he or she. It is directed to the individual and "the basis of faith and deeds," not gender. This is consistent in the Qur'an. Amina Wadud goes on to discuss paradise, and how the Quran describes it with such detail in order to "entice" the readers and make it sound pleasing. Wadud states what the Quran says about good earthly things, and eternal things which includes women. 3:14-15 states "Beautiful of mankind is love of the joys (that come) from women and offspring..." Predestination Traditional Islam teaches predestination for both good and evil, and that everything that has happened and will happen has already been determined. Free will and predestination have been discussed by many Muslim theologians; but the believers in free will, also known as al-qadariyya, have been overruled. Muhammad expressed predestination multiple times during his mission. Death is also seen as a homecoming. When people visit tombs, they are having a specific spiritual routine. The correct way to visit someones tomb is to recite parts of the Quran and pray for the deceased. The fate of non-Muslims Abu Hamid al-Ghazali categorized non-Muslims into three categories: 1. People who never heard of the message, who live in far away lands, such as the Byzantines ("Romans".) These will be forgiven. 2. People who were exposed to a distorted understanding of Islam and have no recourse to correct that information. These too will be forgiven. 3. People who heard of Islam because they live in neighboring lands and mix with Muslims. These have no hope of salvation. Although many argue that anybody who thinks logically would eventually find that there is only one true, all-powerful God, however, others argue that if one has never received the message, they are not liable for not following it. This debate has been going on for centuries, however several Muslim theologicians agree that Islam is the only path, no other religion, even the other Abrahamic faiths, are proper paths to salvation. Although the Quran acknowledges the Bible as gospel, rejecting Muhammad and his message is seen as a rejection of salvation by them. The fate of Jews The Quran makes a variety of statements on the state of the Jewish community, praising their dedication to monotheism in one line and criticizing their rejection of Muhammad the next. An example of a line criticizing the Jews can be found at 5:60-61: "Say, 'Shall I inform you of something worse than that by way of recompense from God? Whomsoever God has cursed and upon whom is His Wrath, and among whom He has made some to be apes and swine, and who worship false deities,
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will return to Earth as a just judge before the Day of Judgment. As written in hadith: Hadith reference both the Mahdi and Isa simultaneously and the return of the Mahdi will coincide with the return of Isa, who will descend from the heavens in al-Quds at dawn. The two will meet, and the Mahdi will lead the people in fajr prayer. After the prayer, they will open a gate to the west and encounter Masih ad-Dajjal. After the defeat of ad-Dajjal, Isa will lead a peaceful forty-year reign until his death. He will be buried in a tomb beside Muhammad in Medina. Though the two certainly differ regarding their role and persona in Islamic eschatology, the figures of the Mahdi and Isa are ultimately inseparable, according to Muhammad. Though Isa is said to descend upon the world once again, the Mahdi will already be present. What will be your reaction when the son of Mary (Jesus) descends and your Imam is from among yourselves? (Sahih Muslim, bab nuzul 'isa, Vol. 2; Sahih Bukhari, kitab bad' al-khalq wa nuzul 'isa, Vol. 4) Resurrection and final judgement The resurrection and final judgement are fundamental beliefs in Islam. According to the Quran, without them, the creation of humanity would be in vain. Thus the Day of Judgment, al-Qiyāmah, (also known as the Day of Reckoning or Resurrection, the Last Day, or the Hour) is one of the six articles of faith in Sunni Islam, and one of seven in Shia Islam. It is believed in Islam that the Qur'an states Allah will resurrect everyone from their graves on the day of judgement. It is believed that the time is coming and that there shall be no doubt that Allah will do as promised. Just as Allah created the people, they will be brought back to the same form. Allah will double the deeds of his most faithful servants. Major events Kaaba destruction and the beast of the earth Before doomsday, an Abyssinian, with short legs, will attack Mecca and destroy the Kaaba. Another sign is the appearance of the da'ba-tul-ard, or the Beast of the Earth. The entire world will be engulfed by dukhan or smoke, for forty days, and there will be three huge earthquakes. The Quran will be taken to heaven and even the huffaz will not recall its verses. Finally, a pleasant breeze will blow that shall cause all believers to die, but infidels and sinners will remain alive. A fire will start, from Hadramawt in Yemen, that will gather all the people of the world in the land of Mahshar, and al-Qiyamah will commence. Resurrection of the dead In the Quran, barzakh () is the intermediate state for the soul, until the day of resurrection. The eighth sign is a breeze bearing a pleasant scent, which will emanate from Yemen, causing the awliya, sulaha and the pious to die peacefully once they inhale it. The ninth sign is the rising of the sun from the west after a long night. After midday, the sun will set again. According to hadith:The final signs will be nafkhatu'l-ula, when a trumpet will be sounded for the first time, and which will result in the death of the remaining sinners. Then there will be a period of forty years, after which the eleventh sign is the sounding of a second trumpet to signal the resurrection as ba'as ba'da'l-mawt. As written in the Quran: All will be naked and running to the Place of Gathering, while the enemies of God will be travelling on their faces with their legs upright. Finally, there will be no more injustice: Separation of the righteous and the damned At divine judgment, each person's Book of Deeds will be read, in which "every small and great thing is recorded," but with actions before adolescence omitted. Records shall be given with the right hand if they are good, and the left if they are evil. Even the smallest acts will not be ignored: This will be followed by perfect, divine, and merciful justice. The age of the hereafter, or the rest of eternity, is the final stage after the Day of Judgment, when all will receive their judgment from God. The dead will stand in a grand assembly, awaiting a scroll detailing their righteous deeds, sinful acts, and ultimate judgment. Muhammad will be the first to be resurrected. According to ancient belief, God will descend to Mount Moriah, where he will judge souls. The complex of the Haram al-Sharif in Jerusalem, built under the Umayyad Caliph 'Abd al-Malik (r. 685–705), might thus be interpreted as a reminder of the approaching Last Judgement. If one did good deeds, one would go to Jannah, and if unrighteous, would go to Jahannam. Punishments will include adhab, or severe pain, and khizy or shame. There will also be a punishment of the grave (for those who disbelieved) between death and the resurrection. Resurrection theories Although Islamic philosophers and scholars were in general agreement on a bodily resurrection after death, interpretations differ in regard to the specifications of bodily resurrection. Some of the theories are the following: The return to the same material body, someone had during lifetime, that will be restored. Conjunction of the soul with a Mithali body, which is congenial to the worlds of Barzakh and the Akhirah. Resurrection with a Hurqaliyati body, accordingly a second invisible body, that survives death. Eschatological views in the early Muslim period One of the primary beliefs pertaining to Islamic eschatology during the Early Muslim Period was that all humans could receive God's mercy and were worthy of salvation. These early depictions even show how small, insignificant deeds were enough to warrant mercy. Most early depictions of the end of days depict only those who reject Tawhid, the concept of monotheism, are subject to eternal punishment. However, everybody is held responsible for their own actions. Concepts of rewards and punishments were seen as beyond this world, a view that is also held today. Limbo Theory of Islam In terms of classical Islam, the Limbo Theory of Islam, as described by Jane Smith and Yvonne Haddad, implies that some individuals are not immediately sent to the afterlife, but are held in a state of limbo. The fate awaiting all people after their death is either the Gardens, heaven, or the Fire, hell. Traditional interpretations agree that, at minimum, these are two of the possible fates that await the dead. However, some have interpreted 7:46, "And there will be a veil between them. And upon the Heights are men who know all by their marks. They will call out to the inhabitants of the Garden, 'peace be upon you!' They will not have entered it, though they hope". Some have taken the mention of this veil between heaven and hell as an allusion to there being individuals who are not immediately sent to their ultimate destination. The Current Existence of the Afterlife There was considerable debate regarding whether heaven and hell exists at the current moment. The Mu'tazila argued that heaven and hell both cannot exist until the trumpet blasts that bring in the end times occurs, as the Quran states that once the trumpet sounds, all except God will be destroyed. However, the Ash'ariya argued that although the trumpet's sounding will precede all being destroyed, creation was a constant process. Furthermore, as Adam and Eve once resided in the Garden of Eden, the garden already exists. Also, hadith reports pertaining to the Night Journey state that Muhammad saw visions of both destinations and creatures inhabiting it. Thus, heaven and hell are usually regarded as coexisting with the current world. The Concept of Eternity In Classical Islam, there was a consensus among the theological community regarding the finality of the Gardens; faithful servants of God would find themselves in this heaven for eternity. However, some practitioners in the early Muslim community held a concept that stated that hell may not be eternal in and of itself. These views were based upon interpretations that viewed the upper levels of Hell as only lasting for as long as God deemed necessary. Once Muslims had their sins purged, these levels would be closed. These interpretations are centered on verses 11:106-107 in the Quran, stating, "As for those who are wretched, they shall be in the Fire, wherein there shall be for them groaning and wailing, abiding therein for so long as the heavens and the earth endure, save as thy Lord wills. Surely thy Lord does whatsoever He wills". To this end, the Quran itself gives a conflicting account of Hell, stating that Hell will endure as long as Heaven will, which has been established as eternal, but also the Quran maintains the possibility that God may yet commute a sentence to Hell. In a sense, these levels of Hell were interpreted to have a similar function as Purgatory in Christianity, with the exception to this comparison being that Hell in this context is for the punishment of the sinner's complete body, as opposed to the only the soul being punished in Purgatory. Arguments questioning the permanence of Hell take the view that Hell is not necessarily solely there to punish the evil, but to purify their souls. To clarify, the Garden is the reward while the Fire is for purification. Gender and Islamic Eschatology Eschatological beliefs in Islam do not tend to distinguish the afterlife on the basis of gender. Amina Wadud discusses Hell and Paradise in her book "Qur'an and Woman" very briefly. Wadud mentions that the Qur'an does not mention any specific gender when talking about Hell. All genders have an equal chance and consequence to experience hell and one is not over the other. The Qur'an 43:74-76 states that "the guilty are immortal in hell's torment," not he or she. It is directed to the individual and "the basis of faith and deeds," not gender. This is consistent in the Qur'an. Amina Wadud goes on to discuss paradise, and how the Quran describes it with such detail in order to "entice" the readers and make it sound pleasing. Wadud states what the Quran says about good earthly things, and eternal things which includes women. 3:14-15 states "Beautiful of mankind is love of the joys (that come) from women and offspring..." Predestination Traditional Islam teaches predestination for both good and evil, and that everything that has happened and will happen has already been determined. Free will and predestination have been discussed by many Muslim theologians; but the believers in free will, also known as al-qadariyya, have been overruled. Muhammad expressed predestination multiple times during his mission. Death is also seen as a homecoming. When people visit tombs, they are having a specific spiritual routine. The correct way to visit someones tomb is to recite parts of the Quran and pray for the deceased. The fate of non-Muslims Abu Hamid al-Ghazali categorized non-Muslims into three categories: 1. People who never heard of the message, who live in far away lands, such as the Byzantines ("Romans".) These will be forgiven. 2. People who were exposed to a distorted understanding of Islam and have no recourse to correct that information. These too will be forgiven. 3. People who heard of Islam because they live in neighboring lands and mix with Muslims. These have no hope of salvation. Although many argue that anybody who thinks logically would eventually find that there is only one true, all-powerful God, however, others argue that if one has never received the message, they are not liable for not following it. This debate has been going on for centuries, however several Muslim theologicians agree that Islam is the only path, no other religion, even the other Abrahamic faiths, are proper paths to salvation. Although the Quran acknowledges the Bible as gospel, rejecting Muhammad and his message is seen as a rejection of salvation by them. The fate of Jews The Quran makes a variety of statements on the state of the Jewish community, praising their dedication to monotheism in one line and criticizing their rejection of Muhammad the next. An example of a line criticizing the Jews can be found at 5:60-61: "Say, 'Shall I inform you of something worse than that by way of recompense from God? Whomsoever God has cursed and upon whom is His Wrath, and among whom He has made some to be apes and swine, and who worship false deities, such are in a worse situation, and further astray from the right way.' When they come to you, they say, 'We believe.' But they are certainly entered with disbelief and they have certainly left with it, and God knows best what they were concealing. Thou seest many of them hastening to sin and enmity and consuming what is forbidden. Evil indeed is that which they were doing.". Another example is 5:64: "The Jews say, 'God's Hand is shackled.' Shackled are their hands, and they are cursed for what they say. Nay, but
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created Iblis from, which necessarily implies that Iblis is outside of the meaning of [angel], for it is possible that He created a category of His angels, among whom was Iblis, from fire, and even that Iblis was unique in that He created him, and no other angels of His, from the fire of the Samum. Likewise, he cannot be excluded from being an angel by fact that he had progeny or offspring, because passion and lust, from which the other angels were free, was compounded in him when God willed disobedience in him. As for God's statement that he was < one of the jinn>, it is not to be rejected that everything which hides itself (ijtanna) from the sight is a 'Jinn', as stated before, and Iblis and the angels should then be among them because they hide themselves from the eyes of the sons of Adam." A contrary opinion was reported from Hasan of Basra, Shi'ite Imam Ja'far al-Sadiq, Fakhr al-Din al-Razi, Ibn Taimiyya and Ibn Kathir, who rejected the idea what Iblis had been once an angel or a unique creature, regarding Iblis to be a jinn instead. Among contemporary scholars this view is also shared by Muhammad Al-Munajjid, who promulgated his view on IslamQA.info and Umar Sulaiman Al-Ashqar, well known for rejecting much of earlier exegtical traditions, in his famous Islamic Creed Series. Ibn Kathir explained Iblis' refusal as a jinn in his tafsir as follows: "When Allah commanded the angels to prostrate before Adam, Iblis was included in this command. Although Iblis was not an angel, he was trying - and pretending - to imitate the angels' behavior and deeds, and this is why he was also included in the command to the angels to prostrate before Adam. Satan was criticized for defying that command, (. . .) (So they prostrated themselves except Iblis. He was one of the Jinn;) meaning, his original nature betrayed him. He had been created from smokeless fire, whereas the angels had been created from light, (. . .) When matters crucial every vessel leaks that which to contains and is betrayed by its true nature. Iblis used to do, what the angels did and resembled them in their devotion and worship, so he was included when they were addressed, but he disobeyed and went what he was told to do. So Allah points out here that he was one of the Jinn, he was created from fire, as He says elsewhere." As an angel As an angel, Iblis is described as an archangel, the leader and Imam (teacher) of the other angels, and a guardian of heaven. At the same time, he was the closest to the Throne of God. God gave him authority over the lower heavens and the earth. Iblis is also considered the leader of those angels who battled the earthly jinn. Therefore, Iblis and his army drove the jinn to the edge of the world, Mount Qaf. Knowing about the corruption of the former earthen inhabitants, Iblis protested, when he was instructed to prostrate himself before the new earthen inhabitant, that is Adam. He assumed that the angels who praise God's glory day and night are superior in contrast to the mud-made humans and their bodily flaws. He even regarded himself superior in comparison to the other angels, since he was (one of those) created from fire. However, he was degraded and sentenced to hell (Sijjin), by God for his arrogance. But Iblis requested to redeem himself by proving that he is right and leading humans into sin. Therefore, God makes him a tempter for humanity as long as his punishment endures. Since, according to , Iblis is cursed until Day of Judgement, some writers considered Iblis being redeemable after the world perished. Furthermore, the transformation of Iblis from angelic into demonic is a reminder of God's capacity to reverse injustice even on an ontological level. It is both a warning and a reminder that the special gifts given by God can also be taken away by Him. As a Jinn On the other hand, Iblis is commonly placed as one of the Jinn, who lived on earth during the battle of the angels. When the angels took prisoners, Iblis was one of them and carried them to heaven. Since he, unlike the other jinn, was pious, the angels were impressed by his nobility, and Iblis was allowed to join the company of angels and elevated to their rank. However, although he got the outer appearance of an angel, he was still a jinn in essence, thus he was able to choose when the angels and Iblis were commanded to prostrate themselves before Adam. Iblis, abusing his free will, disobeyed the command of God. Iblis considered himself superior because his physical nature constituted of fire and not of clay. God sentenced Iblis to hell forever, but granted him a favor for his former worship, that is to take revenge on humans by attempting to mislead them until the Day of Judgment. Fate of Iblis While the Quran sentences Iblis to hell, interpreters are undecided if Iblis is already in hell, or will be thrown into hell after Judgement Day. Many authors describe Iblis as being chained at the bottom of hell, in Sijjin. For others, Iblis is a jinn, who will be sentenced to hell only after Day of Judgment. He and his host of evil jinn are the first who enter hell to dwell therein forever. Due to their creation from fire, some authors suggest Iblis and his demons will suffer in hell from intense cold (Zamhareer), instead of fire. Alternatively, Iblis is killed before the Judgement Day. Among Shia Muslims, the idea prevails that the Mahdi will kill Iblis. In manuals about Islamic eschatology, when Iblis is the last one on earth, the angels of divine justice will seize and kill him. Yet others argue, that Iblis does not act upon free-will, but as an instrument of God. Ibn Arabi writes in his Al-Futuhat al-Makkiyya that Iblis and the devils (here: evil jinn) will say after hell ceases to be on the last day, their deeds were prescribed by God and thus not to be blamed when they tempted someone to sin. Following the line that Iblis was an angel, his abode in hell could be a merely temporary place, until the Judgement Day; and after his assignment as a tempter is over, he might return to God as one of the most cherished angels. His final salvation develops from the idea that Iblis is only an instrument of God's anger, not due to his meritorious personality. Attar compares Iblis's damnation and salvation to the situation of Benjamin, since both were accused to show people a greater meaning, but were finally not condemned. Disputed essence Iblis may either be a fallen angel or a jinni or something entirely unique. This lack of final specification arises from the Quran itself, while Iblis is included into the command addressed to the angels and apparently among them, it is said he was from the jinn in Surah , whose exact meaning is debated by both Western academics and Islamic scholars. In academic discourse In most Surahs, it seems to be implied that Iblis is one of the angels. The motif of prostrating angels with one exception among them already appeared in early Christian writings and apocalyptic literature. For this reason, one might assume Iblis was intended to be an angel. Jacques Waardenburg argues, that Iblis' identification with the jinn in later Surahs, is a result of the synthesis of Arabian paganism with Judeo-Christian lore. Accordingly, Muhammad would have demonized the jinn in later Surahs, making Iblis a jinni, whereas he had been considered an angel before. Otherwise, the theory that the essence of angels differs from that of Satan and his hosts, might root in the writings of Augustine of Hippo delivered by a Christian informant to early Muslim community and thus already originating in Christianity. Due to the unusual usage of the term jinn in this Surah, otherwise not related to angels but to jinn, some scholars conclude the identification of Iblis with the jinn was merely a temporary one, but not the general opinion of the Quran or might even have been a later interpolation, influenced by the folkloric perception of jinn as evil creatures and not part of the original text. Since Iblis is described by a peculiar fire, ommiting the features of the fire from which jinn were supposed to be created, Iblis being a creature of fire might not relate him to the jinn in the first place, but associated the jinn with him later onwards. When the Quran idenitifies Iblis with the jinn, there is no description of fire, thus both might have been unrelated and therefore, not the original idea. Since the Quran itself does not speak of angels as created from another source than fire, Iblis might have been intented to be an angel in accordane with Ancient Near Eastern traditions, such as a Seraph. Some scholars argued that the term jinni does not necessarily exclude Iblis from the angels, since it has been suggested that in Pre-Islamic Arabia, the term denoted any type of invisible creature. But other scholars argue, that Islam nevertheless distinguishes between angels and other kinds of supernatural creatures. Angels would lack the ability to disobey, and taking their constant loyalty as characteristical for the Islamic angels. Further, since the Quran refers to Iblis' progeny, Islamic studies scholar Fritz Meier also insists, that the Islamic Iblis can not be held as an angel, since angels have no progeny by definition. On the other hand, Walther Eickmann argued that the progeny of Iblis does not correspond with "progeny" in a literal sense, but just refers to the cohorts of Iblis. On another place in the Quran, the progeny of Iblis are said to be created, therefore they can not be literal progeny. Regarding the doctrine of infallible angels, one might argue that the motif of fallen angels is nevertheless not absent within Islamic traditions and therefore, angels are not necessarily always obedient. Although Iblis is described as an infidel (kafir) in the Quran, he did not necessarily sin in a theological sense. In the early Islamic period, supernatural creatures were not expected to understand sin or expiate it and Iblis would have been created as a "rebellious angel". Among Muslim scholars A question arises about the meaning of the term jinn indicate his original relation to jannah, of which he was a guardian and was of a sub-category of "fiery angels". Although angels in Islam are commonly thought to be created from light, angels, or at least the fiercer among them, are also identified as created from fire, as evident from the Miraj literature. Reason for that might be the phonetical similarity between fire (nar) and light (nur). Some scholars argued that fire and light are of the same essence but to a different degree. On the other hand, scholars arguing that the term jinni refers to jinn, and not a category of angels. They on the other hand need to explain Iblis' stay among the angels. Ibn Kathir stated that Iblis was once an ordinary jinn on earth, but, due to his piety and constant worship, elevated among the angels. He lived there for thousands of years until his non-angelic origin was forgotten and only God remembered Iblis' true identity. When God commanded the angels, Iblis, due to his rank among the angels included, to prostrate himself before Adam, Iblis revealed his true nature. By his refusal his true nature betrayed him, leading to his downfall. Other scholars, such as Hasan of Basra and Ibn Taymiyyah, do not deal with explanations for a reason behind his abode among the angels, by extension of a special narrative. Instead, they argue, Iblis', depicted as the first of the Jinn, and not as one of many Jinn, stay in heaven is self-explanatory, because every creature is created in heaven first. Here, although created in heaven, Iblis is not regarded as an angel, but the equivalent father of the Jinn, compared to what Adam is to humanity. Iblis, as the father of the Jinn, was cast out of heaven due to his sin, just as Adam was banished after his corresponding transgression of God's order not to eat from the Forbidden Tree. Şaban Ali criticises the translation of "was one of the jinn", arguing the proper translation would be, analogous to Surah 2:34, "became one of the jinn" and that Iblis has been an angel first, but become a jinn, when he becomes an unbeliever. Those scholars, who argue against Iblis' angelic origin also refer to his progeny, since angels do not procreate in Islam. Tabari who defended Iblis' angelic depiction, argues that Iblis did not procreate until he lost his angelic state and became a devil. Therefore, as an angel, Iblis did not procreate and this argument does not apply to Iblis at all. According to some Islamic traditions, Iblis is an asexual entity, just like other angels or a hermaphrodite creature, whose children split from himself, as devils (šayāṭīn) do, but not the Jinn, who have genders just like humans. Yet, there are traditions that report Iblis as having a wife. Al-Suyuti names Iblis' wife Samum. Following Hasan Al Basra's account, they are said to be the primogenitor of the Jinn race. Another central
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Al-Tha`labi, Al-Baydawi and Mahmud al-Alusi are known to regard Iblis as an angel in origin. Tabari argued against the idea that Iblis was a jinn and for an angelic origin of Iblis in his tafsir: "There is nothing objectionable in that God should have created the categories of His angels from all kinds of things that He had created: He created some of them from light, some of them from fire, and some of them from what He willed apart from that. There is thus nothing in God's omitting to state what He created His angels from, and in His stating what He created Iblis from, which necessarily implies that Iblis is outside of the meaning of [angel], for it is possible that He created a category of His angels, among whom was Iblis, from fire, and even that Iblis was unique in that He created him, and no other angels of His, from the fire of the Samum. Likewise, he cannot be excluded from being an angel by fact that he had progeny or offspring, because passion and lust, from which the other angels were free, was compounded in him when God willed disobedience in him. As for God's statement that he was < one of the jinn>, it is not to be rejected that everything which hides itself (ijtanna) from the sight is a 'Jinn', as stated before, and Iblis and the angels should then be among them because they hide themselves from the eyes of the sons of Adam." A contrary opinion was reported from Hasan of Basra, Shi'ite Imam Ja'far al-Sadiq, Fakhr al-Din al-Razi, Ibn Taimiyya and Ibn Kathir, who rejected the idea what Iblis had been once an angel or a unique creature, regarding Iblis to be a jinn instead. Among contemporary scholars this view is also shared by Muhammad Al-Munajjid, who promulgated his view on IslamQA.info and Umar Sulaiman Al-Ashqar, well known for rejecting much of earlier exegtical traditions, in his famous Islamic Creed Series. Ibn Kathir explained Iblis' refusal as a jinn in his tafsir as follows: "When Allah commanded the angels to prostrate before Adam, Iblis was included in this command. Although Iblis was not an angel, he was trying - and pretending - to imitate the angels' behavior and deeds, and this is why he was also included in the command to the angels to prostrate before Adam. Satan was criticized for defying that command, (. . .) (So they prostrated themselves except Iblis. He was one of the Jinn;) meaning, his original nature betrayed him. He had been created from smokeless fire, whereas the angels had been created from light, (. . .) When matters crucial every vessel leaks that which to contains and is betrayed by its true nature. Iblis used to do, what the angels did and resembled them in their devotion and worship, so he was included when they were addressed, but he disobeyed and went what he was told to do. So Allah points out here that he was one of the Jinn, he was created from fire, as He says elsewhere." As an angel As an angel, Iblis is described as an archangel, the leader and Imam (teacher) of the other angels, and a guardian of heaven. At the same time, he was the closest to the Throne of God. God gave him authority over the lower heavens and the earth. Iblis is also considered the leader of those angels who battled the earthly jinn. Therefore, Iblis and his army drove the jinn to the edge of the world, Mount Qaf. Knowing about the corruption of the former earthen inhabitants, Iblis protested, when he was instructed to prostrate himself before the new earthen inhabitant, that is Adam. He assumed that the angels who praise God's glory day and night are superior in contrast to the mud-made humans and their bodily flaws. He even regarded himself superior in comparison to the other angels, since he was (one of those) created from fire. However, he was degraded and sentenced to hell (Sijjin), by God for his arrogance. But Iblis requested to redeem himself by proving that he is right and leading humans into sin. Therefore, God makes him a tempter for humanity as long as his punishment endures. Since, according to , Iblis is cursed until Day of Judgement, some writers considered Iblis being redeemable after the world perished. Furthermore, the transformation of Iblis from angelic into demonic is a reminder of God's capacity to reverse injustice even on an ontological level. It is both a warning and a reminder that the special gifts given by God can also be taken away by Him. As a Jinn On the other hand, Iblis is commonly placed as one of the Jinn, who lived on earth during the battle of the angels. When the angels took prisoners, Iblis was one of them and carried them to heaven. Since he, unlike the other jinn, was pious, the angels were impressed by his nobility, and Iblis was allowed to join the company of angels and elevated to their rank. However, although he got the outer appearance of an angel, he was still a jinn in essence, thus he was able to choose when the angels and Iblis were commanded to prostrate themselves before Adam. Iblis, abusing his free will, disobeyed the command of God. Iblis considered himself superior because his physical nature constituted of fire and not of clay. God sentenced Iblis to hell forever, but granted him a favor for his former worship, that is to take revenge on humans by attempting to mislead them until the Day of Judgment. Fate of Iblis While the Quran sentences Iblis to hell, interpreters are undecided if Iblis is already in hell, or will be thrown into hell after Judgement Day. Many authors describe Iblis as being chained at the bottom of hell, in Sijjin. For others, Iblis is a jinn, who will be sentenced to hell only after Day of Judgment. He and his host of evil jinn are the first who enter hell to dwell therein forever. Due to their creation from fire, some authors suggest Iblis and his demons will suffer in hell from intense cold (Zamhareer), instead of fire. Alternatively, Iblis is killed before the Judgement Day. Among Shia Muslims, the idea prevails that the Mahdi will kill Iblis. In manuals about Islamic eschatology, when Iblis is the last one on earth, the angels of divine justice will seize and kill him. Yet others argue, that Iblis does not act upon free-will, but as an instrument of God. Ibn Arabi writes in his Al-Futuhat al-Makkiyya that Iblis and the devils (here: evil jinn) will say after hell ceases to be on the last day, their deeds were prescribed by God and thus not to be blamed when they tempted someone to sin. Following the line that Iblis was an angel, his abode in hell could be a merely temporary place, until the Judgement Day; and after his assignment as a tempter is over, he might return to God as one of the most cherished angels. His final salvation develops from the idea that Iblis is only an instrument of God's anger, not due to his meritorious personality. Attar compares Iblis's damnation and salvation to the situation of Benjamin, since both were accused to show people a greater meaning, but were finally not condemned. Disputed essence Iblis may either be a fallen angel or a jinni or something entirely unique. This lack of final specification arises from the Quran itself, while Iblis is included into the command addressed to the angels and apparently among them, it is said he was from the jinn in Surah , whose exact meaning is debated by both Western academics and Islamic scholars. In academic discourse In most Surahs, it seems to be implied that Iblis is one of the angels. The motif of prostrating angels with one exception among them already appeared in early Christian writings and apocalyptic literature. For this reason, one might assume Iblis was intended to be an angel. Jacques Waardenburg argues, that Iblis' identification with the jinn in later Surahs, is a result of the synthesis of Arabian paganism with Judeo-Christian lore. Accordingly, Muhammad would have demonized the jinn in later Surahs, making Iblis a jinni, whereas he had been considered an angel before. Otherwise, the theory that the essence of angels differs from that of Satan and his hosts, might root in the writings of Augustine of Hippo delivered by a Christian informant to early Muslim community and thus already originating in Christianity. Due to the unusual usage of the term jinn in this Surah, otherwise not related to angels but to jinn, some scholars conclude the identification of Iblis with the jinn was merely a temporary one, but not the general opinion of the Quran or might even have been a later interpolation, influenced by the folkloric perception of jinn as evil creatures and not part of the original text. Since Iblis is described by a peculiar fire, ommiting the features of the fire from which jinn were supposed to be created, Iblis being a creature of fire might not relate him to the jinn in the first place, but associated the jinn with him later onwards. When the Quran idenitifies Iblis with the jinn, there is no description of fire, thus both might have been unrelated and therefore, not the original idea. Since the Quran itself does not speak of angels as created from another source than fire, Iblis might have been intented to be an angel in accordane with Ancient Near Eastern traditions, such as a Seraph. Some scholars argued that the term jinni does not necessarily exclude Iblis from the angels, since it has been suggested that in Pre-Islamic Arabia, the term denoted any type of invisible creature. But other scholars argue, that Islam nevertheless distinguishes between angels and other kinds of supernatural creatures. Angels would lack the ability to disobey, and taking their constant loyalty as characteristical for the Islamic angels. Further, since the Quran refers to Iblis' progeny, Islamic studies scholar Fritz Meier also insists, that the Islamic Iblis can not be held as an angel, since angels have no progeny by definition. On the other hand, Walther Eickmann argued that the progeny of Iblis does not correspond with "progeny" in a literal sense, but just refers to the cohorts of Iblis. On another place in the Quran, the progeny of Iblis are said to be created, therefore they can not be literal progeny. Regarding the doctrine of infallible angels, one might argue that the motif of fallen angels is nevertheless not absent within Islamic traditions and therefore, angels are not necessarily always obedient. Although Iblis is described as an infidel (kafir) in the Quran, he did not necessarily sin in a theological sense. In the early Islamic period, supernatural creatures were not expected to understand sin or expiate it and Iblis would have been created as a "rebellious angel". Among Muslim scholars A question arises about the meaning of the term jinn indicate his original relation to jannah, of which he was a guardian and was of a sub-category of "fiery angels". Although angels in Islam are commonly thought to be created from light, angels, or at least the fiercer among them, are also identified as created from fire, as evident from the Miraj literature. Reason for that might be the phonetical similarity between fire (nar) and light (nur). Some scholars argued that fire and light are of the same essence but to a different degree. On the other hand, scholars arguing that the term jinni refers to jinn, and not a category of angels. They on the other hand need to explain Iblis' stay among the angels. Ibn Kathir stated that Iblis was once an ordinary jinn on earth, but, due to his piety and constant worship, elevated among the angels. He lived there for thousands of years until his non-angelic origin was forgotten and only God remembered Iblis' true identity. When God commanded the angels, Iblis, due to his rank among the angels included, to prostrate himself before Adam, Iblis revealed his true nature. By his refusal his true nature betrayed him, leading to his downfall. Other scholars, such as Hasan of Basra and Ibn Taymiyyah, do not deal with explanations for a reason behind his abode among the angels, by extension of a special narrative. Instead, they argue, Iblis', depicted as the first of the Jinn, and not as one of many Jinn, stay in heaven is self-explanatory, because every creature is created in heaven first. Here, although created in heaven, Iblis is not regarded as an angel, but the equivalent father of the Jinn, compared to what Adam is to humanity.
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25 September 1961. Less than a year later, John F. Kennedy signed the Communications Satellite Act of 1962. INTELSAT was originally formed as International Telecommunications Satellite Organization (ITSO) and operated from 1964 to 2001 as an intergovernmental consortium owning and managing a constellation of communications satellites providing international broadcast services. In 2001, the international satellite market was fully commercialized, and the United States predominant role in INTELSAT was privatized after 2001 as Intelsat was formed up as a private Luxembourg corporation. International Governmental Organization (1964–2001) The International Governmental Organization (IGO) began on (), with 7 participating countries. The 1964 agreement was an interim arrangement on a path to a more permanent agreement. The permanent international organization was established in 1973, following inter-nation negotiations from 1969 to 1971. The most difficult issue to "resolve concerned the shift from management of the system by a national entity to management by the international organization itself". On 6 April 1965, INTELSAT's first satellite, the Intelsat I (nicknamed Early Bird), was placed in geostationary orbit above the Atlantic Ocean by a Delta D rocket. In 1973, the name was changed and there were 81 signatories. INTELSAT was "governed initially by two international agreements: The Agreement setting forth the basic provisions and principles and structure of the organization, signed by the governments through their foreign ministries, and an Operating Agreement setting forth more detailed financial and technical provisions and signed by the governments or their designated telecommunications entities", — in most cases, the latter are the ministries of communications of the party countries, but in the case of the United States, was the Communications Satellite Corporation (COMSAT), a private corporation established by federal legislation to represent the U.S. in international governance for the global communication satellite system. INTELSAT at that time directly owned and managed a global communications satellite system, and structurally consisted of three parts: the Assembly of Parties — meeting every two years and concerned with aspects "primarily of interest to the Parties as sovereign States" — with each country having one vote. the Meeting of Signatories — meeting annually and composed of all the signatories to the Operating Agreement — primarily working on financial, technical and program matters, with each countries' signatory having one vote. a Board of Governors, meeting at least four times each year, making decisions on design, development, establishment, operation and maintenance of the in-space assets, appointed by signatories, but weighted to each signatory's "investment share" in the space assets. The 1973 Agreement called for a seven-year transition from national to international management, but continued until 1976 to carve out "technical and operational management of the system [to the U.S. signatory] the Communications Satellite Corporation [which had also] served as the Manager of the global system under the interim arrangements in force from 1964 to 1973". Later phases of the transition resulted in full international governance by 1980. Financial contribution to the organization, its so-called "investment share", was strictly proportional to each member's use of the system, determined annually; and this corresponded to the weighted vote each would have on the Board of Governors. Intelsat provides service to over 600 Earth stations in more than 149 countries, territories and dependencies. By 2001, INTELSAT had over 100 members. It was also this year that INTELSAT privatized and changed its name to Intelsat. Since its inception, Intelsat has used several versions (blocks) of its dedicated Intelsat satellites. Intelsat completes each block of spacecraft independently, leading to a variety of satellite manufacturing contractors over the years. Intelsat's largest spacecraft supplier by 2012 was Space Systems/Loral, having built 47 spacecraft (Intelsat 20) by that time. The network in its early years was not as robust as it is now. A failure of the Atlantic satellite in the spring of 1969 threatened to stop the Apollo 11 mission; a replacement satellite went into a bad orbit and could not be recovered in time; NASA used undersea cable telephone circuits as an alternative to route Apollo's communications to NASA during the mission. During the Apollo 11 moonwalk, the Moon was over the Pacific Ocean, and so other antennas were used, as well as INTELSAT III, which was in geostationary orbit over the Pacific. Commercialization By the 1990s, building and launching satellites was no longer exclusively a government domain and as country-specific telecommunications systems were privatized, several private satellite operators arose to meet the growing demand. In the U.S., satellite operators such as PanAmSat, Orion Communications, Columbia Communications, Iridium, Globalstar, TRW and others formed under the umbrella of the Alliance for Competitive International Satellite Services (ACISS) to press for an end to the exclusively-intergovernmental organizations operating communication satellites and the monopoly position of COMSAT the U.S. signatory to Intelsat and Inmarsat. In March 2001, the U.S. Congress passed the Open-market Reorganization for the Betterment of International Telecommunications (ORBIT) Act to privatize COMSAT and reform the role of the international organizations. In April 1998, to address U.S. government concerns about market power, Intelsat's senior management spun off five of its older satellites to a private Dutch entity, New Skies Satellites, which became a direct competitor to Intelsat. Privatization On 18 July 2001, Intelsat became a private company, 37 years after formation. Prior to Intelsat's privatization in 2001, ownership and investment in INTELSAT (measured in shares) was distributed among INTELSAT members according to their use of services. Investment shares determined
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determined each member's percentage of the total contribution needed to finance capital expenditures. The organization's primary source of revenue was satellite usage fees which, after deduction of operating costs, was redistributed to INTELSAT members in proportion to their shares as repayment of capital and compensation for use of capital. Satellite services were available to any organization (both INTELSAT members and non-members), and all users paid the same rates. Intelsat Americas-7 (known formerly as Telstar 7 and known as Galaxy 27 since on 1 February 2007) experienced a several-day power failure on 29 November 2004. The satellite returned to service with reduced capacity. Intelsat was sold for US$3.1 billion in January 2005 to four private equity firms: Madison Dearborn Partners, Apax Partners, Permira and Apollo Global Management. The company acquired PanAmSat on 3 July 2006, and was then the world's largest provider of fixed satellite services, operating a fleet of 52 satellites in prime orbital locations. In June 2007, BC Partners announced they had acquired 76% of Intelsat for about 3.75 billion euros. Intelsat S.A. (Luxembourg) In April 2013, the renamed Intelsat S.A. undertook an initial public offering on the New York Stock Exchange, raising a net US$550 million, of which US$492 million was paid immediately to reduce outstanding company debts of US$15.9 billion. In May 2013, the company announced it would be purchasing four new high-performance Boeing EpicNG 702 MP satellites. In 2015, Intelsat reincorporated in Delaware and became Intelsat Corporation. There were negotiations in 2017 that Intelsat could potentially merge with Softbank-backed OneWeb. However, on 1 June 2017, it was announced that the bondholders would not accept the offer and that the potential merger would be terminated as of 2 June 2017. Operations After 2014, Intelsat maintained its corporate administrative headquarters in Tysons Corner, Virginia, where a majority of its employees worked at the time. Intelsat maintains constantly staffed global network operations centers in its Tysons Corner location and in Ellenwood, Georgia. A highly international business, Intelsat sources the majority of its revenue from non-U.S. located customers. In addition to its satellite fleet, Intelsat owns and operates eight teleports around the world. Bankruptcy Intelsat filed for a Chapter 11 bankruptcy in U.S. courts on 13 May 2020, just before the new 5G spectrum auctions, with over US$15 billion in total debt. Public reporting showed that the company had been considering bankruptcy protection as early as February 2020, as Intelsat formally withdrew from the C-Band Alliance, an industry consortium of the major satellite operators that had been jointly lobbying the U.S. regulator Federal Communications Commission (FCC) regarding the reassignment and payment for its legacy 5G spectrum. According to company statements, the company is hoping to restructure so that it can raise requisite capital to launch new satellite technology in 2022/2023, at a cost of some US$1.6 billion, so that it can compress existing licensed C-band spectrum customers into just forty percent of the spectrum used in 2019, and thus enable the company to receive up to US$4.86 billion in "spectrum clearing payments" from the FCC for clearing the spectrum by December 2023, two years ahead of the FCC baseline plan. In-space refueling demonstration project Intelsat has agreed to purchase one-half of the propellant payload that an MDA Corporation spacecraft satellite-servicing demonstration project would take to geostationary orbit. Catching up in orbit with four or five Intelsat communication satellites, a load of of fuel delivered to each satellite would add somewhere between two and four years of additional service life. A near-end-of-life Intelsat satellite will be moved to a graveyard orbit above the geostationary belt where the refueling will be done, "without consequence" to the Intelsat business. the business model was still evolving. MDA "could ask customers to pay per kilogram of fuel successfully added to [each] satellite, with the per-kilogram price being a function of the additional revenue the operator can expect to generate from the spacecraft's extended operational life". The plan is that the fuel-depot vehicle would maneuver to several satellites, dock at the target satellite's apogee kick motor, remove a small part of the target spacecraft's thermal protection blanket, connect to a fuel-pressure line and deliver the propellant. "MDA officials estimate the docking maneuver would take the communications satellite out of service for about 20 minutes". On 25 February 2020, a Northrop Grumman robotic servicing spacecraft, Mission Extension Vehicle 1 (MEV 1) docked with the Intelsat 901 satellite. The MEV 1 spacecraft will provide propulsion capabilities to Intelsat 901 to extend its usable life for five years. Satellites Renaming On 1 February 2007, Intelsat changed the names of 16 of its satellites formerly known under the Intelsat Americas and PanAmSat brands to Galaxy and Intelsat, respectively. Launch vehicles Over time, Intelsat has worked with most of the commercial launch services providers worldwide. Their satellites are often among the most massive of their generation, requiring the most powerful and
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an intergovernmental consortium Information Technology Student Organization, a student organization at Rochester Institute of Technology International
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an intergovernmental consortium Information Technology Student Organization, a student organization at Rochester Institute
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decimal numbers, instead of the Western Arabic numerals. Table Sanskrit is an ancient Indian language. The word "Shunya" for zero was translated into Arabic as "صفر" "sifr", meaning 'nothing'
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are used to write decimal numbers, instead of the Western Arabic numerals. Table Sanskrit is an ancient Indian language. The word "Shunya" for zero was translated into Arabic as "صفر" "sifr", meaning 'nothing' which became the term "zero"
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after the first Test there, the one England lost, to have a knee problem investigated at home. Somerset and England (1984 to 1986–87) After ten seasons as a first-team regular, Botham was appointed Somerset club captain in 1984 and 1985. In the County Championship, they finished seventh in 1984 and then dropped to 17th (bottom of the table) in 1985. In the JPL, they were 15th in 1984 and eleventh in 1985. They made little impression in either of the B&H Cup or the NatWest Trophy so, all in all, Botham's captaincy period was a lean time for the club who had enjoyed its most successful period ever in the preceding seasons. Botham played in 18 Tests from 1984 to 1986, ten of them (five home, five away) against West Indies. Throughout Botham's Test career, the highest international standards were set by West Indies and Botham was generally unsuccessful against them. In both of these series, 1984 and 1985–86, West Indies beat England 5–0 in whitewashes that were dubbed "blackwash". Ironically, his highest score and both his best and worst bowling performances against West Indies occurred in the same match at Lord's in 1984. Clive Lloyd won the toss and, perhaps mistakenly, elected to field. The first day was rain-affected and England, 167 for two overnight, scored 286 thanks to a century by Graeme Fowler; Botham scored a useful 30. West Indies lost three quick wickets, all of them to Botham who was a "reminder of his old self" in the words of Wisden, but recovered to reach 119 for three at the close of play on day two. In the third morning, Viv Richards was dismissed by Botham under dubious circumstances but Botham was inspired by the capture of his great friend's wicket and went on to take eight for 103, dismissing West Indies for 245 and for once giving England a chance of victory against the world's best team, with a first innings lead of 41. This was Botham's best-ever bowling performance against West Indies by some distance. England began their second innings and had been reduced to 88 for four when Botham joined Allan Lamb. They reached 114 for four at day three close. There was no Sunday play and England resumed on the Monday 155 runs ahead with six wickets standing. Botham and Lamb added 128 for the fifth wicket before Botham was out for 81, including nine fours and one six, easily his highest score and best innings against West Indies. Lamb made a century and England were all out on the Tuesday morning (final day) for exactly 300. West Indies needed 342 to win in five and a half hours. They lost Desmond Haynes to a run out at 57 for 0, whereupon Larry Gomes (92 not out) joined Gordon Greenidge (214 not out) and West Indies went on to win by nine wickets with 11.5 of the last twenty overs to spare. Although Wisden does not name Botham except as an "inattentive" fielder who dropped a catch, it describes the England bowlers "looking second-rate and nobody but Willis bowling the right line or setting the right field to the powerful and phlegmatic Greenidge". Botham bowled the most overs, 20, and with nought for 117 he conceded almost a run a ball (Willis had nought for 48 from 15 overs). In mitigation, Wisden conceded that Greenidge played "the innings of his life, and his ruthless batting probably made the bowling look worse that it was". He also played in the one-off Test against Sri Lanka: not bowling particularly well in the first innings although he took the first wicket (1/114 out of 491), and being dismissed for 6 as England batted (370). Toward the end of Sri Lanka's second innings as the match meandered to a draw, in absolutely ferocious heat Botham dispensed with his usual fast bowler's long run-up and switched to bowling off-spin off a few paces, surprising everybody (himself included) by taking several wickets with it, out of an analysis of 6/90. He decided to take a rest over the winter, and sit out of the 1984–85 tour of India. In 1985, Botham played in all six Tests against a poor Australian team as England, themselves a second-rate team based on their recent performances, comfortably regained the Ashes and he was the leading wicket-taker, but the series was dominated by England's specialist batsmen, especially Mike Gatting and David Gower. Botham, who by this time had adopted a dyed blonde mullet haircut as a trademark, contributed relatively little with the bat, compared with the massive totals amassed by Gower, Gatting, Graham Gooch and Tim Robinson. He scored 250 runs at 31.25 with a highest of 85. He did take the most wickets (31 at 27.58 with a best of five for 109) but he was rarely impressive and he was bowling to a weak batting side, Allan Border apart. England's best bowler was Richard Ellison who played only twice and took 17 wickets at only 10.88 with a best of six for 77 and one 10wM. Botham was suspended for 63 days by the England and Wales Cricket Board in 1986 after he admitted in an interview that he had smoked cannabis. Due to the ban, Botham played in only one Test which was the final one of the series against New Zealand. He made his mark on that Test though: beginning it by taking the wicket of Bruce Edgar with his very first delivery, to go level with Dennis Lillee on 355 as holder of the world record for Test wickets. The next delivery was edged through the slip cordon by Jeff Crowe. Botham went past the mark in his second over to hold the record outright, by trapping Crowe leg-before. Then on the fourth day of the match, coming in after centuries from Gatting and Gower, he bashed a quickfire half-century in just 32 balls, including 24 off one over from Derek Stirling – equalling the record at the time, for most runs off a single over in Tests... a record which he himself was responsible for, but from the other side, having conceded 24 runs to Andy Roberts back in the 1980/81 tour of the West Indies. England declared with a massive first-innings lead, but rain came after lunch on the fourth day and only one further over was bowled. Botham was succeeded by Peter Roebuck as Somerset captain for 1986 but, during the season, tensions arose in the Somerset dressing room which eventually exploded into a full-scale row and resulted in the sacking by the club of Botham's friends Viv Richards and Joel Garner. Botham, who supported Richards and Garner, decided to resign at the end of the season. 1986 was not a season for Botham to remember except for one brilliant List A innings when he made his career highest score in the limited overs form of 175 not out for Somerset against Northamptonshire in a 39-over JPL match at the Wellingborough School ground. It was to no avail, however, as the weather intervened and the game ended in no result. His innings remains a ground record. Botham's final tour of Australia was in 1986–87 under Mike Gatting's captaincy. He played in four Tests and England won the Ashes for the last time until 2005. In many ways, the series was also Botham's last hurrah because he scored his final Test century (138 in the first Test at Brisbane which England won by seven wickets) and took his final Test 5wI (five for 41 in the fourth Test at the MCG which England won by an innings and 14 runs). Wisden pointed out that although Botham had a modest series statistically, "he was an asset to the side" because of his enthusiasm and "going out of his way to encourage younger players, especially Phil DeFreitas". Unfortunately he suffered a severe rib injury in the Second Test in Perth, which kept him out of the 3rd Test entirely and reduced the pace of his bowling for the remainder of the tour as he tried to manage it: as a result, with reasonable success, he changed his bowling style to a defensive, miserly military-medium pace. England also won the two one-day tournaments, the one-off Benson & Hedges Perth Challenge (against Australia, West Indies and Pakistan) and the World Series (against Australia and Windies): Botham produced several match-winning performances with both bat and ball despite being not fully fit, and was Man of the Match in both matches of the best-of-three final of the World Series – with the bat in the first, opening the batting for 71 (scored out of 91 while he was at the crease), and with the ball in the second, for a particularly miserly spell which also took three wickets as England defended a low total by nine runs, to win the finals 2–0. It was also in this tournament that England tried the experiment of having Botham open the batting in ODIs, with the idea of hitting the ball over the top to counter the fielding restrictions which forced most of the fielders to be close to the bat inside the early overs. Worcestershire and England (1987 to 1991) After his resignation from Somerset, Botham joined Worcestershire for the 1987 season and spent five seasons with them. In 1987, he scored 126* against his old county but otherwise he was more successful as a limited overs batsman, scoring two centuries and averaging 40.94. His bowling too was much better in the shorter form, wherein he averaged 21.29 against 42.04 in first-class. His limited overs efforts helped Worcestershire to win the Sunday League. They finished ninth in the County Championship and were unsuccessful in the two knockout trophies. Worcestershire, taking a leaf from England's winter tactic, sometimes used Botham to open the batting in one-day matches, in partnership with regular opener Tim Curtis. Botham played in the five 1987 Tests against Pakistan, the last time he represented England in a full series. He scored 232 runs in the series with one half-century (51*) at 33.14; and took only seven wickets which were enormously expensive. Pakistan won by an innings at Headingley with the other four Tests drawn, although England were in superior positions in the First and Fourth tests which lost much time to rain, and only narrowly failed to level the series in the Fourth, running out of overs chasing a small target. When Pakistan totalled 708 at The Oval, the 217 runs conceded by Botham, from 52 overs, were the most by an England bowler, passing the 204 by Ian Peebles, from 71 overs, against Australia at The Oval in 1930, although he took three wickets and also ran out Imran Khan. The half-century, his final and by far his slowest Test fifty, was a dogged, defensive effort occupying most of the last day in a drawn match, in an unbroken partnership with Gatting (150*) to save the 5th test and keep England's margin of defeat at 1–0. He declined to go on tour with England the following winter, either for the 1987 World Cup in India, Pakistan and Sri Lanka (in which England reached the final) or for the subsequent tours of Pakistan (lost 1–0) and New Zealand (a rain-ruined 0–0 drawn series). Botham spent the 1987–88 Australian season with Queensland, playing for them in the Sheffield Shield. Queensland were one of the better state teams in the 1980s and were always in the Shield's top three from the 1983–84 season through to the 1990–91 season, but didn't win it. In Botham's season there, his teammates including Allan Border (captain), wicketkeeper Ian Healy and pace bowler Craig McDermott, they finished second to Western Australia. Botham scored several half-centuries and took a reasonable number of wickets and helped Queensland make the Sheffield Shield final. Botham and Dennis Lillee were fined for damaging the Queensland dressing room in Launceston, Tasmania during a one-day match. When the Queensland team flew to Perth for the Shield final, Botham was involved in an altercation where he allegedly assaulted a fellow airline passenger who had intervened in an argument between the Queensland players. Queensland lost the final. Botham was fined $800 by a magistrate and $5,000 by the Australian Cricket Board. He was consequently sacked by Queensland. Botham was unfit for most of the 1988 season and played in only four first-class and seven limited overs matches during April and May. He did not play for England. Nevertheless, Worcestershire won both the County Championship and the Sunday League. Botham was out of action for eleven months, having had an operation to fuse vertebrae in his spine in response to a long-standing back problem. He returned in May 1989 and, bowling well in the County Championship, helped Worcestershire to a second successive title. With England struggling against Allan Border's rebuilt Australian team which featured the likes of Healy, McDermott, Steve Waugh, Merv Hughes and Mark Taylor, Botham was recalled for the third, fourth and fifth Tests of the pivotal Ashes 1989 series. He could do little to stem a tide which had now turned completely in Australia's favour and looked completely out of his depth. He scored only 62 runs at the very low average of 15.50 – two-thirds of them in one innings – and took just three wickets at an enormously expensive 80.33. The summer of 1989 saw more controversy for England with the organisation of a rebel tour to South Africa, all participants being banned for three years: Botham declined the rebel tour, hoping to be selected for the winter tour of the West Indies, only to be dropped for his poor form. Another two-year absence from international cricket ensued until he was recalled again to play against West Indies in 1991, on the strength of belting 161* for Worcestershire against them in their early-season tour match against the county – it was to be his only century ever against the West Indies. He was selected for the early-season ODI series at first: he took a wicket in his first over, and four in his ten-over spell, but later tore a hamstring, going for a quick single while batting. He could have retired hurt, but opted to continue with a runner, only to be dismissed by the next delivery. The injury put him out of the remaining ODIs (both won by England) and the first couple of Tests (which England won and drew to lead 1–0): then, on his comeback in a county match, another injury caused him to be unavailable for the 3rd and 4th Tests (both lost by England). He was recalled for the 5th Test with England needing a victory to tie the series: batting in the first innings, he scored a respectable 31 before attempting to hook Curtly Ambrose and being dismissed "hit wicket", in circumstances which caused an infamous giggling fit in the BBC Test Match Special radio commentary box. Used sparingly with the ball, he took 1/27 and 2/40 as West Indies were bowled out, forced to follow on and bowled out again, by Tufnell (6/25) and Lawrence (5/106) in the first and second innings respectively. His only Test victory against the Windies was completed when he himself hit the winning runs – a boundary off his first delivery – as England chased a target of 143 with five wickets to spare, and tied the series. Two weeks later, he played against Sri Lanka at Lord's, achieving little of note. He helped Worcestershire to win the B&H Cup for the only time in 1991. Durham and England (1991–92 to 1993) Botham's final tour was to Australia and New Zealand in 1991–92. In the tour of NZ, he played in only the last Test, and the one-day series: his most notable contribution was his highest ODI score of 79, opening the batting, in which he seemed to be set fair to finally reach a century in an ODI, but NZ managed to keep him away from the strike for several overs, he ran out of patience, slogged a delivery straight up in the air and was caught. After this came the World Cup in Australia. Botham had not previously won any man of the match awards in the World Cup, but in this competition he won two. Against India at the WACA Ground, he bowled tightly and restricted India, needing 237, to only 27 runs from his ten overs, an economy rate of 2.70 which was significantly lower than anyone else's. He captured two wickets and one of them was Sachin Tendulkar. England won by nine runs. Against Australia at Sydney Cricket Ground later in the competition, Botham won the award for the sort of all-round performance which had made his reputation. Australia won the toss and decided to bat first. They scored 171 all out in 49 overs and Botham took four for 31 in his ten. He then opened the England innings with Graham Gooch – the tactic England had trialled in Australia five years before, and again in the ODIs against NZ at the end of the tour before the World Cup – and scored 53 from only 77 balls in a partnership with Gooch of 107. England went on to win by eight wickets with nine overs to spare. He was less successful in the final, where previously economical bowling figures were ruined by a late assault from the Pakistani batting line-up, and then he was given out caught-behind for a duck (perhaps unfortunately, since he appeared not to have touched the ball according to the camera replays) in Wasim Akram's first over, England losing the match. In 1992, Botham joined County Championship newcomers Durham, scoring a century in the second innings in their inaugural first-class match against Leicestershire: and he played in the first two Tests against Pakistan, the second one at Lord's being his final Test appearance. Botham scored 2 and 6, cheaply dismissed each time by the pace of Waqar Younis. As a bowler, he was used for only five overs, his final Test return being none for nine. England lost the match by two wickets and Pakistan went on to win the series 2–1. Botham did however play in the ODI series, in all five matches, which England won 4–1: these were his last international matches. England's batting was so dominant in all but one of the matches, that Botham only came in right at the end of the innings, or not at all, reverting to his old place in the middle order, and he had little to do: except in the 4th match, where he opened the batting again (in Gooch's absence) and scored a respectable and workmanlike 40, but saw England lose their last four wickets for ten runs and the match by three runs. His bowling was similarly unremarkable, usually capturing one or two wickets at about four an over: he neither scored a run (did not bat) nor took a wicket (0–43) in his final match. It was in 1992 that Botham was appointed an Officer of the Order of the British Empire (OBE) for services to cricket and for his charity work in the Queen's Birthday Honours. Botham retired from cricket midway through the 1993 season, his last match being for Durham against the visiting Australians at The Racecourse 17–19 July 1993. Durham batted first and scored 385 for eight declared (Wayne Larkins 151). In his final first-class innings, Botham scored 32. In reply, Australia could only make 221, thanks to Simon Brown who took seven for 70 (Botham none for 21). Being 164 behind, Australia had to follow on and a victory for Durham was possible but centuries by Matthew Hayden and David Boon saved Australia and the match was drawn. Botham's final bowling return was none for 45 from eleven overs. In the final over of the game, Botham also kept wicket, without wearing gloves or pads. Records in international cricket Botham's Test career spanned 16 seasons and he played in 102 matches. He scored 5,200 runs at an average of 33.54 with a highest score of 208 in his 14 centuries. He took 383 wickets at an average of 28.40 with a best return of eight for 34 and achieved ten wickets in a match four times. He held 120 catches. In 116 LOIs from 1976 to 1992, he scored 2,113 runs with a highest score of 79; took 145 wickets with a best return of four for 31; and held 36 catches. A straight comparison of these totals with those of his Test career reveal that he was less effective in the limited overs form of the game. He did have some outstanding LOI matches, however, winning six man of the match awards. Botham took part in three editions of the Cricket World Cup: 1979, 1983 and 1992. He played in 22 World Cup matches including the finals in 1979 and 1992, both of which England lost, and he was in England's losing team in the 1983 semi-final. Botham was the 21st player to achieve the "double" of 1,000 runs and 100 wickets in Test cricket and he went on to score 5,200 runs and take 383 wickets, as well as holding 120 catches. He held the world record for the greatest number of Test wickets from 21 August 1986 to 12 November 1988. His predecessor was Dennis Lillee who had retired with 355 wickets in 70 matches. Botham extended the record to 373 in 94 matches before he was overtaken by Richard Hadlee. Botham ended with 383 wickets in 102 matches while Hadlee extended the record to 431 in 86 matches. See List of Test cricket records#Career. As described above, Botham in 1980 became the second player to achieve the "match double" of 100 runs and ten wickets in Test cricket, following Alan Davidson in 1960–61. Botham was, however, the first to score a century and take ten wickets in a Test match (Davidson scored 44 and 80). The century and ten double has since been achieved by Imran Khan who scored 117 and took six for 98 and five for 82 against India at the Iqbal Stadium in Faisalabad in January 1983., and again by Shakib Al Hasan for Bangladesh against Zimbabwe at Khulna in 2014. List of Test centuries and five-wicket innings Compared with many of cricket's greatest players, most of whom were specialists, Botham's averages seem fairly ordinary but this overlooks the fact that he was a genuine all-rounder and it is rare for this type of player to achieve world-class status. Since the Second World War, Botham is one of perhaps a dozen or so world-class all-rounders whereas there have been numerous world-class specialists. Some of the great all-rounders, such as Garfield Sobers and Jacques Kallis as batsmen or Alan Davidson and Richard Hadlee as bowlers, could justifiably be described as world-class specialists in their main discipline who were effective practitioners of the other. The genuine all-rounders to achieve world-class status during the era, besides Botham himself, have included Keith Miller, Richie Benaud, Mike Procter, Clive Rice, Imran Khan, Kapil Dev and Andrew Flintoff. Of note, Botham's first 202 wickets came at 21.20 per wicket, while his final 181 cost on average 36.43 apiece; the first average is one that would make Botham one of the greatest bowlers of the modern era, ranking alongside the West Indian greats Curtly Ambrose (career average 20.99), Malcolm Marshall (career average 20.94), and Joel Garner (career average 20.97), but the second average depicts a player who, as a specialist bowler, would be unable to sustain a place in many Test teams. This difference can be largely attributed to the longer term effects of a back injury he sustained in 1980; this limited his bowling pace and his ability to swing the ball. Botham's batting – although never the equal of his bowling abilities – declined as well, with a batting average of 38.80 for his first 51 Tests substantially higher than the 28.87 he managed in his last 51 Tests, again a number that would be considered unsatisfactory for a specialist batsman in most Test sides. In the first 5 years of Botham's Test career, when not playing as captain, he scored 2,557 runs at an average of 49.17 including 11 centuries and a highest score of 208, took 196 wickets at an average of 21.28 including nineteen 5 wicket hauls and held 50 catches. Such figures denote a player who would easily maintain a place in any Test side as a specialist batsman or bowler alone. During this period his reputation as one of the leading Test all-rounders was firmly established. Style and technique Botham had an affinity with Brian Close, his first county captain who became a mentor to him, as they shared a determination to do well and win matches. Wisden has commented on another shared characteristic: "outstanding courage", mainly because Botham would readily field anywhere, generally in the slips but also in dangerous positions near the batsman and he was a brilliant fielder. As a batsman, Botham was often wrongly labelled by the tabloid press as a "big hitter" (effectively implying that he was a "slogger") but, while it is true that his strength enabled him to drive a ball for six and his courage to hook one for six, Botham actually had a very correct batting style as he stood side-on and played straight: Wisden praised his "straight hitting and square cutting". Botham might not have been good enough to retain a regular England place as a specialist batsman (his Test career batting average was a fairly modest 33.54) but as a bowler who was capable of taking 383 Test wickets, he certainly would. Wisden praised Tom Cartwright for helping to develop Botham's technique as a swing bowler and, by the time he made his Test debut in 1977, Botham had mastered change of pace, the outswinger and the fast inswinging yorker, all formidable parts of his repertoire which eventually enabled him to break the world Test wicket record. Writing in Barclays World of Cricket (1986), former England captain Tony Lewis commented on Botham's strength, enthusiasm and aggression "which he took into every game". Lewis, however, pointed out that Botham's exuberance often reduced the efficiency of his play, in that he would take too many risks or refuse to give up on a bowling tactic despite ongoing heavy cost. He summarised Botham as an exciting cricketer who lacked self-discipline. Botham was in the middle of his career when the book was published, but Lewis emphasised the speed at which Botham had achieved certain milestones such as 1,000 runs and 100 wickets in Test cricket. At that time there seemed no reason why Botham should not go on reaching milestones, but he had already peaked and, in retrospect, his career had a meteoric aspect. His rival Imran Khan asserted this when he said: "Botham was someone who I don't think ever did justice to his talent. When he started he could have done anything, but he declined very quickly. In a way our careers were the opposite of each other. I started quite slowly but got better, maximised my talent. He went the other way, I think". Legacy Botham's career and ability level has been oft-debated. For example, when naming him as a Cricketer of the Year in its 1978 edition, Wisden described Botham as "a determined character who knows where he is aiming, and who will, quite naturally and fiercely, address himself to the interesting view that he is overrated". Denis Compton would dismiss Botham as "overrated" and said he "only did well because all the best players had joined Packer": i.e., for World Series Cricket (WSC). Despite such conjecture on his talent level, Botham does not appear to have been a self-promoter; rather, he would readily give praise to his colleagues, for instance, his batting partners Hallam Moseley and Bob Clapp after the 1974 Benson and Hedges quarter-final against Hampshire; and to Bob Willis, the man whose bowling spell won the test match at Headingley in 1981. The Richards–Botham Trophy, set to replace the Wisden Trophy for winners of West Indies–England Test series, is named in honour of Botham and Viv Richards. Libel cases brought against Imran Khan (1994–1996) In 1994, the year after he retired, Botham became embroiled in a legal dispute with Imran Khan who, in an article for India Today, had accused Botham and Allan Lamb of bringing cricket into disrepute. Botham and Lamb instigated a libel action in response. The case was heard at the High Court in 1996 with the court choosing to hear on the second day a separate action brought solely by Botham against Khan, who had suggested in a newspaper article that Botham had been involved in ball-tampering. This would become the subject of a court case later on, one that Khan would go on to win. Botham was liable for all expenses in the court case in the ruling, including those incurred by Khan. Football career Botham was a talented footballer but, believing he was better at cricket, he chose the latter for his full-time career. Even so, he played football as a centre-half from 1978 to 1985 for Yeovil Town and Scunthorpe United. He made eleven appearances in the Football League for Scunthorpe. While with Yeovil, Botham made an appearance for the Football Association XI (a representative side for non-League footballers) against the Northern Football League at Croft Park during the 1984–85 season. Charity fundraising Botham has been a prodigious fundraiser for charitable causes, undertaking a total of 12 long-distance charity walks. His first, in 1985, was a 900-mile trek from John o' Groats to Land's End. His efforts were inspired after a visit to Taunton's Musgrove Park Hospital in 1977 whilst receiving treatment for a broken toe. When he took a wrong turn into a children's ward, he was devastated to learn that some of the children had only weeks to live, and why. At the time he was an expectant father. Since then his efforts have raised more than £12 million for charity, with leukaemia research the main cause to benefit. In recognition of this work, Botham in 2003 became the first-ever President of Bloodwise, the UK's leading blood cancer charity. On 10 October 2007, he was invested a Knight Bachelor by Queen Elizabeth II at Buckingham Palace, having been appointed in the Queen's Birthday Honours "for services to Charity and to Cricket". Media career After retiring from cricket, Botham became involved in the media and has worked as
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captain Greg Chappell won the toss and decided to bat first. Australia scored 243 and were all out shortly before the close on day one. Botham, aged 21, made an immediate impact and took five for 74, the highlight being the wicket of Chappell, bowled for just 19. England batted all through day two and into day three as Boycott, in his first Test innings since 1974, and Knott both made centuries. Botham came in at number eight on day three and scored 25 before he was bowled by Max Walker. England were all out not long afterwards for 364, a first innings lead of 121. Botham had no joy in Australia's second innings with none for 60. A century by Rick McCosker enabled Australia to score 309 before they were all out in the evening session on day four. Bob Willis took five for 88. England needed 189 to win and completed the job, by seven wickets, well into the final day with Brearley scoring 81 and Boycott, who batted on all five days, 80 not out. Botham didn't get a second innings. Botham's impressive bowling at Trent Bridge meant he was an automatic choice for the fourth Test at Headingley two weeks later. England won the toss, decided to bat first and went on to win by an innings and 85 runs to secure a winning 3–0 lead in the series and regain The Ashes, which they had lost in 1974–75. The match is famous for Boycott's one hundredth career century, scored on his home county ground and in his second Test since his return to the England fold. Botham was bowled third ball by Ray Bright without scoring. He made amends with the ball by taking five for 21 in only eleven overs, Australia being bowled out for only 103. The follow-on was enforced and Australia this time made 248, but Botham (none for 47) did not take a wicket. He was injured during the second innings when he accidentally trod on the ball and broke a bone in his foot. He was unable to play again in the 1977 season. His promising start as Test player resulted in two awards. He was named Young Cricketer of the Year for 1977 by the Cricket Writers' Club; and was selected as one of the Wisden Cricketers of the Year (i.e., for 1977 but announced in the 1978 edition). Wisden commented that his 1977 season "was marred only by a week's cricket idleness carrying the drinks at the Prudential matches, and a foot injury which ruined for him the end of the season and probably robbed him of a rare double. He finished with 88 wickets and 738 runs". Importantly, the foot injury was a broken toe sustained when he trod on the ball at Headingley and Botham subsequently needed treatment for it at his local hospital in Taunton. It was while going to one of his appointments that he took a wrong turn and ended up on a children's ward where he learned that some of the children were dying of leukaemia. This incident sparked his charitable crusade on behalf of leukaemia research. Somerset and England (1977–78 to 1979–80) England were in Pakistan from November 1977 to January 1978, playing three Tests and three LOIs. Botham was almost fully recovered from his foot injury but did not play in any of the Tests. He took part in all three LOIs and in some of the first-class matches against club teams. From January to March, England were in New Zealand for a three-match Test series under the captaincy of Geoff Boycott. Botham impressed in a first-class match against Canterbury at Lancaster Park, scoring 126 not out in the second innings against an attack including Richard Hadlee and was selected for the first Test at Basin Reserve. Botham had an indifferent game there and England, twice bowled out by Hadlee, lost by 72 runs. In the next match at Carisbrook against Otago, Botham achieved a 10wM with seven for 58 (his career best return to date) in the second innings, enabling the England XI to win by six wickets. England won the second Test at Lancaster Park by 174 runs after an outstanding all-round performance by Botham who scored 103 and 30 not out and took five for 73 and three for 38. He also held three catches. In the second innings, promoted up the order to get quick runs before an overnight declaration, he was responsible for calling for a risky run that led to the run-out dismissal of acting-captain Geoff Boycott: Botham's own published autobiography alleges that this was deliberately done, on the orders of acting vice-captain Bob Willis, because Boycott was scoring too slowly. The final Test was played at Eden Park and was drawn, the series ending 1–1. New Zealand batted first and totalled 315 with Geoff Howarth scoring 122. Botham took five for 109 in 34 overs. England replied with 429 all out (Clive Radley 158, Botham 53). New Zealand then chose to bat out time and Howarth scored his second century of the match (Botham none for 51). Botham's form in New Zealand cemented his place in the England team. In the 1978 English season, Pakistan and New Zealand both visited to play three Tests each and Botham featured in all six matches. Having scored exactly 100 in the first Test against Pakistan at Edgbaston, England winning by an innings and 57 runs, Botham in the second at Lord's scored 108 and then, after none for 17 in the first innings, achieved his Test and first-class career best return of eight for 34 in the second, England winning by an innings and 120 runs. The third Test was ruined by the weather and England won the series 2–0. Against New Zealand, Botham did little with the bat but his bowling was outstanding. In the second Test he took nine wickets in the match as England won by an innings and then a 10wM in the final match at Lord's with six for 101 and five for 39. England won the series 3–0. Due to his England commitments, Botham appeared infrequently for Somerset in 1978. His best performances for them were a return of seven for 61 against Glamorgan and an innings of 80 against Sussex in the Gillette Cup final at Lord's. This was Somerset's first limited overs final and they lost by five wickets despite Botham's effort. They were involved in a tight contest for the JPL title and were placed second on run rate after tying with Hampshire and Leicestershire on 48 points each. Somerset did quite well in the County Championship, finishing fifth after winning nine matches, and reached the semi-final of the B&H Cup. Botham's first tour of Australia was in 1978–79. England, defending the Ashes they had regained in 1977, played six Tests under Mike Brearley's leadership. Australia had what was effectively "a reserve team" because their leading players were contracted to World Series Cricket for the season. The difference in standard was evident on the first day of the first Test at the Gabba as Botham, Chris Old and Bob Willis bowled them out for only 116 in just 38 overs, England going on to win easily enough by seven wickets. Apart from a surprise defeat in the third Test, England were never troubled and won the series 5–1. Botham's performance in the series was satisfactory but there were no headlines and only modest averages. He took 23 wickets at 24.65 with a best return of four for 42. He scored 291 runs with a highest of 74 at 29.10. He held 11 catches. Botham played for England in the 1979 Cricket World Cup and was a member of their losing team in the final. He was again an infrequent member of the Somerset team because of the World Cup and the Test series against India. It became a memorable season for Somerset as they built on their form in 1978 to win both the Gillette Cup and the JPL, their first-ever senior trophies. Botham played in the Gillette Cup final at Lord's, in which they defeated Northamptonshire by 45 runs, thanks to a century by Viv Richards. They slipped to eighth in the County Championship. In the B&H Cup, however, they were expelled from the competition for bringing the game into disrepute after an unsporting declaration, designed to protect the team's run rate, by team captain Brian Rose. The England v India series in 1979 took place after the World Cup ended and four Tests were played. England won the first at Edgbaston by an innings and 83 runs after opening with a massive total of 633 for five declared. Botham scored 33 and then took two for 86 and five for 70. On the first day of the second Test at Lord's, Botham swept through the Indian batting with five for 35 and a catch off Mike Hendrick to dismiss them for only 96 in 56 overs. Surprisingly, however, India recovered to salvage a draw. In the third Test at Headingley, it was Botham the batsman who did the business, scoring 137 from 152 balls in England's first innings total of 270 (the next highest innings was 31 by Geoff Boycott). The match was ruined by the weather and was drawn. In the final Test at The Oval, England opened with 305 (Botham 38); India replied with 202 (Botham four for 65); and England with 334 for eight declared (Botham run out for a duck) extended their lead to 437 with four sessions remaining. Thanks to a brilliant 221 by Sunil Gavaskar, India came agonisingly close to pulling off a remarkable last day victory but ran out of time on 429 for eight (Botham three for 97), just nine runs short, and so England won the series 1–0 with three draws. The shambolic state of international cricket at the end of the 1970s was illustrated by the panic resulting from a hastily convened settlement between World Series Cricket and the Australian Board of Control. Although they had visited Australia only twelve months earlier to play for the Ashes, England were persuaded to go there again and play another three Tests, but with the Ashes not at stake. As Wisden put it, the programme did not have the best interests of cricket at heart, particularly Australian cricket below Test level, which had been "swamped by the accent on Test and one-day internationals, neatly parcelled to present a cricketing package suitable for maximum exploitation on television". The matches were widely perceived to be semi-official only and received "a definite thumbs down". Botham was a member of the England team and played in all three matches which, rightly or wrongly, count towards his Test statistics. England were largely faithful to the players who had toured Australia the previous winter and Derek Underwood was the only World Series player they recalled; they did not recall Alan Knott, for example, while Tony Greig was beyond the pale. Australia recalled Greg Chappell, Dennis Lillee, Rod Marsh and Jeff Thomson, fielding a team that was a mixture of old and new. In the first match, played at the WACA Ground, Botham had match figures of eleven for 176 but to no avail as Australia won by 138 runs. Having excelled with the ball in that match, Botham did so with his bat in the third one, scoring an unbeaten 119 in the second innings of the third. Australia won all three matches of a series best forgotten for all its attendant politics, but Botham had enhanced his reputation as a world-class all-rounder. Jubilee Test, India, February 1980 Botham's third overseas tour was to India in February 1980. It was the fiftieth anniversary of India's entry into Test cricket and so England played a single commemorative Test at the Wankhede Stadium in Bombay. It turned into a personal triumph for Botham who became the first player in Test history to score a century and take ten wickets in the same match. England's wicketkeeper Bob Taylor held ten catches in the match, eight of them off Botham's bowling. India won the toss and decided to bat first but, with Botham taking six for 58, they were all out on day one for 242. England replied with 296, the highlight being Botham's 114 from just 144 balls; he began his innings with England in trouble at 57 for four. This quickly became 58 for five and Botham was joined by England's other match hero Taylor. England's first five batsmen had contributed just 51 to the total. Botham was often unfairly labelled a "big hitter" but in fact his style was very orthodox (i.e., he "played straight") and in this innings he scored 17 fours but, significantly, no sixes. Taylor provided dogged support and their sixth wicket partnership realised 171 runs. When Botham was out near the end of day two, the score was 229 for six and England reached 232 for six at close of play, still ten runs behind. On the third morning, Taylor led England past India's total and, with useful batting performances by the specialist bowlers, England totalled 296 to gain a first innings lead of 54. India's second innings was a disaster, and they lost eight wickets by the close of play on the third day with only Kapil Dev offering any resistance. They were all out early on the fourth day for 149. Botham was the outstanding performer again, taking seven for 48 which gave him match figures of thirteen for 106. Geoffrey Boycott and Graham Gooch scored the necessary runs for England to win by ten wickets with a day to spare. Somerset and England (1980 to 1980–81) Mike Brearley announced his retirement from Test cricket after the Jubilee Test in Bombay and, somewhat surprisingly given his lack of captaincy experience, Botham was appointed to replace him as England's captain for the forthcoming home series against West Indies, who were at the time the world's outstanding team. Botham led England in twelve Tests in 1980 and 1981 but he was unsuccessful, the team achieving no wins, eight draws and four defeats under his leadership. In addition, his form suffered and was eventually dismissed from the post, although he did actually resign just before the selectors were about to fire him. In Botham's defence, nine of his matches as captain were against West Indies, who afterwards won twelve of their next thirteen Tests against England. The other three were all against Australia. In 1980, which was a wet summer, West Indies arguably had the better of all five Test matches, although, with the rain constantly intervening, they were able to win only one of them. Ironically it was the one which they came closest to losing, West Indies winning the first Test by only two wickets, and being at one stage 180/7 chasing a tricky 208. Rain saved England from a probable heavy defeat in the 2nd and 5th Tests: they fared better in between. In the 3rd, England conceded a first-innings lead of 110, but replied strongly in the second innings with a painstakingly slow and defensive 391/7, which would have resulted in a difficult target for the Windies had there been another day to chase it – but the third day had been rained off, and time ran out. In the Fourth Test, England picked up their only first-innings lead of the series – of 105 runs – but collapsed catastrophically in the second, before being saved by a century partnership for the last wicket between Willey (100*) and Willis (24*) to reach a total 201/9, and again the loss of a day and a half to rain left no time for the Windies to chase a potentially tough target above 300. Botham had a poor season as a bowler and, in all first-class cricket, took just 40 wickets at the high average of 34.67 with a best return of only four for 38. He did better as a batsman, scoring 1,149 runs (the second time, after 1976, that he topped a thousand in a season) at 42.55: but this did not translate to form in the Tests. He completed two centuries and six other half-centuries for his county. His highest score in the season was ultimately the highest of his career: 228 for Somerset against Gloucestershire at Taunton in May. He batted for just over three hours, hitting 27 fours and ten sixes. With Gloucestershire batting out time for a draw on the final day, Somerset used all eleven players as bowlers. Apart from an innings of 57 in the first Test, Botham contributed little to England in the series and that innings was the only time he reached 50 in all his twelve Tests as England captain. Somerset came close to retaining their JPL title in 1980 but had to be content with second place, only two points behind Warwickshire. They finished a credible fifth in the County Championship but were eliminated from both the Gillette and B&H Cups in the opening phase. Botham led England on the controversial tour of the West Indies from January to April 1981. The second Test, scheduled to be played at Bourda, was cancelled after the Guyanese government revoking the visa of Robin Jackman because of his playing and coaching links with South Africa. The other four Tests were played and West Indies won the series 2–0 but England were helped by rain in the two drawn matches. Botham took the most wickets for England, but Wisden said "his bowling never recovered the full rhythm of a year before". His batting, however, apart from one good LOI performance in the first one-day international "was found wanting in technique, concentration and eventually in confidence". In Wisden's view, Botham's loss of form "could be cited as eloquent evidence of the undesirability of saddling a fast bowler and vital all-rounder with the extra burden of captaincy". The closest England came to a victory was in the first ODI, in which England bowled the West Indies out for 127 but, thanks to six wickets from Colin Croft, failed by two runs in the chase which was anchored by Botham's 60: this was, at the time, the lowest ODI total batting first to be successfully defended. Somerset and England (1981) The England captaincy had affected Botham's form as a player and in his last Test as captain, against Australia at Lord's in 1981, he was dismissed for a pair. According to Wisden editor Matthew Engel, writing in ESPNcricinfo, Botham "resigned (a minute before being sacked), his form shot to pieces" after that match. Australia were then leading the series 1–0 after two Tests with four more to be played. Botham was replaced by the returning Mike Brearley, who had been his predecessor until retiring from Test cricket in 1980. Botham continued to play for England under Brearley and achieved the highpoint of his career in the next three Tests as England recovered to win The Ashes. In the third Test at Headingley, Australia opened with 401 for 9 declared, despite good bowling by Botham who took 6 for 95. England responded poorly and were dismissed for 174. Botham was the only batsman to perform at all well and scored 50, which was his first Test half-century since he had been awarded the captaincy thirteen Tests earlier. Having been forced to follow-on, England collapsed again and at 135 for 7 on the afternoon of the fourth day, an innings defeat looked certain. Bookmakers had reportedly been offering odds of 500/1 against an England win after the follow-on was enforced. Botham, himself not long at the wicket, was the sole remaining recognised batsman as he was joined by the fast bowler Graham Dilley, number nine in the batting order, with only Chris Old and Bob Willis to come. With able support from Dilley (56) and Old (29), Botham hit out and by the close of play was 145 not out with Willis hanging on at the other end on 1 not out. England's lead was just 124 but there remained a glimmer of hope. On the final day's play, Botham reached 149 not out before Willis's wicket fell. Australia, with plenty of time remaining, needed 130 to win and were generally expected to get them; but after Botham took the first wicket, Willis took 8 for 43 to dismiss Australia for only 111. England had won by 18 runs; it was only the second time in history that a team following on had won a Test match. Botham's outstanding form continued through the next two Tests. In the fourth at Edgbaston, a low-scoring match left Australia batting last and needing 151 to win. They reached 105 for 5 and were still favourites at that point but, in an inspired spell of bowling, Botham then took five wickets for only one run in 28 balls to give England victory by 29 runs. In the fifth Test at Old Trafford, Botham scored 118 in a partnership of 149 with Chris Tavaré before he was dismissed. He hit six sixes in that innings. England won that match to take a winning 3–1 series lead. The last Test at The Oval was drawn, Botham achieving a 10wM by taking six for 125 and four for 128. He was named Man of the Series after scoring 399 runs, taking 34 wickets and holding 12 catches. Somerset won the Benson & Hedges Cup for the first time in 1981 and did well in the County Championship too, finishing third. They were again runners-up in the JPL, but a long way behind the winners Essex. In the renamed NatWest Trophy (formerly Gillette Cup), Somerset were knocked out in the second round. Botham played in the B&H final at Lord's, in which Somerset defeated Surrey by seven wickets. He took no wickets but provided Viv Richards (132 not out) with good support in the run chase. Botham ended the season with 67 wickets at 25.55, a best return of six for 90 (for Somerset v Sussex) and one 10wM (sixth Test). He scored 925 runs with a highest of 149* (third Test) at 42.04; and held 19 catches. Somerset and England (1981–82 to 1983–84) During this period, Botham played in 25 Tests. There were home series against both India and Pakistan in 1982; and New Zealand in 1983. His overseas tours were to India and Sri Lanka in 1981–82 (he took part in the inaugural Test played by Sri Lanka); to Australia in 1982–83; and to New Zealand and Pakistan in 1983–84. He played for England in the 1983 Cricket World Cup and was a member of their losing team in the semi-final. Botham's return to India was less than triumphant and Wisden took him to task for his "ineffectiveness with the ball". Having achieved a match analysis of nine for 133 at Bombay, where England were beaten on a poor pitch, Botham took only eight more wickets, at 65 each, in the last five Tests and Wisden said this "was a telling blow to England's chance of levelling the series". 1982 was a good all-round season for Botham, especially as Somerset retained the Benson & Hedges Cup. In 17 first-class matches, he scored 1,241 runs with a highest of 208 against India (this was ultimately his career highest in Test cricket) at a good average of 44.32. He took 66 wickets at the low average of 22.98 with a best return of five for 46. England won their Test series against Pakistan by 2–1 and the one against India 1–0. Botham scored two centuries against India: 128 at Old Trafford and his career high 208 at The Oval. Somerset finished sixth and ninth in the County Championship and the JPL respectively. They reached the quarter-final of the NatWest Trophy and their season highlight was retaining the B&H Cup they won in 1981. In the final at Lord's, Somerset dismissed Nottinghamshire for only 130 (Botham two for 19)and won easily by nine wickets. Botham toured Australia again in 1982–83 with England seeking to retain the Ashes, but Australia won the series 2–1 despite England winning, at the Melbourne Cricket Ground (MCG), a Test described by Wisden as "one of the most exciting Test matches ever played". Botham had a poor series and tour. He played in nine first-class matches and scored only 434 runs at the low average of 24.11 with a highest of 65. He was no better with the ball, taking just 29 wickets for a too-high 35.62 with a best return of four for 43. He
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platform. However, on January 26, 2012, Besset announced that he had left id. John Carmack has expressed his stance with regard to Linux builds in the past. In December 2000 Todd Hollenshead expressed support for Linux: "All said, we will continue to be a leading supporter of the Linux platform because we believe it is a technically sound OS and is the OS of choice for many server ops." However, on April 25, 2012, Carmack revealed that "there are no plans for a native Linux client" of id's most recent game, Rage. In February 2013, Carmack argued for improving emulation as the "proper technical direction for gaming on Linux", though this was also due to ZeniMax's refusal to support "unofficial binaries", given all prior ports (except for Quake III Arena, via Loki Software, and earlier versions of Quake Live) having only ever been unofficial. Carmack didn't mention official games Quake: The Offering and Quake II: Colossus ported by id Software to Linux and published by Macmillan Computer Publishing USA. Despite no longer releasing native binaries, id has been an early adopter of Stadia, a cloud gaming service powered by Debian Linux servers, and the cross-platform Vulkan API. Games Commander Keen Commander Keen in Invasion of the Vorticons, a platform game in the style of those for the Nintendo Entertainment System, was one of the first MS-DOS games with smooth horizontal-scrolling. Published by Apogee Software, the title and follow-ups brought id Software success as a shareware developer. It is the series of id Software that designer Tom Hall is most affiliated with. The first Commander Keen trilogy was released on December 14, 1990. Wolfenstein The company's breakout product was released on May 5, 1992: Wolfenstein 3D, a first-person shooter (FPS) with smooth 3D graphics that were unprecedented in computer games, and with violent gameplay that many gamers found engaging. After essentially founding an entire genre with this game, id Software created Doom, Doom II: Hell on Earth, Quake, Quake II, Quake III Arena, Quake 4, and Doom 3. Each of these first-person shooters featured progressively higher levels of graphical technology. Wolfenstein 3D spawned a prequel and a sequel: the prequel called Spear of Destiny, and the second, Return to Castle Wolfenstein, using the id Tech 3 engine. A third Wolfenstein sequel, simply titled Wolfenstein, was released by Raven Software, using the id Tech 4 engine. Another sequel, named Wolfenstein: The New Order; was developed by MachineGames using the id Tech 5 engine and released in 2014, with it getting a prequel by the name of Wolfenstein: The Old Blood a year later; followed by a direct sequel titled Wolfenstein II: The New Colossus in 2017. Doom Eighteen months after their release of Wolfenstein 3D, on December 10, 1993, id Software released Doom which would again set new standards for graphic quality and graphic violence in computer gaming. Doom featured a sci-fi/horror setting with graphic quality that had never been seen on personal computers or even video game consoles. Doom became a cultural phenomenon and its violent theme would eventually launch a new wave of criticism decrying the dangers of violence in video games. Doom was ported to numerous platforms, inspired many knock-offs, and was eventually followed by the technically similar Doom II: Hell on Earth. id Software made its mark in video game history with the shareware release of Doom, and eventually revisited the theme of this game in 2004 with their release of Doom 3. John Carmack said in an interview at QuakeCon 2007 that there would be a Doom 4. It began development on May 7, 2008. Doom 2016, the fourth installation of the Doom series, was released on Microsoft Windows, PlayStation 4, and Xbox One on May 13, 2016, and was later released on Nintendo Switch on November 10, 2017. In June 2018, the sequel to the 2016 Doom, Doom Eternal was officially announced at E3 2018 with a teaser trailer, followed by a gameplay reveal at QuakeCon in August 2018. Quake On June 22, 1996, the release of Quake marked the third milestone in id Software history. Quake combined a cutting edge fully 3D engine, the Quake engine, with a distinctive art style to create critically acclaimed graphics for its time. Audio was not neglected either, having recruited Nine Inch Nails frontman Trent Reznor to facilitate unique sound effects and ambient music for the game. (A small homage was paid to Nine Inch Nails in the form of the band's logo appearing on the ammunition boxes for the nailgun weapon.) It also included the work of Michael Abrash. Furthermore, Quake's main innovation, the capability to play a deathmatch (competitive gameplay between living opponents instead of against computer-controlled characters) over the Internet (especially through the add-on QuakeWorld), seared the title into the minds of gamers as another smash hit. In 2008, id Software was honored at the 59th Annual Technology & Engineering Emmy Awards for the pioneering work Quake represented in user modifiable games. id Software is the only game development company ever honored twice by the National Academy of Television Arts & Sciences, having been given an Emmy Award in 2007 for creation of the 3D technology that underlies modern shooter video games. The Quake series continued with Quake II in 1997. Activision purchased a 49% stake in id Software, making it a second party which took publishing duties until 2009. However, the game is not a storyline sequel, and instead focuses on an assault on an alien planet, Stroggos, in retaliation for Strogg attacks on Earth. Most of the subsequent entries in the Quake franchise follow this storyline. Quake III Arena (1999), the next title in the series, has minimal plot, but centers around the "Arena Eternal", a gladiatorial setting created by an alien race known as the Vadrigar and populated by combatants plucked from various points in time and space. Among these combatants are some characters either drawn from or based on those in Doom ("Doomguy"), Quake (Ranger, Wrack), and Quake II (Bitterman, Tank Jr., Grunt, Stripe). Quake IV (2005) picks up where Quake II left off – finishing the war between the humans and Strogg. The spin-off Enemy Territory: Quake Wars acts as a prequel to Quake II, when the Strogg first invade Earth. Quake IV and Enemy Territory: Quake Wars were made by outside developers and not id. There have also been other spin-offs such as Quake Mobile in 2005 and Quake Live, an internet browser based modification of Quake III. A game called Quake Arena DS was planned and canceled for the Nintendo DS. John Carmack stated, at QuakeCon 2007, that the id Tech 5 engine would be used for a new Quake game. Rage Todd Hollenshead announced in May 2007 that id Software had begun working on an all new series that would be using a new engine. Hollenshead also mentioned that the title would be completely developed in-house, marking the first game since 2004's Doom 3 to be done so. At 2007's WWDC, John Carmack showed the new engine called id Tech 5. Later that year, at QuakeCon 2007, the title of the new game was revealed as Rage. On July 14, 2008, id Software announced at the 2008 E3 event that they would be publishing Rage through Electronic Arts, and not id's longtime publisher Activision. However, since then ZeniMax has also announced that they are publishing Rage through Bethesda Softworks. On August 12, 2010, during Quakecon 2010, id Software announced Rage US ship date of September 13, 2011, and a European ship date of September 15, 2011. During the keynote, id Software also demonstrated a Rage spin-off title running on the iPhone. This technology demo later became Rage HD. On May 14, 2018, Bethesda Softworks announced Rage 2, a co-development between id Software and Avalanche Studios. Other games During its early days, id Software produced much more varied games; these include the early 3D first-person shooter experiments that led to Wolfenstein 3D and Doom – Hovertank 3D and Catacomb 3D. There was also the Rescue Rover series, which had two games – Rescue Rover and Rescue Rover 2. Also there was John Romero's Dangerous Dave series, which included such notables as the tech demo (In Copyright Infringement) which led to the Commander Keen engine, and the decently popular Dangerous Dave in the Haunted Mansion. In the Haunted Mansion was powered by the same engine as the earlier id Software game Shadow Knights, which was one of the several games written by id Software to fulfill their contractual obligation to produce games for Softdisk, where the id Software founders had been employed. id Software has also overseen several games using its technology that were not made in one of their IPs such as ShadowCaster, (early-id Tech 1), Heretic, Hexen: Beyond Heretic (id Tech 1), Hexen II (Quake engine), and Orcs and Elves (Doom RPG engine). Other media id Software has also published novels based on the Doom series Doom novels. After a brief hiatus from publishing, id resumed and re-launched the novel series in 2008 with Matthew J. Costello's (a story consultant for Doom 3 and now Rage) new Doom 3 novels: Worlds on Fire and Maelstrom. id Software became involved in film development when they oversaw the film adaption of their Doom franchise in 2005. In August 2007, Todd Hollenshead stated at QuakeCon 2007 that a Return to Castle Wolfenstein movie is in development which re-teams the Silent Hill writer/producer team, Roger Avary as writer and director and Samuel Hadida as producer. A new Doom film, titled Doom: Annihilation, was released in 2019, although id itself stressed its lack of involvement. Controversy id Software was the target of controversy over two of their most popular games, Doom and the earlier Wolfenstein 3D: Doom Doom was notorious for its high levels of gore and occultism along with satanic imagery, which generated controversy from a broad range of groups. Yahoo! Games listed it as one of the top ten most controversial games of all time. The game again sparked controversy throughout a period of school shootings in the United States when it was found that Eric Harris and Dylan Klebold, who committed the Columbine High School massacre in 1999, were avid players of the game. While planning for the massacre, Harris said that the killing would be "like playing Doom", and "it'll be like the LA riots, the Oklahoma bombing, World War II, Vietnam, Duke Nukem and Doom all mixed together", and that his shotgun was "straight out of the game". A rumor spread afterwards that Harris had designed a Doom level that looked like the high school, populated with representations of Harris's classmates and teachers, and that Harris practiced for his role in the shootings by playing the level over and over. Although Harris did design Doom levels, none of them were based on Columbine High School. While Doom and other violent video games have been blamed for nationally covered school shootings, 2008 research featured by Greater Good Science Center shows that the two are not closely related. Harvard Medical School researchers Cheryl Olson and Lawrence Kutner found that violent video games did not correlate to school shootings. The United States Secret Service and United States Department of Education analyzed 37 incidents of school violence and sought to develop a profile of school shooters; they discovered that the most common traits among shooters were that they were male and had histories of depression and attempted suicide. While many of the killers—like the vast majority of young teenage boys—did play video games, this study did not find a relationship between gameplay and school shootings. In fact, only one-eighth of the shooters showed any special interest in violent video games, far less than the number of shooters who seemed attracted to books and movies with violent content. Wolfenstein 3D As for Wolfenstein 3D, due to its use of Nazi symbols such as the swastika and the anthem of the Nazi Party, Horst-Wessel-Lied, as theme music, the PC version of the game was withdrawn from circulation in Germany in 1994, following a verdict by the Amtsgericht München on January 25, 1994. Despite the fact that Nazis are portrayed as the enemy in Wolfenstein, the use of those symbols is a federal offense in Germany unless certain circumstances apply. Similarly, the Atari Jaguar version was confiscated following a verdict by the Amtsgericht Berlin Tiergarten on December 7, 1994. Due to concerns from Nintendo of America, the Super NES version was modified to not include any swastikas or Nazi references; furthermore, blood was replaced with sweat to make the game seem less violent, and the attack dogs in the game were replaced by giant mutant rats. Employees of id Software are quoted in The Official DOOM Player Guide about the reaction to Wolfenstein, claiming it to be ironic that it was morally acceptable to shoot people and rats, but not dogs. Two new weapons were added as well. The Super NES version was not as successful as the PC version. People In 2003, the book Masters of Doom chronicled the development of id Software, concentrating on the personalities and interaction of John Carmack and John Romero. Below are the key people involved with id's success. John Carmack Carmack's skill at 3D programming is widely recognized in the software industry and from its inception, he was id's lead programmer. On August 7, 2013, he joined Oculus VR, a company developing virtual reality headsets, and left id Software on November 22, 2013. John Romero John Romero saw the horizontal scrolling demo Dangerous Dave in Copyright Infringement and immediately had the idea to form id Software on September 20, 1990. Romero pioneered the game engine licensing business with his "id Summer Seminar" in 1991 where the Keen4 engine was licensed to Apogee for Biomenace. John also worked closely with the DOOM community and was the face of id to its fans. One success of this engagement was the fan-made game Final DOOM, published in 1996. John also created the control scheme for the FPS, and the abstract level design style of DOOM that influenced many 3D games that came after it. John added par times to Wolfenstein 3D, and then DOOM, which started the phenomenon of Speedrunning. Romero wrote almost all the tools that enabled id Software and many others to develop games with id Software's technology. Romero was forced to resign in 1996 after the release of Quake, then later formed the company Ion Storm. There, he became infamous through the development of Daikatana, which was received negatively from reviewers and gamers alike upon release. Afterward, Romero co-founded The Guildhall in Dallas, Texas, served as chairman of the CPL eSports league, created an MMORPG publisher and developer named Gazillion Entertainment, created a hit Facebook game named Ravenwood Fair that garnered 25 million monthly players in 2011, and started Romero Games in Galway, Ireland in 2015. Both Tom Hall and John Romero have reputations as designers and idea men who have helped shape some of the key PC gaming titles of the 1990s. Tom Hall Tom Hall was forced to resign by id Software during the early days of Doom development, but not before he had some impact; for example, he was responsible for the inclusion of teleporters in the game. He was let go before the shareware release of Doom and then went to work for Apogee, developing Rise of the Triad with the "Developers of Incredible Power". When he finished work on that game, he found he was not compatible with the Prey development team at Apogee, and therefore left to join his ex-id Software compatriot John Romero at Ion Storm. Hall has frequently commented that if he could obtain the rights to Commander Keen, he would immediately develop another Keen title. Sandy Petersen Sandy Petersen was a level designer for 19 of the 27 levels in the original Doom title as well as 17 of the 32
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publishing, including Dangerous Dave. Along with another Softdisk employee, Lane Roathe, they had formed a small group they called Ideas from the Deep (IFD), a name that Romero and Roathe had come up with. In September 1990, Carmack developed an efficient way to rapidly side-scroll graphics on the PC. Upon making this breakthrough, Carmack and Hall stayed up late into the night making a replica of the first level of the popular 1988 NES game Super Mario Bros. 3, inserting stock graphics of Romero's Dangerous Dave character in lieu of Mario. When Romero saw the demo, entitled Dangerous Dave in Copyright Infringement, he realized that Carmack's breakthrough could have potential. The IFD team moonlighted over a week and over two weekends to create a larger demo of their PC version of Super Mario Bros. 3. They sent their work to Nintendo. According to Romero, Nintendo had told them that the demo was impressive, but "they didn't want their intellectual property on anything but their own hardware, so they told us Good Job and You Can't Do This". While the pair had not readily shared the demo though acknowledged its existence in the years since, a working copy of the demo was discovered in July 2021 and preserved at the Museum of Play. Around the same time in 1990, Scott Miller of Apogee Software learned of the group and their exceptional talent, having played one of Romero's Softdisk games, Dangerous Dave, and contacted Romero under the guise of multiple fan letters that Romero came to realize all originated from the same address. When he confronted Miller, Miller explained that the deception was necessary since Softdisk screened letters it received. Although disappointed by not actually having received mail from multiple fans, Romero and other Softdisk developers began proposing ideas to Miller. One of these was Commander Keen, a side-scrolling game that incorporated the previous work they had done on the Super Mario Bros. 3 demonstration. The first Commander Keen game, Commander Keen in Invasion of the Vorticons, was released through Apogee in December 1990, which became a very successful shareware game. After their first royalty check, Romero, Carmack, and Adrian Carmack (no relation) decided to start their own company. After hiring Hall, the group finished the Commander Keen series, then hired Jay Wilbur and Kevin Cloud and began working on Wolfenstein 3D. id Software was officially founded by Romero, John and Adrian Carmack and Hall on February 1, 1991. The name "id" came out of their previous IFD; Roathe had left the group, and they opted to drop the "F" to leave "id". They initially used "id" as an initialism for "In Demand", but by the time of the fourth Commander Keen game, they opted to let "id" stand out "as a cool word", according to Romero. The shareware distribution method was initially employed by id Software through Apogee Software to sell their products, such as the Commander Keen, Wolfenstein and Doom games. They would release the first part of their trilogy as shareware, then sell the other two installments by mail order. Only later (about the time of the release of Doom II) did id Software release their games via more traditional shrink-wrapped boxes in stores (through other game publishers). After Wolfenstein 3Ds great success, id began working on Doom. After Hall left the company, Sandy Petersen and Dave Taylor were hired before the release of Doom in December 1993. The end of the classic lineup Quake was released on June 22, 1996 and was considered a difficult game to develop due to creative differences. Animosity grew within the company and it caused a conflict between Carmack and Romero, which led the latter to leave id after the game's release. Soon after, other staff left the company as well such as Abrash, Shawn Green, Jay Wilbur, Petersen and Mike Wilson. Petersen claimed in July 2021 that the lack of a team leader was the cause of it all. In fact, he volunteered to take lead as he had five years of experience as project manager in MicroProse but he was turned down by Carmack. ZeniMax Media and Microsoft On June 24, 2009, it was announced that id Software had been acquired by ZeniMax Media (owner of Bethesda Softworks). The deal would eventually affect publishing deals id Software had before the acquisition, namely Rage, which was being published through Electronic Arts. ZeniMax received in July a $105 million investment from StrongMail Systems for the id acquisition, it's unknown if that was the exact price of the deal. id Software moved from the "cube-shaped" Mesquite office to a location in Richardson, Texas during the spring of 2011. On June 26, 2013, id Software president Todd Hollenshead quit after 17 years of service. On November 22, 2013, it was announced id Software co-founder and Technical Director John Carmack had fully resigned from the company to work full-time at Oculus VR which he joined as CTO in August 2013. He was the last of the original founders to leave the company. Tim Willits left the company in 2019. ZeniMax Media was acquired by Microsoft for in March 2021 and became part of Xbox Game Studios. Company name The company writes its name with a lowercase id, which is pronounced as in "did" or "kid", and, according to the book Masters of Doom, the group identified itself as "Ideas from the Deep" in the early days of Softdisk but that, in the end, the name 'id' came from the phrase "in demand".<ref>{{cite book |url=https://books.google.com/books?id=yyaxyKjyp2YC |title=Masters of Doom: How Two Guys Created an Empire and Transformed Pop Culture |author=David Kushner |publisher=Random House |date=April 24, 2003 |isbn=9780812972153 |access-date=May 5, 2016}}</ref> Disliking "in demand" as "lame", someone suggested a connection with Sigmund Freud's psychological concept of id, which the others accepted. Evidence of the reference can be found as early as Wolfenstein 3D with the statement "that's id, as in the id, ego, and superego in the psyche" appearing in the game's documentation. Prior to an update to the website, id's History page made a direct reference to Freud. Key employees Kevin Cloud — Artist (1992-2006), Executive producer (2007–present) Donna Jackson — Office manager / "id mom" (1994–present) Marty Stratton — Director of Business Development (1997-2006), Executive Producer (2006–present) Studio Director (2019–present) Robert Duffy — Chief Technology Officer (1998–present) Hugo Martin — Creative Director (2013–present) Former key employees Arranged in chronological order: Tom Hall — Co-founder, game designer, level designer, writer, creative director (1991–1993). After a dispute with John Carmack over the designs of Doom, Hall was forced to resign from id Software in August 1993. He joined 3D Realms soon afterwards. Bobby Prince — Music composer (1991–1994). A freelance musician who went on to pursue other projects after Doom II. Dave Taylor — Programmer (1993–1996). Taylor left id Software and co-founded Crack dot Com. John Romero — Co-founder, game designer, programmer (1991–1996). Romero resigned on August 6, 1996. He established Ion Storm along with Hall on November 15, 1996. Michael Abrash — Programmer (1995–1996). Returned to Microsoft after the release of Quake. Shawn Green — Software support (1991–1996). Left id Software to join Romero at Ion Storm. Jay Wilbur — Business manager (1991–1997). Left id Software after Romero's departure and joined Epic Games in 1997. Sandy Petersen — Level designer (1993–1997). Left id Software for Ensemble Studios in 1997. Mike Wilson — PR and marketing (1994–1997). Left id Software to become CEO of Ion Storm with Romero. Left a year later to found Gathering of Developers and later Devolver Digital. American McGee — Level designer (1993–1998). McGee was fired after the release of Quake II. He joined Electronic Arts and created American McGee's Alice. Adrian Carmack — Co-founder, artist (1991–2005). Carmack was forced out of id Software after the release of Doom 3 because he would not sell his stock at a low price to the other owners. Adrian sued id Software and the lawsuit was settled during the Zenimax acquisition in 2009. Todd Hollenshead — President (1996–2013) Left id Software on good terms to work at Nerve Software. John Carmack — Co-founder, technical director (1991–2013). He joined Oculus VR on August 7, 2013, as a side project, but unable to handle two companies at the same time, Carmack resigned from id Software on November 22, 2013, to pursue Oculus full-time, making him the last founding member to leave the company. Tim Willits — Level designer (1995– 2001), creative director (2002–2011), studio director (2012–2019) He is now the chief creative officer at Saber Interactive. Timeline Game development Technology Starting with their first shareware game series, Commander Keen, id Software has licensed the core source code for the game, or what is more commonly known as the engine. Brainstormed by John Romero, id Software held a weekend session titled "The id Summer Seminar" in the summer of 1991 with prospective buyers including Scott Miller, George Broussard, Ken Rogoway, Jim Norwood and Todd Replogle. One of the nights, id Software put together an impromptu game known as "Wac-Man" to demonstrate not only the technical prowess of the Keen engine, but also how it worked internally. id Software has developed their own game engine for each of their titles when moving to the next technological milestone, including Commander Keen, Wolfenstein 3D, ShadowCaster, Doom, Quake, Quake II, and Quake
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"They send us their Jews from Odessa, and we send them our Jews from Odessa." During World War II, Stern was rejected from military service due to flat feet. He then joined the United Service Organizations and performed for US troops. During one such performance on Guadalcanal, a Japanese soldier, mesmerized by his playing, snuck into the audience of US personnel listening to his performance before sneaking back out. Stern toured the Soviet Union in 1951, the first American violinist to do so. In 1967, Stern stated his refusal to return to the USSR until the Soviet regime allowed artists to enter and leave the country freely. His only visit to Germany was in 1999, for a series of master classes, but he never performed publicly in Germany. Stern was married three times. His first marriage, in 1948 to ballerina Nora Kaye, ended in divorce after 18 months, but the two of them remained friends. On August 17, 1951, he married Vera Lindenblit (1927–2015). They had three children together, including conductors Michael and David Stern. Their marriage ended in divorce in 1994 after 43 years. In 1996, Stern married his third wife, Linda Reynolds. His third wife, his three children, and his five grandchildren survived him. Stern died September 22, 2001 of heart failure in a Manhattan, New York, hospital after an extended stay. Music career In 1940, Stern began performing with Russian-born pianist Alexander Zakin, collaborating until 1977. Within musical circles, Stern became renowned both for his recordings and for championing certain younger players. Among his discoveries were cellists Yo-Yo Ma and Jian Wang, and violinists Itzhak Perlman and Pinchas Zukerman. In the 1960s, he played a major role in saving New York City's Carnegie Hall from demolition, by organising the Citizens' Committee to Save Carnegie Hall. Following the purchase of Carnegie Hall by New York City, the Carnegie Hall Corporation was formed, and Stern was chosen as its first president, a title he held until his death. Carnegie Hall later named its main auditorium in his honor. Among Stern's many recordings are concertos by Brahms, Bach, Beethoven, Mendelssohn, Sibelius, Tchaikovsky, and Vivaldi and modern works by Barber, Bartók, Stravinsky, Bernstein, Rochberg, and Dutilleux. The Dutilleux concerto, entitled L'arbre des songes ["The Tree of Dreams"] was a 1985 commission by Stern himself. He also dubbed actors' violin-playing in several films, such as Fiddler on the Roof. Stern served as musical advisor for the 1946 film, Humoresque, about a rising violin star and his patron, played respectively by John Garfield and Joan Crawford. He was also the featured violin soloist on the soundtrack for the 1971 film of Fiddler on the Roof. In 1999, he appeared in the film Music of the Heart, along with Itzhak Perlman and several other famed violinists, with a youth orchestra led by Meryl Streep (the film was based on the true story of a gifted violin teacher in Harlem who eventually took her musicians to play a concert in Carnegie Hall). In his autobiography, co-authored with Chaim Potok, My First 79 Years, Stern cited Nathan Milstein and Arthur Grumiaux as major influences on his style of playing. He won Grammys for his work with Eugene Istomin and Leonard Rose in their famous chamber music trio in the 1960s and '70s, while also continuing his duo work with Alexander Zakin during this time. Stern recorded a series of piano quartets in the 1980s and 1990s with Emanuel Ax, Jaime Laredo and Yo-Yo Ma, including those of Mozart, Beethoven, Schumann and Fauré, winning another Grammy in 1992 for the Brahms quartets Opp. 25 and 26. In 1979, seven years after Richard Nixon made the first official visit by a US president to the country, the People's Republic of China offered Stern and pianist David Golub an unprecedented invitation to tour the country. While there, he collaborated with the China Central Symphony Society (now China National Symphony) under the direction of conductor Li Delun. Their visit was filmed and resulted in the Oscar-winning documentary, From Mao to Mozart: Isaac Stern in China. Ties to Israel Stern maintained close ties with Israel. Stern began performing in the country in 1949. In 1973, he performed for wounded Israeli soldiers during the Yom Kippur War. During the 1991 Gulf War and Iraq's Scud missile attacks on Israel, he had been playing in the Jerusalem Theater. During his performance, an air raid siren sounded, causing the audience to panic. Stern then stepped onto the stage and began playing a movement of Bach. The audience then calmed down, donned gas masks, and sat throughout the rest of his performance. Stern was a supporter of several educational projects in Israel, among them the America-Israel Foundation and the Jerusalem Music Center. Instruments Stern's favorite instrument was the Ysaÿe Guarnerius, one of the violins produced by the Cremonese luthier Giuseppe Guarneri del Gesù. It had previously been played by the violin virtuoso and composer Eugène Ysaÿe. Among other instruments, Stern played the "Kruse-Vormbaum" Stradivarius (1728), the "ex-Stern" Bergonzi (1733), the "Panette" Guarneri del Gesù (1737), a Michele Angelo Bergonzi (1739–1757), the "Arma Senkrah" Guadagnini (1750), a Giovanni Guadagnini (1754), a J. B. Vuillaume copy of the "Panette" Guarneri del Gesu of 1737 (c.1850), and the "ex-Nicolas I" J.B. Vuillaume (1840). He also owned two contemporary instruments by Samuel Zygmuntowicz and modern Italian Jago Peternella Violins. In 2001, Stern's collection of instruments, bows and musical ephemera was sold through Tarisio Auctions. The May 2003 auction set a number of world records and was at the time the second highest grossing violin auction of all time, with total sales of over $3.3M. Awards and commemoration Sonning Award (1982; Denmark) Wolf Prize Kennedy Center Honors (1984) Grammy Award for Best Instrumental Soloist(s) Performance (with orchestra) (1962, 1963, 1965, 1982) Grammy Award for Best Chamber Music Performance (1971, 1992) National Medal of Arts (1991) Presidential Medal of Freedom (1992) Elected to the American Philosophical Society (1995) Polar Music Prize (2000; Sweden) Commandeur de la Légion d'honneur (1990) Gold Medal of the Royal
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1931 before going on to study privately with Louis Persinger. He returned to the San Francisco Conservatory to study for five years with Naoum Blinder, to whom he said he owed the most. At his public début on February 18, 1936, aged 15, he played Saint-Saëns' Violin Concerto No. 3 in B minor with the San Francisco Symphony under the direction of Pierre Monteux. Reflecting on his background, Stern once memorably quipped that cultural exchanges between the U.S. and Soviet Russia were simple affairs: "They send us their Jews from Odessa, and we send them our Jews from Odessa." During World War II, Stern was rejected from military service due to flat feet. He then joined the United Service Organizations and performed for US troops. During one such performance on Guadalcanal, a Japanese soldier, mesmerized by his playing, snuck into the audience of US personnel listening to his performance before sneaking back out. Stern toured the Soviet Union in 1951, the first American violinist to do so. In 1967, Stern stated his refusal to return to the USSR until the Soviet regime allowed artists to enter and leave the country freely. His only visit to Germany was in 1999, for a series of master classes, but he never performed publicly in Germany. Stern was married three times. His first marriage, in 1948 to ballerina Nora Kaye, ended in divorce after 18 months, but the two of them remained friends. On August 17, 1951, he married Vera Lindenblit (1927–2015). They had three children together, including conductors Michael and David Stern. Their marriage ended in divorce in 1994 after 43 years. In 1996, Stern married his third wife, Linda Reynolds. His third wife, his three children, and his five grandchildren survived him. Stern died September 22, 2001 of heart failure in a Manhattan, New York, hospital after an extended stay. Music career In 1940, Stern began performing with Russian-born pianist Alexander Zakin, collaborating until 1977. Within musical circles, Stern became renowned both for his recordings and for championing certain younger players. Among his discoveries were cellists Yo-Yo Ma and Jian Wang, and violinists Itzhak Perlman and Pinchas Zukerman. In the 1960s, he played a major role in saving New York City's Carnegie Hall from demolition, by organising the Citizens' Committee to Save Carnegie Hall. Following the purchase of Carnegie Hall by New York City, the Carnegie Hall Corporation was formed, and Stern was chosen as its first president, a title he held until his death. Carnegie Hall later named its main auditorium in his honor. Among Stern's many recordings are concertos by Brahms, Bach, Beethoven, Mendelssohn, Sibelius, Tchaikovsky, and Vivaldi and modern works by Barber, Bartók, Stravinsky, Bernstein, Rochberg, and Dutilleux. The Dutilleux concerto, entitled L'arbre des songes ["The Tree of Dreams"] was a 1985 commission by Stern himself. He also dubbed actors' violin-playing in several films, such as Fiddler on the Roof. Stern served as musical advisor for the 1946 film, Humoresque, about a rising violin star and his patron, played respectively by John Garfield and Joan Crawford. He was also the featured violin soloist on the soundtrack for the 1971 film of Fiddler on the Roof. In 1999, he appeared in the film Music of the Heart, along with Itzhak Perlman and several other famed violinists, with a youth orchestra led by Meryl Streep (the film was based on the true story of a gifted violin teacher in Harlem who eventually took her musicians to play a concert in Carnegie Hall). In his autobiography, co-authored with Chaim Potok, My First 79 Years, Stern cited Nathan Milstein and Arthur Grumiaux as major influences on his style of playing. He won Grammys for his work with Eugene Istomin and Leonard Rose in their famous chamber music trio in the 1960s and '70s, while also continuing his duo work with Alexander Zakin during this time. Stern recorded a series of piano quartets in the 1980s and 1990s with Emanuel Ax, Jaime Laredo and Yo-Yo Ma, including those of Mozart, Beethoven, Schumann and Fauré, winning another Grammy in 1992 for the Brahms quartets Opp. 25 and 26. In 1979, seven years after Richard Nixon made the first official visit by a US president to the country, the People's Republic of China offered Stern and pianist David Golub an unprecedented invitation to tour the country. While there, he collaborated with the China Central Symphony Society (now China National Symphony) under the direction of conductor Li Delun. Their visit was filmed and resulted in the Oscar-winning documentary, From Mao to Mozart: Isaac Stern in China. Ties to Israel Stern maintained close ties with Israel. Stern began performing in the country in 1949. In 1973, he performed for wounded Israeli soldiers during the Yom Kippur War. During the 1991 Gulf War and Iraq's Scud missile attacks on Israel, he had been playing in the Jerusalem Theater. During his performance, an air raid siren sounded, causing the audience to panic. Stern then stepped onto the stage and began playing a movement of Bach. The audience then calmed down, donned gas masks, and sat throughout the rest of his performance. Stern was a supporter of several educational projects in Israel, among them the America-Israel Foundation and the Jerusalem Music Center. Instruments Stern's favorite instrument was the Ysaÿe Guarnerius, one of the violins produced by the Cremonese luthier Giuseppe Guarneri del Gesù. It had previously been played by the violin virtuoso and composer Eugène Ysaÿe. Among other instruments, Stern played the "Kruse-Vormbaum" Stradivarius (1728), the "ex-Stern" Bergonzi (1733), the "Panette" Guarneri del Gesù (1737), a Michele Angelo Bergonzi (1739–1757), the "Arma Senkrah" Guadagnini (1750), a Giovanni Guadagnini (1754), a J. B. Vuillaume copy of the "Panette" Guarneri del Gesu of 1737 (c.1850), and the "ex-Nicolas I" J.B. Vuillaume (1840). He also owned two contemporary instruments by Samuel Zygmuntowicz and modern Italian Jago Peternella Violins. In 2001, Stern's collection of instruments, bows
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differentiated, the original function is retrieved. An important consequence, sometimes called the second fundamental theorem of calculus, allows one to compute integrals by using an antiderivative of the function to be integrated. First theorem Let be a continuous real-valued function defined on a closed interval . Let be the function defined, for all in , by Then, is continuous on , differentiable on the open interval , and for all in . Second theorem Let be a real-valued function defined on a closed interval [] that admits an antiderivative on . That is, and are functions such that for all in , If is integrable on then Extensions Improper integrals A "proper" Riemann integral assumes the integrand is defined and finite on a closed and bounded interval, bracketed by the limits of integration. An improper integral occurs when one or more of these conditions is not satisfied. In some cases such integrals may be defined by considering the limit of a sequence of proper Riemann integrals on progressively larger intervals. If the interval is unbounded, for instance at its upper end, then the improper integral is the limit as that endpoint goes to infinity: If the integrand is only defined or finite on a half-open interval, for instance , then again a limit may provide a finite result: That is, the improper integral is the limit of proper integrals as one endpoint of the interval of integration approaches either a specified real number, or , or . In more complicated cases, limits are required at both endpoints, or at interior points. Multiple integration Just as the definite integral of a positive function of one variable represents the area of the region between the graph of the function and the x-axis, the double integral of a positive function of two variables represents the volume of the region between the surface defined by the function and the plane that contains its domain. For example, a function in two dimensions depends on two real variables, x and y, and the integral of a function f over the rectangle R given as the Cartesian product of two intervals can be written where the differential indicates that integration is taken with respect to area. This double integral can be defined using Riemann sums, and represents the (signed) volume under the graph of over the domain R. Under suitable conditions (e.g., if f is continuous), Fubini's theorem states that this integral can be expressed as an equivalent iterated integral This reduces the problem of computing a double integral to computing one-dimensional integrals. Because of this, another notation for the integral over R uses a double integral sign: Integration over more general domains is possible. The integral of a function f, with respect to volume, over an n-dimensional region D of is denoted by symbols such as: Line integrals and surface integrals The concept of an integral can be extended to more general domains of integration, such as curved lines and surfaces inside higher-dimensional spaces. Such integrals are known as line integrals and surface integrals respectively. These have important applications in physics, as when dealing with vector fields. A line integral (sometimes called a path integral) is an integral where the function to be integrated is evaluated along a curve. Various different line integrals are in use. In the case of a closed curve it is also called a contour integral. The function to be integrated may be a scalar field or a vector field. The value of the line integral is the sum of values of the field at all points on the curve, weighted by some scalar function on the curve (commonly arc length or, for a vector field, the scalar product of the vector field with a differential vector in the curve). This weighting distinguishes the line integral from simpler integrals defined on intervals. Many simple formulas in physics have natural continuous analogs in terms of line integrals; for example, the fact that work is equal to force, , multiplied by displacement, , may be expressed (in terms of vector quantities) as: For an object moving along a path in a vector field such as an electric field or gravitational field, the total work done by the field on the object is obtained by summing up the differential work done in moving from to . This gives the line integral A surface integral generalizes double integrals to integration over a surface (which may be a curved set in space); it can be thought of as the double integral analog of the line integral. The function to be integrated may be a scalar field or a vector field. The value of the surface integral is the sum of the field at all points on the surface. This can be achieved by splitting the surface into surface elements, which provide the partitioning for Riemann sums. For an example of applications of surface integrals, consider a vector field on a surface ; that is, for each point in , is a vector. Imagine that a fluid flows through , such that determines the velocity of the fluid at . The flux is defined as the quantity of fluid flowing through in unit amount of time. To find the flux, one need to take the dot product of with the unit surface normal to at each point, which will give a scalar field, which is integrated over the surface: The fluid flux in this example may be from a physical fluid such as water or air, or from electrical or magnetic flux. Thus surface integrals have applications in physics, particularly with the classical theory of electromagnetism. Contour integrals In complex analysis, the integrand is a complex-valued function of a complex variable instead of a real function of a real variable . When a complex function is integrated along a curve in the complex plane, the integral is denoted as follows This is known as a contour integral. Integrals of differential forms A differential form is a mathematical concept in the fields of multivariable calculus, differential topology, and tensors. Differential forms are organized by degree. For example, a one-form is a weighted sum of the differentials of the coordinates, such as: where E, F, G are functions in three dimensions. A differential one-form can be integrated over an oriented path, and the resulting integral is just another way of writing a line integral. Here the basic differentials dx, dy, dz measure infinitesimal oriented lengths parallel to the three coordinate axes. A differential two-form is a sum of the form Here the basic two-forms measure oriented areas parallel to the coordinate two-planes. The symbol denotes the wedge product, which is similar to the cross product in the sense that the wedge product of two forms representing oriented lengths represents an oriented area. A two-form can be integrated over an oriented surface, and the resulting integral is equivalent to the surface integral giving the flux of . Unlike the cross product, and the three-dimensional vector calculus, the wedge product and the calculus of differential forms makes sense in arbitrary dimension and on more general manifolds (curves, surfaces, and their higher-dimensional analogs). The exterior derivative plays the role of the gradient and curl of vector calculus, and Stokes' theorem simultaneously generalizes the three theorems of vector calculus: the divergence theorem, Green's theorem, and the Kelvin-Stokes theorem. Summations The discrete equivalent of integration is summation. Summations and integrals can be put on the same foundations using the theory of Lebesgue integrals or time scale calculus. Applications Integrals are used extensively in many areas. For example, in probability theory, integrals are used to determine the probability of some random variable falling within a certain range. Moreover, the integral under an entire probability density function must equal 1, which provides a test of whether a function with no negative values could be a density function or not. Integrals can be used for computing the area of a two-dimensional region that has a curved boundary, as well as computing the volume of a three-dimensional object that has a curved boundary. The area of a two-dimensional region can be calculated using the aforementioned definite integral. The volume of a three-dimensional object such as a disc or washer can be computed by disc integration using the equation for the volume of a cylinder, , where is the radius. In the case of a simple disc created by rotating a curve about the -axis, the radius is given by , and its height is the differential . Using an integral with bounds and , the volume of the disc is equal to:Integrals are also used in physics, in areas like kinematics to find quantities like displacement, time, and velocity. For example, in rectilinear motion, the displacement of an object over the time interval is given by: where is the velocity expressed as a function of time. The work done by a force (given as a function of position) from an initial position to a final position is: Integrals are also used in thermodynamics, where thermodynamic integration is used to calculate the difference in free energy between two given states. Computation Analytical The most basic technique for computing definite integrals of one real variable is based on the fundamental theorem of calculus. Let be the function of to be integrated over a given interval . Then, find an antiderivative of ; that is, a function such that on the interval. Provided the integrand and integral have no singularities on the path of integration, by the fundamental theorem of calculus, Sometimes it is necessary to use one of the many techniques that have been developed to evaluate integrals. Most of these techniques rewrite one integral as a different one which is hopefully more tractable. Techniques include integration by substitution, integration by parts, integration by trigonometric substitution, and integration by partial fractions. Alternative methods exist to compute more complex integrals. Many nonelementary integrals can be expanded in a Taylor series and integrated term by term. Occasionally, the resulting infinite series can be summed analytically. The method of convolution using Meijer G-functions can also be used, assuming that the integrand can be written as a product of Meijer G-functions. There are also many less common ways of calculating definite integrals; for instance, Parseval's identity can be used to transform an integral over a rectangular region into an infinite sum. Occasionally, an integral can be evaluated by a trick; for an example of this, see Gaussian integral. Computations of volumes of solids of revolution can usually be done with disk integration or shell integration. Specific results which have been worked out by various techniques are collected in the list of integrals. Symbolic Many problems in mathematics, physics, and engineering involve integration where an explicit formula for the integral is desired. Extensive tables of integrals have been compiled and published over the years for this purpose. With the spread of computers, many professionals, educators, and students have turned to computer algebra systems that are specifically designed to perform difficult or tedious tasks, including integration. Symbolic integration has been one of the motivations for the development of the first such systems, like Macsyma
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generalization of the above inequalities, as is the integral of the constant function with value over . In addition, if the inequality between functions is strict, then the inequality between integrals is also strict. That is, if for each in , then Subintervals. If is a subinterval of and is non-negative for all , then Products and absolute values of functions. If and are two functions, then we may consider their pointwise products and powers, and absolute values: If is Riemann-integrable on then the same is true for , and Moreover, if and are both Riemann-integrable then is also Riemann-integrable, and This inequality, known as the Cauchy–Schwarz inequality, plays a prominent role in Hilbert space theory, where the left hand side is interpreted as the inner product of two square-integrable functions and on the interval . Hölder's inequality. Suppose that and are two real numbers, with , and and are two Riemann-integrable functions. Then the functions and are also integrable and the following Hölder's inequality holds: For , Hölder's inequality becomes the Cauchy–Schwarz inequality. Minkowski inequality. Suppose that is a real number and and are Riemann-integrable functions. Then and are also Riemann-integrable and the following Minkowski inequality holds: An analogue of this inequality for Lebesgue integral is used in construction of Lp spaces. Conventions In this section, is a real-valued Riemann-integrable function. The integral over an interval is defined if . This means that the upper and lower sums of the function are evaluated on a partition whose values are increasing. Geometrically, this signifies that integration takes place "left to right", evaluating within intervals where an interval with a higher index lies to the right of one with a lower index. The values and , the end-points of the interval, are called the limits of integration of . Integrals can also be defined if : With , this implies: The first convention is necessary in consideration of taking integrals over subintervals of ; the second says that an integral taken over a degenerate interval, or a point, should be zero. One reason for the first convention is that the integrability of on an interval implies that is integrable on any subinterval , but in particular integrals have the property that if is any element of , then: With the first convention, the resulting relation is then well-defined for any cyclic permutation of , , and . Fundamental theorem of calculus The fundamental theorem of calculus is the statement that differentiation and integration are inverse operations: if a continuous function is first integrated and then differentiated, the original function is retrieved. An important consequence, sometimes called the second fundamental theorem of calculus, allows one to compute integrals by using an antiderivative of the function to be integrated. First theorem Let be a continuous real-valued function defined on a closed interval . Let be the function defined, for all in , by Then, is continuous on , differentiable on the open interval , and for all in . Second theorem Let be a real-valued function defined on a closed interval [] that admits an antiderivative on . That is, and are functions such that for all in , If is integrable on then Extensions Improper integrals A "proper" Riemann integral assumes the integrand is defined and finite on a closed and bounded interval, bracketed by the limits of integration. An improper integral occurs when one or more of these conditions is not satisfied. In some cases such integrals may be defined by considering the limit of a sequence of proper Riemann integrals on progressively larger intervals. If the interval is unbounded, for instance at its upper end, then the improper integral is the limit as that endpoint goes to infinity: If the integrand is only defined or finite on a half-open interval, for instance , then again a limit may provide a finite result: That is, the improper integral is the limit of proper integrals as one endpoint of the interval of integration approaches either a specified real number, or , or . In more complicated cases, limits are required at both endpoints, or at interior points. Multiple integration Just as the definite integral of a positive function of one variable represents the area of the region between the graph of the function and the x-axis, the double integral of a positive function of two variables represents the volume of the region between the surface defined by the function and the plane that contains its domain. For example, a function in two dimensions depends on two real variables, x and y, and the integral of a function f over the rectangle R given as the Cartesian product of two intervals can be written where the differential indicates that integration is taken with respect to area. This double integral can be defined using Riemann sums, and represents the (signed) volume under the graph of over the domain R. Under suitable conditions (e.g., if f is continuous), Fubini's theorem states that this integral can be expressed as an equivalent iterated integral This reduces the problem of computing a double integral to computing one-dimensional integrals. Because of this, another notation for the integral over R uses a double integral sign: Integration over more general domains is possible. The integral of a function f, with respect to volume, over an n-dimensional region D of is denoted by symbols such as: Line integrals and surface integrals The concept of an integral can be extended to more general domains of integration, such as curved lines and surfaces inside higher-dimensional spaces. Such integrals are known as line integrals and surface integrals respectively. These have important applications in physics, as when dealing with vector fields. A line integral (sometimes called a path integral) is an integral where the function to be integrated is evaluated along a curve. Various different line integrals are in use. In the case of a closed curve it is also called a contour integral. The function to be integrated may be a scalar field or a vector field. The value of the line integral is the sum of values of the field at all points on the curve, weighted by some scalar function on the curve (commonly arc length or, for a vector field, the scalar product of the vector field with a differential vector in the curve). This weighting distinguishes the line integral from simpler integrals defined on intervals. Many simple formulas in physics have natural continuous analogs in terms of line integrals; for example, the fact that work is equal to force, , multiplied by displacement, , may be expressed (in terms of vector quantities) as: For an object moving along a path in a vector field such as an electric field or gravitational field, the total work done by the field on the object is obtained by summing up the differential work done in moving from to . This gives the line integral A surface integral generalizes double integrals to integration over a surface (which may be a curved set in space); it can be thought of as the double integral analog of the line integral. The function to be integrated may be a scalar field or a vector field. The value of the surface integral is the sum of the field at all points on the surface. This can be achieved by splitting the surface into surface elements, which provide the partitioning for Riemann sums. For an example of applications of surface integrals, consider a vector field on a surface ; that is, for each point in , is a vector. Imagine that a fluid flows through , such that determines the velocity of the fluid at . The flux is defined as the quantity of fluid flowing through in unit amount of time. To find the flux, one need to take the dot product of with the unit surface normal to at each point, which will give a scalar field, which is integrated over the surface: The fluid flux in this example may be from a physical fluid such as water or air, or from electrical or magnetic flux. Thus surface integrals have applications in physics, particularly with the classical theory of electromagnetism. Contour integrals In complex analysis, the integrand is a complex-valued function of a complex variable instead of a real function of a real variable . When a complex function is integrated along a curve in the complex plane, the integral is denoted as follows This is known as a contour integral. Integrals of differential forms A differential form is a mathematical concept in the fields of multivariable calculus, differential topology, and tensors. Differential forms are organized by degree. For example, a one-form is a weighted sum of the differentials of the coordinates, such as: where E, F, G are functions in three dimensions. A differential one-form can be integrated over an oriented path, and the resulting integral is just another way of writing a line integral. Here the basic differentials dx, dy, dz measure infinitesimal oriented lengths parallel to the three coordinate axes. A differential two-form is a sum of the form Here the basic two-forms measure oriented areas parallel to the coordinate two-planes. The symbol denotes the wedge product, which is similar to the cross product in the sense that the wedge product of two forms representing oriented lengths represents an oriented area. A two-form can be integrated over an oriented surface, and the resulting integral is equivalent to the surface integral giving the flux of . Unlike the cross product, and the three-dimensional vector calculus, the wedge product and the calculus of differential forms makes sense in arbitrary dimension and on more general manifolds (curves, surfaces, and their higher-dimensional analogs). The exterior derivative plays the role of the gradient and curl of vector calculus, and Stokes' theorem simultaneously generalizes the three theorems of vector calculus: the divergence theorem, Green's theorem, and the Kelvin-Stokes theorem. Summations The discrete equivalent of integration is summation. Summations and integrals can be put on the same foundations using the theory of Lebesgue integrals or time scale calculus. Applications Integrals are used extensively in many areas. For example, in probability theory, integrals are used to determine the probability of some random variable falling within a certain range. Moreover, the integral under an entire probability density function must equal 1, which provides a test of whether a function with no negative values could be a density function or not. Integrals can be used for computing the area of a two-dimensional region that has a curved boundary, as well as computing the volume of a three-dimensional object that has a curved boundary. The area of a two-dimensional region can be calculated using the aforementioned definite integral. The volume of a three-dimensional object such as a disc or washer can be computed by disc integration using the equation for the volume of a cylinder, , where is the radius. In the case of a simple disc created by rotating a curve about the -axis, the radius is given by , and its height is the differential . Using an integral with bounds and , the volume of the disc is equal to:Integrals
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captives through the streets of Jerusalem." The letter warns American Jews against supporting Begin's request for funding of his political party Herut, and ends with the warning: "The discrepancies between the bold claims now being made by Begin and his party and their record of past performance in Palestine bear the imprint of no ordinary political party. This is the unmistakable stamp of a Fascist party for whom terrorism (against Jews, Arabs, and British alike), and misrepresentation are means, and a "Leader State" is the goal." Lehi was described as a terrorist organization by the British authorities and United Nations mediator Ralph Bunche. Jewish public opinion During the conflict between Arabs and Jews in Palestine before the war, the criterion of "Purity of arms" was used to distinguish between the respective attitudes of the Irgun and Haganah towards Arabs, with the latter priding itself on its adherence to principle. The Jewish society in the British Mandate Palestine generally disapproved and denounced violent attacks both on grounds of moral rejection and political disagreement, stressing that terrorism is counter-productive in the Zionist quest for Jewish self-determination. Generally speaking, this precept requires that "weapons remain pure [and that] they are employed only in self-defence and [never] against innocent civilians and defenceless people". But if it "remained a central value in education" it was "rather vague and intentionally blurred" at the practical level. In 1946, at a meeting held between the heads of the Haganah, David Ben-Gurion predicted a confrontation between the Arabs of Palestine and the Arab states. Concerning the "principle of purity of arms", he stressed that: "The end does not justify all means. Our war is based on moral grounds" and during the 1948 War, the Mapam, the political party affiliated to Palmach, asked "a strict observance of the Jewish Purity of arms to secure the moral character of [the] war". When he was later criticized by Mapam members for his attitude concerning the Arab refugee problem, Ben-Gurion reminded them of the Palestinian exodus from Lydda and Ramle and the fact Palmah officers had been responsible for the "outrage that had encouraged the Arabs' flight made the party uncomfortable." According to Avi Shlaim, this condemnation of the use of violence is one of the key features of 'the conventional Zionist account or old history' whose 'popular-heroic-moralistic version' is 'taught in Israeli schools and used extensively in the quest for legitimacy abroad'. Benny Morris adds that '[t]he Israelis' collective memory of fighters characterized by "purity of arms" is also undermined by the evidence of [the dozen case] of rapes committed in conquered towns and villages.' According to him, 'after the 1948 war, the Israelis tended to hail the "purity of arms" of its militiamen and soldiers to contrast this with Arab barbarism, which on occasion expressed itself in the mutilation of captured Jewish corpses.' According to him, 'this reinforced the Israelis' positive self-image and helped them "sell" the new state abroad and (...) demonized the enemy'. Some Israelis justify acts of political violence. Sixty years after participating in the assassination of Swedish diplomat Folke Bernadotte, Geulah Cohen had no regrets. As a broadcaster on Lehi's radio, she recalled the threats against Bernadotte in advance of the assassination. "I told him if you are not going to leave Jerusalem and go to your Stockholm, you won't be any more." Asked if it was right to assassinate Bernadotte, she replied, "There is no question about it. We would not have Jerusalem any more." In July 2006, the Menachem Begin Heritage Center organized a conference to mark the 60th anniversary of the King David Hotel bombing. The conference was attended by past and future Prime Minister Benjamin Netanyahu and former members of Irgun. The British Ambassador in Tel Aviv and the Consul-General in Jerusalem protested that a plaque commemorating the bombing stated "For reasons known only to the British, the hotel was not evacuated." Netanyahu, then chairman of Likud and Leader of the Opposition in the Knesset, opined that the bombing was a legitimate act with a military target, distinguishing it from an act of terror intended to harm civilians since Irgun sent warnings to evacuate the building. He said "Imagine that Hamas or Hizbullah would call the military headquarters in Tel Aviv and say, 'We have placed a bomb and we are asking you to evacuate the area.' They don't do that. That is the difference." The British Ambassador in Tel Aviv and the Consul-General in Jerusalem protested, saying "We do not think that it
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of the British Army against the Ottoman Turks During the 1920 Nebi Musa riots, the 1921 Jaffa riots and the 1929 Palestine riots, Palestinian Arabs manifested hostility against Zionist immigration, which provoked the reaction of Jewish militias. In 1935, the Irgun, a Zionist underground military organization, split off from the Haganah. The Irgun were the armed expression of the nascent ideology of Revisionist Zionism founded by Ze'ev Jabotinsky. He expressed this ideology as "every Jew had the right to enter Palestine; only active retaliation would deter the Arab and the British; only Jewish armed force would ensure the Jewish state". During the 1936–39 Arab revolt in Palestine, Palestinian Arabs fought for the end of the Mandate and the creation of an Arab state based on the whole of Palestine. They attacked both British and Jews as well as some Palestinian Arabs who supported a Pan-Arabism. Mainstream Zionists, represented by the Vaad Leumi and the Haganah, practiced the policy of Havlagah (restraint); Irgun militants did not follow this policy and called themselves "Havlagah breakers." The Irgun began bombing Palestinian Arab civilian targets in 1938. While the Palestinian Arabs were "carefully disarmed" by the British Mandatory authorities by 1939, the Zionists were not. As a conciliation to the Arabs, the White Paper of 1939 was passed, imposing significant limits in Jewish immigration in the shadow of World War II. After the British Declaration of War in September 1939, the head of the Jewish Agency for Palestine David Ben-Gurion declared: 'We will fight the White Paper as if there is no war, and fight the war as if there is no White Paper.'; the Haganah and Irgun subsequently suspended their activity against the British in support of their war against Nazi Germany. However, the smaller Lehi continued anti-British attacks and direct action throughout the war. At that time, the British also supported the creation and the training of Palmach, as a unit that could withstand a German offensive in the area, with the consent of Yishuv which saw an opportunity to get trained units and soldiers for the planned Jewish state and during 1944–1945, the most mainstream Jewish paramilitary organization, Haganah, cooperated with the British authorities against the Lehi and Etzel. After World War II, between 1945 and the 29 November 1947 Partition vote, British soldiers and policemen were targeted by Irgun and Lehi. The Haganah and Palmach at first collaborated with the British against them, particularly during the Hunting Season, before actively joining them in the Jewish Resistance Movement, then finally choosing an official neutral position after 1946 while the Irgun and the Lehi continued their attacks against the British. The Haganah also carried out violent attacks in Palestine, such as the liberation of interned immigrants from the Atlit camp, the bombing of the country's railroad network, sabotage raids on radar installations and bases of the British Palestine police. It continued to organize illegal immigration throughout the entire war. In February 1947, the British announced that they would end the mandate and withdraw from Palestine and they asked for the arbitration of the United Nations. After the vote of the Partition Plan for Palestine on 30 November 1947, civil war broke out in Palestine. Jewish and Arab communities fought each other violently in campaigns of attacks, retaliations, and counter-retaliations which provoked around 800 deaths after two months. Arab volunteers entered Palestine to fight alongside the Palestinian Arabs. In April, 6 weeks before the termination of the Mandate, the Jewish militias launched wide operations to control the territory dedicated to them by the Partition Plan. Many atrocities occurred during this time. The Arab population in the mixed cities of Tiberias, Safed, Haifa, Jaffa, Beisan and Acre and in the neighbouring villages fled or were expelled during this period. During the Battle for Jerusalem (1948) where the Jewish community of 100,000 people was besieged, most Arab villages of the Tel Aviv – Jerusalem corridor were captured by Jewish militias and leveled. At the beginning of the civil war, the Jewish militias organized several bombing attacks against civilians and military Arab targets. On 12 December, Irgun placed a car bomb opposite the Damascus Gate, killing 20 people. On 4 January 1948, the Lehi detonated a lorry bomb against the headquarters of the paramilitary Najjada located in Jaffa's Town Hall, killing 15 Arabs and injuring 80. During the night between 5 and 6 January, the Haganah bombed the Semiramis Hotel in Jerusalem that had been reported to hide Arab militiamen, killing 24 people. The next day, Irgun members in a stolen police van rolled a barrel bomb into a large group of civilians who were waiting for a bus by the Jaffa Gate, killing around 16. Another Irgun bomb went off in the Ramla market on February 18, killing 7 residents and injuring 45. On 28 February, the Palmah organised a bombing attack against a garage at Haifa, killing 30 people. Condemnation as terrorism Irgun was described as a terrorist organization by the United Nations, British, and United States governments, and in media such as The New York Times newspaper, and by the Anglo-American Committee of Inquiry. In 1946, The World Zionist Congress strongly condemned terrorist activities in Palestine and "the shedding of innocent blood as a means of political warfare". Irgun was specifically condemned. Menachem Begin was called a terrorist and a fascist by Albert Einstein and 27 other prominent Jewish intellectuals in a letter to the New York Times which was published on December 4, 1948. Specifically condemned was the participation of the Irgun in the Deir Yassin massacre: "terrorist bands attacked this peaceful village, which was not a military objective in the fighting, killed most of its inhabitants – 240 men, women and children – and kept a few of them alive to parade as captives through the streets of Jerusalem." The letter warns American Jews against supporting Begin's request for funding of his political party Herut, and ends with the warning: "The discrepancies between the bold claims now being made by Begin and his party and their record of past performance in Palestine bear the imprint of no ordinary political party. This is the unmistakable stamp of a Fascist party for whom terrorism (against Jews, Arabs, and British alike), and misrepresentation are means, and a "Leader State" is the goal." Lehi was described as a terrorist organization by the British authorities and United Nations mediator Ralph Bunche. Jewish public opinion During the conflict between Arabs and Jews in Palestine before the war, the criterion of "Purity of arms" was used to distinguish between the respective attitudes of the Irgun and Haganah towards Arabs, with the latter priding itself on its adherence to principle. The Jewish society in the British Mandate Palestine generally disapproved and denounced violent attacks both on grounds of moral rejection and political disagreement, stressing that terrorism is counter-productive in the Zionist quest for Jewish self-determination. Generally speaking, this precept requires that "weapons remain pure [and that] they are employed only in self-defence and [never] against innocent civilians and defenceless people". But if it "remained a central value in education" it was "rather vague and intentionally blurred" at the practical level. In 1946, at a meeting held between the heads of the Haganah, David Ben-Gurion predicted a confrontation between the Arabs of Palestine and the Arab states. Concerning the "principle of purity of arms", he stressed that: "The end does not justify all means. Our war is based on moral grounds" and during the 1948 War, the Mapam, the political party affiliated to Palmach, asked "a strict observance of the Jewish Purity of arms to secure the moral character
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off and land. Airports often have facilities to store and maintain aircraft, and a control tower. An airport consists of a landing area, which comprises an aerially accessible open space including at least one operationally active surface such as a runway for a plane to take off or a helipad, and often includes adjacent utility buildings such as control towers, hangars and terminals. An airport with a helipad for rotorcraft but no runway is
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consists of a landing area, which comprises an aerially accessible open space including at least one operationally active surface such as a runway for a plane to take off or a helipad, and often includes adjacent utility buildings such as control towers, hangars and terminals. An airport with a helipad for rotorcraft but no runway is called a heliport. An airport for use by seaplanes and amphibious aircraft is called a seaplane base. Such a base typically includes a stretch of open water for takeoffs
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swing at a pitch in the strike zone or hits a foul ball that is not caught. Baseball strike may also refer to: 1972 Major League Baseball strike 1973 Major League Baseball lockout 1976 Major League Baseball lockout 1980
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Baseball lockout 1976 Major League Baseball lockout 1980 Major League Baseball strike 1981 Major League Baseball strike 1985 Major League Baseball strike 1990
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(i.e. progressive muscle weakness, decreased mobility, and increased level of fatigue). Therefore, one focus of treatment should be the improvement of aerobic capacity. Patients with sIBM usually eventually need to resort to a cane or a walker and in most cases, a wheelchair eventually becomes a necessity. "The progressive course of s-IBM leads slowly to severe disability. Finger functions can become very impaired, such as manipulating pens, keys, buttons, and zippers, pulling handles, and firmly grasping handshakes. Arising from a chair becomes difficult. Walking becomes more precarious. Sudden falls, sometimes resulting in major injury to the skull or other bones, can occur, even from walking on minimally irregular ground or from other minor imbalances outside or in the home, due to weakness of quadriceps and gluteus muscles depriving the patient of automatic posture maintenance. A foot-drop can increase the likelihood of tripping. Dysphagia can occur, usually caused by upper esophageal constriction that often can be symptomatically improved, for several months to years, by bougie dilation per a GI or ENT physician. Respiratory muscle weakness can sometimes eventuate." Causes The cause of IBM is unknown. IBM likely results from the interaction of a number of genetic and environmental factors. There are two major theories about how sIBM is caused. One hypothesis suggests that the inflammation-immune reaction, caused by an unknown trigger – likely an undiscovered virus or an autoimmune disorder – is the primary cause of sIBM and that the degeneration of muscle fibers and protein abnormalities are secondary features. Despite the arguments "in favor of an adaptive immune response in sIBM, a purely autoimmune hypothesis for sIBM is untenable because of the disease's resistance to most immunotherapy." The second school of thought advocates the theory that sIBM is a degenerative disorder related to aging of the muscle fibers and that abnormal, potentially pathogenic protein accumulations in myofibrils play a key causative role in sIBM (apparently before the immune system comes into play). This hypothesis emphasizes the abnormal intracellular accumulation of many proteins, protein aggregation and misfolding, proteosome inhibition, and endoplasmic reticulum (ER) stress. One review discusses the "limitations in the beta-amyloid-mediated theory of IBM myofiber injury." Dalakas (2006) suggested that a chain of events causes IBM – some sort of virus, likely a retrovirus, triggers the cloning of T cells. These T cells appear to be driven by specific antigens to invade muscle fibers. In people with sIBM, the muscle cells display "flags" telling the immune system that they are infected or damaged (the muscles ubiquitously express MHC class I antigens) and this immune process leads to the death of muscle cells. The chronic stimulation of these antigens also causes stress inside the muscle cell in the endoplasmic reticulum (ER) and this ER stress may be enough to cause a self-sustaining T cell response (even after a virus has dissipated). In addition, this ER stress may cause the misfolding of protein. The ER is in charge of processing and folding molecules carrying antigens. In IBM, muscle fibers are overloaded with these major histocompatibility complex (MHC) molecules that carry the antigen protein pieces, leading to more ER stress and more protein misfolding. A self-sustaining T cell response would make sIBM a type of autoimmune disorder. When studied carefully, it has not been possible to detect an ongoing viral infection in the muscles. One theory is that a chronic viral infection might be the initial triggering factor setting IBM in motion. There have been a handful of IBM cases – approximately 15 – that have shown clear evidence of a virus called HTLV-1. The HTLV-1 virus can cause leukemia, but in most cases lies dormant and most people end up being lifelong carriers of the virus. One review says that the best evidence points towards a connection with some type of retrovirus and that a retroviral infection combined with immune recognition of the retrovirus is enough to trigger the inflammation process. amyloid protein The hypothesis that beta amyloid protein is key to IBM has been supported in a mouse model using an Aβ vaccine that was found to be effective against inclusion body myositis in mouse models. Although this vaccine is likely, not safe for human use, it still shows that attacking Aβ has efficacy in mice against IBM. Following up on earlier leads, the Greenberg group report finding that the protein TDP-43 is a very prominent and highly sensitive and specific feature of IBM. This protein is normally found within the nucleus but in IBM is found in the cytoplasm of the cell. This important advance should help develop a new screening technique for IBM and may provide clues in terms of a therapeutic approach Genetics sIBM is not inherited and is not passed on to the children of IBM patients. There are genetic features that do not directly cause IBM but that appear to predispose a person to getting IBM – having this particular combination of genes increases one's susceptibility to getting IBM. Some 67% of IBM patients have a particular combination of human leukocyte antigen genes in a section of the 8.1 ancestral haplotype in the center of the MHC class II region. sIBM is not passed on from generation to generation, although the susceptibility region of genes may be. There are also several rare forms of hereditary inclusion body myopathy that are linked to specific genetic defects and that are
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imbalances outside or in the home, due to weakness of quadriceps and gluteus muscles depriving the patient of automatic posture maintenance. A foot-drop can increase the likelihood of tripping. Dysphagia can occur, usually caused by upper esophageal constriction that often can be symptomatically improved, for several months to years, by bougie dilation per a GI or ENT physician. Respiratory muscle weakness can sometimes eventuate." Causes The cause of IBM is unknown. IBM likely results from the interaction of a number of genetic and environmental factors. There are two major theories about how sIBM is caused. One hypothesis suggests that the inflammation-immune reaction, caused by an unknown trigger – likely an undiscovered virus or an autoimmune disorder – is the primary cause of sIBM and that the degeneration of muscle fibers and protein abnormalities are secondary features. Despite the arguments "in favor of an adaptive immune response in sIBM, a purely autoimmune hypothesis for sIBM is untenable because of the disease's resistance to most immunotherapy." The second school of thought advocates the theory that sIBM is a degenerative disorder related to aging of the muscle fibers and that abnormal, potentially pathogenic protein accumulations in myofibrils play a key causative role in sIBM (apparently before the immune system comes into play). This hypothesis emphasizes the abnormal intracellular accumulation of many proteins, protein aggregation and misfolding, proteosome inhibition, and endoplasmic reticulum (ER) stress. One review discusses the "limitations in the beta-amyloid-mediated theory of IBM myofiber injury." Dalakas (2006) suggested that a chain of events causes IBM – some sort of virus, likely a retrovirus, triggers the cloning of T cells. These T cells appear to be driven by specific antigens to invade muscle fibers. In people with sIBM, the muscle cells display "flags" telling the immune system that they are infected or damaged (the muscles ubiquitously express MHC class I antigens) and this immune process leads to the death of muscle cells. The chronic stimulation of these antigens also causes stress inside the muscle cell in the endoplasmic reticulum (ER) and this ER stress may be enough to cause a self-sustaining T cell response (even after a virus has dissipated). In addition, this ER stress may cause the misfolding of protein. The ER is in charge of processing and folding molecules carrying antigens. In IBM, muscle fibers are overloaded with these major histocompatibility complex (MHC) molecules that carry the antigen protein pieces, leading to more ER stress and more protein misfolding. A self-sustaining T cell response would make sIBM a type of autoimmune disorder. When studied carefully, it has not been possible to detect an ongoing viral infection in the muscles. One theory is that a chronic viral infection might be the initial triggering factor setting IBM in motion. There have been a handful of IBM cases – approximately 15 – that have shown clear evidence of a virus called HTLV-1. The HTLV-1 virus can cause leukemia, but in most cases lies dormant and most people end up being lifelong carriers of the virus. One review says that the best evidence points towards a connection with some type of retrovirus and that a retroviral infection combined with immune recognition of the retrovirus is enough to trigger the inflammation process. amyloid protein The hypothesis that beta amyloid protein is key to IBM has been supported in a mouse model using an Aβ vaccine that was found to be effective against inclusion body myositis in mouse models. Although this vaccine is likely, not safe for human use, it still shows that attacking Aβ has efficacy in mice against IBM. Following up on earlier leads, the Greenberg group report finding that the protein TDP-43 is a very prominent and highly sensitive and specific feature of IBM. This protein is normally found within the nucleus but in IBM is found in the cytoplasm of the cell. This important advance should help develop a new screening technique for IBM and may provide clues in terms of a therapeutic approach Genetics sIBM is not inherited and is not passed on to the children of IBM patients. There are genetic features that do not directly cause IBM but that appear to predispose a person to getting IBM – having this particular combination of genes increases one's susceptibility to getting IBM. Some 67% of IBM patients have a particular combination of human leukocyte antigen genes in a section of the 8.1 ancestral haplotype in the center of the MHC class II region. sIBM is not passed on from generation to generation, although the susceptibility region of genes may be. There are also several rare forms of hereditary inclusion body myopathy that are linked to specific genetic defects and that are passed on from generation to generation. Since these forms do not show features of muscle inflammation, they are classified as myopathies rather than forms of myositis. Because they do not display inflammation as a primary symptom, they may in fact be similar, but different diseases to sporadic inclusion body myositis. There are several different types, each inherited in different ways. See hereditary inclusion body myopathy. A 2007 review concluded there is no indication that the genes responsible for the familial or hereditary conditions are involved in sIBM. Diagnosis Elevated creatine kinase (CK) levels in the blood (at most ~10 times normal) are typical in sIBM but affected individuals can also present with normal
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material to create a layer of a second phase, and the temperature is controlled so that the crystal structure of the target is not destroyed. The crystal orientation of the layer can be engineered to match that of the target, even though the exact crystal structure and lattice constant may be very different. For example, after the implantation of nickel ions into a silicon wafer, a layer of nickel silicide can be grown in which the crystal orientation of the silicide matches that of the silicon. Application in metal finishing Tool steel toughening Nitrogen or other ions can be implanted into a tool steel target (drill bits, for example). The structural change caused by the implantation produces a surface compression in the steel, which prevents crack propagation and thus makes the material more resistant to fracture. The chemical change can also make the tool more resistant to corrosion. Surface finishing In some applications, for example prosthetic devices such as artificial joints, it is desired to have surfaces very resistant to both chemical corrosion and wear due to friction. Ion implantation is used in such cases to engineer the surfaces of such devices for more reliable performance. As in the case of tool steels, the surface modification caused by ion implantation includes both a surface compression which prevents crack propagation and an alloying of the surface to make it more chemically resistant to corrosion. Other applications Ion beam mixing Ion implantation can be used to achieve ion beam mixing, i.e. mixing up atoms of different elements at an interface. This may be useful for achieving graded interfaces or strengthening adhesion between layers of immiscible materials. Ion implantation-induced nanoparticle formation Ion implantation may be used to induce nano-dimensional particles in oxides such as sapphire and silica. The particles may be formed as a result of precipitation of the ion implanted species, they may be formed as a result of the production of an mixed oxide species that contains both the ion-implanted element and the oxide substrate, and they may be formed as a result of a reduction of the substrate, first reported by Hunt and Hampikian. Typical ion beam energies used to produce nanoparticles range from 50 to 150 keV, with ion fluences that range from 1016 to 1018 ions/cm2. The table below summarizes some of the work that has been done in this field for a sapphire substrate. A wide variety of nanoparticles can be formed, with size ranges from 1 nm on up to 20 nm and with compositions that can contain the implanted species, combinations of the implanted ion and substrate, or that are comprised solely from the cation associated with the substrate. Composite materials based on dielectrics such as sapphire that contain dispersed metal nanoparticles are promising materials for optoelectronics and nonlinear optics. Problems with ion implantation Crystallographic damage Each individual ion produces many point defects in the target crystal on impact such as vacancies and interstitials. Vacancies are crystal lattice points unoccupied by an atom: in this case the ion collides with a target atom, resulting in transfer of a significant amount of energy to the target atom such that it leaves its crystal site. This target atom then itself becomes a projectile in the solid, and can cause successive collision events. Interstitials result when such atoms (or the original ion itself) come to rest in the solid, but find no vacant space in the lattice to reside. These point defects can migrate and cluster with each other, resulting in dislocation loops and other defects. Damage recovery Because ion implantation causes damage to the crystal structure of the target which is often unwanted, ion implantation processing is often followed by a thermal annealing. This can be referred to as damage recovery. Amorphization The amount of crystallographic damage can be enough to completely amorphize the surface of the target: i.e. it can become an amorphous solid (such a solid produced from a melt is called a glass). In some cases, complete amorphization of a target is preferable to a highly defective crystal: An amorphized film can be regrown at a lower temperature than required to anneal a highly damaged crystal. Amorphisation of the substrate can occur as a result of the beam damage. For example, yttrium ion implantation into sapphire at an ion beam energy of 150 keV to a fluence of 5*1016 Y+/cm2 produces an amorphous glassy layer approximately 110 nm in thickness, measured from the outer surface. [Hunt, 1999] Sputtering Some of the collision events result in atoms being ejected (sputtered) from the surface, and thus ion implantation will slowly etch away a surface. The effect is only appreciable for very large doses. Ion channelling If there is a crystallographic structure to the target, and especially in semiconductor substrates where the crystal structure is more open, particular crystallographic directions offer much lower stopping than other directions. The result is that the range of an ion can be much longer if the ion travels exactly along a particular direction, for example the <110> direction in silicon and other diamond cubic materials. This effect is called ion channelling, and, like all the channelling effects, is highly nonlinear, with small variations from perfect orientation resulting in extreme differences in implantation depth. For this reason, most implantation is carried out a few degrees off-axis, where tiny alignment errors will have more predictable effects. Ion channelling can be used directly in
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designation ion beam deposition. Higher energies can also be used: accelerators capable of 5 MeV (800,000 aJ) are common. However, there is often great structural damage to the target, and because the depth distribution is broad (Bragg peak), the net composition change at any point in the target will be small. The energy of the ions, as well as the ion species and the composition of the target determine the depth of penetration of the ions in the solid: A monoenergetic ion beam will generally have a broad depth distribution. The average penetration depth is called the range of the ions. Under typical circumstances ion ranges will be between 10 nanometers and 1 micrometer. Thus, ion implantation is especially useful in cases where the chemical or structural change is desired to be near the surface of the target. Ions gradually lose their energy as they travel through the solid, both from occasional collisions with target atoms (which cause abrupt energy transfers) and from a mild drag from overlap of electron orbitals, which is a continuous process. The loss of ion energy in the target is called stopping and can be simulated with the binary collision approximation method. Accelerator systems for ion implantation are generally classified into medium current (ion beam currents between 10 μA and ~2 mA), high current (ion beam currents up to ~30 mA), high energy (ion energies above 200 keV and up to 10 MeV), and very high dose (efficient implant of dose greater than 1016 ions/cm2). All varieties of ion implantation beamline designs contain certain general groups of functional components (see image). The first major segment of an ion beamline includes a device known as an ion source to generate the ion species. The source is closely coupled to biased electrodes for extraction of the ions into the beamline and most often to some means of selecting a particular ion species for transport into the main accelerator section. The "mass" selection is often accompanied by passage of the extracted ion beam through a magnetic field region with an exit path restricted by blocking apertures, or "slits", that allow only ions with a specific value of the product of mass and velocity/charge to continue down the beamline. If the target surface is larger than the ion beam diameter and a uniform distribution of implanted dose is desired over the target surface, then some combination of beam scanning and wafer motion is used. Finally, the implanted surface is coupled with some method for collecting the accumulated charge of the implanted ions so that the delivered dose can be measured in a continuous fashion and the implant process stopped at the desired dose level. Application in semiconductor device fabrication Doping Semiconductor doping with boron, phosphorus, or arsenic is a common application of ion implantation. When implanted in a semiconductor, each dopant atom can create a charge carrier in the semiconductor after annealing. A hole can be created for a p-type dopant, and an electron for an n-type dopant. This modifies the conductivity of the semiconductor in its vicinity. The technique is used, for example, for adjusting the threshold voltage of a MOSFET. Ion implantation was developed as a method of producing the p-n junction of photovoltaic devices in the late 1970s and early 1980s, along with the use of pulsed-electron beam for rapid annealing, although it has not to date been used for commercial production. Silicon on insulator One prominent method for preparing silicon on insulator (SOI) substrates from conventional silicon substrates is the SIMOX (separation by implantation of oxygen) process, wherein a buried high dose oxygen implant is converted to silicon oxide by a high temperature annealing process. Mesotaxy Mesotaxy is the term for the growth of a crystallographically matching phase underneath the surface of the host crystal (compare to epitaxy, which is the growth of the matching phase on the surface of a substrate). In this process, ions are implanted at a high enough energy and dose into a material to create a layer of a second phase, and the temperature is controlled so that the crystal structure of the target is not destroyed. The crystal orientation of the layer can be engineered to match that of the target, even though the exact crystal structure and lattice constant may be very different. For example, after the implantation of nickel ions into a silicon wafer, a layer of nickel silicide can be grown in which the crystal orientation of the silicide matches that of the silicon. Application in metal finishing Tool steel toughening Nitrogen or other ions can be implanted into a tool steel target (drill bits, for example). The structural change caused by the implantation produces a surface compression in the steel, which prevents crack propagation and thus makes the material more resistant to fracture. The chemical change can also make the tool more resistant to corrosion. Surface finishing In some applications, for example prosthetic devices such as artificial joints, it is desired to have surfaces very resistant to both chemical corrosion and wear due to friction. Ion implantation is used in such cases to engineer the surfaces of such devices for more reliable performance. As in the case of tool steels, the surface modification caused by ion implantation includes both a surface compression which prevents crack propagation and an alloying of the surface to make it more chemically resistant to corrosion. Other applications Ion beam mixing Ion implantation can be used to achieve ion beam mixing, i.e. mixing up atoms of different elements at an interface. This may be useful for achieving graded interfaces or strengthening adhesion between layers of immiscible materials. Ion implantation-induced nanoparticle formation Ion
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to: Clergymen John of Ford (c. 1140 – 1244), abbot of the Dorset Cistercian monastery Forde Abbey John Ford (minister) (1767–1826), politician and Methodist leader in South Carolina and Mississippi Territory John Ford (bishop) (born 1952), Bishop of Plymouth John C. Ford, (1902–1989), American Catholic theologian and Jesuit priest with strong emphasis on Humanae vitae John Ford, West End actor and Anglican priest, father of British journalist Anna Ford Public officials John Ford (died 1407), MP for Tavistock John Ford (fl. 1410–1426), MP for Dorset, Shaftesbury and Melcombe Regis John Ford (before 1395–after 1416), English MP for Colchester in 1416 John Salmon Ford (1815–1897), Texas politician known as "Rip" Ford John Anson Ford (1883–1983), California politician John Joseph Ford (1907–1982),
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(1862–1941), New York judge and politician Literary figures John Ford (dramatist) (1586 – ), English playwright and poet John M. Ford (1957–2006), American science fiction writer and poet John-James Ford (born 1972), Canadian foreign service officer, poet, short story writer, and novelist Entrepreneurs John Baptiste Ford (1811–1903), U.S. businessman, founder of Pittsburgh Plate Glass Company John T. Ford (1829–1894), owner and manager of the theater where Lincoln was assassinated John Gardner Ford (born 1951), business executive, son of U.S. President Gerald Ford Sports John Ford (American football coach) (before 1880 – after 1906), Marquette University football coach John Ford (baseball) (1894–1947), American Negro league
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control of the project and edited footage to produce a cut "suitable for American audiences". A "rough cut" of the film, supposedly the original unrated version, is still circulated among his admirers. A three-year hiatus saw Woo next direct John Travolta and Christian Slater in Broken Arrow. A frenetic chase-themed film, the director once again found himself hampered by studio management and editorial concerns. Despite a larger budget than his previous Hard Target, the final feature lacked the trademark Woo style. Public reception saw modest financial success. Reluctant to pursue projects which would necessarily entail front-office controls, the director cautiously rejected the script for Face/Off several times until it was rewritten to suit him. (The futuristic setting was changed to a contemporary one.) Paramount Pictures also offered the director significantly more freedom to exercise his speciality: emotional characterisation and elaborate action. A complex story of adversaries—each of whom surgically alters their identity—law enforcement agent John Travolta and terrorist Nicolas Cage play a cat-and-mouse game, trapped in each other's outward appearance. Face/Off opened in 1997 to critical acclaim and strong attendance. Grosses in the United States exceeded $100 million. Face/Off was also nominated for an Academy Award in the category Sound Effects Editing (Mark Stoeckinger) at the 70th Academy Awards. In 2003, Woo directed a television pilot entitled The Robinsons: Lost in Space for The WB Television Network, based on the 1960s television series Lost in Space. The pilot was not purchased, although bootleg copies have been made available by fans. John Woo has made three additional films in Hollywood: Mission: Impossible 2, Windtalkers and Paycheck. Mission: Impossible 2 was the highest-grossing film in America in 2000 despite its receiving mixed reviews. Windtalkers and Paycheck fared poorly at the box office and were summarily dismissed by critics. Woo directed and produced the 2007 video game Stranglehold, which is a sequel to his 1992 film, Hard Boiled. The game features Woo as a multiplayer playable character. That same year he produced the anime movie, Appleseed: Ex Machina, the sequel to Shinji Aramaki's 2004 film Appleseed. Return to Asian cinema In 2008, Woo returned to Asian cinema with the completion of the two-part epic war film Red Cliff, based on a historical battle from Records of the Three Kingdoms. Produced on a grand scale, it is his first film in China since he emigrated from Hong Kong to the United States in 1993. Part 1 of the film was released throughout Asia in July 2008, to generally favourable reviews and strong attendance. Part 2 was released in China in January 2009. John Woo was presented with a Golden Lion award for lifetime achievement at the Venice Film Festival in 2010. He followed Red Cliff with another two-part film, The Crossing, in 2014 and 2015. Featuring an all-star cast, the four-hour epic tells the parallel stories of several characters who all ultimately find themselves passengers on the doomed Taiping steamer, which sank in 1949 en route from mainland China to Taiwan and has been described as "China's Titanic". Following the box-office disappointment of The Crossing, Woo and producer Terence Chang disbanded Lion Rock Productions. Future film projects In May 2008, Woo announced in Cannes that his next movie would be 1949, an epic love story set between the end of World War II and Chinese Civil War to the founding of the People's Republic of China, the shooting of which would take place in China and Taiwan. Its production was due to begin by the end of 2008, with a theatrical release planned in December 2009. However, in early April 2009, the film was cancelled due to script right issues. Reports indicated that Woo might be working on another World War II film, this time about the American Volunteer Group, or the Flying Tigers. The movie was tentatively titled "Flying Tiger Heroes" and Woo is reported as saying it will feature "The most spectacular aerial battle scenes ever seen in Chinese cinema." It was not clear whether Woo would not be directing the earlier war film, or whether it was put on the back burner. Woo has stated that Flying Tiger Heroes would be an "extremely important production" and will "emphasise US-Chinese friendship and the contributions of the Flying Tigers and the Yunnan people during the war of resistance." Woo has announced he will be using IMAX cameras to film the Flying Tigers project. "It has always been a dream of mine to explore shooting with IMAX cameras and to work in the IMAX format, and the strong visual element of this film is incredibly well-suited to the tastes of cinemagoers today [...] Using IMAX for Flying Tigers would create a new experience for the audience, and I think it would be another breakthrough for Chinese movies". In 2021, Woo is planning to re-produce the Chinese epic war film, Red Cliff or Chibi (Chinese: 赤壁) from 2008-9 to a web drama series. The original cast, Tony Leung Chiu-wai and Lin Chi-ling will perform in the new web series as well. In October 2021, it was announced that Woo will return to Hollywood to direct the action thriller Silent Night, where a normal father heads into the underworld to avenge his young son’s death. Produced by Basil Iwanyk (John Wick, Sicario), the film will star Joel Kinnaman and will be told entirely without dialogue. Personal life
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to Hong Kong when he was five. Impoverished, the Woo family lived in the slums at Shek Kip Mei. His father was a teacher, though rendered unable to work by tuberculosis, and his mother was a manual laborer on construction sites. The family was rendered homeless by the Shek Kip Mei Fire of 1953. Charitable donations from disaster relief efforts enabled the family to relocate; however, violent crime had by then become commonplace in Hong Kong housing projects. At age three he was diagnosed with a serious medical condition. Following surgery on his spine, he was unable to walk correctly until eight years old, and as a result his right leg is shorter than his left leg. His Christian upbringing shows influences in his films. As a young boy, Woo had wanted to be a Christian minister. He later found a passion for movies influenced by the French New Wave especially Jean-Pierre Melville. Woo has said he was shy and had difficulty speaking, but found making movies a way to explore his feelings and thinking and would "use movies as a language". Woo found respite in Bob Dylan and in American Westerns. He has stated the final scene of Butch Cassidy and the Sundance Kid made a particular impression on him in his youth: the device of two comrades, each of whom fire pistols from each hand, is a recurrent spectacle later found in his own work. Career Hong Kong In 1969, Woo was hired as a script supervisor at Cathay Studios. In 1971, he became an assistant director at Shaw Studios. His directorial debut in 1974 was the feature film The Young Dragons (鐵漢柔情, Tiě hàn róu qíng). In the Kung fu action genre, it was choreographed by Jackie Chan and featured dynamic camera-work and elaborate action scenes. The film was picked up by Golden Harvest Studio where he went on to direct more martial arts films. He later had success as a comedy director with Money Crazy (發錢寒, Fā qián hàn) (1977), starring Hong Kong comedian Ricky Hui. By the mid-1980s, Woo was experiencing occupational burnout. Several of his films were commercial disappointments, and he felt a distinct lack of creative control. It was during this period of self-imposed exile that director/producer Tsui Hark provided the funding for Woo to film a longtime pet project, A Better Tomorrow (1986). The story of two brothers—one a law enforcement officer, the other a criminal—was a financial blockbuster. A Better Tomorrow became a defining achievement in Hong Kong action cinema for its combination of emotional drama, slow-motion gunplay, and gritty atmospherics. Its signature visual device of two-handed, two-gunned shootouts within confined quarters—often referred to as "gun fu"—was novel, and its diametrical inversion of the "good-guys-bad guys" formula in its characterization would influence later American films. Woo would make several more Heroic Bloodshed films in the late 1980s and early 1990s, nearly all starring Chow Yun-Fat. These violent gangster thrillers typically focus on men bound by honor and loyalty, at odds with contemporary values of impermanence and expediency. The protagonists of these films, therefore, may be said to present a common lineage with the Chinese literary tradition of loyalty among generals depicted in classics such as "Romance of the Three Kingdoms" (三國演義). Woo gained international recognition with the release of The Killer, which became the most successful Hong Kong film in American release since Bruce Lee's Enter the Dragon (1973) and garnered Woo an American cult following. Bullet in the Head followed a year later failed to find an audience that accepted its political undertones, and failed to recoup its massive budget. His last Hong Kong film before emigrating to the United States was Hard Boiled (1992), a police thriller that served as the antithesis of his previous glorification of gangsters. Most notable of its numerous action scenes is a 30-minute climax set within a hospital. One particular long take follows two characters for exactly 2 minutes and 42 seconds as they fight their way between hospital floors. On the Criterion DVD and laserdisc, this chapter is referenced as "2 minutes, 42 seconds." The film was considerably darker than most of Woo's previous films, depicting a police force nearly helpless to stop the influx of gangsters in the city, and the senseless slaughter of innocents. As a result, it did not match the success of his other films, but nonetheless garnered positive critical reception and became one of his most popular films in later years. John Woo: Interviews includes a 36-page interview with Woo by editor Robert K. Elder, which documents the years 1968 to 1990. It includes Woo's early career in working on comedies, his work on kung fu films (during which time he gave Jackie Chan one of his first major film roles), and more recently, his gunpowder morality plays in Hong Kong. United States An émigré in 1993, the director experienced difficulty in cultural adjustment while contracted with Universal Studios to direct Jean-Claude Van Damme in Hard Target. Like other foreign national film directors confronted the Hollywood environment, Woo was unaccustomed to pervasive management concerns over matters such as such as limitations on violence and completion schedules. When initial cuts failed to yield an "R" rated film, the studio assumed control of the project and edited footage to produce a cut "suitable for American audiences". A "rough cut" of the film, supposedly the original unrated version, is still circulated among his admirers. A three-year hiatus saw Woo next direct John Travolta and Christian Slater in Broken Arrow. A frenetic chase-themed film, the director once again found himself hampered by studio management and editorial concerns. Despite a larger budget than his previous Hard Target, the final feature lacked the trademark Woo style. Public reception saw modest financial success. Reluctant to pursue projects which would necessarily entail front-office controls, the director cautiously rejected the script for Face/Off several times until it was rewritten to suit him. (The futuristic setting was changed to a contemporary one.) Paramount Pictures also offered the director significantly more freedom to exercise his speciality: emotional characterisation and elaborate action. A complex story of adversaries—each of whom surgically alters their identity—law enforcement agent John Travolta and terrorist Nicolas Cage play a cat-and-mouse game, trapped in each other's outward appearance. Face/Off opened in 1997 to critical acclaim and strong attendance. Grosses in the United States exceeded $100 million. Face/Off was also nominated for an Academy Award in the category Sound Effects Editing (Mark Stoeckinger) at the 70th Academy Awards. In 2003, Woo directed a television pilot entitled The Robinsons: Lost in Space for The WB Television Network, based on the 1960s television series Lost in Space. The pilot was not purchased, although bootleg copies have been made available by fans. John Woo has made three additional films in Hollywood: Mission: Impossible 2, Windtalkers and Paycheck. Mission: Impossible 2 was the highest-grossing film in America in 2000 despite its receiving mixed reviews. Windtalkers and Paycheck fared poorly at the box office and were summarily dismissed by critics. Woo directed and produced the 2007 video game Stranglehold, which is a sequel to his 1992 film, Hard Boiled. The game features Woo as a multiplayer playable character. That same year he produced the anime movie, Appleseed: Ex Machina, the sequel to Shinji Aramaki's 2004 film Appleseed. Return to Asian cinema In 2008, Woo returned to
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prone to earthquakes, tsunami and volcanic eruptions because of its location along the Pacific Ring of Fire. It has the 17th highest natural disaster risk as measured in the 2016 World Risk Index. Japan has 111 active volcanoes. Destructive earthquakes, often resulting in tsunami, occur several times each century; the 1923 Tokyo earthquake killed over 140,000 people. More recent major quakes are the 1995 Great Hanshin earthquake and the 2011 Tōhoku earthquake, which triggered a large tsunami. Climate The climate of Japan is predominantly temperate but varies greatly from north to south. The northernmost region, Hokkaido, has a humid continental climate with long, cold winters and very warm to cool summers. Precipitation is not heavy, but the islands usually develop deep snowbanks in the winter. In the Sea of Japan region on Honshu's west coast, northwest winter winds bring heavy snowfall during winter. In the summer, the region sometimes experiences extremely hot temperatures because of the foehn. The Central Highland has a typical inland humid continental climate, with large temperature differences between summer and winter. The mountains of the Chūgoku and Shikoku regions shelter the Seto Inland Sea from seasonal winds, bringing mild weather year-round. The Pacific coast features a humid subtropical climate that experiences milder winters with occasional snowfall and hot, humid summers because of the southeast seasonal wind. The Ryukyu and Nanpō Islands have a subtropical climate, with warm winters and hot summers. Precipitation is very heavy, especially during the rainy season. The main rainy season begins in early May in Okinawa, and the rain front gradually moves north. In late summer and early autumn, typhoons often bring heavy rain. According to the Environment Ministry, heavy rainfall and increasing temperatures have caused problems in the agricultural industry and elsewhere. The highest temperature ever measured in Japan, , was recorded on July 23, 2018, and repeated on August 17, 2020. Biodiversity Japan has nine forest ecoregions which reflect the climate and geography of the islands. They range from subtropical moist broadleaf forests in the Ryūkyū and Bonin Islands, to temperate broadleaf and mixed forests in the mild climate regions of the main islands, to temperate coniferous forests in the cold, winter portions of the northern islands. Japan has over 90,000 species of wildlife , including the brown bear, the Japanese macaque, the Japanese raccoon dog, the small Japanese field mouse, and the Japanese giant salamander. A large network of national parks has been established to protect important areas of flora and fauna as well as 52 Ramsar wetland sites. Four sites have been inscribed on the UNESCO World Heritage List for their outstanding natural value. Environment In the period of rapid economic growth after World War II, environmental policies were downplayed by the government and industrial corporations; as a result, environmental pollution was widespread in the 1950s and 1960s. Responding to rising concern, the government introduced environmental protection laws in 1970. The oil crisis in 1973 also encouraged the efficient use of energy because of Japan's lack of natural resources. Japan ranks 20th in the 2018 Environmental Performance Index, which measures a nation's commitment to environmental sustainability. Japan is the world's fifth largest emitter of carbon dioxide. As the host and signatory of the 1997 Kyoto Protocol, Japan is under treaty obligation to reduce its carbon dioxide emissions and to take other steps to curb climate change. In 2020 the government of Japan announced a target of carbon-neutrality by 2050. Environmental issues include urban air pollution (NOx, suspended particulate matter, and toxics), waste management, water eutrophication, nature conservation, climate change, chemical management and international co-operation for conservation. Politics Japan is a unitary state and constitutional monarchy in which the power of the Emperor is limited to a ceremonial role. Executive power is instead wielded by the Prime Minister of Japan and his Cabinet, whose sovereignty is vested in the Japanese people. Naruhito is the Emperor of Japan, having succeeded his father Akihito upon his accession to the Chrysanthemum Throne in 2019. Japan's legislative organ is the National Diet, a bicameral parliament. It consists of a lower House of Representatives with 465 seats, elected by popular vote every four years or when dissolved, and an upper House of Councillors with 245 seats, whose popularly-elected members serve six-year terms. There is universal suffrage for adults over 18 years of age, with a secret ballot for all elected offices. The prime minister as the head of government has the power to appoint and dismiss Ministers of State, and is appointed by the emperor after being designated from among the members of the Diet. Fumio Kishida is Japan's prime minister; he took office after winning the 2021 Liberal Democratic Party leadership election. Historically influenced by Chinese law, the Japanese legal system developed independently during the Edo period through texts such as . Since the late 19th century, the judicial system has been largely based on the civil law of Europe, notably Germany. In 1896, Japan established a civil code based on the German Bürgerliches Gesetzbuch, which remains in effect with post–World War II modifications. The Constitution of Japan, adopted in 1947, is the oldest unamended constitution in the world. Statutory law originates in the legislature, and the constitution requires that the emperor promulgate legislation passed by the Diet without giving him the power to oppose legislation. The main body of Japanese statutory law is called the Six Codes. Japan's court system is divided into four basic tiers: the Supreme Court and three levels of lower courts. Administrative divisions Japan is divided into 47 prefectures, each overseen by an elected governor and legislature. In the following table, the prefectures are grouped by region: Foreign relations A member state of the United Nations since 1956, Japan is one of the G4 nations seeking reform of the Security Council. Japan is a member of the G7, APEC, and "ASEAN Plus Three", and is a participant in the East Asia Summit. It is the world's fifth largest donor of official development assistance, donating US$9.2 billion in 2014. In 2019, Japan had the fourth-largest diplomatic network in the world. Japan has close economic and military relations with the United States, with which it maintains a security alliance. The United States is a major market for Japanese exports and a major source of Japanese imports, and is committed to defending the country, with military bases in Japan. Japan is also a member of the Quadrilateral Security Dialogue (more commonly "the Quad"), a multilateral security collaboration reformed in 2017 aiming to limit Chinese influence in the Indo-Pacific region, along with the United States, Australia and India, reflecting existing relations and patterns of cooperation. Japan's relationship with South Korea had historically been strained because of Japan's treatment of Koreans during Japanese colonial rule, particularly over the issue of comfort women. In 2015, Japan agreed to settle the comfort women dispute with South Korea by issuing a formal apology and paying money to the surviving comfort women. Japan is a major importer of Korean music (K-pop), television (K-dramas), and other cultural products. Japan is engaged in several territorial disputes with its neighbors. Japan contests Russia's control of the Southern Kuril Islands, which were occupied by the Soviet Union in 1945. South Korea's control of the Liancourt Rocks is acknowledged but not accepted as they are claimed by Japan. Japan has strained relations with China and Taiwan over the Senkaku Islands and the status of Okinotorishima. Military Japan is the second-highest-ranked Asian country in the Global Peace Index 2020. Japan maintains one of the largest military budgets of any country in the world. The country's military (the Japan Self-Defense Forces) is restricted by Article 9 of the Japanese Constitution, which renounces Japan's right to declare war or use military force in international disputes. The military is governed by the Ministry of Defense, and primarily consists of the Japan Ground Self-Defense Force, the Japan Maritime Self-Defense Force, and the Japan Air Self-Defense Force. The deployment of troops to Iraq and Afghanistan marked the first overseas use of Japan's military since World War II. The Government of Japan has been making changes to its security policy which include the establishment of the National Security Council, the adoption of the National Security Strategy, and the development of the National Defense Program Guidelines. In May 2014, Prime Minister Shinzō Abe said Japan wanted to shed the passiveness it has maintained since the end of World War II and take more responsibility for regional security. Recent tensions, particularly with North Korea and China, have reignited the debate over the status of the JSDF and its relation to Japanese society. Domestic law enforcement Domestic security in Japan is provided mainly by the prefectural police departments, under the oversight of the National Police Agency. As the central coordinating body for the Prefectural Police Departments, the National Police Agency is administered by the National Public Safety Commission. The Special Assault Team comprises national-level counter-terrorism tactical units that cooperate with territorial-level Anti-Firearms Squads and Counter-NBC Terrorism Squads. The Japan Coast Guard guards territorial waters surrounding Japan and uses surveillance and control countermeasures against smuggling, marine environmental crime, poaching, piracy, spy ships, unauthorized foreign fishing vessels, and illegal immigration. The Firearm and Sword Possession Control Law strictly regulates the civilian ownership of guns, swords and other weaponry. According to the United Nations Office on Drugs and Crime, among the member states of the UN that report statistics , the incidence rates of violent crimes such as murder, abduction, sexual violence and robbery are very low in Japan. Economy Japan is the third-largest national economy in the world, after the United States and China, in terms of nominal GDP, and the fourth-largest national economy in the world, after the United States, China and India, in terms of purchasing power parity . , Japan's labor force consisted of 67 million workers. Japan has a low unemployment rate of around 2.4 percent. Around 16 percent of the population were below the poverty line in 2017. Japan today has the highest ratio of public debt to GDP of any developed nation, with national debt at 236% relative to GDP as of 2017. The Japanese yen is the world's third-largest reserve currency (after the US dollar and the euro). Japan's exports amounted to 18.5% of GDP in 2018. , Japan's main export markets were the United States (19.8 percent) and China (19.1 percent). Its main exports are motor vehicles, iron and steel products, semiconductors and auto parts. Japan's main import markets were China (23.5 percent), the United States (11 percent), and Australia (6.3 percent). Japan's main imports are machinery and equipment, fossil fuels, foodstuffs, chemicals, and raw materials for its industries. Japan ranks 29th of 190 countries in the 2019 ease of doing business index. The Japanese variant of capitalism has many distinct features: keiretsu enterprises are influential, and lifetime employment and seniority-based career advancement are common in the Japanese work environment. Japan has a large cooperative sector, with three of the ten largest cooperatives in the world, including the largest consumer cooperative and the largest agricultural cooperative in the world . Japan ranks highly for competitiveness and economic freedom. It is ranked sixth in the Global Competitiveness Report for 2015–2016. Agriculture and fishery The Japanese agricultural sector accounts for about 1.2% of the total country's GDP . Only 11.5% of Japan's land is suitable for cultivation. Because of this lack of arable land, a system of terraces is used to farm in small areas. This results in one of the world's highest levels of crop yields per unit area, with an agricultural self-sufficiency rate of about 50% . Japan's small agricultural sector is highly subsidized and protected. There has been a growing concern about farming as farmers are aging with a difficult time finding successors. Japan ranked seventh in the world in tonnage of fish caught and captured 3,167,610 metric tons of fish in 2016, down from an annual average of 4,000,000 tons over the previous decade. Japan maintains one of the world's largest fishing fleets and accounts for nearly 15% of the global catch, prompting critiques that Japan's fishing is leading to depletion in fish stocks such as tuna. Japan has sparked controversy by supporting commercial whaling. Industry Japan has a large industrial capacity and is home to some of the "largest and most technologically advanced producers of motor vehicles, machine tools, steel and nonferrous metals, ships, chemical substances, textiles, and processed foods". Japan's industrial sector makes up approximately 27.5% of its GDP. The country's manufacturing output is the third highest in the world . Japan is the third-largest automobile producer in the world and is home to Toyota, the world's largest automobile company. The Japanese shipbuilding industry faces competition from South Korea and China; a 2020 government initiative identified this sector as a target for increasing exports. Services and tourism Japan's service sector accounts for about 70% of its total economic output . Banking, retail, transportation, and telecommunications are all major industries, with companies such as Toyota, Mitsubishi UFJ, -NTT, ÆON, Softbank, Hitachi, and Itochu listed as among the largest in the world. Japan attracted 31.9 million international tourists in 2019. For inbound tourism, Japan was ranked 11th in the world in 2019. The 2017 Travel and Tourism Competitiveness Report ranked Japan 4th out of 141 countries, which was the highest in Asia. Science and technology Japan is a leading nation in scientific research, particularly in the natural sciences and engineering. The country ranks twelfth among the most innovative countries in the 2020 Bloomberg Innovation Index and 16th in the Global Innovation Index in 2020, down from 15th in 2019. Relative to gross domestic product, Japan's research and development budget is the second highest in the world, with 867,000 researchers sharing a 19-trillion-yen research and development budget . The country has produced twenty-two Nobel laureates in either physics, chemistry or medicine, and three Fields medalists. Japan leads the world in robotics production and use, supplying 55% of the world's 2017 total. Japan has the second highest number of researchers in science and technology per capita in the world with 14 per 1000 employees. The Japanese consumer electronics industry, once considered the strongest in the world, is in a state of decline as competition arises in countries like South Korea and China. However, video gaming in Japan remains a major industry. In 2014, Japan's consumer video game market grossed $9.6 billion, with $5.8 billion coming from mobile gaming. By 2015, Japan had become the world's fourth largest PC game market, behind only China, the United States, and South Korea. The Japan Aerospace Exploration Agency is Japan's national space agency; it conducts space, planetary, and aviation research, and leads development of rockets and satellites. It is a participant in the International Space Station: the Japanese Experiment Module (Kibō) was added to the station during Space Shuttle assembly flights in 2008. The space probe Akatsuki was launched in 2010 and achieved orbit around Venus in 2015. Japan's plans in space exploration include building a moon base and landing astronauts by 2030. In 2007, it launched lunar explorer SELENE (Selenological and Engineering Explorer) from Tanegashima Space Center. The largest lunar mission since the Apollo program, its purpose was to gather data on the moon's origin and evolution. The explorer entered a lunar orbit on October 4, 2007, and was deliberately crashed into the Moon on June 11, 2009. Infrastructure Transportation Japan has invested heavily in transportation infrastructure. The country has approximately of roads made up of of city, town and village roads, of prefectural roads, of general national highways and of national expressways . Since privatization in 1987, dozens of Japanese railway companies compete in regional and local passenger transportation markets; major companies include seven JR enterprises, Kintetsu, Seibu Railway and Keio Corporation. The high-speed Shinkansen (bullet trains) that connect major cities are known for their safety and punctuality. There are 175 airports in Japan . The largest domestic airport, Haneda Airport in Tokyo, was Asia's second-busiest airport in 2019. The Keihin and Hanshin superport hubs are among the largest in the world, at 7.98 and 5.22 million TEU respectively . Energy , 37.1% of energy in Japan was produced from petroleum, 25.1% from coal, 22.4% from natural gas, 3.5% from hydropower and 2.8% from nuclear power, among other sources. Nuclear power was down from 11.2 percent in 2010. By May 2012 all of the country's nuclear power plants had been taken offline because of ongoing public opposition following the Fukushima Daiichi nuclear disaster in March 2011, though government officials continued to try to sway public opinion in favor of returning at least some to service. The Sendai Nuclear Power Plant restarted in 2015, and since then several other nuclear power plants have been restarted. Japan lacks significant domestic reserves and has a heavy dependence on imported energy. The country has therefore aimed to diversify its sources and maintain high levels of energy efficiency. Water supply and sanitation Responsibility for the water and sanitation sector is shared between the Ministry of Health, Labour and Welfare, in charge of water supply for domestic use; the Ministry of Land, Infrastructure, Transport and Tourism, in charge of water resources development as well as sanitation; the Ministry of the Environment, in charge of ambient water quality and environmental preservation; and the Ministry of Internal Affairs and Communications, in charge of performance benchmarking of utilities. Access to an improved water source is universal in Japan. About 98% of the population receives piped water supply from public utilities. Demographics Japan has a population of 125.7 million, of which 123.2 million are Japanese nationals (2020 estimates). A small population of foreign residents makes up the remainder. In 2019, 92% of the total Japanese population lived in cities. The capital city Tokyo has a population of 14.0 million (2021). It is part of the Greater Tokyo Area, the biggest metropolitan area in the world with 38,140,000 people (2016). Ethnic minority groups in Japan include the indigenous Ainu and Ryukyuan people. Zainichi Koreans, Chinese, Filipinos, Brazilians mostly of Japanese descent, and Peruvians mostly of Japanese descent are also among Japan's small minority groups. Burakumin make up a social minority group. Japan has the second-longest overall life expectancy at birth of any country in the world, at 84 years . The Japanese population is rapidly aging as a result of a post–World War II baby boom followed by a decrease in birth rates. over 20 percent of the population is over 65, and this is projected to rise to one in three by 2030. The changes in demographic structure have created a number of social issues, particularly a decline in workforce population and increase in the cost of social security benefits. A growing number of younger Japanese are not marrying or remain childless. Japan's population is expected to drop to around 100 million by 2060. Immigration and birth incentives are sometimes suggested as a solution to provide younger workers to support the nation's aging population. On April 1, 2019, Japan's revised immigration law was enacted, protecting the rights of foreign workers to help reduce labor shortages in certain sectors. Religion Japan's constitution guarantees full religious freedom. Upper estimates suggest that 84–96 percent of the Japanese population subscribe to Shinto as its indigenous religion. However, these estimates are based on people affiliated with a temple, rather than the number of true believers. Many Japanese people practice both Shinto and Buddhism; they can either identify with both religions or describe themselves as non-religious or spiritual. The level of participation in religious ceremonies as a cultural tradition remains high, especially during festivals and occasions such as the first shrine visit of the New Year. Taoism and Confucianism from China have also influenced Japanese beliefs and customs. Christianity was first introduced into Japan by Jesuit missions starting in 1549. Today, 1% to 1.5% of the population are Christians. Throughout the latest century, Western customs originally related to Christianity (including Western style weddings, Valentine's Day and Christmas) have become popular as secular customs among many Japanese. About 90% of those practicing Islam in Japan are foreign-born migrants . there were an estimated 105 mosques and 200,000 Muslims in Japan, 43,000 of which were ethnically Japanese. Other minority religions include Hinduism, Judaism, and Baháʼí Faith, as well as the animist beliefs of the Ainu. Languages The Japanese language is Japan's de facto national language and the primary language of most people in the country. Japanese writing uses kanji (Chinese characters) and two sets of kana (syllabaries based on cursive script and radical of kanji), as well as the Latin alphabet and Arabic numerals. English has taken a major role in Japan as a business and international link language. As a result, the prevalence of English in the educational system has increased, with English classes becoming mandatory at all levels of the Japanese school system by 2020. Japanese Sign Language is the primary sign language used by hearing-impaired communities in Japan and has gained some official recognition, but its usage has been historically hindered by discriminatory policies and a lack of educational support. Besides Japanese, the Ryukyuan languages (Amami, Kunigami, Okinawan, Miyako, Yaeyama, Yonaguni), part of the Japonic language family, are spoken in the Ryukyu Islands chain. Few children learn these languages, but local governments have sought to increase awareness of the traditional languages. The Ainu language, which is a language isolate, is moribund, with only a few native speakers remaining . Additionally, a number of other languages are taught and used by ethnic minorities, immigrant communities, and a growing number of foreign-language students, such as Korean (including a distinct Zainichi Korean dialect), Chinese and Portuguese. Education Since the 1947 Fundamental Law of Education, compulsory education in Japan comprises elementary and junior high school, which together last for nine years. Almost all children continue their education at a three-year senior high school. The two top-ranking universities in Japan are the University of Tokyo and Kyoto University. Starting in April 2016, various schools began the academic year with elementary school and junior high school integrated into one nine-year compulsory schooling program; MEXT plans for this approach to be adopted nationwide. The Programme for International Student Assessment (PISA) coordinated by the OECD ranks the knowledge and skills of Japanese 15-year-olds as the third best in the world. Japan is one of the top-performing OECD countries in reading literacy, math and sciences with the average student scoring 529 and has one of the world's highest-educated labor forces among OECD countries. , Japan's public spending on education amounted to just 3.3 percent of its GDP, below the OECD average of 4.9 percent. In 2017, the country ranked third for the percentage of 25- to 64-year-olds that have attained tertiary education with 51 percent. Approximately 60 percent of Japanese aged 25 to 34 have some form of tertiary education qualification, and bachelor's degrees are held by
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in the world, with more than 37.4 million residents. Japan has been inhabited since the Upper Paleolithic period (30,000 BC), though the first written mention of the archipelago appears in a Chinese chronicle (the Book of Han) finished in the 2nd century AD. Between the 4th and 9th centuries, the kingdoms of Japan became unified under an emperor and the imperial court based in Heian-kyō. Beginning in the 12th century, political power was held by a series of military dictators () and feudal lords (), and enforced by a class of warrior nobility (samurai). After a century-long period of civil war, the country was reunified in 1603 under the Tokugawa shogunate, which enacted an isolationist foreign policy. In 1854, a United States fleet forced Japan to open trade to the West, which led to the end of the shogunate and the restoration of imperial power in 1868. In the Meiji period, the Empire of Japan adopted a Western-modeled constitution and pursued a program of industrialization and modernization. Amidst a rise in militarism and overseas colonization, Japan invaded China in 1937 and entered World War II as an Axis power in 1941. After suffering defeat in the Pacific War and two atomic bombings, Japan surrendered in 1945 and came under a seven-year Allied occupation, during which it adopted a new constitution. Under the 1947 constitution, Japan has maintained a unitary parliamentary constitutional monarchy with a bicameral legislature, the National Diet. Japan is a great power and a member of numerous international organizations, including the United Nations (since 1956), the OECD, the G20 and the Group of Seven. Although it has renounced its right to declare war, the country maintains Self-Defense Forces that rank as one of the world's strongest militaries. After World War II, Japan experienced record growth in an economic miracle, becoming the second-largest economy in the world by 1972 but has stagnated since 1995 in what is referred to as the Lost Decades. , the country's economy is the third-largest by nominal GDP and the fourth-largest by PPP. Ranked "very high" on the Human Development Index, Japan has one of the world's highest life expectancies, though it is experiencing a decline in population. A global leader in the automotive, robotics and electronics industries, Japan has made significant contributions to science and technology. The culture of Japan is well known around the world, including its art, cuisine, music, and popular culture, which encompasses prominent comic, animation and video game industries. Etymology The name for Japan in Japanese is written using the kanji and is pronounced or . Before was adopted in the early 8th century, the country was known in China as (, changed in Japan around 757 to ) and in Japan by the endonym . , the original Sino-Japanese reading of the characters, is favored for official uses, including on banknotes and postage stamps. is typically used in everyday speech and reflects shifts in Japanese phonology during the Edo period. The characters mean "sun origin", which is the source of the popular Western epithet "Land of the Rising Sun". The name "Japan" is based on Chinese pronunciations of and was introduced to European languages through early trade. In the 13th century, Marco Polo recorded the early Mandarin or Wu Chinese pronunciation of the characters as . The old Malay name for Japan, or , was borrowed from a southern coastal Chinese dialect and encountered by Portuguese traders in Southeast Asia, who brought the word to Europe in the early 16th century. The first version of the name in English appears in a book published in 1577, which spelled the name as Giapan in a translation of a 1565 Portuguese letter. History Prehistoric to classical history A Paleolithic culture from around 30,000 BC constitutes the first known habitation of the islands of Japan. This was followed from around 14,500 BC (the start of the Jōmon period) by a Mesolithic to Neolithic semi-sedentary hunter-gatherer culture characterized by pit dwelling and rudimentary agriculture. Clay vessels from the period are among the oldest surviving examples of pottery. From around 1000 BC, Yayoi people began to enter the archipelago from Kyushu, intermingling with the Jōmon; the Yayoi period saw the introduction of practices including wet-rice farming, a new style of pottery, and metallurgy from China and Korea. According to legend, Emperor Jimmu (grandson of Amaterasu) founded a kingdom in central Japan in 660 BC, beginning a continuous imperial line. Japan first appears in written history in the Chinese Book of Han, completed in 111 AD. Buddhism was introduced to Japan from Baekje (a Korean kingdom) in 552, but the development of Japanese Buddhism was primarily influenced by China. Despite early resistance, Buddhism was promoted by the ruling class, including figures like Prince Shōtoku, and gained widespread acceptance beginning in the Asuka period (592–710). The far-reaching Taika Reforms in 645 nationalized all land in Japan, to be distributed equally among cultivators, and ordered the compilation of a household registry as the basis for a new system of taxation. The Jinshin War of 672, a bloody conflict between Prince Ōama and his nephew Prince Ōtomo, became a major catalyst for further administrative reforms. These reforms culminated with the promulgation of the Taihō Code, which consolidated existing statutes and established the structure of the central and subordinate local governments. These legal reforms created the state, a system of Chinese-style centralized government that remained in place for half a millennium. The Nara period (710–784) marked the emergence of a Japanese state centered on the Imperial Court in Heijō-kyō (modern Nara). The period is characterized by the appearance of a nascent literary culture with the completion of the (712) and (720), as well as the development of Buddhist-inspired artwork and architecture. A smallpox epidemic in 735–737 is believed to have killed as much as one-third of Japan's population. In 784, Emperor Kanmu moved the capital, settling on Heian-kyō (modern-day Kyoto) in 794. This marked the beginning of the Heian period (794–1185), during which a distinctly indigenous Japanese culture emerged. Murasaki Shikibu's The Tale of Genji and the lyrics of Japan's national anthem were written during this time. Feudal era Japan's feudal era was characterized by the emergence and dominance of a ruling class of warriors, the samurai. In 1185, following the defeat of the Taira clan in the Genpei War, samurai Minamoto no Yoritomo established a military government at Kamakura. After Yoritomo's death, the Hōjō clan came to power as regents for the . The Zen school of Buddhism was introduced from China in the Kamakura period (1185–1333) and became popular among the samurai class. The Kamakura shogunate repelled Mongol invasions in 1274 and 1281 but was eventually overthrown by Emperor Go-Daigo. Go-Daigo was defeated by Ashikaga Takauji in 1336, beginning the Muromachi period (1336–1573). The succeeding Ashikaga shogunate failed to control the feudal warlords () and a civil war began in 1467, opening the century-long Sengoku period ("Warring States"). During the 16th century, Portuguese traders and Jesuit missionaries reached Japan for the first time, initiating direct commercial and cultural exchange between Japan and the West. Oda Nobunaga used European technology and firearms to conquer many other ; his consolidation of power began what was known as the Azuchi–Momoyama period. After the death of Nobunaga in 1582, his successor Toyotomi Hideyoshi unified the nation in the early 1590s and launched two unsuccessful invasions of Korea in 1592 and 1597. Tokugawa Ieyasu served as regent for Hideyoshi's son Toyotomi Hideyori and used his position to gain political and military support. When open war broke out, Ieyasu defeated rival clans in the Battle of Sekigahara in 1600. He was appointed by Emperor Go-Yōzei in 1603 and established the Tokugawa shogunate at Edo (modern Tokyo). The shogunate enacted measures including , as a code of conduct to control the autonomous , and in 1639 the isolationist ("closed country") policy that spanned the two and a half centuries of tenuous political unity known as the Edo period (1603–1868). Modern Japan's economic growth began in this period, resulting in roads and water transportation routes, as well as financial instruments such as futures contracts, banking and insurance of the Osaka rice brokers. The study of Western sciences () continued through contact with the Dutch enclave in Nagasaki. The Edo period gave rise to ("national studies"), the study of Japan by the Japanese. Modern era In 1854, Commodore Matthew Perry and the "Black Ships" of the United States Navy forced the opening of Japan to the outside world with the Convention of Kanagawa. Subsequent similar treaties with other Western countries brought economic and political crises. The resignation of the led to the Boshin War and the establishment of a centralized state nominally unified under the emperor (the Meiji Restoration). Adopting Western political, judicial, and military institutions, the Cabinet organized the Privy Council, introduced the Meiji Constitution, and assembled the Imperial Diet. During the Meiji period (1868–1912), the Empire of Japan emerged as the most developed nation in Asia and as an industrialized world power that pursued military conflict to expand its sphere of influence. After victories in the First Sino-Japanese War (1894–1895) and the Russo-Japanese War (1904–1905), Japan gained control of Taiwan, Korea and the southern half of Sakhalin. The Japanese population doubled from 35 million in 1873 to 70 million by 1935, with a significant shift to urbanization. The early 20th century saw a period of Taishō democracy (1912–1926) overshadowed by increasing expansionism and militarization. World War I allowed Japan, which joined the side of the victorious Allies, to capture German possessions in the Pacific and in China. The 1920s saw a political shift towards statism, a period of lawlessness following the 1923 Great Tokyo Earthquake, the passing of laws against political dissent, and a series of attempted coups. This process accelerated during the 1930s, spawning a number of radical nationalist groups that shared a hostility to liberal democracy and a dedication to expansion in Asia. In 1931, Japan invaded and occupied Manchuria; following international condemnation of the occupation, it resigned from the League of Nations two years later. In 1936, Japan signed the Anti-Comintern Pact with Nazi Germany; the 1940 Tripartite Pact made it one of the Axis Powers. The Empire of Japan invaded other parts of China in 1937, precipitating the Second Sino-Japanese War (1937–1945). In 1940, the Empire invaded French Indochina, after which the United States placed an oil embargo on Japan. On December 7–8, 1941, Japanese forces carried out surprise attacks on Pearl Harbor, as well as on British forces in Malaya, Singapore, and Hong Kong, among others, beginning World War II in the Pacific. Throughout areas occupied by Japan during the war, numerous abuses were committed against local inhabitants, with many forced into sexual slavery. After Allied victories during the next four years, which culminated in the Soviet invasion of Manchuria and the atomic bombings of Hiroshima and Nagasaki in 1945, Japan agreed to an unconditional surrender. The war cost Japan its colonies and millions of lives. The Allies (led by the United States) repatriated millions of Japanese settlers from their former colonies and military camps throughout Asia, largely eliminating the Japanese empire and its influence over the territories it conquered. The Allies convened the International Military Tribunal for the Far East to prosecute Japanese leaders for war crimes. In 1947, Japan adopted a new constitution emphasizing liberal democratic practices. The Allied occupation ended with the Treaty of San Francisco in 1952, and Japan was granted membership in the United Nations in 1956. A period of record growth propelled Japan to become the second-largest economy in the world; this ended in the mid-1990s after the popping of an asset price bubble, beginning the "Lost Decade". On March 11, 2011, Japan suffered one of the largest earthquakes in its recorded history, triggering the Fukushima Daiichi nuclear disaster. On May 1, 2019, after the historic abdication of Emperor Akihito, his son Naruhito became Emperor, beginning the Reiwa era. Geography Japan comprises 6852 islands extending along the Pacific coast of Asia. It stretches over northeast–southwest from the Sea of Okhotsk to the East China Sea. The country's five main islands, from north to south, are Hokkaido, Honshu, Shikoku, Kyushu and Okinawa. The Ryukyu Islands, which include Okinawa, are a chain to the south of Kyushu. The Nanpō Islands are south and east of the main islands of Japan. Together they are often known as the Japanese archipelago. , Japan's territory is . Japan has the sixth-longest coastline in the world at . Because of its far-flung outlying islands, Japan has the sixth largest Exclusive Economic Zone in the world, covering . The Japanese archipelago is 66.4% forests, 12.8% agricultural and 4.8% residential (2002). The primarily rugged and mountainous terrain is restricted for habitation. Thus the habitable zones, mainly in the coastal areas, have very high population densities: Japan is the 40th most densely populated country. Honshu has the highest population density at 450 persons/km2 (1,200/sq mi) , while Hokkaido has the lowest density of 64.5 persons/km2 . , approximately 0.5% of Japan's total area is reclaimed land (). Lake Biwa is an ancient lake and the country's largest freshwater lake. Japan is substantially prone to earthquakes, tsunami and volcanic eruptions because of its location along the Pacific Ring of Fire. It has the 17th highest natural disaster risk as measured in the 2016 World Risk Index. Japan has 111 active volcanoes. Destructive earthquakes, often resulting in tsunami, occur several times each century; the 1923 Tokyo earthquake killed over 140,000 people. More recent major quakes are the 1995 Great Hanshin earthquake and the 2011 Tōhoku earthquake, which triggered a large tsunami. Climate The climate of Japan is predominantly temperate but varies greatly from north to south. The northernmost region, Hokkaido, has a humid continental climate with long, cold winters and very warm to cool summers. Precipitation is not heavy, but the islands usually develop deep snowbanks in the winter. In the Sea of Japan region on Honshu's west coast, northwest winter winds bring heavy snowfall during winter. In the summer, the region sometimes experiences extremely hot temperatures because of the foehn. The Central Highland has a typical inland humid continental climate, with large temperature differences between summer and winter. The mountains of the Chūgoku and Shikoku regions shelter the Seto Inland Sea from seasonal winds, bringing mild weather year-round. The Pacific coast features a humid subtropical climate that experiences milder winters with occasional snowfall and hot, humid summers because of the southeast seasonal wind. The Ryukyu and Nanpō Islands have a subtropical climate, with warm winters and hot summers. Precipitation is very heavy, especially during the rainy season. The main rainy season begins in early May in Okinawa, and the rain front gradually moves north. In late summer and early autumn, typhoons often bring heavy rain. According to the Environment Ministry, heavy rainfall and increasing temperatures have caused problems in the agricultural industry and elsewhere. The highest temperature ever measured in Japan, , was recorded on July 23, 2018, and repeated on August 17, 2020. Biodiversity Japan has nine forest ecoregions which reflect the climate and geography of the islands. They range from subtropical moist broadleaf forests in the Ryūkyū and Bonin Islands, to temperate broadleaf and mixed forests in the mild climate regions of the main islands, to temperate coniferous forests in the cold, winter portions of the northern islands. Japan has over 90,000 species of wildlife , including the brown bear, the Japanese macaque, the Japanese raccoon dog, the small Japanese field mouse, and the Japanese giant salamander. A large network of national parks has been established to protect important areas of flora and fauna as well as 52 Ramsar wetland sites. Four sites have been inscribed on the UNESCO World Heritage List for their outstanding natural value. Environment In the period of rapid economic growth after World War II, environmental policies were downplayed by the government and industrial corporations; as a result, environmental pollution was widespread in the 1950s and 1960s. Responding to rising concern, the government introduced environmental protection laws in 1970. The oil crisis in 1973 also encouraged the efficient use of energy because of Japan's lack of natural resources. Japan ranks 20th in the 2018 Environmental Performance Index, which measures a nation's commitment to environmental sustainability. Japan is the world's fifth largest emitter of carbon dioxide. As the host and signatory of the 1997 Kyoto Protocol, Japan is under treaty obligation to reduce its carbon dioxide emissions and to take other steps to curb climate change. In 2020 the government of Japan announced a target of carbon-neutrality by 2050. Environmental issues include urban air pollution (NOx, suspended particulate matter, and toxics), waste management, water eutrophication, nature conservation, climate change, chemical management and international co-operation for conservation. Politics Japan is a unitary state and constitutional monarchy in which the power of the Emperor is limited to a ceremonial role. Executive power is instead wielded by the Prime Minister of Japan and his Cabinet, whose sovereignty is vested in the Japanese people. Naruhito is the Emperor of Japan, having succeeded his father Akihito upon his accession to the Chrysanthemum Throne in 2019. Japan's legislative organ is the National Diet, a bicameral parliament. It consists of a lower House of Representatives with 465 seats, elected by popular vote every four years or when dissolved, and an upper House of Councillors with 245 seats, whose popularly-elected members serve six-year terms. There is universal suffrage for adults over 18 years of age, with a secret ballot for all elected offices. The prime minister as the head of government has the power to appoint and dismiss Ministers of State, and is appointed by the emperor after being designated from among the members of the Diet. Fumio Kishida is Japan's prime minister; he took office after winning the 2021 Liberal Democratic Party leadership election. Historically influenced by Chinese law, the Japanese legal system developed independently during the Edo period through texts such as . Since the late 19th century, the judicial system has been largely based on the civil law of Europe, notably Germany. In 1896, Japan established a civil code based on the German Bürgerliches Gesetzbuch, which remains in effect with post–World War II modifications. The Constitution of Japan, adopted in 1947, is the oldest unamended constitution in the world. Statutory law originates in the legislature, and the constitution requires that the emperor promulgate legislation passed by the Diet without giving him the power to oppose legislation. The main body of Japanese statutory law is called the Six Codes. Japan's court system is divided into four basic tiers: the Supreme Court and three levels of lower courts. Administrative divisions Japan is divided into 47 prefectures, each overseen by an elected governor and legislature. In the following table, the prefectures are grouped by region: Foreign relations A member state of the United Nations since 1956, Japan is one of the G4 nations seeking reform of the Security Council. Japan is a member of the G7, APEC, and "ASEAN Plus Three", and is a participant in the East Asia Summit. It is the world's fifth largest donor of official development assistance, donating US$9.2 billion in 2014. In 2019, Japan had the fourth-largest diplomatic network in the world. Japan has close economic and military relations with the United States, with which it maintains a security alliance. The United States is a major market for Japanese exports and a major source of Japanese imports, and is committed to defending the country, with military bases in Japan. Japan is also a member of the Quadrilateral Security Dialogue (more commonly "the Quad"), a multilateral security collaboration reformed in 2017 aiming to limit Chinese influence in the Indo-Pacific region, along with the United States, Australia and India, reflecting existing relations and patterns of cooperation. Japan's relationship with South Korea had historically been strained because of Japan's treatment of Koreans during Japanese colonial rule, particularly over the issue of comfort women. In 2015, Japan agreed to settle the comfort women dispute with South Korea by issuing a formal apology and paying money to the surviving comfort women. Japan is a major importer of Korean music (K-pop), television (K-dramas), and other cultural products. Japan is engaged in several territorial disputes with its neighbors. Japan contests Russia's control of the Southern Kuril Islands, which were occupied by the Soviet Union in 1945. South Korea's control of the Liancourt Rocks is acknowledged but not accepted as they are claimed by Japan. Japan has strained relations with China and Taiwan over the Senkaku Islands and the status of Okinotorishima. Military Japan is the second-highest-ranked Asian country in the Global Peace Index 2020. Japan maintains one of the largest military budgets of any country in the world. The country's military (the Japan Self-Defense Forces) is restricted by Article 9 of the Japanese Constitution, which renounces Japan's right to declare war or use military force in international disputes. The military is governed by the Ministry of Defense, and primarily consists of the Japan Ground Self-Defense Force, the Japan Maritime Self-Defense Force, and the Japan Air Self-Defense Force. The deployment of troops to Iraq and Afghanistan marked the first overseas use of Japan's military since World War II. The Government of Japan has been making changes to its security policy which include the establishment of the National Security Council, the adoption of the National Security Strategy, and the development of the National Defense Program Guidelines. In May 2014, Prime Minister
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mature island arc. The islands of Japan were created by tectonic plate movements: Tohoku (upper half of Honshu), Hokkaido, Kuril islands and Sakhalin are located on the Okhotsk Plate. This is a minor tectonic plate bounded to the north by the North American Plate. The Okhotsk Plate is bounded on the east by the Pacific Plate at the Kuril–Kamchatka Trench and the Japan Trench. It is bounded on the south by the Philippine Sea Plate at the Nankai Trough. On the west it is bounded by the Eurasian Plate and possibly on the southwest by the Amurian Plate. The northeastern boundary the Ulakhan Fault. The southern half of Honshu, Shikoku and most of Kyushu are located on the Amurian Plate. The southern tip of Kyushu and the Ryukyu islands are located on the Okinawa Plate. The Nanpō Islands are on the Philippine Sea Plate. The Pacific Plate and Philippine Sea Plate are subduction plates. They are deeper than the Eurasian plate. The Philippine Sea Plate moves beneath the continental Amurian Plate and Okinawa Plate to the south. The Pacific Plate moves under the Okhotsk Plate to the north. These subduction plates have pulled Japan eastward and opened the Sea of Japan by back-arc spreading around 15 million years ago. The Strait of Tartary and the Korea Strait opened much later. La Pérouse Strait formed about 60,000 to 11,000 years ago closing the path used by mammoths which had earlier moved to northern Hokkaido. The subduction zone is where the oceanic crust slides beneath the continental crust or other oceanic plates. This is because the oceanic plate's litosphere has a higher density. Subduction zones are sites that usually have a high rate of volcanism and earthquakes. Additionally, subduction zones develop belts of deformation The subduction zones on the east side of the Japanese archipelago cause frequent low intensity earth tremors. Major earthquakes, volcanic eruptions and tsunamis occur several times per century. It is part of the Pacific Ring of Fire. Northeastern Japan, north of Tanakura fault, had high volcanic activity 14–17 million years before present. Median Tectonic Line The Japan Median Tectonic Line (MTL) is Japan's longest fault system. The MTL begins near Ibaraki Prefecture, where it connects with the Itoigawa-Shizuoka Tectonic Line (ISTL) and the Fossa Magna. It runs parallel to Japan's volcanic arc, passing through central Honshū to near Nagoya, through Mikawa Bay, then through the Seto Inland Sea from the Kii Channel and Naruto Strait to Shikoku along the Sadamisaki Peninsula and the Bungo Channel and Hōyo Strait to Kyūshū. The MTL moves right-lateral strike-slip, at about 5–10 millimeters per year. The sense of motion is consistent with the direction of the Nankai Trough's oblique convergence. The rate of motion on the MTL is much less than the rate of convergence at the plate boundary. This makes it difficult to distinguish the motion on the MTL from interseismic elastic straining in GPS data. Oceanic trenches East of the Japanese archipelago are three oceanic trenches. The Kuril–Kamchatka Trench is in the northwest Pacific Ocean. It lies off the southeast coast of Kamchatka and parallels the Kuril Island chain to meet the Japan Trench east of Hokkaido. The Japan Trench extends from the Kuril Islands to the northern end of the Izu Islands. Its deepest part is . The Japan Trench is created as the oceanic Pacific Plate subducts beneath the continental Okhotsk Plate. The subduction process causes bending of the down going plate, creating a deep trench. Continuous movement on the subduction zone associated with the Japan Trench is one of the main causes of tsunamis and earthquakes in northern Japan, including the megathrust 2011 Tōhoku earthquake and tsunami. The rate of subduction associated with the Japan Trench has been recorded at about /yr. The Izu–Ogasawara Trench is south of the Japan Trench in the western Pacific Ocean. It consists of the Izu Trench (at the north) and the Bonin Trench (at the south, west of the Ogasawara Plateau). It stretches to the northernmost section of the Mariana Trench. The Izu–Ogasawara Trench is an extension of the Japan Trench. There the Pacific Plate is being subducted beneath the Philippine Sea Plate, creating the Izu Islands and Bonin Islands on the Izu–Bonin–Mariana Arc system. Composition The Japanese islands are formed of the mentioned geological units parallel to the subduction front. The parts of islands facing the Pacific Plate are typically younger and display a larger proportion of volcanic products, while island parts facing the Sea of Japan are mostly heavily faulted and folded sedimentary deposits. In northwest Japan are thick quaternary deposits. This makes determination of the geological history and composition difficult and it is not yet fully understood. The Japanese island arc system has distributed volcanic series where the volcanic rocks change from tholeiite—calc-alkaline—alkaline with increasing distance from the trench. The geologic province of Japan is mostly basin and a bit extended crust. Growing archipelago The Japanese archipelago grows gradually because of perpetual tectonic plate movements, earthquakes, stratovolcanoes and land reclamation in the Ring of Fire. For example, during the 20th century several new volcanoes emerged, including Shōwa-shinzan on Hokkaido and Myōjin-shō off the Bayonnaise Rocks in the Pacific. The 1914 Sakurajima eruption produced lava flows which connected the former island with the Ōsumi Peninsula in Kyushu. It is the most active volcano in Japan. During the 2013 eruption southeast of Nishinoshima, a new unnamed volcanic island emerged from the sea. Erosion and shifting sands caused the new island to merge with Nishinoshima. A 1911 survey determined the caldera was at its deepest. The 2011 Tōhoku earthquake and tsunami caused portions of northeastern Japan to shift by closer to North America. This made some sections of Japan's landmass wider than before. The areas of Japan closest to the epicenter experienced the largest shifts. A stretch of coastline dropped vertically by , allowing the tsunami to travel farther and faster onto land. On 6 April, the Japanese coast guard said that the earthquake shifted the seabed near the epicenter and elevated the seabed off the coast of Miyagi Prefecture by . A report by the Japan Agency for Marine-Earth Science and Technology, published in Science on 2 December 2011, concluded that the seabed in the area between the epicenter and the Japan Trench moved east-southeast and rose about as a result of the quake. The report also stated that the quake caused several major landslides on the seabed in the affected area. Sea of Japan History During the Pleistocene (2.58 million years BCE) glacial cycles, the Japanese islands may have occasionally been connected to the Eurasian Continent via the Korea Strait and the Korean Peninsula or Sakhalin. The Sea of Japan was considered to be a frozen inner lake because of the lack of the warm Tsushima Current. Various plants and large animals, such as the Palaeoloxodon naumanni migrated into the Japanese archipelago. The Sea of Japan was a landlocked sea when the land bridge of East Asia existed circa 18,000 BCE. During the glacial maximum the marine elevation was 200 meters lower than present. Thus Tsushima island in the Korea Strait was a land bridge that connected Kyushu and the southern tip of Honshu with the Korean peninsula. There was still several kilometers of sea to the west of the Ryukyu islands, and most of the Sea of Japan was open sea with a mean depth of . Comparatively, most of the Yellow Sea (Yellow Plane) had a semi-arid climate (dry steppe), because it was relatively shallow with a mean depth of . The Korean Peninsula was landlocked on the entire west and south side in the Yellow Plane. The onset of formation of the Japan Arc was in the Early Miocene (23 million years ago). The Early Miocene period was when the Sea of Japan started to open, and the northern and southern parts of the Japanese archipelago separated from each other. The Sea of Japan expanded during the Miocene. The northern part of the Japanese archipelago was further fragmented until orogenesis of the northeastern Japanese archipelago began in the Late Miocene. The orogenesis of the high mountain ranges in northeastern Japan started in the Late Miocene and lasted in the Pliocene. The south part of the Japanese archipelago remained as a relatively large landmass. The land area expanded northward during the Miocene. During the advance of the last Ice Age, the world sea level dropped. This dried and closed the exit straits of the Sea of Japan one by one. The deepest, and thus the last to close, was the western channel of the Korea Strait. There is controversy as to whether the Sea of Japan became a huge cold inland lake. The Japanese archipelago had a taiga biome (open boreal woodlands). It was characterized by coniferous forests consisting mostly of pines, spruces and larches. Hokkaido, Sakhalin, and the Kuril islands had mammoth steppe biome (steppe-tundra). The vegetation was dominated by palatable high-productivity grasses, herbs and willow shrubs. Present The Sea of Japan has a surface area of , a mean depth of and a maximum depth of . It has a carrot-like shape, with the major axis extending from southwest to northeast and a wide southern part narrowing toward the north. The coastal length is about with the largest part () belonging to Russia. The sea extends from north to south for more than and has a maximum width of about . There are three major basins: the Yamato Basin in the southeast, the Japan Basin in the north and the Tsushima Basin in the southwest. The Japan Basin has an oceanic crust and it is the deepest part of the sea, whereas the Tsushima Basin is the shallowest with depths below . The Yamato Basin and Tsushima Basin have thick ocean crusts. The continental shelves of the sea are wide on the eastern shores along Japan. On the western shores, they are narrow particularly along the Korean and Russian coast, averaging about . The geographical location of the Japanese archipelago has defined the Sea of Japan for millions of years. Without the Japanese archipelago it would just be the Pacific Ocean. The term has been the international standard since at least the early 19th century. The International Hydrographic Organization, the international governing body for the naming bodies of water around the world, in 2012 recognized the term "Sea of Japan" as the only title for the sea. Ocean currents The Japanese archipelago is surrounded by eight ocean currents. The is a warm north-flowing ocean current on the west side of the Ryukyu Islands and along the east coast of Kyushu, Shikoku and Honshu. It is a strong western boundary current and part of the North Pacific ocean gyre. The Kuroshio Current starts in the east coast of Luzon, Philippines, Taiwan and flows northeastward past Japan, where it merges with the easterly drift of the North Pacific Current. It transports warm, tropical water northward toward the polar region. The Kuroshio extension is a northward continuation of the Kuroshio Current in the northwestern Pacific Ocean. The Kuroshio countercurrent flows southward to the east of the Kuroshio current in the Pacific Ocean and Philippine Sea. The winter spawning Japanese Flying Squid are associated with the Kuroshio Current. The eggs and larvae develop during winter in the East China Sea and the adults travel with minimum energy via the Kuroshio Current to the rich northern feeding grounds near northwestern Honshu and Hokkaido. The is a branch of the Kuroshio Current. It flows along the west coast of Kyushu and Honshu into the Sea of Japan. The current is a cold subarctic ocean current that flows southward and circulates counterclockwise along the east coast of Hokkaido and northeastern Honshu in the western North Pacific Ocean. The waters of the Oyashio Current originate in the Arctic Ocean and flow southward via the Bering Sea, passing through the Bering Strait and transporting cold water from the Arctic Sea into the Pacific Ocean and the Sea of Okhotsk. It collides with the Kuroshio Current off the eastern shore of Japan to form the North Pacific Current. The nutrient-rich Oyashio is named for its metaphorical role as the that provides for and nurtures marine organisms. The Liman Current is a southward flowing cold ocean current that flows from the Strait of Tartary along the Asian continent in the Sea of Japan. The originates when the Tsushima Current is divided in two as it flows through the west entrance of the Tsugaru Strait, and along the La Perouse Strait at the north coast of Hokkaido it becomes the . The flow rate is 1 to 3 knots. There is a relatively stronger flow in the summer than in the winter. Natural resources Land resources There are small deposits of coal, oil, iron and minerals in the Japanese archipelago. Japan is scarce in critical natural resources and has long been heavily dependent on imported energy and raw materials. The oil crisis in 1973 encouraged the efficient use of energy. Japan has therefore aimed to diversify its sources and maintain high levels of energy efficiency. In regards to agricultural products, the self-sufficiency rate of most items is less than 100% except for rice. Rice has a 100% food self-sufficiency. This makes it difficult to meet Japan's food demand without imports. Marine resources The Exclusive economic zone of Japan has an estimated large quantities of mineral resources such as methane clathrate, natural gas, metallic minerals and rare-earth mineral reserves. Seabed mineral resources such as manganese nodules, cobalt-rich crust and submarine hydrothermal deposits are located at depths over . Most of these deep sea resources are unexplored at the seabed. Japan's mining law restricts offshore oil and gas production. There are technological hurdles to mine at such extreme depths and to limit the ecological impact. There are no successful commercial ventures that mine the deep sea yet. So currently there are few deep sea mining projects to retrieve minerals or deepwater drilling on the ocean floor. It is estimated that there are approximately 40 trillion cubic feet of methane clathrate in the eastern Nankai Trough of Japan. As of 2019, the methane clathrate in the deep sea remains unexploited, because the necessary technology is not established yet. This is why currently Japan has very limited proven reserves like crude oil. The Kantō region alone is estimated to have over 400 billion cubic meters of natural gas reserves. It forms a Minami Kantō gas field in the area spanning Saitama, Tokyo, Kanagawa, Ibaraki, and Chiba prefectures. However, mining is strictly regulated in many areas because it is directly below Tokyo, and is only slightly mined in the Bōsō Peninsula. In Tokyo and Chiba Prefecture, there have been frequent accidents with natural gas that was released naturally from the Minami Kantō gas field. In 2018, south of Minami-Tori-shima at deep, approximately 16 million tons of rare-earth minerals were discovered by JAMSTEC in collaboration with Waseda University and the University of Tokyo. Marine life Japan maintains one of the world's largest fishing fleets and accounts for nearly 15% of the global catch (2014). In 2005, Japan ranked sixth in the world in tonnage of fish caught. Japan captured 4,074,580 metric tons of fish in 2005, down from 4,987,703 tons in 2000 and 9,864,422 tons in 1980. In 2003, the total aquaculture production was predicted at 1,301,437 tonnes. In 2010, Japan's total fisheries production was 4,762,469 fish. Offshore fisheries accounted for an average of 50% of the nation's total fish catches in the late 1980s although they experienced repeated ups and downs during that period. Energy , 46.1% of energy in Japan was produced from petroleum, 21.3% from coal, 21.4% from natural gas, 4.0% from nuclear power and 3.3% from hydropower. Nuclear power is a major domestic source of energy and produced 9.2 percent of Japan's electricity, , down from 24.9 percent the previous year. Following the 2011 Tōhoku earthquake and tsunami disaster in 2011, the nuclear reactors were shut down. Thus Japan's industrial sector became even more dependent than before on imported fossil fuels. By May 2012 all of the country's nuclear power plants were taken offline because of ongoing public opposition following the Fukushima Daiichi nuclear disaster in March 2011, though government officials continued to try to sway public opinion in favor of returning at least some of Japan's 50 nuclear reactors to service. Shinzo Abe's government seeks to restart the nuclear power plants that meet strict new safety standards and is emphasizing nuclear energy's importance as a base-load electricity source. In 2015, Japan successfully restarted one nuclear reactor at the Sendai Nuclear Power Plant in Kagoshima prefecture, and several other reactors around the country have since resumed operations. Opposition from local governments has delayed several restarts that remain pending. Reforms of the electricity and gas sectors, including full liberalization of Japan's energy market in April 2016 and gas market in April 2017, constitute an important part of Prime Minister Abe's economic program. Japan has the third largest geothermal reserves in the world. Geothermal energy is being heavily focused on as a source of power following the Fukushima disaster. The Ministry of Economy, Trade, and Industry is exploring over 40 locations for potential geothermal energy plants. On 3 July 2018, Japan's government pledged to increase renewable energy sources from 15% to 22–24% including wind and solar by 2030. Nuclear energy will provide 20% of the country's energy needs as an emissions-free energy source. This will help Japan meet climate change commitments. National Parks and Scenic Beauty National Parks Japan has 34 and 56 in 2019. These are designated and managed for protection and sustainable usage by the Ministry of the Environment under the of 1957. The Quasi-National Parks have slightly less beauty, size, diversity, or preservation. They are recommended for ministerial designation and managed by the prefectures under the supervision of the Ministry of the Environment. The Japanese archipelago has diverse landscapes. For example, the northern part of Hokkaido has a taiga biome. Hokkaido has 22% of Japan's forestland with coniferous trees (Sakhalin fir and Sakhalin spruce) and broad-leaved trees (Japanese oak, birch and Painted maple). The seasonal views change throughout the year. In the south, the Yaeyama Islands are in the subtropics with numerous species of subtropical and tropical plants, and mangrove forests. Most natural islands have mountain ranges in the center with coastal plains. List of National Parks of Japan List of National Geoparks in Japan Wildlife Protection Areas in Japan List of Ramsar sites in Japan Cultural Landscapes Places of Scenic Beauty The Places of Scenic Beauty and Natural Monuments are selected by the government via the Agency for Cultural Affairs in order to protect Japan's cultural heritage. As of 2017, there are 1,027 and 410 . The highest classification are 75 and 36 . Three Views of Japan The is the canonical list of Japan's three most celebrated scenic sights, attributed to 1643 and scholar Hayashi Gahō. These are traditionally the pine-clad islands of Matsushima in Miyagi Prefecture, the pine-clad sandbar of Amanohashidate in Kyoto Prefecture, and Itsukushima Shrine in Hiroshima Prefecture. In 1915, the New Three Views of Japan were selected with a national election by the Jitsugyo no Nihon Sha (株式会社実業之日本社). In 2003, the Three Major Night Views of Japan were selected by the New Three Major Night Views of Japan and the 100 Night Views of Japan Club (新日本三大夜景・夜景100選事務局). Climate Most regions of Japan, such as much of Honshu, Shikoku and Kyushu, belong to the temperate zone with humid subtropical climate (Köppen climate classification Cfa) characterized by four distinct seasons. However, its climate varies from cool humid continental climate (Köppen climate classification Dfb) in the north such as northern Hokkaido, to warm tropical rainforest climate (Köppen climate classification Af) in the south such as the Yaeyama Islands and Minami-Tori-shima. Climate zones Japan's varied geographical features divide it into six principal climatic zones. Hokkaido belongs to the humid continental climate, with long, cold winters and cool summers. Precipitation is sparse; however, winter brings large snowfalls of hundreds of inches in areas such as Sapporo and Asahikawa. In the Sea of Japan, the northwest seasonal wind in winter gives heavy snowfall, which south of Tōhoku mostly melts before the beginning of spring. In summer, it is a little less rainy than the Pacific area but sometimes experiences extreme high temperatures because of the foehn wind phenomenon. Central Highland: a typical inland climate gives large temperature variations between summers and winters and between days and nights. Precipitation is lower than on the coast because of rain shadow effects. Seto Inland Sea: the mountains in the Chūgoku and Shikoku regions block the seasonal winds and bring mild climate and many fine days throughout the year. Pacific Ocean: the climate varies greatly between the north and the south, but generally winters are significantly milder and sunnier than those of the side that faces the Sea of Japan. Summers are hot because of the southeast seasonal wind. Precipitation is very heavy in the south and heavy in the summer in the north. The climate of the Ogasawara Island chain ranges from a humid subtropical climate (Köppen climate classification Cfa) to tropical savanna climate (Köppen climate classification Aw) with temperatures being warm to hot all year round. The climate of the Ryukyu Islands ranges from humid subtropical climate (Köppen climate classification Cfa) in the north to tropical rainforest climate (Köppen climate classification Af) in the south with warm winters and hot summers. Precipitation is very high and is especially affected by the rainy season and typhoons. Rainfall Japan is generally a rainy country with high humidity. Because of its wide range of latitude, seasonal winds and different types of ocean currents, Japan has a variety of climates, with a latitude range of the inhabited islands from 24°N – 46°N, which is comparable to the range between Nova Scotia and The Bahamas in the east coast of North America. Tokyo is between 35°N – 36°N, which is comparable to that of Tehran, Athens, or Las Vegas. As Mount Fuji and the coastal Japanese Alps provide a rain shadow, Nagano and Yamanashi Prefectures receive the least precipitation in Honshu, though it still exceeds annually. A similar effect is found in Hokkaido, where Okhotsk Subprefecture receives as little as per year. All other prefectures have coasts on the Pacific Ocean, Sea of Japan, Seto Inland Sea or have a body of salt water connected to them. Two prefectures—Hokkaido and Okinawa—are composed entirely of islands. Summer The climate from June to September is marked by hot, wet weather brought by tropical airflows from the Pacific Ocean and Southeast Asia. These air flows are full of moisture and deposit substantial amounts of rain when they reach land. There is a marked rainy season, beginning in early June and continuing for about a month. It is followed by hot, sticky weather. Five or six typhoons pass over or near Japan every year from early August to early October, sometimes resulting in significant damage. Annual precipitation averages between except for the areas such as Kii Peninsula and Yakushima Island which is Japan's wettest place with the annual precipitation being one of the world's highest at 4,000 to 10,000 mm. Maximum precipitation, like the rest of East Asia, occurs in the summer months except on the Sea of Japan coast where strong northerly winds produce a maximum in late autumn and early winter. Except for a few sheltered inland valleys during December and January, precipitation in Japan is above of rainfall equivalent in all months of the year, and in the wettest coastal areas it is above per month throughout the year. Mid June to mid July is generally the rainy season in Honshu, Shikoku and Kyushu, excluding Hokkaidō since the seasonal rain front or dissipates in northern Honshu before reaching Hokkaido. In Okinawa, the rainy season starts early in May and continues until mid June. Unlike the rainy season in mainland Japan, it rains neither everyday nor all day long during the rainy season in Okinawa. Between July and October, typhoons, grown from tropical depressions generated near the equator, can attack Japan with furious rainstorms. Winter In winter, the Siberian High develops over the Eurasian land mass and the Aleutian Low develops over the northern Pacific Ocean. The result is a flow of cold air southeastward across Japan that brings freezing temperatures and heavy snowfalls to the central mountain ranges facing the Sea of Japan, but clear skies to areas fronting on the Pacific. The warmest winter temperatures are found in the Nanpō and Bonin Islands, which enjoy a tropical climate due to the combination of latitude, distance from the Asian continent, and warming effect of winds from the Kuroshio, as well as the Volcano Islands (at the latitude of the southernmost of the Ryukyu Islands, 24° N). The coolest summer temperatures are found on the northeastern coast of Hokkaidō in Kushiro and Nemuro Subprefectures. Sunshine Sunshine, in accordance with Japan's uniformly heavy rainfall, is generally modest in quantity, though no part of Japan receives the consistently gloomy fogs that envelope the Sichuan Basin or Taipei. Amounts range from about six hours per day in the Inland Sea coast and sheltered parts of the Pacific Coast and Kantō Plain to four hours per day on the Sea of Japan coast of Hokkaidō. In December there is a very pronounced sunshine gradient between the Sea of Japan and Pacific coasts, as the former side can receive less than 30 hours and the Pacific side as much as 180 hours. In summer, however, sunshine hours are lowest on exposed parts of the Pacific coast where fogs from the Oyashio current create persistent cloud cover similar to that found on the Kuril Islands and Sakhalin. Extreme temperature records The highest recorded temperature in Japan was 41.1 °C (106.0 °F) on 23 July 2018, an unverified record of 42.7 °C was taken in Adachi, Tokyo on 20 July 2004. The lowest was −41.0 °C (−41.8 °F) in Asahikawa on 25 January 1902. However an unofficial −41.5 °C was taken in Bifuka on 27 January 1931. Mount Fuji broke the Japanese record lows for each month except January, February, March, and December. Record lows for any month were taken as recent as 1984. Minami-Tori-shima has a tropical savanna climate (Köppen climate classification Aw) and the highest average temperature in Japan of 25 degrees Celsius. Population distribution Japan has a population of 126.3 million in 2019. It is the eleventh most populous country and second most populous island country in the world. The population is clustered in urban areas on the coast, plains and valleys. In 2010, 90.7% of the total Japanese population lived in cities. Japan is an urban society with about only 5% of the labor force working in agriculture. About 80 million of the urban population is heavily concentrated on the Pacific coast of Honshu. 81% of the population lives on Honshu, 10% on Kyushu, 4.2% on Hokkaido, 3% on Shikoku, 1.1% in Okinawa Prefecture and 0.7% on other Japanese islands such as the Nanpō Islands. Nearly 1 in 3 Japanese people live in the Greater Tokyo Area, and over half live in the Kanto, Kinki, and Chukyo metropolitan areas. Honshu is the largest island of Japan and the second most populous island in the world. It has a population of 104,000,000 with a population density of (2010). Honshu is roughly long and ranges from wide, and the total area is . It is the 7th largest island in the world. This makes it slightly larger than the island of Great Britain . The Greater Tokyo Area on Honshu is the largest metropolitan area (megacity) in the world with people (2016). The area is and has a population density of 2,642 persons/km2. Kyushu is the third largest island of Japan of the five main islands. , Kyushu has a population of 12,970,479 and covers . It has the second highest population density of 307.13 persons/km2 (2016). Shikoku is the second smallest of the five main islands (after Okinawa island), . It is located south of Honshu and northeast of Kyushu. It has the second smallest population of 3,845,534 million (2015) and the third highest population density of 204.55 persons/km2. Hokkaido is the second largest island of Japan, and the largest and northernmost prefecture. The Tsugaru Strait separates Hokkaido from Honshu. It has the third largest population of the five main islands with 5,383,579 (2015) and the lowest population density with just 64.5 persons/km2 (2016). The island area ranks 21st in the world by area. It is 3.6% smaller than the island of Ireland. Okinawa Prefecture is the southernmost prefecture of Japan. It encompasses two thirds of the Ryukyu Islands over long. It has a population of 1,445,812 (2017) and a density of 662 persons/km2. is the smallest and most southwestern of the five main islands, . It has the smallest population of 1,301,462 (2014) and the highest population density of 1083.6 persons/km2. Nanpō Islands are the groups of islands that are located to the south and east of the main islands of the Japanese archipelago. They extend from the Izu Peninsula west of Tokyo Bay southward for about , to within of the Mariana Islands. The Nanpō Islands are all administered by Tokyo Metropolis. Approximately 0.7% of the Japanese population lives there. Taiheiyō Belt The Taiheiyō Belt is a megalopolis that includes the Greater Tokyo Area and Keihanshin megapoles. It is almost long from Ibaraki Prefecture in the northeast to Fukuoka Prefecture in the southwest. Satellite images at night show a dense and continuous strip of light (demarcating urban zones) that delineates the region with overlapping metropolitan areas in Japan. It has a total population of approximately 81,859,345 (2016). Taiheiyō Belt – includes Ibaraki, Saitama, Chiba, Tokyo, Kanagawa, Shizuoka, Aichi, Gifu, Mie, Kyoto, Osaka, Hyōgo, Wakayama, Okayama, Hiroshima, Yamaguchi, Fukuoka, and Ōita. (81,859,345 people) Greater Tokyo Area – Part of the larger Kantō region, broadly includes Tokyo and Yokohama. (38,000,000 people) Keihanshin – Part of the larger Kansai region, includes Osaka, Kyoto, Kobe. (19,341,976 people) Underwater habitats There are plans to build underwater habitats in Japan's Exclusive Economic Zone. Currently no underwater city is constructed yet. For example, the Ocean Spiral by Shimizu Corporation would have a floating dome 500 meters in diameter with hotels, residential and commercial complexes. It could be 15 km long. This allows mining of the seabed, research and production of methane from carbon dioxide with micro-organisms. The Ocean Spiral was co-developed with JAMSTEC and Tokyo University. Extreme points Japan extends from 20° to 45° north latitude (Okinotorishima to Benten-jima) and from 122° to 153° east longitude (Yonaguni to Minami Torishima). These are the points that are farther north, south, east or west than any other
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It collides with the Kuroshio Current off the eastern shore of Japan to form the North Pacific Current. The nutrient-rich Oyashio is named for its metaphorical role as the that provides for and nurtures marine organisms. The Liman Current is a southward flowing cold ocean current that flows from the Strait of Tartary along the Asian continent in the Sea of Japan. The originates when the Tsushima Current is divided in two as it flows through the west entrance of the Tsugaru Strait, and along the La Perouse Strait at the north coast of Hokkaido it becomes the . The flow rate is 1 to 3 knots. There is a relatively stronger flow in the summer than in the winter. Natural resources Land resources There are small deposits of coal, oil, iron and minerals in the Japanese archipelago. Japan is scarce in critical natural resources and has long been heavily dependent on imported energy and raw materials. The oil crisis in 1973 encouraged the efficient use of energy. Japan has therefore aimed to diversify its sources and maintain high levels of energy efficiency. In regards to agricultural products, the self-sufficiency rate of most items is less than 100% except for rice. Rice has a 100% food self-sufficiency. This makes it difficult to meet Japan's food demand without imports. Marine resources The Exclusive economic zone of Japan has an estimated large quantities of mineral resources such as methane clathrate, natural gas, metallic minerals and rare-earth mineral reserves. Seabed mineral resources such as manganese nodules, cobalt-rich crust and submarine hydrothermal deposits are located at depths over . Most of these deep sea resources are unexplored at the seabed. Japan's mining law restricts offshore oil and gas production. There are technological hurdles to mine at such extreme depths and to limit the ecological impact. There are no successful commercial ventures that mine the deep sea yet. So currently there are few deep sea mining projects to retrieve minerals or deepwater drilling on the ocean floor. It is estimated that there are approximately 40 trillion cubic feet of methane clathrate in the eastern Nankai Trough of Japan. As of 2019, the methane clathrate in the deep sea remains unexploited, because the necessary technology is not established yet. This is why currently Japan has very limited proven reserves like crude oil. The Kantō region alone is estimated to have over 400 billion cubic meters of natural gas reserves. It forms a Minami Kantō gas field in the area spanning Saitama, Tokyo, Kanagawa, Ibaraki, and Chiba prefectures. However, mining is strictly regulated in many areas because it is directly below Tokyo, and is only slightly mined in the Bōsō Peninsula. In Tokyo and Chiba Prefecture, there have been frequent accidents with natural gas that was released naturally from the Minami Kantō gas field. In 2018, south of Minami-Tori-shima at deep, approximately 16 million tons of rare-earth minerals were discovered by JAMSTEC in collaboration with Waseda University and the University of Tokyo. Marine life Japan maintains one of the world's largest fishing fleets and accounts for nearly 15% of the global catch (2014). In 2005, Japan ranked sixth in the world in tonnage of fish caught. Japan captured 4,074,580 metric tons of fish in 2005, down from 4,987,703 tons in 2000 and 9,864,422 tons in 1980. In 2003, the total aquaculture production was predicted at 1,301,437 tonnes. In 2010, Japan's total fisheries production was 4,762,469 fish. Offshore fisheries accounted for an average of 50% of the nation's total fish catches in the late 1980s although they experienced repeated ups and downs during that period. Energy , 46.1% of energy in Japan was produced from petroleum, 21.3% from coal, 21.4% from natural gas, 4.0% from nuclear power and 3.3% from hydropower. Nuclear power is a major domestic source of energy and produced 9.2 percent of Japan's electricity, , down from 24.9 percent the previous year. Following the 2011 Tōhoku earthquake and tsunami disaster in 2011, the nuclear reactors were shut down. Thus Japan's industrial sector became even more dependent than before on imported fossil fuels. By May 2012 all of the country's nuclear power plants were taken offline because of ongoing public opposition following the Fukushima Daiichi nuclear disaster in March 2011, though government officials continued to try to sway public opinion in favor of returning at least some of Japan's 50 nuclear reactors to service. Shinzo Abe's government seeks to restart the nuclear power plants that meet strict new safety standards and is emphasizing nuclear energy's importance as a base-load electricity source. In 2015, Japan successfully restarted one nuclear reactor at the Sendai Nuclear Power Plant in Kagoshima prefecture, and several other reactors around the country have since resumed operations. Opposition from local governments has delayed several restarts that remain pending. Reforms of the electricity and gas sectors, including full liberalization of Japan's energy market in April 2016 and gas market in April 2017, constitute an important part of Prime Minister Abe's economic program. Japan has the third largest geothermal reserves in the world. Geothermal energy is being heavily focused on as a source of power following the Fukushima disaster. The Ministry of Economy, Trade, and Industry is exploring over 40 locations for potential geothermal energy plants. On 3 July 2018, Japan's government pledged to increase renewable energy sources from 15% to 22–24% including wind and solar by 2030. Nuclear energy will provide 20% of the country's energy needs as an emissions-free energy source. This will help Japan meet climate change commitments. National Parks and Scenic Beauty National Parks Japan has 34 and 56 in 2019. These are designated and managed for protection and sustainable usage by the Ministry of the Environment under the of 1957. The Quasi-National Parks have slightly less beauty, size, diversity, or preservation. They are recommended for ministerial designation and managed by the prefectures under the supervision of the Ministry of the Environment. The Japanese archipelago has diverse landscapes. For example, the northern part of Hokkaido has a taiga biome. Hokkaido has 22% of Japan's forestland with coniferous trees (Sakhalin fir and Sakhalin spruce) and broad-leaved trees (Japanese oak, birch and Painted maple). The seasonal views change throughout the year. In the south, the Yaeyama Islands are in the subtropics with numerous species of subtropical and tropical plants, and mangrove forests. Most natural islands have mountain ranges in the center with coastal plains. List of National Parks of Japan List of National Geoparks in Japan Wildlife Protection Areas in Japan List of Ramsar sites in Japan Cultural Landscapes Places of Scenic Beauty The Places of Scenic Beauty and Natural Monuments are selected by the government via the Agency for Cultural Affairs in order to protect Japan's cultural heritage. As of 2017, there are 1,027 and 410 . The highest classification are 75 and 36 . Three Views of Japan The is the canonical list of Japan's three most celebrated scenic sights, attributed to 1643 and scholar Hayashi Gahō. These are traditionally the pine-clad islands of Matsushima in Miyagi Prefecture, the pine-clad sandbar of Amanohashidate in Kyoto Prefecture, and Itsukushima Shrine in Hiroshima Prefecture. In 1915, the New Three Views of Japan were selected with a national election by the Jitsugyo no Nihon Sha (株式会社実業之日本社). In 2003, the Three Major Night Views of Japan were selected by the New Three Major Night Views of Japan and the 100 Night Views of Japan Club (新日本三大夜景・夜景100選事務局). Climate Most regions of Japan, such as much of Honshu, Shikoku and Kyushu, belong to the temperate zone with humid subtropical climate (Köppen climate classification Cfa) characterized by four distinct seasons. However, its climate varies from cool humid continental climate (Köppen climate classification Dfb) in the north such as northern Hokkaido, to warm tropical rainforest climate (Köppen climate classification Af) in the south such as the Yaeyama Islands and Minami-Tori-shima. Climate zones Japan's varied geographical features divide it into six principal climatic zones. Hokkaido belongs to the humid continental climate, with long, cold winters and cool summers. Precipitation is sparse; however, winter brings large snowfalls of hundreds of inches in areas such as Sapporo and Asahikawa. In the Sea of Japan, the northwest seasonal wind in winter gives heavy snowfall, which south of Tōhoku mostly melts before the beginning of spring. In summer, it is a little less rainy than the Pacific area but sometimes experiences extreme high temperatures because of the foehn wind phenomenon. Central Highland: a typical inland climate gives large temperature variations between summers and winters and between days and nights. Precipitation is lower than on the coast because of rain shadow effects. Seto Inland Sea: the mountains in the Chūgoku and Shikoku regions block the seasonal winds and bring mild climate and many fine days throughout the year. Pacific Ocean: the climate varies greatly between the north and the south, but generally winters are significantly milder and sunnier than those of the side that faces the Sea of Japan. Summers are hot because of the southeast seasonal wind. Precipitation is very heavy in the south and heavy in the summer in the north. The climate of the Ogasawara Island chain ranges from a humid subtropical climate (Köppen climate classification Cfa) to tropical savanna climate (Köppen climate classification Aw) with temperatures being warm to hot all year round. The climate of the Ryukyu Islands ranges from humid subtropical climate (Köppen climate classification Cfa) in the north to tropical rainforest climate (Köppen climate classification Af) in the south with warm winters and hot summers. Precipitation is very high and is especially affected by the rainy season and typhoons. Rainfall Japan is generally a rainy country with high humidity. Because of its wide range of latitude, seasonal winds and different types of ocean currents, Japan has a variety of climates, with a latitude range of the inhabited islands from 24°N – 46°N, which is comparable to the range between Nova Scotia and The Bahamas in the east coast of North America. Tokyo is between 35°N – 36°N, which is comparable to that of Tehran, Athens, or Las Vegas. As Mount Fuji and the coastal Japanese Alps provide a rain shadow, Nagano and Yamanashi Prefectures receive the least precipitation in Honshu, though it still exceeds annually. A similar effect is found in Hokkaido, where Okhotsk Subprefecture receives as little as per year. All other prefectures have coasts on the Pacific Ocean, Sea of Japan, Seto Inland Sea or have a body of salt water connected to them. Two prefectures—Hokkaido and Okinawa—are composed entirely of islands. Summer The climate from June to September is marked by hot, wet weather brought by tropical airflows from the Pacific Ocean and Southeast Asia. These air flows are full of moisture and deposit substantial amounts of rain when they reach land. There is a marked rainy season, beginning in early June and continuing for about a month. It is followed by hot, sticky weather. Five or six typhoons pass over or near Japan every year from early August to early October, sometimes resulting in significant damage. Annual precipitation averages between except for the areas such as Kii Peninsula and Yakushima Island which is Japan's wettest place with the annual precipitation being one of the world's highest at 4,000 to 10,000 mm. Maximum precipitation, like the rest of East Asia, occurs in the summer months except on the Sea of Japan coast where strong northerly winds produce a maximum in late autumn and early winter. Except for a few sheltered inland valleys during December and January, precipitation in Japan is above of rainfall equivalent in all months of the year, and in the wettest coastal areas it is above per month throughout the year. Mid June to mid July is generally the rainy season in Honshu, Shikoku and Kyushu, excluding Hokkaidō since the seasonal rain front or dissipates in northern Honshu before reaching Hokkaido. In Okinawa, the rainy season starts early in May and continues until mid June. Unlike the rainy season in mainland Japan, it rains neither everyday nor all day long during the rainy season in Okinawa. Between July and October, typhoons, grown from tropical depressions generated near the equator, can attack Japan with furious rainstorms. Winter In winter, the Siberian High develops over the Eurasian land mass and the Aleutian Low develops over the northern Pacific Ocean. The result is a flow of cold air southeastward across Japan that brings freezing temperatures and heavy snowfalls to the central mountain ranges facing the Sea of Japan, but clear skies to areas fronting on the Pacific. The warmest winter temperatures are found in the Nanpō and Bonin Islands, which enjoy a tropical climate due to the combination of latitude, distance from the Asian continent, and warming effect of winds from the Kuroshio, as well as the Volcano Islands (at the latitude of the southernmost of the Ryukyu Islands, 24° N). The coolest summer temperatures are found on the northeastern coast of Hokkaidō in Kushiro and Nemuro Subprefectures. Sunshine Sunshine, in accordance with Japan's uniformly heavy rainfall, is generally modest in quantity, though no part of Japan receives the consistently gloomy fogs that envelope the Sichuan Basin or Taipei. Amounts range from about six hours per day in the Inland Sea coast and sheltered parts of the Pacific Coast and Kantō Plain to four hours per day on the Sea of Japan coast of Hokkaidō. In December there is a very pronounced sunshine gradient between the Sea of Japan and Pacific coasts, as the former side can receive less than 30 hours and the Pacific side as much as 180 hours. In summer, however, sunshine hours are lowest on exposed parts of the Pacific coast where fogs from the Oyashio current create persistent cloud cover similar to that found on the Kuril Islands and Sakhalin. Extreme temperature records The highest recorded temperature in Japan was 41.1 °C (106.0 °F) on 23 July 2018, an unverified record of 42.7 °C was taken in Adachi, Tokyo on 20 July 2004. The lowest was −41.0 °C (−41.8 °F) in Asahikawa on 25 January 1902. However an unofficial −41.5 °C was taken in Bifuka on 27 January 1931. Mount Fuji broke the Japanese record lows for each month except January, February, March, and December. Record lows for any month were taken as recent as 1984. Minami-Tori-shima has a tropical savanna climate (Köppen climate classification Aw) and the highest average temperature in Japan of 25 degrees Celsius. Population distribution Japan has a population of 126.3 million in 2019. It is the eleventh most populous country and second most populous island country in the world. The population is clustered in urban areas on the coast, plains and valleys. In 2010, 90.7% of the total Japanese population lived in cities. Japan is an urban society with about only 5% of the labor force working in agriculture. About 80 million of the urban population is heavily concentrated on the Pacific coast of Honshu. 81% of the population lives on Honshu, 10% on Kyushu, 4.2% on Hokkaido, 3% on Shikoku, 1.1% in Okinawa Prefecture and 0.7% on other Japanese islands such as the Nanpō Islands. Nearly 1 in 3 Japanese people live in the Greater Tokyo Area, and over half live in the Kanto, Kinki, and Chukyo metropolitan areas. Honshu is the largest island of Japan and the second most populous island in the world. It has a population of 104,000,000 with a population density of (2010). Honshu is roughly long and ranges from wide, and the total area is . It is the 7th largest island in the world. This makes it slightly larger than the island of Great Britain . The Greater Tokyo Area on Honshu is the largest metropolitan area (megacity) in the world with people (2016). The area is and has a population density of 2,642 persons/km2. Kyushu is the third largest island of Japan of the five main islands. , Kyushu has a population of 12,970,479 and covers . It has the second highest population density of 307.13 persons/km2 (2016). Shikoku is the second smallest of the five main islands (after Okinawa island), . It is located south of Honshu and northeast of Kyushu. It has the second smallest population of 3,845,534 million (2015) and the third highest population density of 204.55 persons/km2. Hokkaido is the second largest island of Japan, and the largest and northernmost prefecture. The Tsugaru Strait separates Hokkaido from Honshu. It has the third largest population of the five main islands with 5,383,579 (2015) and the lowest population density with just 64.5 persons/km2 (2016). The island area ranks 21st in the world by area. It is 3.6% smaller than the island of Ireland. Okinawa Prefecture is the southernmost prefecture of Japan. It encompasses two thirds of the Ryukyu Islands over long. It has a population of 1,445,812 (2017) and a density of 662 persons/km2. is the smallest and most southwestern of the five main islands, . It has the smallest population of 1,301,462 (2014) and the highest population density of 1083.6 persons/km2. Nanpō Islands are the groups of islands that are located to the south and east of the main islands of the Japanese archipelago. They extend from the Izu Peninsula west of Tokyo Bay southward for about , to within of the Mariana Islands. The Nanpō Islands are all administered by Tokyo Metropolis. Approximately 0.7% of the Japanese population lives there. Taiheiyō Belt The Taiheiyō Belt is a megalopolis that includes the Greater Tokyo Area and Keihanshin megapoles. It is almost long from Ibaraki Prefecture in the northeast to Fukuoka Prefecture in the southwest. Satellite images at night show a dense and continuous strip of light (demarcating urban zones) that delineates the region with overlapping metropolitan areas in Japan. It has a total population of approximately 81,859,345 (2016). Taiheiyō Belt – includes Ibaraki, Saitama, Chiba, Tokyo, Kanagawa, Shizuoka, Aichi, Gifu, Mie, Kyoto, Osaka, Hyōgo, Wakayama, Okayama, Hiroshima, Yamaguchi, Fukuoka, and Ōita. (81,859,345 people) Greater Tokyo Area – Part of the larger Kantō region, broadly includes Tokyo and Yokohama. (38,000,000 people) Keihanshin – Part of the larger Kansai region, includes Osaka, Kyoto, Kobe. (19,341,976 people) Underwater habitats There are plans to build underwater habitats in Japan's Exclusive Economic Zone. Currently no underwater city is constructed yet. For example, the Ocean Spiral by Shimizu Corporation would have a floating dome 500 meters in diameter with hotels, residential and commercial complexes. It could be 15 km long. This allows mining of the seabed, research and production of methane from carbon dioxide with micro-organisms. The Ocean Spiral was co-developed with JAMSTEC and Tokyo University. Extreme points Japan extends from 20° to 45° north latitude (Okinotorishima to Benten-jima) and from 122° to 153° east longitude (Yonaguni to Minami Torishima). These are the points that are farther north, south, east or west than any other location in Japan. Japan's main islands The five main islands of Japan are Hokkaidō, Honshū, Kyūshū, Shikoku and Okinawa. These are also called the mainland. All of these points are accessible to the public. Extreme altitudes Largest islands of Japan These are the 50 largest islands of Japan. It excludes the disputed Kuril islands known as the northern territories. Northern Territories Japan has a longstanding claim of the Southern Kuril Islands (Etorofu, Kunashiri, Shikotan, and the Habomai Islands). These islands were occupied by the Soviet Union in 1945. The Kuril Islands historically belong to Japan. The Kuril Islands were first inhabited by the Ainu people and then controlled by the Japanese Matsumae clan in the Edo Period. The Soviet Union did not sign the San Francisco Treaty in 1951. The U.S. Senate Resolution of April 28, 1952, ratifying of the San Francisco Treaty, explicitly stated that the USSR had no title to the Kurils. This dispute has prevented the signing of a peace treaty between Japan and Russia. Geographically the Kuril Islands are a northeastern extension of Hokkaido. Kunashiri and the Habomai Islands are visible from the northeastern coast of Hokkaido. Japan considers the northern territories (aka Southern Chishima) part of Nemuro Subprefecture of Hokkaido Prefecture. Time zone There is one time zone in the whole Japanese archipelago. It is 9 hours ahead of UTC. There is no daylight saving time. The easternmost Japanese island Minami-Tori-shima also uses Japan Standard Time while it is geographically southeast of Tokyo and in the UTC+10:00 time zone. Sakhalin uses UTC+11:00 even though it is located above Hokkaido. The Northern Territories and the Kuril islands use UTC+11:00 although they are geographically in UTC+10:00 Natural hazards Earthquakes and tsunami Japan is substantially prone to earthquakes, tsunami and volcanoes because of its location along the Pacific Ring of Fire. It has the 15th highest natural disaster risk as measured in the 2013 World Risk Index. As many as 1,500 earthquakes are recorded yearly, and magnitudes of 4 to 6 are common. Minor tremors occur almost daily in one part of the country or another, causing slight shaking of buildings. Undersea earthquakes also expose the Japanese coastline to danger from . Destructive earthquakes, often resulting in tsunami, occur several times each century. The 1923 Tokyo earthquake killed over 140,000 people. More recent major quakes are the 1995 Great Hanshin earthquake and the 2011 Tōhoku earthquake, a 9.1-magnitude quake which hit Japan on March 11, 2011. It triggered a large tsunami and the Fukushima Daiichi nuclear disaster, one of the worst disasters in the history of nuclear power. The 2011 Tōhoku earthquake was the largest ever recorded in Japan and is the world's fourth largest earthquake to strike since 1900, according to the U.S. Geological Service. It struck offshore about northeast of Tokyo and east of the city of Sendai, and created a massive tsunami that devastated Japan's northeastern coastal areas. At least 100 aftershocks registering a 6.0 magnitude or higher have followed the main shock. At least 15,000 people died as a result. Researchers found the source of great thrust earthquakes and associated tsunamis in the Greater Tokyo Area at the Izu-Ogasawara Trench. There is a 'trench-trench triple junction' of the oceanic Philippine Sea Plate that underthrusts a continental plate and is being subducted by the Pacific Plate. Reclaimed land and man-made islands are particularly susceptible to liquefaction during an earthquake. As a result, there are specific earthquake resistance standards and ground reform work that applies to all construction in these areas. In an area that was possibly reclaimed in the past, old maps and land condition drawings are checked and drilling is carried out to determine the strength of the ground. However this can be very costly, so for a private residential block of land, a Swedish weight sounding test is more common. Japan has become a world leader in research on causes and prediction of earthquakes. The development of advanced technology has permitted the construction of skyscrapers even in earthquake-prone areas. Extensive civil defence efforts focus on training in protection against earthquakes, in particular against accompanying fire, which represents the greatest danger. Volcanic eruptions Japan has 108 active volcanoes. That's 10% of all active volcanoes in the world. Japan has stratovolcanoes near the subduction zones of the tectonic plates. During the 20th century several new volcanoes emerged, including Shōwa-shinzan on Hokkaido and Myōjin-shō off the Bayonnaise Rocks in the Pacific. In 1991, Japan's Unzen Volcano on Kyushu about east of Nagasaki, awakened from its 200-year slumber to produce a new lava dome at its summit. Beginning in June, repeated collapse of this erupting dome generated ash flows that swept down the mountain's slopes at speeds as high as . Unzen erupted in 1792 and killed more than 15,000 people. It is the worst volcanic disaster in the country's recorded history. Mount Fuji is a dormant stratovolcano that last erupted on 16 December 1707 till about 1 January 1708. The Hōei eruption of Mount Fuji did not have a lava flow, but it did release some of volcanic ash. It spread over vast areas around the volcano and reached Edo almost away. Cinders and ash fell like rain in Izu, Kai, Sagami, and Musashi provinces. In Edo, the volcanic ash was several centimeters thick. The eruption is rated a 5 on the Volcanic Explosivity Index. There are three VEI-7 volcanoes in Japan. These are the Aira Caldera, Kikai Caldera and Aso Caldera. These giant caldera are remnants of past eruptions. Mount Aso is the largest active volcano in Japan. 300,000 to 90,000 years ago there were four eruptions of Mount Aso which emitted huge amounts of volcanic ash that covered all of Kyushu and up to Yamaguchi Prefecture. The Aira Caldera is 17 kilometers long and 23 km wide located in south Kyushu. The city of Kagoshima and the Sakurajima volcano are within the Aira Caldera. Sakurajima is the most active volcano in Japan. The Aso Caldera stretches 25 kilometers north to south and 18 kilometers east to west in Kumamoto Prefecture, Kyushu. It has erupted 4 times: 266,000 and 141,000 years ago with 32 DRE km3 (dense-rock equivalent) each; 130,000 years ago with 96 DRE km3; and 90,000 years ago with 384 DRE km3. The Kikai Caldera is a massive, mostly submerged caldera up to 19 kilometres (12 mi) in diameter in the Ōsumi Islands of Kagoshima Prefecture, Japan. It is the remains of the ancient eruption of a colossal volcano. Kikai Caldera was the source of the Akahoya eruption, one of the largest eruptions during the Holocene (10,000 years ago to present). About 4,300 BC, pyroclastic flows from that eruption reached the coast of southern Kyūshū up to away, and ash fell as far as Hokkaidō. The eruption produced about 150 km³ of tephra, giving it a Volcanic Explosivity Index of 7 The Jōmon culture of at least southern Kyushu was destroyed, and it took nearly 1,000 years to recover. Surveys by KOBEC (Kobe Ocean-Bottom Exploration Center) confirm that a giant lava dome of 23 cubic kilometers formed after the Kikai Caldera erupted in 4,300 BC. There is a 1% chance of a giant caldera eruption in the Japanese archipelago within the next 100 years. Appropriately 40 cubic kilometers of magma would be released in one burst and cause enormous damage. According to a 2014 study by KOBEC of Kobe University, in a worst-case scenario if there is a VEI-7 eruption of the Aso Caldera and if the volcanic ash is carried by westerly winds, then pyroclastic flows would cover the 7 million population near the Aso Caldera within two hours. The pyroclastic flows could reach much of Kyushu. Beyond the pyroclastic area is volcanic ash that falls from the sky. If the volcanic ash continuously flows northward, then the ash fall would make it impossible to live normally in large parts of the main islands of Japan, due to paralysis of traffic and lifelines for a limited period (a few days to 2 weeks) until the eruption subsides. In this scenario, the exception would be eastern and northern Hokkaido (the Ryukyu Islands and southern Nanpo Islands would also be excepted). Professor Yoshiyuki Tatsumi, head of KOBEC told the Mainichi Shimbun "the probability of a gigantic caldera eruption hitting the Japanese archipelago is 1
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of Japanese ancestry, 778,112 Chinese, 448,053 Vietnamese and 426,908 South Koreans. Chinese, Vietnamese, Koreans, Filipinos and Brazilians account for about 77% of foreign residents in Japan. The current issue of the shrinking workforce in Japan alongside its aging population has resulted in a recent need to attract foreign labour to the country. Reforms which took effect in 2015 relax visa requirements for "Highly Skilled Foreign Professionals" and create a new type of residence status with an unlimited period of stay. The number of naturalizations peaked in 2008 at 16,000, declining to over 9,000 in the most recent year for which data are available. Most of the decline is accounted for by a steep reduction in the number of Japan-born Koreans taking Japanese citizenship. Historically the bulk of those taking Japanese citizenship have not been foreign-born immigrants but rather Japanese-born descendants of Koreans and Taiwanese who lost their citizenship in the Japanese Empire in 1947 as part of the American Occupation policy for Japan. Japanese statistical authorities do not collect information on ethnicity, only nationality. As a result, both native and naturalized Japanese citizens are counted in a single group. Japanese society is linguistically, ethnically and culturally homogeneous. Although official statistics show near homogeneity, one analysis describe the population as “multi-ethnic”, although unofficial statistics still show that ethnic minorities are small compared with many other countries. Languages The Japanese society of Yamato people is linguistically homogeneous with small populations of Koreans (0.9 million), Chinese/Taiwanese (0.65 million), Filipino (306,000 some being Japanese Filipino; children of Japanese and Filipino parentage). This can be also said for Brazilians (300,000, many of whom are ethnically Japanese) as well as Peruvians and Argentineans of both Latin American and Japanese descent. Japan has indigenous minority groups such as the Ainu and Ryukyuans, who generally speak Japanese. Citizenship Japanese citizenship is conferred jure sanguinis, and monolingual Japanese-speaking minorities often reside in Japan for generations under permanent residency status without acquiring citizenship in their country of birth, although legally they are allowed to do so. This is because Japanese law does not recognise dual citizenship after the age of adulthood, and so people becoming naturalised Japanese citizens must relinquish their previous citizenship upon reaching the age of 20 years In addition, people taking Japanese citizenship must take a name using one or more of the Japanese character sets (hiragana, katakana, kanji). Names written in the Western alphabet, Korean alphabet, Arabic characters, etc., are not acceptable as legal names. Chinese characters are usually legally acceptable as nearly all Chinese characters are recognized as valid by the Japanese government. Transliterations of non-Japanese names using katakana (e.g. "" for "Smith") are also legally acceptable. However, some naturalizing foreigners feel that becoming a Japanese citizen should mean that they have a Japanese name and that they should abandon their foreign name, and some foreign residents do not wish to do this—although most Special Permanent Resident Koreans and Chinese already use Japanese names. Nonetheless, some 10,000 Zainichi Koreans naturalize every year. Approximately 98.6% of the population are Japanese citizens, and 99% of the population speak Japanese as their first language. Non-ethnic Japanese in the past, and to an extent in the present, also live in small numbers in the Japanese archipelago. Society Lifestyle Japanese people enjoy a high standard of living, and nearly 90% of the population consider themselves part of the middle class. However, many studies on happiness and satisfaction with life tend to find that Japanese people average relatively low levels of life satisfaction and happiness when compared with most of the highly developed world; the levels have remained consistent if not declining slightly over the last half century. Japanese have been surveyed to be relatively lacking in financial satisfaction. Minorities Discrimination against ethnic minorities Three native Japanese minority groups can be identified. The largest are the hisabetsu buraku or "discriminated communities", also known as the burakumin. These descendants of premodern outcast hereditary occupational groups, such as butchers, leatherworkers, funeral directors, and certain entertainers, may be considered a Japanese analog of India's Dalits. Discrimination against these occupational groups arose historically because of Buddhist prohibitions against killing and Shinto notions of pollution, as well as governmental attempts at social control. During the Edo period, such people were required to live in special buraku and, like the rest of the population, were bound by sumptuary laws based on the inheritance of social class. The Meiji government abolished most derogatory names applied to these discriminated communities in 1871, but the new laws had little effect on the social discrimination faced by the former outcasts and their descendants. The laws, however, did eliminate the economic monopoly they had over certain occupations. The buraku continued to be treated as social outcasts and some casual interactions with the majority caste were perceived taboo until the era after World War II. Estimates of their number range from 2 to 4 million (about 2% to 3% of the national population). Although members of these discriminated communities are physically indistinguishable from other Japanese, they often live in urban ghettoes or in the traditional special hamlets in rural areas, and membership can be surmised from the location of the family home, occupation, dialect, or mannerisms. Checks on family background designed to ferret out buraku were commonly performed as part of marriage arrangements and employment applications, but have been illegal since 1985 in Osaka. Past and current discrimination has resulted in lower educational attainment and socioeconomic status among hisabetsu buraku than among the majority of Japanese. Movements with objectives ranging from "liberation" to encouraging integration have tried to change this situation, with some success. Nadamoto Masahisa of the Buraku History Institute estimates that as of 1998, between 60 and 80% of burakumin marry a non-burakumin. Ryukyuans One of the largest minority groups among Japanese citizens is the Ryukyuan people. They are primarily distinguished from their use of several distinct Ryukyuan languages though use of Ryukyuan is dying out. The Ryukyuan people and language originated in the Ryukyu Islands, which are in Okinawa prefecture. Ainu The third largest minority group among Japanese citizens is the Ainu, whose language is an isolate. Historically, the Ainu were an indigenous hunting and gathering population who occupied most of northern Honshū as late as the Nara period (A.D. 710–94). As Japanese settlement expanded, the Ainu were pushed northward, by the Tokugawa shogunate, the Ainu were pushed into the island of Hokkaido. Characterized as remnants of a primitive circumpolar culture, the fewer than 20,000 Ainu in 1990 were considered racially distinct and thus not fully Japanese. Disease and a low birth rate had severely diminished their numbers over the past two centuries, and intermarriage had brought about an almost completely mixed population. Although no longer in daily use, the Ainu language is preserved in epics, songs, and stories transmitted orally over succeeding generations. Distinctive rhythmic music and dances and some Ainu festivals and crafts are preserved, but mainly in order to take advantage of tourism. Hāfu Hāfu (a kana rendition of "half") is a term used for people who are biracial and ethnically half Japanese. Of the one million children born in Japan in 2013, 2.2% had one or two non-Japanese parents.[70] According to the Japanese Ministry of Health, Labor and Welfare, one in forty-nine babies born in Japan today are born into families with one non-Japanese parent. Most intermarriages in Japan are between Japanese men and women from other Asian countries, including China, the Philippines and South Korea. Southeast Asia too, also has significant populations of people with half-Japanese ancestry, particularly in the Philippines, Indonesia, Malaysia, Singapore and Thailand. In the 1940s, biracial Japanese children (Ainoko), specifically Amerasian children, encountered social problems such as poverty, perception of impurity and discrimination due to negative treatment in Japan. In the 21st century, discrimination against hāfu occurs based on how different their identity, behavior and appearance is from a typical Japanese person. Foreign residents In 2021, there were 2,887,116 foreign residents in Japan, representing 2.02% of the Japanese population. Foreign Army personnel, of which there were up to 430,000 from the SCAP (post-occupation, United States Forces Japan) and 40,000 BCOF in the immediate post-war years, have not been at any time included in Japanese foreign resident statistics. Most foreign residents in Japan come from Brazil or from other Asian countries, particularly from China, Vietnam, South Korea, the Philippines, and Nepal. A number of long-term resident Koreans in Japan today retain familial links with the descendants of Koreans, that either immigrated voluntarily or were forcibly relocated during the Japanese Occupation of the Korea. Within this group, a number hold Special Permanent Resident status, granted under the terms of the Normalisation Treaty (22. June 1965) between South Korea and Japan. In many cases special residents, despite being born in Japan and speaking Japanese, have chosen not to take advantage of the mostly automatic granting of citizenship to special resident applicants. Beginning in 1947 the Japanese government started to repatriate Korean nationals, who had nominally been granted Japanese citizenship during the years of military occupation. When the Treaty of San Francisco came into force many ethnic Koreans lost their Japanese citizenship from April 28, 1952 and with it the right to welfare grants, to hold a government job of any kind or to attend Japanese schools. In the following year the government contrived, with the help of the Red Cross, a scheme to "repatriate" Korean residents, who mainly were from the Southern Provinces, to their "home" of North Korea. Between 1959 and 1984 93,430 people used this route, of whom 6,737 were Japanese or Chinese dependents. Most of these departures – 78,276 – occurred before 1962. All non-Japanese without special residential status (people whose residential roots go back to before WWII) are required by law to register with the government and carry alien registration cards. From the early 1980s, a civil disobedience movement encouraged refusal of the fingerprinting that accompanied registration every five years. Opponents of fingerprinting argued that it was discriminatory because the only Japanese who were fingerprinted were criminals. The courts upheld fingerprinting, but the law was changed so that fingerprinting was done once rather than with each renewal of the registration, which until a law reform in 1989 was usually required every six months for anybody from the age of 16. Those refusing fingerprinting were denied re-entry permits, thus depriving them of freedom of movement. Of these foreign residents below, the new wave started in 2014 comes to Japan as students or trainees. These foreigners are registered under student visa or trainee visa, which gives them the student residency status. Most of these new foreigners are under this visa. Almost all of these foreign students and trainees will return to their home country after three to four years (one valid period); few students extend their visa. Vietnamese makes the largest increase, however Burmese, Cambodians, Filipinos and Chinese are also increasing. Asian migrant wives of Japanese men have also contributed to the foreign-born population in the country. Many young single Japanese male farmers choose foreign wives, mainly from the Philippines, Sri Lanka, Thailand, China and South Korea, due to a lack of interest from Japanese women living a farming life. Migrant wives often travel as mail-order brides as a result of arranged marriages with Japanese men. Additionally, Japanese men in urban parts of the country have also begun marrying foreign Asian women. Foreign residents as of 2015 There was an increase of 110,358 foreign residents from 2014 to 2015. Vietnamese made the largest proportion of these new foreign residents, whilst Nepalese, Filipino, Chinese and Taiwanese are also significant in numbers. Together these countries makes up 91,126 or 82.6% of all new residents from 2014 to 2015. However, the majority of these immigrants will only remain in Japan for a maximum of five years, as many of them have entered the country in order to complete trainee programmes. Once they complete their programmes, they will be required to return to their home countries. As of December 2014 there were 2,121,831 foreigners residing in Japan, 677,019 of whom were long-term residents in Japan, according to national demographics figures. The majority of long-term residents were from Asia, totalling 478,953. Chinese made up the largest portion of them with 215,155, followed by Filipinos with 115,857, and Koreans with 65,711. Thai, Vietnamese, and Taiwanese long-term residents totaled 47,956, and those from other Asian countries totaled 34,274. The Korean figures do not include zainichi Koreans with tokubetsu eijusha ("special permanent resident") visas, of whom there were
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2014 (874 people per square mile) according to World Development Indicators. It ranks 35th in a list of countries by population density. Between 1955 and 1989, land prices in the six largest cities increased by 15,000% (+12% per year compound). Urban land prices generally increased 40% from 1980 to 1987; in the six largest cities, the price of land doubled over that period. For many families, this trend put housing in central cities out of reach. The result was lengthy commutes for many workers in the big cities, especially in the Tokyo area where daily commutes of two hours each way are common. In 1991, as the bubble economy started to collapse, land prices began a steep decline, and within a few years fell 60% below their peak. After a decade of declining land prices, residents began moving back into central city areas (especially Tokyo's 23 wards), as evidenced by 2005 census figures. Despite nearly 70% of Japan being covered by forests, parks in many major cities—especially Tokyo and Osaka—are smaller and scarcer than in major West European or North American cities. As of 2014, parkland per inhabitant in Tokyo is 5.78 square meters, which is roughly half of the 11.5 square meters of Madrid. National and regional governments devote resources to making regional cities and rural areas more attractive by developing transportation networks, social services, industry, and educational institutions to try to decentralize settlement and improve the quality of life. Nevertheless, major cities, especially Tokyo, Yokohama and Fukuoka, and to a lesser extent Kyoto, Osaka and Nagoya, remain attractive to young people seeking education and jobs. Urban distribution Japan has a high population concentration in urban areas on the plains since 75% of Japan’s land area is made up of mountains, and also Japan has a forest cover rate of 68.5% (the only other developed countries with such a high forest cover percentage are Finland and Sweden). The 2010 census shows 90.7% of the total Japanese population live in cities. Japan is an urban society with about only 5% of the labor force working in agriculture. Many farmers supplement their income with part-time jobs in nearby towns and cities. About 80 million of the urban population is heavily concentrated on the Pacific shore of Honshu. Metropolitan Tokyo-Yokohama, with its population of 35 million residents, is the world's most populous city. Japan faces the same problems that confront urban industrialized societies throughout the world: overcrowded cities and congested highways. Aging of Japan Japan's population is aging faster than that of any other nation. The population of those 65 years or older roughly doubled in 24 years, from 7.1% of the population in 1970 to 14.1% in 1994. The same increase took 61 years in Italy, 85 years in Sweden, and 115 years in France. In 2014, 26% of Japan's population was estimated to be 65 years or older, and the Health and Welfare Ministry has estimated that over-65s will account for 40% of the population by 2060. The demographic shift in Japan's age profile has triggered concerns about the nation's economic future and the viability of its welfare state. Demographic statistics Population The population consisted of 47,062,743 households, with 78.7% in urban areas (July 2000). High population density; 329.5 people per square kilometer for total area; 1,523 persons per square kilometer for habitable land. More than 50% of the population lives on 2% of the land. (July 1993). According to research in 2009, the population to land density ratio has gradually increased, now at 127 million per 337 km2. Compared to the findings of July 1993 as well as in July 2000, the population density has greatly increased, from 50% of the population living on 2% of the land to 77%. However, as the years have progressed since the last recordings of the population, Japan’s population has decreased, raising concern about the future of Japan. There are many causes, such as the declining birthrates, as well as the ratio of men to women since the last measurements from the years of 2006 and 2010. According to the Japanese Health Ministry, the population is estimated to drop from its current state of 125.71 million to 86.74 million by the year 2060. Japan Sex ratio HIV/AIDS Adult prevalence rate less than 0.1% (2018 est.) People living with HIV/AIDS 12,000 (2003 est.) 9,600 (2007 est.) 30,000 (2017 est.) Deaths 500 (2003 est.) fewer than 200 (2017 est.) Ethnic groups Naturalized Japanese citizens and native-born Japanese nationals with multi-ethnic background are all considered to be Japanese in the population census of Japan. Marital status Over 15: Never married Male 61.8%, Female 58.2%. 16–24: Never married Male 31.8%, Female 23.7%. 25–29: Never married Male 69.3%, Female 54.0%. 30–34: Never married Male 42.9%, Female 26.6% (July 2000). Vital statistics Live births, birth and death rates and overall fertility rate in Japan from 1899 to present. Current vital statistics Total fertility rate Japan's total fertility rate (TFR) in 2012 was estimated at 1.41 children per woman, increasing slightly from 1.32 in the 2001–05 period. In 2012, the highest TFR was 1.90, in Okinawa, and the lowest was 1.09, in Tokyo. TFR by prefecture for 2000–05, as well as future estimates, have been released. Life expectancy Sources: Our World In Data and the United Nations. 1865–1949 1950–2015 Source: UN World Population Prospects Migration Internal migration Between 6 million and 7 million people moved their residences each year during the 1980s. About 50% of these moves were within the same prefecture; the others were relocations from one prefecture to another. During Japan's economic development in the twentieth century, and especially during the 1950s and 1960s, migration was characterized by urbanization as people from rural areas in increasing numbers moved to the larger metropolitan areas in search of better jobs and education. Out-migration from rural prefectures continued in the late 1980s, but more slowly than in previous decades. In the 1980s, government policy provided support for new urban development away from the large cities, particularly Tokyo, and assisted regional cities to attract young people to live and work there. Regional cities offered familiarity to those from nearby areas, lower costs of living, shorter commutes, and, in general, a more relaxed lifestyle than could be had in larger cities. Young people continued to move to large cities, however, to attend universities and find work, but some returned to regional cities (a pattern known as U-turn) or to their prefecture of origin (referred to as "J-turn"), or even moved to a rural area for the first time ("I-turn"). Government statistics show that in the 1980s significant numbers of people left the largest central cities (Tokyo and Osaka) to move to suburbs within their metropolitan areas. In 1988 more than 500,000 people left Tokyo, which experienced a net loss through migration of nearly 73,000 for the year. Osaka had a net loss of nearly 36,000 in the same year. With a decreasing total population, internal migration results in only 8 prefectures showing an increase in population. These are Okinawa (2.9%), Tokyo (2.7%), Aichi (1.0%), Saitama (1.0%), Kanagawa (0.9%), Fukuoka (0.6%), Shiga (0.2%), and Chiba (0.1%). Emigration About 663,300 Japanese were living abroad, approximately 75,000 of whom had permanent foreign residency, more than six times the number who had that status in 1975. More than 200,000 Japanese went abroad in 1990 for extended periods of study, research, or business assignments. As the government and private corporations have stressed internationalization, greater numbers of individuals have been directly affected, decreasing Japan's historical insularity. By the late 1980s, these problems, particularly the bullying of returnee children in schools, had become a major public issue both in Japan and in Japanese communities abroad. Cities with significant populations of Japanese nationals in 2015 included: Los Angeles, United States: 68,689 Bangkok, Thailand: 48,700 Shanghai, China: 46,115 New York, United States: 44,636 Singapore: 36,963 London, United Kingdom: 36,721 Sydney, Australia: 30,448 Vancouver, Canada: 26,999 Hong Kong: 26,869 San Francisco, United States: 18,777 Toronto, Canada: 13,410 Note: The above data shows the number of Japanese nationals living overseas. It was published by the Ministry of Foreign Affairs of Japan and relates to 2015. Immigration According to the Japanese immigration centre, the number of foreign residents in Japan has steadily increased, and the number of foreign residents exceeded 2.8 million people in 2020. In 2020, the number of foreigners in Japan was 2,887,116. This includes 325,000 Filipinos, many of whom are married to Japanese nationals and possessing some degree of Japanese ancestry, 208,538 Brazilians, the majority possessing some degree of Japanese ancestry, 778,112 Chinese, 448,053 Vietnamese and 426,908 South Koreans. Chinese, Vietnamese, Koreans, Filipinos and Brazilians account for about 77% of foreign residents in Japan. The current issue of the shrinking workforce in Japan alongside its aging population has resulted in a recent need to attract foreign labour to the country. Reforms which took effect in 2015 relax visa requirements for "Highly Skilled Foreign Professionals" and create a new type of residence status with an unlimited period of stay. The number of naturalizations peaked in 2008 at 16,000, declining to over 9,000 in the most recent year for which data are available. Most of the decline is accounted for by a steep reduction in the number of Japan-born Koreans taking Japanese citizenship. Historically the bulk of those taking Japanese citizenship have not been foreign-born immigrants but rather Japanese-born descendants of Koreans and Taiwanese who lost their citizenship in the Japanese Empire in 1947 as part of the American Occupation policy for Japan. Japanese statistical authorities do not collect information on ethnicity, only nationality. As a result, both native and naturalized Japanese citizens are counted in a single group. Japanese society is linguistically, ethnically and culturally homogeneous. Although official statistics show near homogeneity, one analysis describe the population as “multi-ethnic”, although unofficial statistics still show that ethnic minorities are small compared with many other countries. Languages The Japanese society of Yamato people is linguistically homogeneous with small populations of Koreans (0.9 million), Chinese/Taiwanese (0.65 million), Filipino (306,000 some being Japanese Filipino; children of Japanese and Filipino parentage). This can be also said for Brazilians (300,000, many of whom are ethnically Japanese) as well as Peruvians and Argentineans of both Latin American and Japanese descent. Japan has indigenous minority groups such as the Ainu and Ryukyuans, who generally speak Japanese. Citizenship Japanese citizenship is conferred jure sanguinis, and monolingual Japanese-speaking minorities often reside in Japan for generations under permanent residency status without acquiring citizenship in their country of birth, although legally they are allowed to do so. This is because Japanese law does not recognise dual citizenship after the age of adulthood, and so people becoming naturalised Japanese citizens must relinquish their previous citizenship upon reaching the age of 20 years In addition, people taking Japanese citizenship must take a
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budget, the ratification of treaties, and the selection of the Prime Minister. Its power over its sister house is, if a bill is passed by the lower house (the House of Representatives) but is voted down by the upper house (the House of Councillors), the ability to override the decision of the House of Councillors. Members of the lower house, as a result of the Prime Minister's power to dissolve them, more frequently serve for less than four years in any given terms. The upper house, the House of Councillors, is very weak and bills are sent to the House of Councillors only to be approved, not made. Members of the upper house are elected for six-year terms with half the members elected every three years. It is possible for different parties to control the lower house and the upper house, a situation referred to as a "twisted Diet", something that has become more common since the JSP took control of the upper house in 1989. Political parties and elections Several political parties exist in Japan. However, the politics of Japan have primarily been dominated by the LDP since 1955, with the DPJ playing an important role as opposition several times. The LDP was the ruling party for decades since 1955, despite the existence of multiple parties. Most of the prime ministers were elected from inner factions of the LDP. House of Councillors House of Representatives Policy making Despite an increasingly unpredictable domestic and international environment, policy making conforms to well established postwar patterns. The close collaboration of the ruling party, the elite bureaucracy and important interest groups often make it difficult to tell who exactly is responsible for specific policy decisions. Policy development in Japan After a largely informal process within elite circles in which ideas were discussed and developed, steps might be taken to institute more formal policy development. This process often took place in deliberation councils (shingikai). There were about 200 shingikai, each attached to a ministry; their members were both officials and prominent private individuals in business, education, and other fields. The shingikai played a large role in facilitating communication among those who ordinarily might not meet. Given the tendency for real negotiations in Japan to be conducted privately (in the nemawashi, or root binding, process of consensus building), the shingikai often represented a fairly advanced stage in policy formulation in which relatively minor differences could be thrashed out and the resulting decisions couched in language acceptable to all. These bodies were legally established but had no authority to oblige governments to adopt their recommendations. The most important deliberation council during the 1980s was the Provisional Commission for Administrative Reform, established in March 1981 by Prime Minister Suzuki Zenko. The commission had nine members, assisted in their deliberations by six advisers, twenty-one "expert members," and around fifty "councillors" representing a wide range of groups. Its head, Keidanren president Doko Toshio, insisted that the government agree to take its recommendations seriously and commit itself to reforming the administrative structure and the tax system. In 1982, the commission had arrived at several recommendations that by the end of the decade had been actualized. These implementations included tax reform, a policy to limit government growth, the establishment in 1984 of the Management and Coordination Agency to replace the Administrative Management Agency in the Office of the Prime Minister, and privatization of the state-owned railroad and telephone systems. In April 1990, another deliberation council, the Election Systems Research Council, submitted proposals that included the establishment of single-seat constituencies in place of the multiple-seat system. Another significant policy-making institution in the early 1990s was the Liberal Democratic Party's Policy Research Council. It consisted of a number of committees, composed of LDP Diet members, with the committees corresponding to the different executive agencies. Committee members worked closely with their official counterparts, advancing the requests of their constituents, in one of the most effective means through which interest groups could state their case to the bureaucracy through the channel of the ruling party. Post-war political developments in Japan Political parties had begun to revive almost immediately after the occupation began. Left-wing organizations, such as the Japan Socialist Party and the Japanese Communist Party, quickly reestablished themselves, as did various conservative parties. The old Rikken Seiyūkai and Rikken Minseitō came back as, the Liberal Party (Nihon Jiyūtō) and the Japan Progressive Party (Nihon Shimpotō) respectively. The first postwar elections were held in 1948 (women were given the franchise for the first time in 1947), and the Liberal Party's vice president, Yoshida Shigeru (1878–1967), became prime minister. For the 1947 elections, anti-Yoshida forces left the Liberal Party and joined forces with the Progressive Party to establish the new Democratic Party (Minshutō). This divisiveness in conservative ranks gave a plurality to the Japan Socialist Party, which was allowed to form a cabinet, which lasted less than a year. Thereafter, the socialist party steadily declined in its electoral successes. After a short period of Democratic Party administration, Yoshida returned in late 1948 and continued to serve as prime minister until 1954. Even before Japan regained full sovereignty, the government had rehabilitated nearly 80,000 people who had been purged, many of whom returned to their former political and government positions. A debate over limitations on military spending and the sovereignty of the Emperor ensued, contributing to the great reduction in the Liberal Party's majority in the first post-occupation elections (October 1952). After several reorganizations of the armed forces, in 1954 the Japan Self-Defense Forces were established
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of Representatives (衆議院, しゅうぎいん, Shūgiin) and the House of Councillors (参議院, さんぎいん, Sangiin). The Diet shall be the highest organ of state power, and shall be the sole law-making organ of the State. It states that both Houses shall consist of elected members, representative of all the people and that the number of the members of each House shall be fixed by law. Both houses pass legislation in identical form for it to become law. Similarly to other parliamentary systems, most legislation that is considered in the Diet is proposed by the cabinet. The cabinet then relies on the expertise of the bureaucracy to draft actual bills. The lower house, the House of Representatives, the most powerful of the two, holds power over the government, being able to force its resignation. The lower house also has ultimate control of the passage of the budget, the ratification of treaties, and the selection of the Prime Minister. Its power over its sister house is, if a bill is passed by the lower house (the House of Representatives) but is voted down by the upper house (the House of Councillors), the ability to override the decision of the House of Councillors. Members of the lower house, as a result of the Prime Minister's power to dissolve them, more frequently serve for less than four years in any given terms. The upper house, the House of Councillors, is very weak and bills are sent to the House of Councillors only to be approved, not made. Members of the upper house are elected for six-year terms with half the members elected every three years. It is possible for different parties to control the lower house and the upper house, a situation referred to as a "twisted Diet", something that has become more common since the JSP took control of the upper house in 1989. Political parties and elections Several political parties exist in Japan. However, the politics of Japan have primarily been dominated by the LDP since 1955, with the DPJ playing an important role as opposition several times. The LDP was the ruling party for decades since 1955, despite the existence of multiple parties. Most of the prime ministers were elected from inner factions of the LDP. House of Councillors House of Representatives Policy making Despite an increasingly unpredictable domestic and international environment, policy making conforms to well established postwar patterns. The close collaboration of the ruling party, the elite bureaucracy and important interest groups often make it difficult to tell who exactly is responsible for specific policy decisions. Policy development in Japan After a largely informal process within elite circles in which ideas were discussed and developed, steps might be taken to institute more formal policy development. This process often took place in deliberation councils (shingikai). There were about 200 shingikai, each attached to a ministry; their members were both officials and prominent private individuals in business, education, and other fields. The shingikai played a large role in facilitating communication among those who ordinarily might not meet. Given the tendency for real negotiations in Japan to be conducted privately (in the nemawashi, or root binding, process of consensus building), the shingikai often represented a fairly advanced stage in policy formulation in which relatively minor differences could be thrashed out and the resulting decisions couched in language acceptable to all. These bodies were legally established but had no authority to oblige governments to adopt their recommendations. The most important deliberation council during the 1980s was the Provisional Commission for Administrative Reform, established in March 1981 by Prime Minister Suzuki Zenko. The commission had nine members, assisted in their deliberations by six advisers, twenty-one "expert members," and around fifty "councillors" representing a wide range of groups. Its head, Keidanren president Doko Toshio, insisted that the government agree to take its recommendations seriously and commit itself to reforming the administrative structure and the tax system. In 1982, the commission had arrived at several recommendations that by the end of the decade had been actualized. These implementations included tax reform, a policy to limit government growth, the establishment in 1984 of the Management and Coordination Agency to replace the Administrative Management Agency in the Office of the Prime Minister, and privatization of the state-owned railroad and telephone systems. In April 1990, another deliberation council, the Election Systems Research Council, submitted proposals that included the establishment of single-seat constituencies in place of the multiple-seat system. Another significant policy-making institution in the early 1990s was the Liberal Democratic Party's Policy Research Council. It consisted of a number of committees, composed of LDP Diet members, with the committees corresponding to the different executive agencies. Committee members worked closely with their official counterparts, advancing the requests of their constituents, in one of the most effective means through which interest groups could state their case to the bureaucracy through the channel of the ruling party. Post-war political developments in Japan Political parties had begun to revive almost immediately after the occupation began. Left-wing organizations, such as the Japan Socialist Party and the Japanese Communist Party, quickly reestablished themselves, as did various conservative parties. The old Rikken Seiyūkai and Rikken Minseitō came back as, the Liberal Party (Nihon Jiyūtō) and the Japan Progressive Party (Nihon Shimpotō) respectively. The first postwar elections were held in 1948 (women were given the franchise for the first time in 1947), and the Liberal Party's vice president, Yoshida Shigeru (1878–1967), became prime minister. For the 1947 elections, anti-Yoshida forces left the Liberal Party and joined forces with the Progressive Party to establish the new Democratic Party (Minshutō). This divisiveness in conservative ranks gave a plurality to the Japan Socialist Party, which was allowed to form a cabinet, which lasted less than a year. Thereafter, the socialist party steadily declined in its electoral successes. After a short period of Democratic Party administration, Yoshida returned in late 1948 and continued to serve as prime minister until 1954. Even before Japan regained full sovereignty, the government had rehabilitated nearly 80,000 people who had been purged, many of whom returned to their former political and government positions. A debate over limitations on military spending and the sovereignty of the Emperor ensued, contributing to the great reduction in the Liberal Party's majority in the first post-occupation elections (October 1952). After several reorganizations of the armed forces, in 1954 the Japan Self-Defense Forces were established under a civilian director. Cold War realities and the hot war in nearby Korea also contributed significantly to the United States-influenced economic redevelopment, the suppression of communism, and the discouragement of organized labor in Japan during this period. Continual fragmentation of parties and a succession of minority governments led conservative forces to merge the Liberal Party (Jiyūtō) with the Japan Democratic Party (Nihon Minshutō), an offshoot of the earlier Democratic Party, to form the Liberal Democratic Party (Jiyū-Minshutō; LDP) in November 1955, called 1955 System. This party continuously held power from 1955 through 1993, except for a short while when it was replaced by a new minority government. LDP leadership was drawn from the elite who had seen Japan through the defeat and occupation. It attracted former bureaucrats, local politicians, businessmen, journalists, other professionals, farmers, and university graduates. In October 1955, socialist groups reunited under the Japan Socialist Party, which emerged as the second most powerful political force. It was followed closely in popularity by the Kōmeitō, founded in 1964 as the political arm of the Soka Gakkai (Value Creation Society), until 1991, a lay organization affiliated with the Nichiren Shoshu Buddhist sect. The Komeito emphasized the traditional Japanese beliefs and attracted urban laborers, former rural residents, and women. Like the Japan Socialist Party, it favored the gradual modification and dissolution of the Japan-United States Mutual Security Assistance Pact. Political developments since 1990 The LDP domination lasted until the Diet Lower House elections on 18 July 1993, in which LDP failed to win a majority. A coalition of new parties and existing opposition parties formed a governing majority and elected a new prime minister, Morihiro Hosokawa, in August 1993. His government's major legislative objective was political reform, consisting of a package of new political financing restrictions and major changes in the electoral system. The coalition succeeded in passing landmark political reform legislation in January 1994. In April 1994, Prime Minister Hosokawa resigned. Prime Minister Tsutomu Hata formed the successor coalition government, Japan's first minority government in almost 40 years. Prime Minister Hata resigned less than two months later. Prime Minister Tomiichi Murayama formed the next government in June 1994 with the coalition of Japan Socialist Party (JSP), the LDP, and the small New Party Sakigake. The advent of a coalition containing the JSP and LDP shocked many observers because of their previously fierce rivalry. Prime Minister Murayama served from June 1994 to January 1996. He was succeeded by Prime Minister Ryutaro Hashimoto, who served from January 1996 to July 1998. Prime Minister Hashimoto headed a loose coalition of three parties until the July 1998 Upper House election, when the two smaller parties cut ties with the LDP. Hashimoto resigned due to a poor electoral performance by the LDP in the Upper House elections. He was succeeded as party president
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growth through a novel policy of quantitative easing. Debt levels continued to rise in response to the Global Financial Crisis in 2007-08, the Tōhoku earthquake and tsunami and Fukushima nuclear disaster in 2011, and with COVID-19 pandemic beginning in early 2020. As of 2021, Japan has significantly higher levels of public debt than any other developed nation, standing at 266% of GDP. 45% of this debt is now held by the Bank of Japan. The Japanese economy faces considerable challenges posed by an aging and declining population, which peaked at 128 million in 2010 and has fallen to 125.9 million as of 2020. Projections show the population will continue to fall, potentially to below 100 million by the middle of the 21st century. Overview In the three decades of economic development following 1960, rapid economic growth referred to as the Japanese post-war economic miracle occurred. By the guidance of Ministry of Economy, Trade and Industry, with average growth rates of 10% in the 1960s, 5% in the 1970s, and 4% in the 1980s, Japan was able to establish and maintain itself as the world's second largest economy from 1978 until 2010, when it was surpassed by the People's Republic of China. By 1990, income per capita in Japan equalled or surpassed that in most countries in the West. During the second half of the 1980s, rising stock and real estate prices created an economic bubble. The economic bubble came to an abrupt end as the Tokyo Stock Exchange crashed in 1990–92 and real estate prices peaked in 1991. Growth in Japan throughout the 1990s at 1.5% was slower than global growth, giving rise to the term Lost Decade. After another decade of low growth rate, the term became the Lost 20 Years. Nonetheless, GDP per capita growth from 2001 to 2010 has still managed to outpace Europe and the United States. With this low growth rate, the national debt of Japan has expanded due to its considerable social welfare spending in an aging society with a shrinking tax-base. The scenario of "Abandoned homes" continues to spread from rural areas to urban areas in Japan. A mountainous, volcanic island country, Japan has inadequate natural resources to support its growing economy and large population, and therefore exports goods in which it has a comparative advantage such as engineering-oriented, research and development-led industrial products in exchange for the import of raw materials and petroleum. Japan is among the top-three importers for agricultural products in the world next to the European Union and United States in total volume for covering of its own domestic agricultural consumption. Japan is the world's largest single national importer of fish and fishery products. Tokyo Metropolitan Central Wholesale Market is the largest wholesale market for primary products in Japan, including the renowned Tsukiji fish market. Japanese whaling, ostensibly for research purposes, has been sued as illegal under international law. Although many kinds of minerals were extracted throughout the country, most mineral resources had to be imported in the postwar era. Local deposits of metal-bearing ores were difficult to process because they were low grade. The nation's large and varied forest resources, which covered 70 percent of the country in the late 1980s, were not utilized extensively. Because of political decisions on local, prefectural, and national levels, Japan decided not to exploit its forest resources for economic gain. Domestic sources only supplied between 25 and 30 percent of the nation's timber needs. Agriculture and fishing were the best developed resources, but only through years of painstaking investment and toil. The nation, therefore, built up the manufacturing and processing industries to convert raw materials imported from abroad. This strategy of economic development necessitated the establishment of a strong economic infrastructure to provide the needed energy, transportation, communications, and technological know-how. Deposits of gold, magnesium, and silver meet current industrial demands, but Japan is dependent on foreign sources for many of the minerals essential to modern industry. Iron ore, copper, bauxite, and alumina must be imported, as well as many forest products. Compared to other industrialized economies, Japan is characterized by its low levels of exports relative to the size of its GDP. From the period 1970-2018, Japan was either the least or second least export-dependent economy in the G7, and one of the least export-dependent economies in the world. It has also been one of the least trade-dependent economies in the 1970-2018 period. Japan receives exceptionally low levels of foreign investment. Its inward FDI stock was by far the smallest in the G7 as of 2018, and less than those of much smaller economies such as Austria, Poland, and Sweden. Relative to GDP, its ratio of inward FDI stock is probably the lowest in the world. Japan lags behind other developed countries in labor productivity. From 1970 to 2018 Japan has consistently had the lowest labor productivity in the G7. In 2020, Japan ranked 23rd in labor productivity among OECD nations. A particularity of the Japanese economy are very long-established businesses (shinise), of which some are over a thousand years old and enjoy great prestige. In contrast, startup culture is not as prominent in Japan as elsewhere. History The economic history of Japan is one of the most studied. First was the foundation of Edo (in 1603) to whole inland economic developments, second was the Meiji Restoration (in 1868) to be the first non-European power, third was after the defeat of World War II (in 1945) when the island nation rose to become the world's second largest economy. First contacts with Europe (16th century) Japan was considered as a country rich in precious metals, mainly owing to Marco Polo's accounts of gilded temples and palaces, but also due to the relative abundance of surface ores characteristic of a massive huge volcanic country, before large-scale deep-mining became possible in Industrial times. Japan was to become a major exporter of silver, copper, and gold during the period until exports for those minerals were banned. Renaissance Japan was also perceived as a sophisticated feudal society with a high culture and a strong pre-industrial technology. It was densely populated and urbanized. Prominent European observers of the time seemed to agree that the Japanese "excel not only all the other Oriental peoples, they surpass the Europeans as well" (Alessandro Valignano, 1584, "Historia del Principo y Progresso de la Compania de Jesus en las Indias Orientales). Early European visitors were amazed by the quality of Japanese craftsmanship and metalsmithing. This stems from the fact that Japan itself is rather rich in natural resources found commonly in Europe, especially iron. The cargo of the first Portuguese ships (usually about 4 smaller-sized ships every year) arriving in Japan almost entirely consisted of Chinese goods (silk, porcelain). The Japanese were very much looking forward to acquiring such goods, but had been prohibited from any contacts with the Emperor of China, as a punishment for Wakō pirate raids. The Portuguese (who were called Nanban, lit. Southern Barbarians) therefore found the opportunity to act as intermediaries in Asian trade. Edo period (1603–1868) The beginning of the Edo period coincides with the last decades of the Nanban trade period, during which intense interaction with European powers, on the economic and religious plane, took place. It is at the beginning of the Edo period that Japan built her first ocean-going Western-style warships, such as the San Juan Bautista, a 500-ton galleon-type ship that transported a Japanese embassy headed by Hasekura Tsunenaga to the Americas, which then continued to Europe. Also during that period, the bakufu commissioned around 350 Red Seal Ships, three-masted and armed trade ships, for intra-Asian commerce. Japanese adventurers, such as Yamada Nagamasa, were active throughout Asia. In order to eradicate the influence of Christianization, Japan entered in a period of isolation called sakoku, during which its economy enjoyed stability and mild progress. But not long after, in the 1650s, the production of Japanese export porcelain increased greatly when civil war put the main Chinese center of porcelain production, in Jingdezhen, out of action for several decades. For the rest of the 17th century, most Japanese porcelain production was for export, mostly in Kyushu. The trade dwindled under renewed Chinese competition by the 1740s, before resuming after the opening of Japan in the mid-19th century. Economic development during the Edo period included urbanization, increased shipping of commodities, a significant expansion of domestic and, initially, foreign commerce, and a diffusion of trade and handicraft industries. The construction trades flourished, along with banking facilities and merchant associations. Increasingly, han authorities oversaw the rising agricultural production and the spread of rural handicrafts. By the mid-eighteenth century, Edo had a population of more than 1 million and Osaka and Kyoto each had more than 400,000 inhabitants. Many other castle towns grew as well. Osaka and Kyoto became busy trading and handicraft production centers, while Edo was the center for the supply of food and essential urban consumer goods. Rice was the base of the economy, as the daimyō collected the taxes from the peasants in the form of rice. Taxes were high, about 40% of the harvest. The rice was sold at the fudasashi market in Edo. To raise money, the daimyō used forward contracts to sell rice that was not even harvested yet. These contracts were similar to modern futures trading. During the period, Japan progressively studied Western sciences and techniques (called rangaku, literally "Dutch studies") through the information and books received through the Dutch traders in Dejima. The main areas that were studied included geography, medicine, natural sciences, astronomy, art, languages, physical sciences such as the study of electrical phenomena, and mechanical sciences as exemplified by the development of Japanese clockwatches, or wadokei, inspired from Western techniques. Pre-war period (1868–1945) Since the mid-19th century, after the Meiji Restoration, the country was opened up to Western commerce and influence and Japan has gone through two periods of economic development. The first began in earnest in 1868 and extended through to World War II; the second began in 1945 and continued into the mid-1980s. Economic developments of the prewar period began with the "Rich State and Strong Army Policy" by the Meiji government. During the Meiji period (1868–1912), leaders inaugurated a new Western-based education system for all young people, sent thousands of students to the United States and Europe, and hired more than 3,000 Westerners to teach modern science, mathematics, technology, and foreign languages in Japan (Oyatoi gaikokujin). The government also built railroads, improved road, and inaugurated a land reform program to prepare the country for further development. To promote industrialization, the government decided that, while it should help private business to allocate resources and to plan, the private sector was best equipped to stimulate economic growth. The greatest role of government was to help provide good economic conditions for business. In short, government was to be the guide and business the producer. In the early Meiji period, the government built factories and shipyards that were sold to entrepreneurs at a fraction of their value. Many of these businesses grew rapidly into the larger conglomerates. Government emerged as chief promoter of private enterprise, enacting a series of pro-business policies. In the mid-1930s, the Japanese nominal wage rates were "10 times less" than the one of the U.S (based on mid-1930s exchange rates), while the price level is estimated to have been about 44% the one of the U.S. The size and industrial structure of cities in Japan have maintained tight regularities despite substantial churning of population and industries across cities overtime. Postwar period (1945–present) From the 1960s to the 1980s, overall real economic growth was extremely large: a 10% average in the 1960s, a 5% average in the 1970s and a 4% average in the 1980s. By the end of said period, Japan had moved into being a high-wage economy. Growth slowed markedly in the late 1990s also termed the Lost Decade after the collapse of the Japanese asset price bubble. As a consequence Japan ran massive budget deficits (added trillions in Yen to Japanese financial system)
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On 15 February 2021, the Nikkei average breached the 30k benchmark, the highest since November 1991. It is due to strong corporate earnings, GDP data and optimism over a COVID-19 vaccine. In the year ending in March 2021, SoftBank Group made a record net profit of 45.88 billion which is largely due to the debut of e-commerce company Coupang. This is the largest annual profit by a Japanese company in history. Infrastructure In 2018, Japan ranked 5th overall in the World Bank's Logistics Performance Index, and 2nd in the infrastructure category. In 2005, one half of Japan's energy was produced from petroleum, a fifth from coal, and 14% from natural gas. Nuclear power in Japan made a quarter of electricity production but due to the Fukushima Daiichi nuclear disaster there has been a large desire to end Japan's nuclear power program. In September 2013, Japan closed its last 50 nuclear power plants nationwide, causing the nation to be nuclear free. The country has since then opted to restart a few of its nuclear reactors. Japan's spendings on roads has been considered large. The 1.2 million kilometers of paved road are one of the major means of transportation. Japan has left-hand traffic. A single network of speed, divided, limited-access toll roads connects major cities and are operated by toll-collecting enterprises. New and used cars are inexpensive, and the Japanese government has encouraged people to buy hybrid vehicles. Car ownership fees and fuel levies are used to promote energy-efficiency. Rail transport is a major means of transport in Japan. Dozens of Japanese railway companies compete in regional and local passenger transportation markets; for instance, 6 passenger JR enterprises, Kintetsu Railway, Seibu Railway, and Keio Corporation. Often, strategies of these enterprises contain real estate or department stores next to stations, and many major stations have major department stores near them. The Japanese cities of Fukuoka, Kobe, Kyoto, Nagoya, Osaka, Sapporo, Sendai, Tokyo and Yokohama all have subway systems. Some 250 high-speed Shinkansen trains connect major cities. All trains are known for punctuality, and a delay of 90 seconds can be considered late for some train services. There are 98 passenger and 175 total airports in Japan, and flying is a popular way to travel. The largest domestic airport, Tokyo International Airport, is Asia's second busiest airport. The largest international gateways are Narita International Airport (Tokyo area), Kansai International Airport (Osaka/Kobe/Kyoto area), and Chūbu Centrair International Airport (Nagoya area). The largest ports in Japan include Nagoya Port, the Port of Yokohama, the Port of Tokyo and the Port of Kobe. About 84% of Japan's energy is imported from other countries. Japan is the world's largest liquefied natural gas importer, second largest coal importer, and third largest net oil importer. Given its heavy dependence on imported energy, Japan has aimed to diversify its sources. Since the oil shocks of the 1970s, Japan has reduced dependence on petroleum as a source of energy from 77.4% in 1973 to about 43.7% in 2010 and increased dependence on natural gas and nuclear power. In September 2019, Japan will invest 10 billion on liquefied natural gas projects worldwide, in a strategy to boost the global LNG market and reinforce the security of energy supply. Other important energy source includes coal, and hydroelectricity is Japan's biggest renewable energy source. Japan's solar market is also currently booming. Kerosene is also used extensively for home heating in portable heaters, especially farther north. Many taxi companies run their fleets on liquefied natural gas. A recent success towards greater fuel economy was the introduction of mass-produced Hybrid vehicles. Prime Minister Shinzō Abe, who was working on Japan's economic revival, signed a treaty with Saudi Arabia and UAE about the rising prices of oil, ensuring Japan's stable deliveries from that region. Macro-economic trend This is a chart of trend of gross domestic product of Japan at market prices estimated by the International Monetary Fund with figures in millions of Japanese Yen. See also For purchasing power parity comparisons, the US dollar was exchanged at ¥109 in 2010. GDP composition Industries by GDP value-added 2012. Values are converted using the exchange rate on 13 April 2013. Development of main indicators The following table shows the main economic indicators in 1980–2020 (with IMF staff stimtates in 2020–2026). Inflation under 2% is in green. Sectors of the economy Agriculture The Japanese agricultural sector accounts for about 1.1% (2017) of the total country's GDP. Only 12% of Japan's land is suitable for cultivation. Due to this lack of arable land, a system of terraces is used to farm in small areas. This results in one of the world's highest levels of crop yields per unit area, with an overall agricultural self-sufficiency rate of about 50% on fewer than 56,000 km2 (14 million acres) cultivated. Japan's small agricultural sector, however, is also highly subsidized and protected, with government regulations that favor small-scale cultivation instead of large-scale agriculture as practiced in North America. There has been a growing concern about farming as the current farmers are aging with a difficult time finding successors. Rice accounts for almost all of Japan's cereal production. Japan is the second-largest agricultural product importer in the world. Rice, the most protected crop, is subject to tariffs of 777.7%. Although Japan is usually self-sufficient in rice (except for its use in making rice crackers and processed foods) and wheat, the country must import about 50% of its requirements of other grain and fodder crops and relies on imports for half of its supply of meat. Japan imports large quantities of wheat and soybeans. Japan is the 5th largest market for the European Union's agricultural exports. Over 90% of mandarin oranges in Japan are grown in Japan. Apples are also grown due to restrictions on apple imports. Fishery Japan ranked fourth in the world in 1996 in tonnage of fish caught. Japan captured 4,074,580 metric tons of fish in 2005, down from 4,987,703 tons in 2000, 9,558,615 tons in 1990, 9,864,422 tons in 1980, 8,520,397 tons in 1970, 5,583,796 tons in 1960 and 2,881,855 tons in 1950. In 2003, the total aquaculture production was predicted at 1,301,437 tonnes. In 2010, Japan's total fisheries production was 4,762,469 fish. Offshore fisheries accounted for an average of 50% of the nation's total fish catches in the late 1980s although they experienced repeated ups and downs during that period. Coastal fishing by small boats, set nets, or breeding techniques accounts for about one third of the industry's total production, while offshore fishing by medium-sized boats makes up for more than half the total production. Deep-sea fishing from larger vessels makes up the rest. Among the many species of seafood caught are sardines, skipjack tuna, crab, shrimp, salmon, pollock, squid, clams, mackerel, sea bream, sauries, tuna and Japanese amberjack. Freshwater fishing, including salmon, trout and eel hatcheries and fish farms, takes up about 30% of Japan's fishing industry. Among the nearly 300 fish species in the rivers of Japan are native varieties of catfish, chub, herring and goby, as well as such freshwater crustaceans as crabs and crayfish. Marine and freshwater aquaculture is conducted in all 47 prefectures in Japan. Japan maintains one of the world's largest fishing fleets and accounts for nearly 15% of the global catch, prompting some claims that Japan's fishing is leading to depletion in fish stocks such as tuna. Japan has also sparked controversy by supporting quasi-commercial whaling. Industry Japanese manufacturing and industry is very diversified, with a variety of advanced industries that are highly successful. Industry accounts for 30.1% (2017) of the nation's GDP. The country's manufacturing output is the third highest in the world. Industry is concentrated in several regions, with the Kantō region surrounding Tokyo, (the Keihin industrial region) as well as the Kansai region surrounding Osaka (the Hanshin industrial region) and the Tōkai region surrounding Nagoya (the Chūkyō–Tōkai industrial region) the main industrial centers. Other industrial centers include the southwestern part of Honshū and northern Shikoku around the Seto Inland Sea (the Setouchi industrial region); and the northern part of Kyūshū (Kitakyūshū). In addition, a long narrow belt of industrial centers called the Taiheiyō Belt is found between Tokyo and Fukuoka, established by particular industries, that have developed as mill towns. Japan enjoys high technological development in many fields, including consumer electronics, automobile manufacturing, semiconductor manufacturing, optical fibers, optoelectronics, optical media, facsimile and copy machines, and fermentation processes in food and biochemistry. However, many Japanese companies are facing emerging rivals from the United States, South Korea, and China. Automobile manufacturing Japan is the third biggest producer of automobiles in the world. Toyota is currently the world's largest car maker, and the Japanese car makers Nissan, Honda, Suzuki, and Mazda also count for some of the largest car makers in the world. Mining and petroleum exploration Japan's mining production has been minimal, and Japan has very little mining deposits. However, massive deposits of rare earths have been found off the coast of Japan. In the 2011 fiscal year, the domestic yield of crude oil was 820 thousand kiloliters, which was 0.4% of Japan's total crude processing volume. In 2019, Japan was the 2nd largest world producer of iodine, 4th largest worldwide producer of bismuth, the world's 9th largest producer of sulfur and the 10th largest producer of gypsum. Services Japan's service sector accounts for 68.7% (2017) of its total economic output. Banking, insurance, real estate, retailing, transportation, and telecommunications are all major industries such as Mitsubishi UFJ, Mizuho, NTT, TEPCO, Nomura, Mitsubishi Estate, ÆON, Mitsui Sumitomo, Softbank, JR East, Seven & I, KDDI and Japan Airlines counting as one of the largest companies in the world. Four of the five most circulated newspapers in the world are Japanese newspapers. The Koizumi government set Japan Post, one of the country's largest providers of savings and insurance services for privatization by 2015. The six major keiretsus are the Mitsubishi, Sumitomo, Fuyo, Mitsui, Dai-Ichi Kangyo and Sanwa Groups. Japan is home to 251 companies from the Forbes Global 2000 or 12.55% (as of 2013). Tourism In 2012, Japan was the fifth most visited country in Asia and the Pacific, with over 8.3 million tourists. In 2013, due to the weaker yen and easier visa requirements for southwest Asian countries, Japan received a record 11.25 million visitors, which was higher than the government's projected goal of 10 million visitors. The government hopes to attract 40 million visitors a year by the 2020 Summer Olympics in Tokyo. Some of the most popular visited places include the Shinjuku, Ginza, Shibuya and Asakusa areas in Tokyo, and the cities of Osaka, Kobe and Kyoto, as well as Himeji Castle. Hokkaido is also a popular winter destination for visitors with several ski resorts and luxury hotels being built there. Japan's economy is less dependent on international tourism than those of other G7 countries and OECD countries in general; from 1995 to 2014, it was by far the least visited country in the G7 despite being the second largest country in the group, and as of 2013 was one of the least visited countries in the OECD on a per capita basis. In 2013, international tourist receipts was 0.3% of Japan's GDP, while the corresponding figure was 1.3% for the United States and 2.3% for France. Finance The Tokyo Stock Exchange is the third largest stock exchange in the world by market capitalization, as well as the 2nd largest stock market in Asia, with 2,292 listed companies. The Nikkei 225 and the TOPIX are the two important stock market indexes of the Tokyo Stock Exchange. The Tokyo Stock Exchange and the
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and mountainous parts of the country that earlier had experienced poor reception. The new system also provided twenty-four hours a day, nonstop service. In the late 1980s, NHK operated two public television and three radio networks nationally, producing about 1,700 programs per week. Its general and education programs were broadcast through more than 6,900 television stations and nearly 330 AM and more than 500 FM radio transmitting stations. Comprehensive service in twenty-one languages is available throughout the world. Rapid improvements, innovations, and diversification in communications technology, including optical fiber cables, communications satellites, and fax machines, led to rapid growth of the communications industry in the 1980s. Nippon Telegraph and Telephone Corporation, owned by the government until 1985, had dominated the communications industry until April 1985, when new common carriers, including Daini Denden, were permitted to enter the field. NTT Worldwide Telecommunications Corp (Kokusai Denshin Denwa Company, commonly known as KDD, now part of KDDI Inc.) lost its monopoly hold on international communications activities in 1989, when Nihon Kokusai Tsushin and other private overseas communications firms began operations. In 1992 Japan also had more than 12,000 televisions stations, and the country had more than 350 radio stations, 300 AM radio stations and 58 FM. Broadcasting innovations in the 1980s included sound multiplex (two-language or stereo) broadcasting, satellite broadcasting, and in 1985 the University of the Air and teletext services were inaugurated. Japan has been the world leader in telecommunications in the 1980s, but this position that has been challenged by the United States' dot-com industry in the 1990s and the emerging tiger states in Asia. While the United States is leading in digital content, South Korea is leading in broadband access, India is leading in software, and Taiwan is leading in research and development. Japan went into the 21st century after achieving widespread saturation with telecommunication devices. For instance, by 2008 the government's Internal
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government's Internal Affairs and Communications Ministry stated that about 75 million people used mobile phones to access the Internet, said total accounting for about 82% of individual Internet users. Overview of communication services Telephone services Telephones and ISDN – main lines in use: 52.3981 million (2007) IP phone lines in use: 16.766 million (2007) Mobile and PHS lines in use: 105.297 million (2007) international: satellite earth stations – 5 Intelsat (4 Pacific Ocean and 1 Indian Ocean), 1 Intersputnik (Indian Ocean region), and 1 Inmarsat (Pacific and Indian Ocean regions); submerged cables to China, Philippines, Russia, and US (via Guam) Mobile phone services There are four nationwide mobile phone service providers: NTT DoCoMo, KDDI, Ymobile, and Rakuten mobile. Radio and television broadcasting Radio broadcast stations: AM 190, FM 88, shortwave 24 (1999) Radios: 120.5 million (1997) Television broadcast stations: 7,108 (plus 441 repeaters; note – in addition, US Forces are served by 3 TV stations and 2 TV cable services) (1999) Televisions: 86.5 million (1997) Amateur radio: 446,602 licensed stations as of October 2011. See Amateur radio call signs of Japan. Internet services Internet Service Providers (ISPs): 357 (1999) Internet Service Providers via Cable network: 334 (June 2004) Number of Portable Phone Users with the Internet Access: 71,044,000 (June 2004) Number of Broadband Users by Access (April 2005) Number of the xDSL Users: 13,675,840 lines Number of the FTTH Users: 2,852,205 lines Number of the CATV Service Users: 2,959,712 lines Number of Broadband Users by Access (June 2004) Number of the xDSL Users: 12,068,718 lines Number of the FTTH Users: 1,417,483 lines Number of the CATV Service Users: 2,702,000 lines Number of the Dial-up Users: 17,730,000 lines Number of Broadband Users by Access (June 2002) Number of the xDSL Users: 3,300,926 lines Number of the FTTH Users: 84,903 lines Number of the CATV Service Users: 1852000 lines Number of the Dial-up Users: 20,390,000 lines Country code (Top-level domain): JP Postal services Japan's first modern postal service got started in 1871, with mail professionally traveling between Kyoto and Tokyo as well as the latter city and Osaka. This took place in the midst of the rapid industrialization and social reorganization that the Meiji period symbolized in Japanese history. Given how the nation's railroad technology was in its infancy, Japan's growing postal system relied heavily on human-powered transport, including rickshaws, as well as horse-drawn methods of delivery. For example, while commemorating the 50th anniversary of Japan's postal service, the country's 1921 government released decorative postcards depicting intrepid horseback riders carrying the mail. In communication terms, British technicians had already been employed in assisting with Japanese lighthouses, and the country's budding mail system looked to hybridize British ideas with local practicalities. Shipping along the nation's coastline in particular demonstrates a key instance of how the Japanese economy developed: the government closely working with private companies to industrially expand in a way that met social needs while also allowing for large profits. Mitsubishi's contract for mail transport by sea proved lucrative enough that it assisted with the firm becoming one of the famous "zaibatsu". Since 2007, the nation's post offices have been managed by the firm Japan Post Network, which, in turn, is a part of the larger Japan Post Holdings conglomerate. As of December 2017, the smaller company has been managed by CEO Koji Furukawa. The simple Japanese postal mark, predating mass literacy in the nation, is
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and the United States. The first Shinkansen line opened between Tokyo and Osaka in 1964, and trains can now make the journey in 2 hours and 25 minutes. Additional Shinkansen lines connect Tokyo to Aomori, Niigata, Kanazawa, and Hakodate and Osaka to Fukuoka and Kagoshima, with new lines under construction to Tsuruga, Sapporo and Nagasaki. Japan has been developing maglev technology trains, and broke the world maglev speed record in April 2015 with a train traveling at the speed of . The Chūō Shinkansen, a commercial maglev service, is currently under construction from Tokyo to Nagoya and Osaka, and when completed in 2045 will cover the distance in 67 minutes, half the time of the current Shinkansen. Road According to Japan Statistical Yearbook 2015, Japan in April 2012 had approximately 1,215,000 km of roads made up of 1,022,000 km of city, town and village roads, 129,000 km of prefectural roads, 55,000 km of general national highways and 8,050 km of national expressways. The Foreign Press Center/Japan cites a total length of expressways at 7,641 km (fiscal 2008). A single network of high-speed, divided, limited-access toll roads connects major cities on Honshu, Shikoku and Kyushu. Hokkaido has a separate network, and Okinawa Island has a highway of this type. In the year 2005, the toll collecting companies, formerly Japan Highway Public Corporation, have been transformed into private companies in public ownership, and there are plans to sell parts of them. This policy aims to encourage competition and decrease tolls. Road passenger and freight transport expanded considerably during the 1980s as private ownership of motor vehicles greatly increased along with the quality and extent of the nation's roads. Bus companies including the JR Bus companies operate long-distance bus services on the nation's expanding expressway network. In addition to relatively low fares and deluxe seating, the buses are well utilized because they continue service during the night when air and train services are limited. The cargo sector grew rapidly in the 1980s, recording 274.2 billion tonne-kilometres in 1990. The freight handled by motor vehicles, mainly trucks, in 1990, was over 6 billion tonnes, accounting for 90 percent of domestic freight tonnage and about 50 percent of tonne-kilometers. Recent large infrastructure projects were the construction of the Great Seto Bridge and the Tokyo Bay Aqua-Line (opened 1997). Road safety Road fatalities have decreased in Japan, due in part to stricter enforcement of drunk driving laws: 2004 saw 7,358 deaths on Japanese roads, 2017 had 3,694 deaths for 125 million population, 2019 saw 3,215 deaths, the lowest it has been since 1948, with a rate of 25.4 deaths per million lower than many European nations, and close to the UK's rates. In Tokyo, road safety is 13 killed per million.
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very punctual, following suit with all other Japanese transport; in 2003, the average delay per train on the Tokaido Shinkansen was a mere 6 seconds. Japan has been trying to sell its Shinkansen technology overseas, and has struck deals to help build systems in India, Thailand, and the United States. The first Shinkansen line opened between Tokyo and Osaka in 1964, and trains can now make the journey in 2 hours and 25 minutes. Additional Shinkansen lines connect Tokyo to Aomori, Niigata, Kanazawa, and Hakodate and Osaka to Fukuoka and Kagoshima, with new lines under construction to Tsuruga, Sapporo and Nagasaki. Japan has been developing maglev technology trains, and broke the world maglev speed record in April 2015 with a train traveling at the speed of . The Chūō Shinkansen, a commercial maglev service, is currently under construction from Tokyo to Nagoya and Osaka, and when completed in 2045 will cover the distance in 67 minutes, half the time of the current Shinkansen. Road According to Japan Statistical Yearbook 2015, Japan in April 2012 had approximately 1,215,000 km of roads made up of 1,022,000 km of city, town and village roads, 129,000 km of prefectural roads, 55,000 km of general national highways and 8,050 km of national expressways. The Foreign Press Center/Japan cites a total length of expressways at 7,641 km (fiscal 2008). A single network of high-speed, divided, limited-access toll roads connects major cities on Honshu, Shikoku and Kyushu. Hokkaido has a separate network, and Okinawa Island has a highway of this type. In the year 2005, the toll collecting companies, formerly Japan Highway Public Corporation, have been transformed into private companies in public ownership, and there are plans to sell parts of them. This policy aims to encourage competition and decrease tolls. Road passenger and freight transport expanded considerably during the 1980s as private ownership of motor vehicles greatly increased along with the quality and extent of the nation's roads. Bus companies including the JR Bus companies operate long-distance bus services on the nation's expanding expressway network. In addition to relatively low fares and deluxe seating, the buses are well utilized because they continue service during the night when air and train services are limited. The cargo sector grew rapidly in the 1980s, recording 274.2 billion tonne-kilometres in 1990. The freight handled by motor vehicles, mainly trucks, in 1990, was over 6 billion tonnes, accounting for 90 percent of domestic freight tonnage and about 50 percent of tonne-kilometers. Recent large infrastructure projects were the construction of the Great Seto Bridge and the Tokyo Bay Aqua-Line (opened 1997). Road safety Road fatalities have decreased in Japan, due in part to stricter enforcement of drunk driving laws: 2004 saw 7,358 deaths on Japanese roads, 2017 had 3,694 deaths for 125 million population, 2019 saw 3,215 deaths, the lowest it has been since 1948, with a rate of 25.4 deaths per million lower than many European nations, and close to the UK's rates. In Tokyo, road safety is 13 killed per million. Airway In 2013 Japan had the fourth largest passenger air market in the world with 105,913,000 passengers. In 2013 Japan had 98 airports. The main international gateways are Narita International Airport (Tokyo area), Kansai International Airport (Osaka/Kobe/Kyoto area), and Chūbu Centrair International Airport (Nagoya area). The main domestic hub is Tokyo International Airport (Haneda Airport), Asia's busiest airport and the world's 4th busiest airport; other major traffic hubs include Osaka International Airport, New Chitose Airport outside Sapporo, and Fukuoka Airport. 14 heliports are estimated to exist (1999). The two main airlines are Japan Airlines and All Nippon Airways. Other passenger carriers include Skymark Airlines, Skynet Asia Airways, Air Do, Star Flyer and Fuji Dream Airlines. United Airlines and Delta Air Lines, formerly Northwest Airlines, are major international operators from Narita Airport. Domestic air travel in Japan has historically been highly regulated. From 1972, the three major domestic airlines (JAL, ANA, and JAS) were allocated certain routes, with JAL and ANA sharing trunk routes, and ANA and JAS sharing local feeder routes. JAL and JAS have since been merged to help compete with ANA. JAL also had a flag-carrier monopoly on international routes until 1986. Airfares were set by the government until 2000, although carriers had the freedom to adjust the standard fares starting in 1995 (when discounts of up to 50% were permitted). Today, fares can be set by carriers, but the government retains the ability to veto fares that are too high. Maritime There are 1770 km of waterways in Japan; seagoing craft ply all coastal inland seas. There are some 994 ports in Japan as of April 2014. There are overlapping classifications of these ports, some of which are multi-purpose, e.g. cargo, passenger, naval, and fishery. The five designated "super" container ports are Yokkaichi, Yokohama, Nagoya, Kobe, and Osaka. 23 are designated major/international, 125 designated as important, while there are also purely fisherman ports. The twenty-three major seaports designated as special, important ports by the Ministry of Land, Infrastructure, Transport and Tourism : Chiba, Fushiki/Toyama, Himeji, Hiroshima, Kawasaki, Kitakyūshū, Kobe, Kudamatsu,
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an aid donor. Japan's aid to seven South Asian countries totaled US$1.1 billion in 1988. Except for Pakistan, which received heavy inputs of aid from the United States, all other South Asian countries received most of their aid from Japan as of the early 1990s. Four South Asian nations—India, Pakistan, Bangladesh, and Sri Lanka—are in the top ten list of Tokyo's aid recipients worldwide as of the early 1990s. A point to note is that Indian Government has a no receive aid policy since the tsunami that struck India but Indian registered NGOs look to Japan for much investment in their projects. Prime Minister Toshiki Kaifu signaled a broadening of Japan's interest in South Asia with his swing through the region in April 1990. In an address to the Indian parliament, Kaifu stressed the role of free markets and democracy in bringing about "a new international order," and he emphasized the need for a settlement of the Kashmir territorial dispute between India and Pakistan and for economic liberalization to attract foreign investment and promote dynamic growth. To India, which was very short of hard currency, Kaifu pledged a new concessional loan of ¥100 billion (about US$650 million) for the coming year. Europe In what became known as the Tenshō embassy, the first ambassadors from Japan to European powers reached Lisbon, Portugal in August 1584. From Lisbon, the ambassadors left for the Vatican in Rome, which was the main goal of their journey. The embassy returned to Japan in 1590, after which time the four nobleman ambassadors were ordained by Alessandro Valignano as the first Japanese Jesuit fathers. A second embassy, headed by Hasekura Tsunenaga and sponsored by Date Masamune, was also a diplomatic mission to the Vatican. The embassy left 28 October 1613 from Ishinomaki, Miyagi Prefecture, in the northern Tōhoku region of Japan, where Date was daimyō. It traveled to Europe by way of New Spain, arriving in Acapulco on 25 January 1614, Mexico City in March, Havana in July, and finally Seville on 23 October 1614. After a short stop-over in France, the embassy reached Rome in November 1615, where it was received by Pope Paul V. After return travel by way of New Spain and the Philippines, the embassy reached the harbor of Nagasaki in August 1620. While the embassy was gone, Japan had undergone significant change, starting with the 1614 Osaka Rebellion, leading to a 1616 decree from the Tokugawa shogunate that all interaction with non-Chinese foreigners was confined to Hirado and Nagasaki. In fact, the only western country that was allowed to trade with Japan was the Dutch Republic. This was the beginning of "sakoku", where Japan was essentially closed to the western world until 1854. Modern era The cultural and non-economic ties with Western Europe grew significantly during the 1980s, although the economic nexus remained by far the most important element of Japanese – West European relations throughout the decade. Events in West European relations, as well as political, economic, or even military matters, were topics of concern to most Japanese commentators because of the immediate implications for Japan. The major issues centred on the effect of the coming West European economic unification on Japan's trade, investment, and other opportunities in Western Europe. Some West European leaders were anxious to restrict Japanese access to the newly integrated European Union, but others appeared open to Japanese trade and investment. In partial response to the strengthening economic ties among nations in Western Europe and to the United States–Canada–Mexico North American Free Trade Agreement, Japan and other countries along the Asia-Pacific rim began moving in the late 1980s toward greater economic cooperation. On 18 July 1991, after several months of difficult negotiations, Prime Minister Toshiki Kaifu signed a joint statement with the Dutch prime minister and head of the European Community Council, Ruud Lubbers, and with the European Commission president, Jacques Delors, pledging closer Japanese – European Community consultations on foreign relations, scientific and technological cooperation, assistance to developing countries, and efforts to reduce trade conflicts. Japanese Ministry of Foreign Affairs officials hoped that this agreement would help to broaden Japanese – European Community political links and raise them above the narrow confines of trade disputes. Oceania Disputed territories Japan has several territorial disputes with its neighbors concerning the control of certain outlying islands. Japan contests Russia's control of the Southern Kuril Islands (including Etorofu, Kunashiri, Shikotan, and the Habomai group) which were occupied by the Soviet Union in 1945. South Korea's assertions concerning Liancourt Rocks (Japanese: "Takeshima", Korean: "Dokdo") are acknowledged, but not accepted by Japan. Japan has strained relations with the People's Republic of China (PRC) and the Republic of China (Taiwan) over the Senkaku Islands; and with the People's Republic of China over the status of Okinotorishima. These disputes are in part about irredentism; and they are also about the control of marine and natural resources, such as possible reserves of crude oil and natural gas. See also Foreign policy of Japan List of diplomatic missions in Japan List of diplomatic missions of Japan List of Japanese overseas military actions List of war apology statements issued by Japan Hotta Masayoshi Visa requirements for Japanese citizens References Further reading Akagi, Roy Hidemichi. Japan's Foreign Relations 1542-1936: A Short History (1979) online 560pp Akimoto, Daisuke. The Abe Doctrine: Japan's Proactive Pacifism and Security Strategy (Springer, 2018). Barnhart, Michael A. Japan and the World since 1868 (1995) excerpt Bradford, John. "Southeast Asia: A New Strategic Nexus for Japan’s Maritime Strategy." CIMSEC (September 2020). online Buckley, Roger. US-Japan Alliance Diplomacy 1945–1990 (1992) Duus, Peter, ed. The Cambridge History of Japan, Vol. 6: The Twentieth Century (1989). Gustafsson, Karl, Linus Hagström, and Ulv Hanssen. "Japan's pacifism is dead." Survival 60.6 (2018): 137-158. Hook, Glenn D. et al. Japan's international relations: Politics, economics and security (3rd ed. 2011), covers 1945–2010. Kibata, Y. and I. Nish, eds. The History of Anglo-Japanese Relations, 1600–2000: Volume I: The Political-Diplomatic Dimension, 1600–1930 (2000) excerpt, first of five topical volumes also covering social, economic and military relations between Japan and Great Britain.
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which time the four nobleman ambassadors were ordained by Alessandro Valignano as the first Japanese Jesuit fathers. A second embassy, headed by Hasekura Tsunenaga and sponsored by Date Masamune, was also a diplomatic mission to the Vatican. The embassy left 28 October 1613 from Ishinomaki, Miyagi Prefecture, in the northern Tōhoku region of Japan, where Date was daimyō. It traveled to Europe by way of New Spain, arriving in Acapulco on 25 January 1614, Mexico City in March, Havana in July, and finally Seville on 23 October 1614. After a short stop-over in France, the embassy reached Rome in November 1615, where it was received by Pope Paul V. After return travel by way of New Spain and the Philippines, the embassy reached the harbor of Nagasaki in August 1620. While the embassy was gone, Japan had undergone significant change, starting with the 1614 Osaka Rebellion, leading to a 1616 decree from the Tokugawa shogunate that all interaction with non-Chinese foreigners was confined to Hirado and Nagasaki. In fact, the only western country that was allowed to trade with Japan was the Dutch Republic. This was the beginning of "sakoku", where Japan was essentially closed to the western world until 1854. Modern era The cultural and non-economic ties with Western Europe grew significantly during the 1980s, although the economic nexus remained by far the most important element of Japanese – West European relations throughout the decade. Events in West European relations, as well as political, economic, or even military matters, were topics of concern to most Japanese commentators because of the immediate implications for Japan. The major issues centred on the effect of the coming West European economic unification on Japan's trade, investment, and other opportunities in Western Europe. Some West European leaders were anxious to restrict Japanese access to the newly integrated European Union, but others appeared open to Japanese trade and investment. In partial response to the strengthening economic ties among nations in Western Europe and to the United States–Canada–Mexico North American Free Trade Agreement, Japan and other countries along the Asia-Pacific rim began moving in the late 1980s toward greater economic cooperation. On 18 July 1991, after several months of difficult negotiations, Prime Minister Toshiki Kaifu signed a joint statement with the Dutch prime minister and head of the European Community Council, Ruud Lubbers, and with the European Commission president, Jacques Delors, pledging closer Japanese – European Community consultations on foreign relations, scientific and technological cooperation, assistance to developing countries, and efforts to reduce trade conflicts. Japanese Ministry of Foreign Affairs officials hoped that this agreement would help to broaden Japanese – European Community political links and raise them above the narrow confines of trade disputes. Oceania Disputed territories Japan has several territorial disputes with its neighbors concerning the control of certain outlying islands. Japan contests Russia's control of the Southern Kuril Islands (including Etorofu, Kunashiri, Shikotan, and the Habomai group) which were occupied by the Soviet Union in 1945. South Korea's assertions concerning Liancourt Rocks (Japanese: "Takeshima", Korean: "Dokdo") are acknowledged, but not accepted by Japan. Japan has strained relations with the People's Republic of China (PRC) and the Republic of China (Taiwan) over the Senkaku Islands; and with the People's Republic of China over the status of Okinotorishima. These disputes are in part about irredentism; and they are also about the control of marine and natural resources, such as possible reserves of crude oil and natural gas. See also Foreign policy of Japan List of diplomatic missions in Japan List of diplomatic missions of Japan List of Japanese overseas military actions List of war apology statements issued by Japan Hotta Masayoshi Visa requirements for Japanese citizens References Further reading Akagi, Roy Hidemichi. Japan's Foreign Relations 1542-1936: A Short History (1979) online 560pp Akimoto, Daisuke. The Abe Doctrine: Japan's Proactive Pacifism and Security Strategy (Springer, 2018). Barnhart, Michael A. Japan and the World since 1868 (1995) excerpt Bradford, John. "Southeast Asia: A New Strategic Nexus for Japan’s Maritime Strategy." CIMSEC (September 2020). online Buckley, Roger. US-Japan Alliance Diplomacy 1945–1990 (1992) Duus, Peter, ed. The Cambridge History of Japan, Vol. 6: The Twentieth Century (1989). Gustafsson, Karl, Linus Hagström, and Ulv Hanssen. "Japan's pacifism is dead." Survival 60.6 (2018): 137-158. Hook, Glenn D. et al. Japan's international relations: Politics, economics
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network and was the second-highest rated new show of the 2008–2009 season after CBS's The Mentalist. BuddyTV ranked him #9 on its "TV's 100 Sexiest Men of 2010" list, #19 in 2011 and #14 in 2012. Jackson was nominated for a Genie Award for Best Performance by an Actor in a Leading Role for the film One Week. He won the award on April 12, 2010. He held and hosted the satirical Pacey-Con in 2010, directly across the street from the San Diego Comic-Con, sporting a bowling shirt and giving out fan fiction, written by Dawson's Creek fans, to those waiting in the Comic-Con entrance line. Footage of the event was recorded for a video, entitled 'Pacey-Con', which he was filming for Will Ferrell's Funny or Die celebrity humor website. In 2013, Jackson appeared in the IFC film Inescapable with Marisa Tomei and Alexander Siddig. Jackson wrote the first story from the comic book trilogy Beyond the Fringe, titled "Peter and the Machine". Jackson starred in the successful Showtime television show, The Affair, where he played Cole Lockhart, the protagonist husband of the unfaithful Alison Lockhart. In March 2018, Jackson made his theatrical debut on Broadway in Children of a Lesser God, where he played James Leeds, an unconventional teacher at a school for the deaf who gets in a conflicted professional and romantic relationship with a former deaf student, Sarah Norman (Lauren Ridloff). The play ran through May 2018. In 2019, Jackson starred as defense attorney Mickey Joseph in the Netflix drama miniseries When They See Us. In 2020, Jackson co-starred with Reese Witherspoon and Kerry Washington in Hulu's miniseries Little Fires Everywhere based on the novel by Celeste Ng. Jackson has been cast as Christopher Duntsch, a neurosurgeon who was convicted of intentionally maiming his patients, in Dr. Death, based on the podcast of the same name. In 2022, Jackson was set to lead the Paramount+ series Fatal Attraction with Lizzy Caplan, inspired by the 1980s thriller film of the same name. Personal life Jackson was in a relationship with Dawson's Creek co-star Katie Holmes during the first two seasons of the show's run. Holmes said that Jackson was her first love. He began dating German actress Diane Kruger in 2006. Jackson and Kruger ended their relationship in 2016 after 10 years together. Jackson began a relationship with actress Jodie Turner-Smith in 2018. They married in December
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consider returning to the stage, to try his hand on Broadway. His next film role was in Bobby, directed by Emilio Estevez, Jackson's co-star from The Mighty Ducks. He played a lead role in Shutter, a US remake of a Thai horror film of the same name. He starred and acted as executive producer in the Canadian independent film One Week, which opened on March 6, 2009. From 2008 to 2013, Jackson played the lead role of Peter Bishop in the science-fiction series Fringe, created by JJ Abrams, Roberto Orci and Alex Kurtzman. The series appeared on the Fox TV network and was the second-highest rated new show of the 2008–2009 season after CBS's The Mentalist. BuddyTV ranked him #9 on its "TV's 100 Sexiest Men of 2010" list, #19 in 2011 and #14 in 2012. Jackson was nominated for a Genie Award for Best Performance by an Actor in a Leading Role for the film One Week. He won the award on April 12, 2010. He held and hosted the satirical Pacey-Con in 2010, directly across the street from the San Diego Comic-Con, sporting a bowling shirt and giving out fan fiction, written by Dawson's Creek fans, to those waiting in the Comic-Con entrance line. Footage of the event was recorded for a video, entitled 'Pacey-Con', which he was filming for Will Ferrell's Funny or Die celebrity humor website. In 2013, Jackson appeared in the IFC film Inescapable with Marisa Tomei and Alexander Siddig. Jackson wrote the first story from the comic book trilogy Beyond the Fringe, titled "Peter and the Machine". Jackson starred in the successful Showtime television show, The Affair, where he played Cole Lockhart, the protagonist husband of the unfaithful Alison Lockhart. In March 2018, Jackson made his theatrical debut on Broadway in Children of a Lesser God, where he played James Leeds, an unconventional teacher at a school for the deaf who gets in a conflicted professional and romantic relationship with a former deaf student, Sarah Norman (Lauren Ridloff). The play ran through May 2018. In 2019, Jackson starred as defense attorney Mickey Joseph in the Netflix drama miniseries When They See Us. In 2020, Jackson co-starred with Reese Witherspoon and Kerry Washington in Hulu's miniseries Little Fires Everywhere based on the novel by Celeste Ng. Jackson has been cast as Christopher Duntsch, a neurosurgeon who was convicted of intentionally maiming his patients, in Dr. Death, based on the podcast of the same name. In 2022, Jackson was set to lead the Paramount+ series Fatal Attraction with Lizzy Caplan, inspired by the 1980s thriller film of the same name. Personal life Jackson was in a relationship with Dawson's Creek co-star Katie Holmes during the first two seasons of the show's run. Holmes said that Jackson was her first love. He began dating German actress Diane Kruger in 2006. Jackson and Kruger ended their relationship in 2016 after 10 years together. Jackson began a relationship with actress Jodie Turner-Smith in 2018. They married in December 2019 and have a daughter, born April 2020. He owns his childhood home in Topanga, California. He previously lived in Wilmington, North Carolina, where Dawson's Creek was filmed; and in New York, where Fringe filmed its first season. In 2009, he moved back to Vancouver to shoot four seasons of the show before the last episode was aired on January 18, 2013. Jackson is a fan of the Vancouver Canucks hockey team. He was arrested on November 9, 2002, at a Carolina Hurricanes hockey game in Raleigh, North Carolina, after a quarrel with a security guard. He was charged with assault, affray, and public intoxication and disruption, having a 0.14 blood alcohol content. Prosecutors agreed to dismiss the assault charge, and Jackson agreed to attend an alcohol education program and perform 24 hours of community service in order to have the remaining charge dropped. Filmography Film Television Stage Awards and nominations References External links Joshua Jackson on The Hour with George Stroumboulopoulos 1978 births Living people 20th-century American male actors 20th-century
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Jung Lokomotivfabrik, German locomotive manufacturer Jung-Kellogg Library, at Missouri Baptist University Salar Jung Museum, in India Xirong (Hsi-jung), ancient barbarian
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of analytical psychology. Jung may also refer to: Jung (surname) Jung (Korean given name) JUNG, the Java Universal Network/Graph Framework Jung (1996 film) Jung (2000 film) Jung, Victoria, Australia
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station JFK/UMass station, in Boston, Massachusetts John F. Kennedy Memorial Airport, or JFK Memorial Airport, Ashland, Wisconsin , two U.S. Navy ships MV John F. Kennedy, Staten Island Ferry Arts and entertainment JFK (film), 1991 JFK (soundtrack) JFK (opera), 2016 JFK (Clone High), a fictional character "JFK",
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Kennedy Memorial Airport, or JFK Memorial Airport, Ashland, Wisconsin , two U.S. Navy ships MV John F. Kennedy, Staten Island Ferry Arts and entertainment JFK (film), 1991 JFK (soundtrack) JFK (opera), 2016 JFK (Clone High), a fictional character "JFK", a song by Azealia Banks from the 2011 album Broke
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It was at Trinity that he came under the influence of John Wilkins, when the latter was appointed master of the college in 1659. Later life and family After leaving Cambridge in 1663 he spent some time travelling both in Britain and the continent. In 1673, Ray married Margaret Oakley of Launton in Oxfordshire; in 1676 he went to Middleton Hall near Tamworth, and in 1677 to Falborne (or Faulkbourne) Hall in Essex. Finally, in 1679, he removed to his birthplace at Black Notley, where he afterwards remained. His life there was quiet and uneventful, although he had poor health, including chronic sores. Ray kept writing books and corresponded widely on scientific matters, collaborating with his doctor and contemporary Samuel Dale. He lived, in spite of his infirmities, to the age of seventy-seven, dying at Black Notley. He is buried in the churchyard of St Peter and St Paul where there is a memorial to him. He is widely regarded as one of the earliest of the English parson-naturalists. Work At Cambridge, Ray spent much of his time in the study of natural history, a subject which would occupy him for most of his life, from 1660 to the beginning of the eighteenth century. When Ray found himself unable to subscribe as required by the ‘Bartholomew Act’ of 1662 he, along with 13 other college fellows, resigned his fellowship on 24 August 1662 rather than swear to the declaration that the Solemn League and Covenant was not binding on those who had taken it. Tobias Smollett quoted the reasoning given in the biography of Ray by William Derham: "The reason of his refusal was not (says his biographer) as some have imagined, his having taken the solemn league and covenant; for that he never did, and often declared that he ever thought it an unlawful oath: but he said he could not say, for those that had taken the oath, that no obligation lay upon them, but feared there might." His religious views were generally in accord with those imposed under the restoration of Charles II of England, and (though technically a nonconformist) he continued as a layman in the Established Church of England. From this time onwards he seems to have depended chiefly on the bounty of his pupil Francis Willughby, who made Ray his constant companion while he lived. Willughby arranged that after his death, Ray would have 6 shillings a year for educating Willughby's two sons. In the spring of 1663 Ray started together with Willughby and two other pupils (Philip Skippon and Nathaniel Bacon) on a tour through Europe, from which he returned in March 1666, parting from Willughby at Montpellier, whence the latter continued his journey into Spain. He had previously in three different journeys (1658, 1661, 1662) travelled through the greater part of Great Britain, and selections from his private notes of these journeys were edited by George Scott in 1760, under the title of Mr Ray's Itineraries. Ray himself published an account of his foreign travel in 1673, entitled Observations topographical, moral, and physiological, made on a Journey through part of the Low Countries, Germany, Italy, and France. From this tour Ray and Willughby returned laden with collections, on which they meant to base complete systematic descriptions of the animal and vegetable kingdoms. Willughby undertook the former part, but, dying in 1672, left only an ornithology and ichthyology for Ray to edit; while Ray used the botanical collections for the groundwork of his Methodus plantarum nova (1682), and his great Historia generalis plantarum (3 vols., 1686, 1688, 1704). The plants gathered on his British tours had already been described in his Catalogus plantarum Angliae (1670), which formed the basis for later English floras. In 1667 Ray was elected Fellow of the Royal Society, and in 1669 he and Willughby published a paper on Experiments concerning the Motion of Sap in Trees. In 1671, he presented the research of Francis Jessop on formic acid to the Royal Society. In the 1690s, he published three volumes on religion—the most popular being The Wisdom of God Manifested in the Works of the Creation (1691), an essay describing evidence that all in nature and space is God's creation as in the Bible is affirmed. In this volume, he
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under the title of Mr Ray's Itineraries. Ray himself published an account of his foreign travel in 1673, entitled Observations topographical, moral, and physiological, made on a Journey through part of the Low Countries, Germany, Italy, and France. From this tour Ray and Willughby returned laden with collections, on which they meant to base complete systematic descriptions of the animal and vegetable kingdoms. Willughby undertook the former part, but, dying in 1672, left only an ornithology and ichthyology for Ray to edit; while Ray used the botanical collections for the groundwork of his Methodus plantarum nova (1682), and his great Historia generalis plantarum (3 vols., 1686, 1688, 1704). The plants gathered on his British tours had already been described in his Catalogus plantarum Angliae (1670), which formed the basis for later English floras. In 1667 Ray was elected Fellow of the Royal Society, and in 1669 he and Willughby published a paper on Experiments concerning the Motion of Sap in Trees. In 1671, he presented the research of Francis Jessop on formic acid to the Royal Society. In the 1690s, he published three volumes on religion—the most popular being The Wisdom of God Manifested in the Works of the Creation (1691), an essay describing evidence that all in nature and space is God's creation as in the Bible is affirmed. In this volume, he moved on from the naming and cataloguing of species like his successor Carl Linnaeus. Instead, Ray considered species' lives and how nature worked as a whole, giving facts that are arguments for God's will expressed in His creation of all 'visible and invisible' (Colossians 1:16). Ray gave an early description of dendrochronology, explaining for the ash tree how to find its age from its tree-rings. Taxonomy Ray's work on plant taxonomy spanned a wide range of thought, starting with an approach that was predominantly in the tradition of the herbalists and Aristotelian, but becoming increasingly theoretical and finally rejecting Aristotelianism. Despite his early adherence to Aristotelian tradition, his first botanical work, the Catalogus plantarum circa Cantabrigiam nascentium (1660), was almost entirely descriptive, being arranged alphabetically. His model was an account by Bauhin of the plants growing around Basel in 1622 and was the first English county flora, covering about 630 species. However at the end of the work he appended a brief taxonomy which he stated followed the usage of Bauhin and other herbalists. System of classification Ray's system, starting with his Cambridge catalogue, began with the division between the imperfect or lower plants (Cryptogams), and perfect (planta perfecta) higher plants (Seed plants). The latter he divided by life forms, e.g. trees (arbores), shrubs (frutices), subshrubs (suffrutices) and herbaceous plants (herbae) and lastly grouping them by common characteristics. The trees he divided into 8 groups, e.g. Pomiferae (including apple and pear). The shrubs he placed in 2 groups, Spinosi (Berberis etc.) and Non Spinosi (Jasmine etc.). The subshrubs formed a single group and the herbs into 21 groups. Division of Herbae; Bulbosae (Lilium etc.) Tuberosae (Asphodelus etc.) Umbelliferae (Foeniculum etc.) Verticellatae (Mentha etc.) Spicatae (Lysimachia etc.) Scandentes (Cucurbita etc.) Corymbiferae (Tanacetum) Pappiflorae (Senecio etc.) Capitatae (Scabiosa etc.) Campaniformes (Digitalis etc.) Coronariae (Caryophyllus etc.) Rotundifoliae (Cyclamen etc.) Nervifoliae (Plantago etc.) Stellatae (Rubia etc.) Cerealia (Legumina etc.) Succulentae (Sedum etc.) Graminifoliae (Gramina etc.) [omitted] Oleraceae (Beta etc.) Aquaticae (Nymphaea etc.) Marinae (Fucus etc.) Saxatiles (Asplenium etc) As outlined in his Historia Plantarum (1685–1703): Herbae (Herbaceous plants) Imperfectae (Cryptogams) Perfectae (Seed plants) Monocotyledons Dicotyledons Arborae (Trees) Monocotyledons Dicotyledons Definition of species Ray was the first person to produce a biological definition of species, in his 1686 History of Plants: "... no surer criterion for determining species has occurred to me than the distinguishing features that perpetuate themselves in propagation from seed. Thus, no matter what variations occur in the individuals or the species, if they spring from the seed of one and the same plant, they are accidental variations and not such as to distinguish a species... Animals likewise that differ specifically preserve their distinct species permanently; one species never springs from the seed of another nor vice versa". Publications Ray published about 23 works, depending on how they are counted. The biological works were usually in Latin, the rest in English. His first publication, while at Cambridge, was the Catalogus plantarum circa Cantabrigiam nascentium (1660), followed by many works, botanical, zoological,theological and literary. Until 1670, he wrote his name as John Wray. From then on, he used 'Ray', after "having ascertained that such had been the practice of his family before him". List of selected publications Appendices 1663, 1685 1668: Tables of plants, in John Wilkins' Essay 1670: Collection of English proverbs. 1673: Observations in the Low Countries and Catalogue of plants not native to England. 1674: Collection of English words not generally used.online 1675: Trilingual dictionary, or nomenclator classicus. 1676: Willughby's Ornithologia. English translation by Stephen Nimis 1686: History of fishes. 1686–1704: Historia plantarum species [History of plants]. London:Clark 3 vols; Vol 1 1686, Vol 2 1688, Vol 3 1704 (in Latin) Lazenby, Elizabeth Mary (1995). The Historia Plantarum Generalis of John Ray, Book I : a translation and commentary. PhD thesis Newcastle University 2nd ed 1696 1691: The wisdom of God Manifested in the Works of the Creation 7th ed. 2nd ed 1692, 3rd ed 1701, 4th ed 1704, 7th ed 1717 1692: Miscellaneous discourses concerning the dissolution and changes of the world 1693: Synopsis of animals and reptiles. 1693: Collection of travels. 1694: Collection of European plants. 1695: Plants of each county. (Camden's Britannia) English translation by Stephen Nimis 1700: A persuasive to a holy life. Posthumous 1705. Method and history of insects 1713: [http://gdz.sub.uni-goettingen.de/dms/load/toc/?PID=PPN383878012 Synopsis methodica avium & piscium: opus posthumum (Synopsis of birds and fishes), in Latin. William Innys, London] vol. 1: Avium vol. 2: Piscium 1713 Three Physico-theological discourses Facsimile edition 1973, Ray Society,
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her companion. He was picked up and dusted off by an acquaintance of his father's, Alfred H. Hunter, who took him into his home to tend to his injuries. Hunter, who was rumoured to be a Jew and to have an unfaithful wife, became one of the models for Leopold Bloom, the protagonist of Ulysses. Joyce was a talented tenor and explored becoming a musical performer. On 8 May 1904, he was a contestant in the Feis Ceoil, an Irish music competition for promising composers, instrumentalists and singers. In the months before the contest, Joyce took singing lessons with two voice instructors, Benedetto Palmieri and Vincent O'Brien. He paid the entry fee by pawning some of his books. For the contest, Joyce had to sing three songs. He did well with the first two, but when he was told he had to sight read the third, he refused. Joyce won the third-place medal anyway. After the contest, Palmieri wrote Joyce that Luigi Denza, the composer of the popular song Funiculì, Funiculà who was the judge for the contest, spoke highly of his voice and would have given him first place but for the sight-reading and lack of sufficient training. Palmieri even offered to give Joyce free singing lessons afterwards. Joyce refused the lessons, but kept singing in Dublin concerts that year. His performance at a concert given on 27 August may have solidified Nora's devotion to him. Throughout 1904, Joyce sought to develop his literary reputation. On 7 January he attempted to publish a prose work examining aesthetics called A Portrait of the Artist, but it was rejected by the intellectual journal Dana. He then reworked it into a fictional novel of his youth that he called Stephen Hero that he labored over for years but eventually abandoned. He wrote a satirical poem called "The Holy Office", which parodied William Butler Yeats's poem "To Ireland in the Coming Times" and once more mocked the Irish Literary Revival. It too was rejected for publication; this time for being "unholy". He wrote the collection of poems Chamber Music at this time; which was also rejected. He did publish three poems, one in Dana and two in The Speaker, and George William Russell published three of Joyce's short stories in the Irish Homestead. These stories—"The Sisters", "Eveline" and "After the Race"—were the beginnings of Dubliners. In September 1904, Joyce was having difficulties finding a place to live and moved into a Martello tower near Dublin, which Gogarty was renting. Within a week, Joyce left when Gogarty and another roommate, Dermot Chenevix Trench, fired a pistol in the middle of the night at some pans hanging directly over Joyce's bed. With the help of funds from Lady Gregory and a few other acquaintances, Joyce and Nora left Ireland less than a month later. 1904–1906: Zürich, Pola and Trieste Zürich and Pola In October 1904, Joyce and Nora went into self-imposed exile. They briefly stopped in London and Paris to secure funds before heading on to Zürich. Joyce had been informed through an agent in England that there was a vacancy at the Berlitz Language School there, but when he arrived there was no position. The couple stayed in Zürich for a little over a week. The director of the school sent Joyce on to Trieste, which was part of the Austro-Hungarian Empire until the First World War. There was no vacancy there either. The director of the school in Trieste, Almidano Artifoni, secured a position for him in Pola, then Austria-Hungary's major naval base, where he mainly taught English to naval officers. Less than one month after the couple had left Ireland, Nora had already become pregnant. Joyce soon became close friends with Alessandro Francini Bruni, the director of the school at Pola, and his wife Clothilde. By the beginning of 1905, both families were living together. Joyce kept writing when he could. He completed a short story for Dubliners, "Clay", and worked on his novel Stephen Hero. He disliked Pola, calling it a "back-of-God-speed place—a naval Siberia", and soon as a job became available, he went to Trieste. First stay in Trieste When 23 year-old Joyce first moved to Trieste in March 1905, he immediately started teaching English at the Berlitz school. By June, Joyce felt financially secure enough to have his satirical poem "Holy Office" printed and asked Stanislaus to distribute copies to his former associates in Dublin. After Nora gave birth to their first child, Giorgio, on 27 July 1905, Joyce convinced Stanislaus to move to Trieste and got a position for him at the Berlitz school. Stanislaus moved in with Joyce as soon as he arrived in October, and most of his salary went directly to supporting Joyce's family. In February 1906, the Joyce household once more shared an apartment with the Francini Brunis. Joyce kept writing despite all these changes. He completed 24 chapters of Stephen Hero and all but the final story of Dubliners. But he was unable to get Dubliners in press. Though the London publisher Grant Richards had contracted with Joyce to publish it, the printers were unwilling to print passages they found controversial because English law could hold them liable if they were brought to court for indecent language. Richards and Joyce went back and forth trying to find a solution where the book could avoid legal liability while preserving Joyce's sense of artistic integrity. As they continued to negotiate, Richards began to scrutinise the stories more carefully. He became concerned that the book might damage his publishing house's reputation and eventually backed down from his agreement. Trieste was Joyce's main residence until 1920. Although he would temporarily leave the city—briefly staying in Rome, travelling to Dublin and emigrating to Zürich during World War I— it became a second Dublin for him and played an important role in his development as a writer. He completed the Dubliners, reworked Stephen Hero into Portrait of the Artist as a Young Man, wrote his only published play Exiles, and decided to make Ulysses a full-length novel as he created his notes and jottings for the work. He worked out the characters of Leopold and Molly Bloom in Trieste. Many of the novel's details were taken from Joyce's observation of the city and its people, and some of its stylistic innovations appear to have been influenced by Futurism. There are even words of the Triestine dialect in Finnegans Wake. 1906–1915: Rome, Trieste, and sojourns to Dublin Rome In late May 1906, the head of the Berlitz school ran away after embezzling its funds. Artifoni took over the school but let Joyce know that he could only afford to keep one brother on. Tired of Trieste and discouraged that he could not get a publisher for Dubliners, Joyce found an advertisement for a correspondence clerk in a Roman bank that paid twice his current salary. He was hired for the position, and went to Rome at the end of July. Joyce felt he accomplished very little during his brief stay in Rome, but it had a large impact on his writing. Though his new job took up most of his time, he revised the Dubliners and worked on Stephen Hero. Rome was the birthplace of the idea for "The Dead", which would become the final story of Dubliners, and for Ulysses, which was originally conceived as a short story. His stay in the city was one his inspirations for Exiles. While there, he read the socialist historian Guglielmo Ferrero in depth. Ferrero's anti-heroic interpretations of history, arguments against militarism, and conflicted attitudes toward Jews would find their way into Ulysses, particularly in the character of Leopold Bloom. In London, Elkin Mathews published Chamber Music on the recommendation of the British poet Arthur Symons. Nonetheless, Joyce was dissatisfied with his job, had exhausted his finances, and realised he'd need additional support when he learned Nora was pregnant again. He left Rome after only seven months. Second stay in Trieste Joyce returned to Trieste in March 1907, but was unable to find full-time work. He went back to being an English instructor, working part time for Berlitz and giving private lessons. The author Ettore Schmitz, better known by pen name Italo Svevo, was one of his students. Svevo was a Catholic of Jewish origin who became one of the models for Leopold Bloom. Joyce learned much of what knew about Judaism from him. The two become lasting friends and mutual critics. Svevo supported Joyce's identity as an author, helping him work through his writer's block with Portrait of the Artist as a Young Man. Roberto Prezioso, editor of the Italian newspaper Piccolo della Sera, was another of Joyce's students. He helped Joyce financially by commissioning him to write for the newspaper. Joyce quickly produced three articles aimed toward the Italian irredentists in Trieste. He indirectly paralleled their desire for independence from Austria-Hungary with the struggle of the Irish from British rule. Joyce earned additional money by giving a series of lectures on Ireland and the arts at Trieste's Università Popolare. In May, Joyce was struck by an attack of rheumatic fever, which left him incapacitated for weeks. The illness exacerbated eye problems that plagued him for the rest of his life. While Joyce was still recovering from the attack, Lucia was born on 26 July 1907. During his convalescence, he was able to finish "The Dead", the last story of Dubliners. Although a heavy drinker, Joyce gave up alcohol for a period in 1908. He reworked Stephen Hero as the more concise and interior A Portrait of the Artist as a Young Man. He completed the third chapter by April and translated John Millington Synge's Riders to the Sea into Italian with the help of Nicolò Vidacovich. He even took singing lessons again. Joyce had been looking for an English publisher for Dubliners but was unable to find one, so he submitted it to a Dublin publisher, Maunsel and Company, owned by George Roberts. Visits to Dublin In July 1909, Joyce received a year's advance payment from one of his students and returned to Ireland to introduce Georgio to both sides of the family (his own in Dublin and Nora's in Galway). He unsuccessfully applied for the position of Chair of Italian at his alma mater, which had become University College Dublin. He met with Roberts, who seemed positive about publishing the Dubliners. He returned to Trieste in September with his sister Eva, who helped Nora run the home. Joyce only stayed in Trieste for a month, as he almost immediately came upon the idea of starting a cinema in Dublin, which unlike Trieste had none. He quickly got the backing of some Triestine business men and returned to Dublin in October, launching Ireland's first cinema, the Volta Cinematograph. It was initially well-received, but fell apart after Joyce left. He returned to Trieste in January 1910 with another sister, Eileen. From 1910 to 1912, Joyce still lacked a reliable income. This brought his conflicts with Stanislaus, who was frustrated with lending him money, to their peak. In 1912, Joyce once more lectured at the Università Popolare on various topics in English literature and applied for a teaching diploma in English at the University of Padua. He performed very well on the qualification tests, but was denied because Italy did not recognise his Irish degree. In 1912, Joyce and his family returned to Dublin briefly in the summer. While there, his three-year-long struggle with Roberts over the publication of Dubliners came to an end as Roberts refused to publish the book due to concerns of libel. Roberts had the printed sheets destroyed, though Joyce was able to obtain a copy of the proof sheets. When Joyce returned to Trieste, he wrote an invective against Roberts, "Gas from a Burner". He never went to Dublin again. Publication of Dubliners and A Portrait Joyce's fortunes changed for the better 1913 when Richards agreed to publish Dubliners. It was issued on 15 June 1914, eight and a half years since Joyce had first submitted it to him. Around the same time, he found an unexpected advocate in Ezra Pound, who was living in London. On the advice of Yeats, Pound wrote to Joyce asking if he could include a poem from Chamber Music, "I Hear an Army Charging upon the Land" in the journal Des Imagistes. They struck up a correspondence that lasted until the late 1930s. Pound became Joyce's promoter, helping ensure that Joyce's works were both published and publicized. After Pound persuaded Dora Marsden to serially publish A Portrait of the Artist as a Young Man in the London literary magazine The Egoist, Joyce's pace of writing increased. He completed A Portrait of the Artist as a Young Man by 1914; resumed Exiles, completing it in 1915; started the novelette Giacomo Joyce, which he eventually abandoned; and began drafting Ulysses. In August 1914, World War I broke out. Although Joyce and Stanislaus were subjects of the United Kingdom, which was now at war with Austria-Hungary, they remained in Trieste. Even when Stanislaus, who had publicly expressed his sympathy for the Triestine irredentists, was interned at the beginning of January 1915, Joyce chose to stay. In May 1915, Italy declared war on Austria-Hungary, and less than a month later Joyce took his family to Zürich in neutral Switzerland. 1915–1920: Zürich and Trieste Zürich Joyce arrived in Zürich as a double exile: he was an Irishman with a British passport and a Triestine on parole from Austria-Hungary. To get to Switzerland, he had to promise the Austro-Hungarian officials that he would not help the Allies during the war, and he and his family had to leave almost all of their possessions in Trieste. During the war, he was kept under surveillance by both the English and Austro-Hungarian secret service. Joyce's first concern was earning a living. One of Nora's relatives sent them a small sum to cover the first few months. Pound and Yeats worked with the British government to provide a stipend from the Royal Literary Fund in 1915 and a grant from the British civil list the following year. Eventually, Joyce received large regular sums from the editor Harriet Shaw Weaver, who operated The Egoist, and the psychotherapist Edith Rockefeller McCormick, who lived in Zürich studying under Carl Jung. Weaver financially supported Joyce throughout the entirety of his life and even paid for his funeral. Between 1917 and the beginning of 1919, Joyce was financially secure and lived quite well; the family sometimes stayed in Locarno in the Italian-speaking region of Switzerland. But health problems remained a constant issue. During their time in Zürich, both Joyce and Nora suffered illnesses that were diagnosed as "nervous breakdowns" and he had to undergo many eye surgeries. Ulysses During the war, Zürich was the centre of a vibrant expatriate community. Joyce's regular evening hangout was the Cafe Pfauen, where he got to know a number of the artists living in the city at the time, including the sculptor August Suter and the painter Frank Budgen. He often used the time spent with them as material for Ulysses. He made the acquaintance of the writer Stefan Zweig, who organised the premiere of Exiles in Munich in August 1919. He became aware of Dada, which was coming into its own at the Cabaret Voltaire. He may have even met the Marxist theoretician and revolutionary Vladimir Lenin at the Cafe Odeon, a place they both frequented. Joyce kept up his interest in music. He met Ferruccio Busoni, staged music with Otto Luening, and learned music theory from Philipp Jarnach. Much of what Joyce learned about musical notation and counterpoint found its way into Ulysses, particularly the "Sirens" section. Joyce avoided public discussion of the war's politics and maintained a strict neutrality. He made few comments about the 1916 Easter Rising in Ireland; although he was sympathetic to the Irish independence movement, he disagreed with its violence. He stayed intently focused on Ulysses and the ongoing struggle to get his work published. Some of the serial instalments of "The Portrait of the Artist as a Young Man" in The Egoist had been censored by the printers, but the entire novel was published by B. W. Huebsch in 1916. In 1918, Pound got a commitment from Margaret Caroline Anderson, the owner and editor of the New York-based literary magazine The Little Review, to publish Ulysses serially. The English Players Joyce co-founded an acting company, the English Players, and became its business manager. The company was pitched to the British government as a contribution to the war effort, and mainly staged works by Irish playwrights, such as Oscar Wilde, George Bernard Shaw, and John Millington Synge. For Synge's Riders to the Sea, Nora played a principal role and Joyce sang offstage, which he did again when Robert Browning's In a Balcony was staged. He hoped the company would eventually stage his play, Exiles, but his participation in the English Players declined in the wake of the Great Influenza epidemic of 1918, though the company continued until 1920. Joyce's work with the English Players involved him in a lawsuit. Henry Wilfred Carr, a wounded war veteran and British consul, accused Joyce of underpaying him for his role in The Importance of Being Earnest. Carr sued for compensation; Joyce countersued for libel. When the cases were settled in 1919, Joyce won the compensation case but lost the one for libel. The incident ended up creating acrimony between the British consulate and Joyce for the rest of his time in Zürich. Third stay in Trieste By 1919, Joyce was in financial straits again. McCormick stopped paying her stipend, partly because he refused to submit to psychoanalysis from Jung, and Zürich had become expensive to live in after the war. Furthermore, he was becoming isolated as the city's emigres returned home. In October 1919, Joyce's family moved back to Trieste, but it had changed. The Austro-Hungarian empire had ceased to exist, and Trieste was now an Italian city in post-war recovery. Eight months after his return, Joyce went to Sirmione, Italy, to meet Pound, who made arrangements for him to move to Paris. Joyce and his family packed their belongings and headed for Paris in June 1920. 1920–1941: Paris and Zürich Paris When Joyce and his family arrived in Paris in July 1920, their visit was intended to be a layover on their way to London. In the first month, Joyce made the acquaintance of Sylvia Beach, who ran the Rive Gauche bookshop, Shakespeare and Company. Beach quickly became an important person in Joyce's life, providing financial support, and becoming one of Joyce's publishers. Through Beach and Pound, Joyce quickly joined the intellectual circle of Paris and was integrated into the international modernist artist community. Joyce met Valery Larbaud, who championed Joyce's works to the French and supervised the French translation of Ulysses. Paris became the Joyces' regular residence for twenty years, though they never settled into a single location for long. Publication of Ulysses Joyce finished writing Ulysses near the end of 1921, but had difficulties getting it published. With financial backing from the lawyer John Quinn, Margaret Anderson and her co-editor Jane Heap had begun serially publishing it in
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daughter, Lucia. When France was occupied by Germany during World War II, Joyce moved back to Zürich in 1940. He died there in 1941 after surgery for a perforated ulcer, less than one month before his 59th birthday. Ulysses frequently ranks high in lists of great books of literature, and the academic literature analysing his work is extensive and ongoing. Many writers, film-makers and other artists have been influenced by his stylistic innovations, such as his meticulous attention to detail, use of interior monologue, wordplay, and the radical transformation of traditional plot and character development. Though most of his adult life was spent abroad, his fictional universe centres on Dublin and is largely populated by characters who closely resemble family members, enemies and friends from his time there. Ulysses in particular is set in the streets and alleyways of the city. Joyce is quoted as saying, "For myself, I always write about Dublin, because if I can get to the heart of Dublin I can get to the heart of all the cities of the world. In the particular is contained the universal." Early life Joyce was born on 2 February 1882 at 41 Brighton Square, Rathgar, Dublin, Ireland, to John Stanislaus Joyce and Mary Jane "May" ( Murray). He was the eldest of ten surviving siblings. He was baptised with the name James Augustine Joyce according to the rites of the Roman Catholic Church in the nearby St Joseph's Church in Terenure on 5 February 1882 by Rev. John O'Mulloy. His godparents were Philip and Ellen McCann. John Stanislaus Joyce's family came from Fermoy in County Cork, where they had owned a small salt and lime works. Joyce's paternal grandfather, James Augustine, married Ellen O'Connell, daughter of John O'Connell, a Cork alderman who owned a drapery business and other properties in Cork City. Ellen's family claimed kinship with the political leader Daniel O'Connell, who had helped secure the Catholic emancipation for the Irish in 1829. The Joyce family's purported ancestor, Seán Mór Seoighe was a stonemason from Connemara. Joyce's father was appointed rate collector by Dublin Corporation in 1887. The family then moved to the fashionable small town of Bray, from Dublin. Joyce was attacked by a dog around this time, leading to his lifelong fear of dogs. He later developed a fear of thunderstorms, which he acquired through a superstitious aunt who had described them as a sign of God's wrath. In 1891, nine-year-old Joyce wrote the poem "Et Tu, Healy" on the death of Charles Stewart Parnell that his father printed and distributed to friends. The poem expressed the sentiments of the elder Joyce, who was angry at Parnell's apparent betrayal by the Irish Catholic Church, the Irish Parliamentary Party, and the British Liberal Party that resulted in a collaborative failure to secure Irish Home Rule in the British Parliament. This sense of betrayal, particularly by the church, left a lasting impression that Joyce expressed in his life and art. In the same year, Joyce's family began to slide into poverty, worsened by his father's drinking and financial mismanagement. John Joyce's name was published in Stubbs' Gazette, a blacklist of debtors and bankrupts, in November 1891, and he was temporarily suspended from work. In January 1893, he was dismissed with a reduced pension. Joyce began his education in 1888 at Clongowes Wood College, a Jesuit boarding school near Clane, County Kildare, but had to leave in 1892 when his father could no longer pay the fees. He studied at home and briefly attended the Christian Brothers O'Connell School on North Richmond Street, Dublin. Joyce's father then had a chance meeting with the Jesuit priest John Conmee, who knew the family. Conmee arranged for Joyce and his brother Stanislaus to attend the Jesuits' Dublin school, Belvedere College, without fees starting in 1893. In 1895, Joyce, now aged 13, was elected by his peers to join the Sodality of Our Lady. Joyce spent five years at Belvedere, his intellectual formation guided by the principles of Jesuit education laid down in the Ratio Studiorum (Plan of Studies). He displayed his writing talent by winning first place for English composition in his final two years before graduating in 1898. University years Joyce enrolled at University College in 1898 to study English, French and Italian. While there, he was exposed to the scholasticism of Thomas Aquinas, which had a strong influence on his thought for the rest of his life. He participated in many of Dublin's theatrical and literary circles. His closest colleagues included leading Irish figures of his generation, most notably, George Clancy, Tom Kettle and Francis Sheehy-Skeffington. Many of the acquaintances he made at this time appeared in his work. His first publication— a laudatory review of Henrik Ibsen's When We Dead Awaken—was printed in The Fortnightly Review in 1900. Inspired by Ibsen's works, Joyce sent him a fan letter in Norwegian and wrote a play, A Brilliant Career, which he later destroyed. In 1901 the National Census of Ireland listed Joyce as a 19-year-old Irish- and English-speaking unmarried student living with his parents, six sisters and three brothers at Royal Terrace (now Inverness Road) in Clontarf, Dublin. During this year he became friends with Oliver St. John Gogarty, the model for Buck Mulligan in Ulysses. In November, Joyce wrote an article, The Day of the Rabblement, criticising the Irish Literary Theatre for its unwillingness to produce the works of playwrights like Ibsen, Leo Tolstoy, and Gerhart Hauptmann. He protested against nostalgic Irish populism and argued for an outward-looking, cosmopolitan literature. Because he mentioned Gabriele D'Annunzio's novel, (The Flame), which was on the Roman Catholic list of prohibited books, his college magazine refused to print it. Joyce and Sheehy-Skeffington—who had also had an article rejected—had their essays jointly printed and distributed. Arthur Griffith decried the censorship of Joyce's work in his newspaper United Irishman. Joyce graduated from University College in October 1902. He considered studying medicine and began attending lectures at the Catholic University Medical School in Dublin. When the medical school refused to provide a tutoring position to help finance his education, he left Dublin to study medicine in Paris, where he received permission to attend the course for a certificate in physics, chemistry, and biology at the École de Médecine. By the end of January 1903, he had given up plans to study medicine. But he stayed in Paris, often reading late in the Bibliothèque Sainte-Geneviève. He frequently wrote home claiming ill health due to the water, the cold weather, and his change of diet, appealing for money his family could ill-afford. Post-university years in Dublin In April 1903, Joyce learned his mother was dying and immediately returned to Ireland. He would tend to her, reading aloud from drafts that would eventually be worked into his unfinished novel Stephen Hero. During her final days, she unsuccessfully tried to get him to make his confession and to take communion. She died on 13 August. Afterwards, Joyce and Stanislaus refused to kneel with other members of the family praying at her bedside. John Joyce's drinking and abusiveness increased in the months following her death, and the family began to fall apart. Joyce spent much of his time carousing with Gogarty and his medical school colleagues, and tried to scrape together a living by reviewing books. Joyce's life began to change when he met Nora Barnacle on 10 June 1904. She was a twenty-year-old woman from Galway city, who was working in Dublin as a chambermaid. They had their first outing together on 16 June 1904, walking through the Dublin suburb of Ringsend, where Nora masturbated him. This event was commemorated as the date for the action of Ulysses, known in popular culture as "Bloomsday" in honour of the novel's main character Leopold Bloom. This began a relationship that continued for thirty-seven years until Joyce died. Soon after this outing, Joyce, who had been carousing with his colleagues, approached a young woman in St Stephen's Green and was beaten up by her companion. He was picked up and dusted off by an acquaintance of his father's, Alfred H. Hunter, who took him into his home to tend to his injuries. Hunter, who was rumoured to be a Jew and to have an unfaithful wife, became one of the models for Leopold Bloom, the protagonist of Ulysses. Joyce was a talented tenor and explored becoming a musical performer. On 8 May 1904, he was a contestant in the Feis Ceoil, an Irish music competition for promising composers, instrumentalists and singers. In the months before the contest, Joyce took singing lessons with two voice instructors, Benedetto Palmieri and Vincent O'Brien. He paid the entry fee by pawning some of his books. For the contest, Joyce had to sing three songs. He did well with the first two, but when he was told he had to sight read the third, he refused. Joyce won the third-place medal anyway. After the contest, Palmieri wrote Joyce that Luigi Denza, the composer of the popular song Funiculì, Funiculà who was the judge for the contest, spoke highly of his voice and would have given him first place but for the sight-reading and lack of sufficient training. Palmieri even offered to give Joyce free singing lessons afterwards. Joyce refused the lessons, but kept singing in Dublin concerts that year. His performance at a concert given on 27 August may have solidified Nora's devotion to him. Throughout 1904, Joyce sought to develop his literary reputation. On 7 January he attempted to publish a prose work examining aesthetics called A Portrait of the Artist, but it was rejected by the intellectual journal Dana. He then reworked it into a fictional novel of his youth that he called Stephen Hero that he labored over for years but eventually abandoned. He wrote a satirical poem called "The Holy Office", which parodied William Butler Yeats's poem "To Ireland in the Coming Times" and once more mocked the Irish Literary Revival. It too was rejected for publication; this time for being "unholy". He wrote the collection of poems Chamber Music at this time; which was also rejected. He did publish three poems, one in Dana and two in The Speaker, and George William Russell published three of Joyce's short stories in the Irish Homestead. These stories—"The Sisters", "Eveline" and "After the Race"—were the beginnings of Dubliners. In September 1904, Joyce was having difficulties finding a place to live and moved into a Martello tower near Dublin, which Gogarty was renting. Within a week, Joyce left when Gogarty and another roommate, Dermot Chenevix Trench, fired a pistol in the middle of the night at some pans hanging directly over Joyce's bed. With the help of funds from Lady Gregory and a few other acquaintances, Joyce and Nora left Ireland less than a month later. 1904–1906: Zürich, Pola and Trieste Zürich and Pola In October 1904, Joyce and Nora went into self-imposed exile. They briefly stopped in London and Paris to secure funds before heading on to Zürich. Joyce had been informed through an agent in England that there was a vacancy at the Berlitz Language School there, but when he arrived there was no position. The couple stayed in Zürich for a little over a week. The director of the school sent Joyce on to Trieste, which was part of the Austro-Hungarian Empire until the First World War. There was no vacancy there either. The director of the school in Trieste, Almidano Artifoni, secured a position for him in Pola, then Austria-Hungary's major naval base, where he mainly taught English to naval officers. Less than one month after the couple had left Ireland, Nora had already become pregnant. Joyce soon became close friends with Alessandro Francini Bruni, the director of the school at Pola, and his wife Clothilde. By the beginning of 1905, both families were living together. Joyce kept writing when he could. He completed a short story for Dubliners, "Clay", and worked on his novel Stephen Hero. He disliked Pola, calling it a "back-of-God-speed place—a naval Siberia", and soon as a job became available, he went to Trieste. First stay in Trieste When 23 year-old Joyce first moved to Trieste in March 1905, he immediately started teaching English at the Berlitz school. By June, Joyce felt financially secure enough to have his satirical poem "Holy Office" printed and asked Stanislaus to distribute copies to his former associates in Dublin. After Nora gave birth to their first child, Giorgio, on 27 July 1905, Joyce convinced Stanislaus to move to Trieste and got a position for him at the Berlitz school. Stanislaus moved in with Joyce as soon as he arrived in October, and most of his salary went directly to supporting Joyce's family. In February 1906, the Joyce household once more shared an apartment with the Francini Brunis. Joyce kept writing despite all these changes. He completed 24 chapters of Stephen Hero and all but the final story of Dubliners. But he was unable to get Dubliners in press. Though the London publisher Grant Richards had contracted with Joyce to publish it, the printers were unwilling to print passages they found controversial because English law could hold them liable if they were brought to court for indecent language. Richards and Joyce went back and forth trying to find a solution where the book could avoid legal liability while preserving Joyce's sense of artistic integrity. As they continued to negotiate, Richards began to scrutinise the stories more carefully. He became concerned that the book might damage his publishing house's reputation and eventually backed down from his agreement. Trieste was Joyce's main residence until 1920. Although he would temporarily leave the city—briefly staying in Rome, travelling to Dublin and emigrating to Zürich during World War I— it became a second Dublin for him and played an important role in his development as a writer. He completed the Dubliners, reworked Stephen Hero into Portrait of the Artist as a Young Man, wrote his only published play Exiles, and decided to make Ulysses a full-length novel as he created his notes and jottings for the work. He worked out the characters of Leopold and Molly Bloom in Trieste. Many of the novel's details were taken from Joyce's observation of the city and its people, and some of its stylistic innovations appear to have been influenced by Futurism. There are even words of the Triestine dialect in Finnegans Wake. 1906–1915: Rome, Trieste, and sojourns to Dublin Rome In late May 1906, the head of the Berlitz school ran away after embezzling its funds. Artifoni took over the school but let Joyce know that he could only afford to keep one brother on. Tired of Trieste and discouraged that he could not get a publisher for Dubliners, Joyce found an advertisement for a correspondence clerk in a Roman bank that paid twice his current salary. He was hired for the position, and went to Rome at the end of July. Joyce felt he accomplished very little during his brief stay in Rome, but it had a large impact on his writing. Though his new job took up most of his time, he revised the Dubliners and worked on Stephen Hero. Rome was the birthplace of the idea for "The Dead", which would become the final story of Dubliners, and for Ulysses, which was originally conceived as a short story. His stay in the city was one his inspirations for Exiles. While there, he read the socialist historian Guglielmo Ferrero in depth. Ferrero's anti-heroic interpretations of history, arguments against militarism, and conflicted attitudes toward Jews would find their way into Ulysses, particularly in the character of Leopold Bloom. In London, Elkin Mathews published Chamber Music on the recommendation of the British poet Arthur Symons. Nonetheless, Joyce was dissatisfied with his job, had exhausted his finances, and realised he'd need additional support when he learned Nora was pregnant again. He left Rome after only seven months. Second stay in Trieste Joyce returned to Trieste in March 1907, but was unable to find full-time work. He went back to being an English instructor, working part time for Berlitz and giving private lessons. The author Ettore Schmitz, better known by pen name Italo Svevo, was one of his students. Svevo was a Catholic of Jewish origin who became one of the models for Leopold Bloom. Joyce learned much of what knew about Judaism from him. The two become lasting friends and mutual critics. Svevo supported Joyce's identity as an author, helping him work through his writer's block with Portrait of the Artist as a Young Man. Roberto Prezioso, editor of the Italian newspaper Piccolo della Sera, was another of Joyce's students. He helped Joyce financially by commissioning him to write for the newspaper. Joyce quickly produced three articles aimed toward the Italian irredentists in Trieste. He indirectly paralleled their desire for independence from Austria-Hungary with the struggle of the Irish from British rule. Joyce earned additional money by giving a series of lectures on Ireland and the arts at Trieste's Università Popolare. In May, Joyce was struck by an attack of rheumatic fever, which left him incapacitated for weeks. The illness exacerbated eye problems that plagued him for the rest of his life. While Joyce was still recovering from the attack, Lucia was born on 26 July 1907. During his convalescence, he was able to finish "The Dead", the last story of Dubliners. Although a heavy drinker, Joyce gave up alcohol for a period in 1908. He reworked Stephen Hero as the more concise and interior A Portrait of the Artist as a Young Man. He completed the third chapter by April and translated John Millington Synge's Riders to the Sea into Italian with the help of Nicolò Vidacovich. He even took singing lessons again. Joyce had been looking for an English publisher for Dubliners but was unable to find one, so he submitted it to a Dublin publisher, Maunsel and Company, owned by George Roberts. Visits to Dublin In July 1909, Joyce received a year's advance payment from one of his students and returned to Ireland to introduce Georgio to both sides of the family (his own in Dublin and Nora's in Galway). He unsuccessfully applied for the position of Chair of Italian at his alma mater, which had become University College Dublin. He met with Roberts, who seemed positive about publishing the Dubliners. He returned to Trieste in September with his sister Eva, who helped Nora run the home. Joyce only stayed in Trieste for a month, as he almost immediately came upon the idea of starting a cinema in Dublin, which unlike Trieste had none. He quickly got the backing of some Triestine business men and returned to Dublin in October, launching Ireland's first cinema, the Volta Cinematograph. It was initially well-received, but fell apart after Joyce left. He returned to Trieste in January 1910 with another sister, Eileen. From 1910 to 1912, Joyce still lacked a reliable income. This brought his conflicts with Stanislaus, who was frustrated with lending him money, to their peak. In 1912, Joyce once more lectured at the Università Popolare on various topics in English literature and applied for a teaching diploma in English at the University of Padua. He performed very well on the qualification tests, but was denied because Italy did not recognise his Irish degree. In 1912, Joyce and his family returned to Dublin briefly in the summer. While there, his three-year-long struggle with Roberts over the publication of Dubliners came to an end as Roberts refused to publish the book due to concerns of libel. Roberts had the printed sheets destroyed, though Joyce was able to obtain a copy of the proof sheets. When Joyce returned to Trieste, he wrote an invective against Roberts, "Gas from a Burner". He never went to Dublin again. Publication of Dubliners and A Portrait Joyce's fortunes changed for the better 1913 when Richards agreed to publish Dubliners. It was issued on 15 June 1914, eight and a half years since Joyce had first submitted it to him. Around the same time, he found an unexpected advocate in Ezra Pound, who was living in London. On the advice of Yeats, Pound wrote to Joyce asking if he could include a poem from Chamber Music, "I Hear an Army Charging upon the Land" in the journal Des Imagistes. They struck up a correspondence that lasted until the late 1930s. Pound became Joyce's promoter, helping ensure that Joyce's works were both published and publicized. After Pound persuaded Dora Marsden to serially publish A Portrait of the Artist as a Young Man in the London literary magazine The Egoist, Joyce's pace of writing increased. He completed A Portrait of the Artist as a Young Man by 1914; resumed Exiles, completing it in 1915; started the novelette Giacomo Joyce, which he eventually abandoned; and began drafting Ulysses. In August 1914, World War I broke out. Although Joyce and Stanislaus were subjects of the United Kingdom, which was now at war with Austria-Hungary, they remained in Trieste. Even when Stanislaus, who had publicly expressed his sympathy for the Triestine irredentists, was interned at the beginning of January 1915, Joyce chose to stay. In May 1915, Italy declared war on Austria-Hungary, and less than a month later Joyce took his family to Zürich in neutral Switzerland. 1915–1920: Zürich and Trieste Zürich Joyce arrived in Zürich as a double exile: he was an Irishman with a British passport and a Triestine on parole from Austria-Hungary. To get to Switzerland, he had to promise the Austro-Hungarian officials that he would not help the Allies during the war, and he and his family had to leave almost all of their possessions in Trieste. During the war, he was kept under surveillance by both the English and Austro-Hungarian secret service. Joyce's first concern was earning a living. One of Nora's relatives sent them a small sum to cover the first few months. Pound and Yeats worked with the British government to provide a stipend from the Royal Literary Fund in 1915 and a grant from the British civil list the following year. Eventually, Joyce received large regular sums from the editor Harriet Shaw Weaver, who operated The Egoist, and the psychotherapist Edith Rockefeller McCormick, who lived in
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the throw up to the point of kake. Traditionally, nage-waza are further categorised into , throws that are performed with tori maintaining an upright position, and , throws in which tori sacrifices his upright position in order to throw uke. Tachi-waza are further subdivided into , in which tori predominantly uses his arms to throw uke; throws that predominantly use a lifting motion from the hips; and , throws in which tori predominantly utilises his legs. Katame-waza (grappling techniques) Katame-waza is further categorised into , in which tori traps and pins uke on his back on the floor; , in which tori attempts to force a submission by choking or strangling uke; and , in which tori attempts to submit uke by painful manipulation of his joints. A related concept is that of , in which waza are applied from a non-standing position. In competitive judo, Kansetsu-waza is currently limited to elbow joint manipulation. Manipulation and locking of other joints can be found in various kata, such as Katame-no-kata and Kodokan goshin jutsu. Atemi-waza (striking techniques) Atemi-waza are techniques in which tori disables uke with a strike to a vital point. Atemi-waza are not permitted outside of kata. Pedagogy Randori (free practice) Judo pedagogy emphasizes . This term covers a variety of forms of practice, and the intensity at which it is carried out varies depending on intent and the level of expertise of the participants. At one extreme, is a compliant style of randori, known as , in which neither participant offers resistance to their partner's attempts to throw. A related concept is that of , in which an experienced judoka allows himself to be thrown by his less-experienced partner. At the opposite extreme from yakusoku geiko is the hard style of randori that seeks to emulate the style of judo seen in competition. While hard randori is the cornerstone of judo, over-emphasis of the competitive aspect is seen as undesirable by traditionalists if the intent of the randori is to "win" rather than to learn. Kata (forms) are pre-arranged patterns of techniques and in judo, with the exception of the Seiryoku-Zen'yō Kokumin-Taiiku, they are all practised with a partner. Their purposes include illustrating the basic principles of judo, demonstrating the correct execution of a technique, teaching the philosophical tenets upon which judo is based, allowing for the practice of techniques that are not allowed in randori, and to preserve ancient techniques that are historically important but are no longer used in contemporary judo. There are ten kata that are recognized by the Kodokan today: , comprising two kata: Fifteen throws, practiced both left- and right-handed, three each from the five categories of nage waza: te waza, koshi waza, ashi waza, ma sutemi waza and yoko sutemi waza. . Fifteen techniques in three sets of five, illustrating the three categories of katame waza: osaekomi waza, shime waza and kansetsu waza. . Twenty techniques, illustrating the principles of defence in a combat situation, performed from kneeling and standing positions. Attacks are made unarmed and armed with a dagger and a sword. This kata utilises atemi waza, striking techniques, that are forbidden in randori. . The most recent recognised kata, comprising twenty-one techniques of defence against attack from an unarmed assailant and one armed with a knife, stick and pistol. This kata incorporates various jujutsu techniques such as wrist locks and atemi waza. . Fifteen techniques, arranged in three sets of five, demonstrating the principle of Jū and its correct use in offence and defence. . One of the oldest kata, comprising ten forms that illustrate the efficient use of force and resistance. Now rarely practiced. . An advanced kata, illustrating the principle of seiryoku zen'yō and the movements of the universe. The kata predates the creation of Kodokan and originated in Tenjin Shinyō-ryū. . Derived from Kitō-ryū Jujutsu, this kata was originally intended to be performed wearing armour. Kano chose to preserve it as it embodied the principles of judo. . A series of exercises designed to develop the physique for judo. . An exercise completed in 1943, and of which the development was ordered by Jiro Nango, the second Kodokan president. In addition, there are a number of commonly practiced kata that are not recognised by the Kodokan. Some of the more common kata include: A kata of counter techniques developed at Waseda University in Tokyo, popularised in the West by Mikinosuke Kawaishi. Another kata of counter techniques, created by Kyuzo Mifune. a kata of counter-attacks to controlling techniques, attributed to Kazuo Itō Tandoku-renshu (practice by oneself) Personal work. Competitive judo History is a vitally important aspect of judo. In 1899, Kano was asked to chair a committee of the Dai Nippon Butoku Kai to draw up the first formal set of contest rules for jujutsu. These rules were intended to cover contests between different various traditional schools of jujutsu as well as practitioners of Kodokan judo. Contests were 15 minutes long and were judged on the basis of nage waza and katame waza, excluding atemi waza. Wins were by two ippons, awarded in every four-main different path of winning alternatives, by "Throwing", where the opponent's back strikes flat onto the mat with sufficient force, by "Pinning" them on their back for a "sufficient" amount of time, or by "Submission", which could be achieved via Shime-waza or Kansetsu-waza, in which the opponent was forced to give himself or herself up or summon a referee's or corner-judge's stoppage. Finger, toe and ankle locks were prohibited. In 1900, these rules were adopted by the Kodokan with amendments made to prohibit all joint locks for kyu grades and added wrist locks to the prohibited kansetsu-waza for dan grades. It was also stated that the ratio of tachi-waza to ne-waza should be between 70% to 80% for kyu grades and 60% to 70% for dan grades. In 1916, additional rulings were brought in to further limit kansetsu waza with the prohibition of ashi garami and neck locks, as well as do jime. These were further added to in 1925. Jigoro Kano for a long time wished to see judo as an Olympic discipline. The first time judo was seen in the Olympic Games was in an informal demonstration hosted by Kano at the 1932 Games. However, Kano was ambivalent about judo's potential inclusion as an Olympic sport: At the 57th general session of the International Olympic Committee, held in Rome on 22 August 1960, the IOC members formally decided to include Judo among the events to be contested at the Olympic Games. The proposal, which was placed before the session by the Japanese delegation, was welcomed by all participants. The few who opposed had nothing against Judo itself but against increasing the number of Olympic events as a whole. There were only two dissenting votes in the final poll. For the first time in history a traditional Japanese sport has been included in the Olympic competition. Finally, judo was first contested as an Olympic sport for men in the 1964 Games in Tokyo. The Olympic Committee initially dropped judo for the 1968 Olympics, meeting protests. Dutchman Anton Geesink won the first Olympic gold medal in the open division of judo by defeating Akio Kaminaga of Japan. The women's event was introduced at the Olympics in 1988 as a demonstration event, and an official medal event in 1992. Judo was introduced as a Paralympic sport at the 1988 Summer Paralympics in Seoul, with women's events contested for the first time at 2004 Summer Paralympics. Judo was an optional sport included in the 3 editions of the Commonwealth Games: 1990 Commonwealth Games in Auckland, 2002 Commonwealth Games in Manchester and 2014 Commonwealth Games in Glasgow. From 2022, Judo will become a core sport in the 22nd edition of the Commonwealth Games, in Birmingham. Current international contest rules Penalties may be given for: passivity or preventing progress in the match; for safety infringements for example by using prohibited techniques, or for behavior that is deemed to be against the spirit of judo. Fighting must be stopped if a participant is outside the designated area on the mat. Weight divisions There are currently seven weight divisions, subject to change by governing bodies, and may be modified based on the age of the competitors: Competition scoring A throw that places the opponent on their back with impetus and control scores an , winning the contest. A lesser throw, where the opponent is thrown onto his back, but with insufficient force to merit an ippon, scores a . Two scores of waza-ari equal an ippon . This rule was cancelled in 2017, but it was resumed in 2018. Formerly, a throw that places the opponent onto his side scores a . In 2017, the International Judo Federation announced changes in evaluation of points. There will only be ippon and waza-ari scores given during a match with yuko scores now included within waza-ari. Ippon is scored in ne-waza for pinning an opponent on his back with a recognised osaekomi-waza for 20 seconds or by forcing a submission through shime-waza or kansetsu-waza. A submission is signalled by tapping the mat or the opponent at least twice with the hand or foot, or by saying . A pin lasting for less than 20 seconds, but more than 10 seconds scores waza-ari (formerly waza-ari was awarded for holds of longer than 15 seconds and yuko for holds of longer than 10 seconds). Formerly, there was an additional score that was lesser to yuko, that of . This has since been removed. If the scores are identical at the end of the match, the contest is resolved by the Golden Score rule. Golden Score is a sudden death situation where the clock is reset to match-time, and the first contestant to achieve any score wins. If there is no score during this period, then the winner is decided by , the majority opinion of the referee and the two corner judges. There have been changes to the scoring. In January 2013, the Hantei was removed and the "Golden Score" no longer has a time limit. The match would continue until a judoka scored through a technique or if the opponent is penalised (Hansoku-make). Penalties Two types of penalties may be awarded. A shido (指導 literally "guidance") is awarded for minor rule infringements. A shido can also be awarded for a prolonged period of non-aggression. Recent rule changes allow for the first shidos to result in only warnings. If there is a tie, then and only then, will the number of shidos (if less than three) be used to determine the winner. After three shidos are given, the victory is given to the opponent, constituting an indirect hansoku-make (反則負け literally "foul-play defeat"), but does not result in expulsion from the tournament. Note: Prior to 2017, the 4th shido was hansoku-make. If hansoku-make is awarded for a major rule infringement, it results not just in loss of the match, but in the expulsion from the tournament of the penalized player. In mixed martial arts A number of judo practitioners have made an impact in mixed martial arts. Notable judo-trained MMA fighters include Olympic medalists Hidehiko Yoshida (Gold, 1992), Naoya Ogawa (Silver, 1992), Paweł Nastula (Gold, 1996), Makoto Takimoto (Gold, 2000), Satoshi Ishii (Gold, 2008), Ronda Rousey (Bronze, 2008), and Kayla Harrison (Gold, 2012 and 2016), former Russian national judo championship Bronze medalist Fedor Emelianenko, Yoshihiro Akiyama, Don Frye, Rick Hawn, Daniel Kelly, Hector Lombard, Karo Parisyan, Ayaka Hamasaki, Antônio Silva, Oleg Taktarov, and Dong-Sik Yoon. Alternative rulesets and derivative martial arts Kano Jigoro's Kodokan judo is the most popular and well-known style of judo, but is not the only one. The terms judo and jujutsu were quite interchangeable in the early years, so some of these forms of judo are still known as jujutsu or jiu-jitsu either for that reason, or simply to differentiate them from mainstream judo. From Kano's original style of judo, several related forms have evolved—some now widely considered to be distinct arts: : Sometimes erroneously described as a separate style of Judo, Kosen judo is a competition rules set of Kodokan judo that
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te waza, koshi waza, ashi waza, ma sutemi waza and yoko sutemi waza. . Fifteen techniques in three sets of five, illustrating the three categories of katame waza: osaekomi waza, shime waza and kansetsu waza. . Twenty techniques, illustrating the principles of defence in a combat situation, performed from kneeling and standing positions. Attacks are made unarmed and armed with a dagger and a sword. This kata utilises atemi waza, striking techniques, that are forbidden in randori. . The most recent recognised kata, comprising twenty-one techniques of defence against attack from an unarmed assailant and one armed with a knife, stick and pistol. This kata incorporates various jujutsu techniques such as wrist locks and atemi waza. . Fifteen techniques, arranged in three sets of five, demonstrating the principle of Jū and its correct use in offence and defence. . One of the oldest kata, comprising ten forms that illustrate the efficient use of force and resistance. Now rarely practiced. . An advanced kata, illustrating the principle of seiryoku zen'yō and the movements of the universe. The kata predates the creation of Kodokan and originated in Tenjin Shinyō-ryū. . Derived from Kitō-ryū Jujutsu, this kata was originally intended to be performed wearing armour. Kano chose to preserve it as it embodied the principles of judo. . A series of exercises designed to develop the physique for judo. . An exercise completed in 1943, and of which the development was ordered by Jiro Nango, the second Kodokan president. In addition, there are a number of commonly practiced kata that are not recognised by the Kodokan. Some of the more common kata include: A kata of counter techniques developed at Waseda University in Tokyo, popularised in the West by Mikinosuke Kawaishi. Another kata of counter techniques, created by Kyuzo Mifune. a kata of counter-attacks to controlling techniques, attributed to Kazuo Itō Tandoku-renshu (practice by oneself) Personal work. Competitive judo History is a vitally important aspect of judo. In 1899, Kano was asked to chair a committee of the Dai Nippon Butoku Kai to draw up the first formal set of contest rules for jujutsu. These rules were intended to cover contests between different various traditional schools of jujutsu as well as practitioners of Kodokan judo. Contests were 15 minutes long and were judged on the basis of nage waza and katame waza, excluding atemi waza. Wins were by two ippons, awarded in every four-main different path of winning alternatives, by "Throwing", where the opponent's back strikes flat onto the mat with sufficient force, by "Pinning" them on their back for a "sufficient" amount of time, or by "Submission", which could be achieved via Shime-waza or Kansetsu-waza, in which the opponent was forced to give himself or herself up or summon a referee's or corner-judge's stoppage. Finger, toe and ankle locks were prohibited. In 1900, these rules were adopted by the Kodokan with amendments made to prohibit all joint locks for kyu grades and added wrist locks to the prohibited kansetsu-waza for dan grades. It was also stated that the ratio of tachi-waza to ne-waza should be between 70% to 80% for kyu grades and 60% to 70% for dan grades. In 1916, additional rulings were brought in to further limit kansetsu waza with the prohibition of ashi garami and neck locks, as well as do jime. These were further added to in 1925. Jigoro Kano for a long time wished to see judo as an Olympic discipline. The first time judo was seen in the Olympic Games was in an informal demonstration hosted by Kano at the 1932 Games. However, Kano was ambivalent about judo's potential inclusion as an Olympic sport: At the 57th general session of the International Olympic Committee, held in Rome on 22 August 1960, the IOC members formally decided to include Judo among the events to be contested at the Olympic Games. The proposal, which was placed before the session by the Japanese delegation, was welcomed by all participants. The few who opposed had nothing against Judo itself but against increasing the number of Olympic events as a whole. There were only two dissenting votes in the final poll. For the first time in history a traditional Japanese sport has been included in the Olympic competition. Finally, judo was first contested as an Olympic sport for men in the 1964 Games in Tokyo. The Olympic Committee initially dropped judo for the 1968 Olympics, meeting protests. Dutchman Anton Geesink won the first Olympic gold medal in the open division of judo by defeating Akio Kaminaga of Japan. The women's event was introduced at the Olympics in 1988 as a demonstration event, and an official medal event in 1992. Judo was introduced as a Paralympic sport at the 1988 Summer Paralympics in Seoul, with women's events contested for the first time at 2004 Summer Paralympics. Judo was an optional sport included in the 3 editions of the Commonwealth Games: 1990 Commonwealth Games in Auckland, 2002 Commonwealth Games in Manchester and 2014 Commonwealth Games in Glasgow. From 2022, Judo will become a core sport in the 22nd edition of the Commonwealth Games, in Birmingham. Current international contest rules Penalties may be given for: passivity or preventing progress in the match; for safety infringements for example by using prohibited techniques, or for behavior that is deemed to be against the spirit of judo. Fighting must be stopped if a participant is outside the designated area on the mat. Weight divisions There are currently seven weight divisions, subject to change by governing bodies, and may be modified based on the age of the competitors: Competition scoring A throw that places the opponent on their back with impetus and control scores an , winning the contest. A lesser throw, where the opponent is thrown onto his back, but with insufficient force to merit an ippon, scores a . Two scores of waza-ari equal an ippon . This rule was cancelled in 2017, but it was resumed in 2018. Formerly, a throw that places the opponent onto his side scores a . In 2017, the International Judo Federation announced changes in evaluation of points. There will only be ippon and waza-ari scores given during a match with yuko scores now included within waza-ari. Ippon is scored in ne-waza for pinning an opponent on his back with a recognised osaekomi-waza for 20 seconds or by forcing a submission through shime-waza or kansetsu-waza. A submission is signalled by tapping the mat or the opponent at least twice with the hand or foot, or by saying . A pin lasting for less than 20 seconds, but more than 10 seconds scores waza-ari (formerly waza-ari was awarded for holds of longer than 15 seconds and yuko for holds of longer than 10 seconds). Formerly, there was an additional score that was lesser to yuko, that of . This has since been removed. If the scores are identical at the end of the match, the contest is resolved by the Golden Score rule. Golden Score is a sudden death situation where the clock is reset to match-time, and the first contestant to achieve any score wins. If there is no score during this period, then the winner is decided by , the majority opinion of the referee and the two corner judges. There have been changes to the scoring. In January 2013, the Hantei was removed and the "Golden Score" no longer has a time limit. The match would continue until a judoka scored through a technique or if the opponent is penalised (Hansoku-make). Penalties Two types of penalties may be awarded. A shido (指導 literally "guidance") is awarded for minor rule infringements. A shido can also be awarded for a prolonged period of non-aggression. Recent rule changes allow for the first shidos to result in only warnings. If there is a tie, then and only then, will the number of shidos (if less than three) be used to determine the winner. After three shidos are given, the victory is given to the opponent, constituting an indirect hansoku-make (反則負け literally "foul-play defeat"), but does not result in expulsion from the tournament. Note: Prior to 2017, the 4th shido was hansoku-make. If hansoku-make is awarded for a major rule infringement, it results not just in loss of the match, but in the expulsion from the tournament of the penalized player. In mixed martial arts A number of judo practitioners have made an impact in mixed martial arts. Notable judo-trained MMA fighters include Olympic medalists Hidehiko Yoshida (Gold, 1992), Naoya Ogawa (Silver, 1992), Paweł Nastula (Gold, 1996), Makoto Takimoto (Gold, 2000), Satoshi Ishii (Gold, 2008), Ronda Rousey (Bronze, 2008), and Kayla Harrison (Gold, 2012 and 2016), former Russian national judo championship Bronze medalist Fedor Emelianenko, Yoshihiro Akiyama, Don Frye, Rick Hawn, Daniel Kelly, Hector Lombard, Karo Parisyan, Ayaka Hamasaki, Antônio Silva, Oleg Taktarov, and Dong-Sik Yoon. Alternative rulesets and derivative martial arts Kano Jigoro's Kodokan judo is the most popular and well-known style of judo, but is not the only one. The terms judo and jujutsu were quite interchangeable in the early years, so some of these forms of judo are still known as jujutsu or jiu-jitsu either for that reason, or simply to differentiate them from mainstream judo. From Kano's original style of judo, several related forms have evolved—some now widely considered to be distinct arts: : Sometimes erroneously described as a separate style of Judo, Kosen judo is a competition rules set of Kodokan judo that was popularized in the early 20th century for use in Japanese Special High Schools Championships held at Kyoto Imperial University. The word "Kosen" is an acronym of . Kosen judo's focus on newaza has drawn comparisons with Brazilian jiu-jitsu. Russian judo: This distinctive style of judo was influenced by the Russian martial art called Sambo. It is represented by well-known coaches such as Alexander Retuinskih and Igor Yakimov, and mixed martial arts fighters such as Fedor Emelianenko, Karo Parisyan and Khabib Nurmagomedov. In turn, Russian judo has influenced mainstream judo, with techniques such as the flying armbar being accepted into Kodokan judo. Sambo (especially Sport Sambo): a derivative of Judo combined with wrestling techniques, and striking in case of Combat Sambo. Vasili Oshchepkov was the first European judo black belt under Kano. Oshchepkov went on to contribute his knowledge of judo as one of the three founders of Sambo, which also integrated various international and Soviet bloc wrestling styles and other combative techniques. Oshchepkov died during the political purges of 1937. In their History of Sambo, Brett Jacques and Scott Anderson wrote that in Russia "judo and SOMBO were considered to be the same thing"—albeit with a different uniform and some differences in the rules. Brazilian jiu jitsu developed by the Gracie family, who learnt traditional Kodokan judo from Japanese judoka, Mitsuyo Maeda in 1917. Freestyle Judo is a form of competitive judo practiced primarily in the United States that retains techniques that have been removed from mainstream IJF rules. Freestyle Judo is currently backed by the International Freestyle Judo Alliance (IFJA). The Amateur Athletic Union (AAU) officially sanctions Freestyle Judo in the United States of America. Filipino "Pangamot" is a form of competitive judo and mixed martial arts practice where practitioners invite opponents to use an eskrima stick in throwing, grappling, and sparring practice. The most well-known Pangamot training hall is the World Doce Pares Headquarters in Cebu City, Philippines. The head Pangamot instructor between 1955 and 2017 was Judo 8th Dan and Eskrima World Champion, Ciriaco Cañete. American Pangamot instructors include former Army Ranger, Christopher J. Petrilli, mixed martial arts coach Thomas Weissmuller, and UFC Coach, Ray Yee. Judo also influenced other combat styles such as close-quarters combat (CQC), mixed martial arts (MMA), shoot wrestling and submission wrestling. Safety Kano's vision for judo was one of a martial way that could be practiced realistically. Randori (free practice) was a central part of judo pedagogy and shiai (competition) a crucial test of a judoka's understanding of judo. Safety necessitated some basic innovations that shaped judo's development. Atemi waza (striking techniques) were entirely limited to kata (prearranged forms) early in judo's history. Kansetsu waza (joint manipulation techniques) were limited to techniques that focused on the elbow joint. Various throwing techniques that were judged to be too dangerous to practice safely at full force, such as all joint-locking throws from Jujutsu, were also prohibited in shiai. To maximise safety in nage waza (throwing techniques), judoka trained in ukemi (break falls) and practiced on tatami (rice straw mats). Kansetsu and shime waza The application of joint manipulation and strangulation/choking techniques is generally safe under controlled conditions typical of judo dōjō and in competition. It is usual for there to be age restrictions on the practice and application of these types of techniques, but the exact nature of these restrictions will vary from country to country and from organization to organization. Nage waza Safety in the practice of throwing techniques depends on the skill level of both tori and uke. Inexpertly applied throws have the potential to
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character, henceforth giving Bond both a dry sense of humour and Scottish antecedents that were not present in the previous stories. In a fictional obituary, purportedly published in The Times, Bond's parents were given as Andrew Bond, from the village of Glencoe, Scotland, and Monique Delacroix, from the canton of Vaud, Switzerland. Fleming did not provide Bond's date of birth, but John Pearson's fictional biography of Bond, James Bond: The Authorized Biography of 007, gives Bond a birth date on 11 November 1920, while a study by John Griswold puts the date at 11 November 1921. Novels and related works Ian Fleming novels Whilst serving in the Naval Intelligence Division, Fleming had planned to become an author and had told a friend, "I am going to write the spy story to end all spy stories." On 17 February 1952, he began writing his first James Bond novel, Casino Royale, at his Goldeneye estate in Jamaica, where he wrote all his Bond novels during the months of January and February each year. He started the story shortly before his wedding to his pregnant girlfriend, Ann Charteris, in order to distract himself from his forthcoming nuptials. After completing the manuscript for Casino Royale, Fleming showed it to his friend (and later editor) William Plomer to read. Plomer liked it and submitted it to the publishers, Jonathan Cape, who did not like it as much. Cape finally published it in 1953 on the recommendation of Fleming's older brother Peter, an established travel writer. Between 1953 and 1966, two years after his death, twelve novels and two short-story collections were published, with the last two books—The Man with the Golden Gun and Octopussy and The Living Daylights—published posthumously. All the books were published in the UK through Jonathan Cape. Post-Fleming novels After Fleming's death, a continuation novel, Colonel Sun, was written by Kingsley Amis (as Robert Markham) and published in 1968. Amis had already written a literary study of Fleming's Bond novels in his 1965 work The James Bond Dossier. Although novelisations of two of the Eon Productions Bond films appeared in print, James Bond, The Spy Who Loved Me and James Bond and Moonraker, both written by screenwriter Christopher Wood, the series of novels did not continue until the 1980s. In 1981, the thriller writer John Gardner picked up the series with Licence Renewed. Gardner went on to write sixteen Bond books in total; two of the books he wrote—Licence to Kill and GoldenEye—were novelisations of Eon Productions films of the same name. Gardner moved the Bond series into the 1980s, although he retained the ages of the characters as they were when Fleming had left them. In 1996, Gardner retired from writing James Bond books due to ill health. In 1996, the American author Raymond Benson became the author of the Bond novels. Benson had previously been the author of The James Bond Bedside Companion, first published in 1984. By the time he moved on to other, non-Bond related projects in 2002, Benson had written six Bond novels, three novelisations and three short stories. After a gap of six years, Sebastian Faulks was commissioned by Ian Fleming Publications to write a new Bond novel, which was released on 28 May 2008, the 100th anniversary of Fleming's birth. The book—titled Devil May Care—was published in the UK by Penguin Books and by Doubleday in the US. American writer Jeffery Deaver was then commissioned by Ian Fleming Publications to produce Carte Blanche, which was published on 26 May 2011. The book turned Bond into a post-9/11 agent, independent of MI5 or MI6. On 26 September 2013, Solo by William Boyd, set in 1969, was published. In October 2014, it was announced that Anthony Horowitz was to write a Bond continuation novel. Set in the 1950s two weeks after the events of Goldfinger, it contains material written, but previously unreleased, by Fleming. Trigger Mortis was released on 8 September 2015. Horowitz's second Bond novel, Forever and a Day, tells the origin story of Bond as a 00 agent prior to the events of Casino Royale. The novel, also based on unpublished material from Fleming, was released on 31 May 2018. Horowitz's third Bond novel, With a Mind to Kill, will be published on 26 May 2022. Young Bond The Young Bond series of novels was started by Charlie Higson and, between 2005 and 2009, five novels and one short story were published. The first Young Bond novel, SilverFin was also adapted and released as a graphic novel on 2 October 2008 by Puffin Books. In October 2013 Ian Fleming Publications announced that Stephen Cole would continue the series, with the first edition scheduled to be released in Autumn 2014. The Moneypenny Diaries The Moneypenny Diaries are a trilogy of novels chronicling the life of Miss Moneypenny, M's personal secretary. The novels are written by Samantha Weinberg under the pseudonym Kate Westbrook, who is depicted as the book's "editor". The first instalment of the trilogy, subtitled Guardian Angel, was released on 10 October 2005 in the UK. A second volume, subtitled Secret Servant was released on 2 November 2006 in the UK, published by John Murray. A third volume, subtitled Final Fling was released on 1 May 2008. Adaptations Television In 1954, CBS paid Ian Fleming $1,000 ($ in dollars) to adapt his novel Casino Royale into a one-hour television adventure, "Casino Royale", as part of its Climax! series. The episode aired live on 21 October 1954 and starred Barry Nelson as "Card Sense" James Bond and Peter Lorre as Le Chiffre. The novel was adapted for American audiences to show Bond as an American agent working for "Combined Intelligence", while the character Felix Leiter—American in the novel—became British onscreen and was renamed "Clarence Leiter". In 1973, a BBC documentary Omnibus: The British Hero featured Christopher Cazenove playing a number of such title characters (e.g. Richard Hannay and Bulldog Drummond). The documentary included James Bond in dramatised scenes from Goldfinger—notably featuring 007 being threatened with the novel's circular saw, rather than the film's laser beam—and Diamonds Are Forever. In 1991, a kids's spin-off TV cartoon series, James Bond Jr., was produced with Corey Burton in the role of Bond's nephew, also called James Bond. Radio In 1958, the novel Moonraker was adapted for broadcast on South African radio, with Bob Holness providing the voice of Bond. According to The Independent, "listeners across the Union thrilled to Bob's cultured tones as he defeated evil master criminals in search of world domination". The BBC have adapted five of the Fleming novels for broadcast: in 1990 You Only Live Twice was adapted into a 90-minute radio play for BBC Radio 4 with Michael Jayston playing James Bond. The production was repeated a number of times between 2008 and 2011. On 24 May 2008 BBC Radio 4 broadcast an adaptation of Dr. No. The actor Toby Stephens, who played Bond villain Gustav Graves in the Eon Productions version of Die Another Day, played Bond, while Dr. No was played by David Suchet. Following its success, a second story was adapted and on 3 April 2010 BBC Radio 4 broadcast Goldfinger with Stephens again playing Bond. Sir Ian McKellen was Goldfinger and Stephens' Die Another Day co-star Rosamund Pike played Pussy Galore. The play was adapted from Fleming's novel by Archie Scottney and was directed by Martin Jarvis. In 2012, the novel From Russia, with Love was dramatised for Radio 4; it featured a full cast again starring Stephens as Bond. In May 2014 Stephens again played Bond, in On Her Majesty's Secret Service, with Alfred Molina as Blofeld, and Joanna Lumley as Irma Bunt. Comics In 1957, the Daily Express approached Ian Fleming to adapt his stories into comic strips, offering him £1,500 per novel and a share of takings from syndication. After initial reluctance, Fleming, who felt the strips would lack the quality of his writing, agreed. To aid the Daily Express in illustrating Bond, Fleming commissioned an artist to create a sketch of how he believed James Bond looked. The illustrator, John McLusky, however, felt that Fleming's 007 looked too "outdated" and "pre-war" and changed Bond to give him a more masculine look. The first strip, Casino Royale was published from 7 July 1958 to 13 December 1958 and was written by Anthony Hern and illustrated by John McLusky. Most of the Bond novels and short stories have since been adapted for illustration, as well as Kingsley Amis's Colonel Sun; the works were written by Henry Gammidge or Jim Lawrence with Yaroslav Horak replacing McClusky as artist in 1966. After the Fleming and Amis material had been adapted, original stories were produced, continuing in the Daily Express and Sunday Express until May 1977. Several comic book adaptations of the James Bond films have been published through the years: at the time of Dr. No's release in October 1962, a comic book adaptation of the screenplay, written by Norman J. Nodel, was published in Britain as part of the Classics Illustrated anthology series. It was later reprinted in the United States by DC Comics as part of its Showcase anthology series, in January 1963. This was the first American comic book appearance of James Bond and is noteworthy for being a relatively rare example of a British comic being reprinted in a fairly high-profile American comic. It was also one of the earliest comics to be censored on racial grounds (some skin tones and dialogue were changed for the American market). With the release of the 1981 film For Your Eyes Only, Marvel Comics published a two-issue comic book adaptation of the film. When Octopussy was released in the cinemas in 1983, Marvel published an accompanying comic; Eclipse also produced a one-off comic for Licence to Kill, although Timothy Dalton refused to allow his likeness to be used. New Bond stories were also drawn up and published from 1989 onwards through Marvel, Eclipse Comics, Dark Horse Comics and Dynamite Entertainment. Films Eon Productions films Eon Productions, the company of Canadian Harry Saltzman and American Albert R. "Cubby" Broccoli, released the first cinema adaptation of an Ian Fleming novel, Dr. No (1962), based on the eponymous 1958 novel and featuring Sean Connery as 007. Connery starred in a further four films before leaving the role after You Only Live Twice (1967), which was taken up by George Lazenby for On Her Majesty's Secret Service (1969). Lazenby left the role after just one appearance and Connery was brought back for his last Eon-produced film Diamonds Are Forever. Roger Moore was appointed to the role of 007 for Live and Let Die (1973). He played Bond a further six times over twelve years, before being replaced by Timothy Dalton for two films. After a six-year
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of Dr. No. The actor Toby Stephens, who played Bond villain Gustav Graves in the Eon Productions version of Die Another Day, played Bond, while Dr. No was played by David Suchet. Following its success, a second story was adapted and on 3 April 2010 BBC Radio 4 broadcast Goldfinger with Stephens again playing Bond. Sir Ian McKellen was Goldfinger and Stephens' Die Another Day co-star Rosamund Pike played Pussy Galore. The play was adapted from Fleming's novel by Archie Scottney and was directed by Martin Jarvis. In 2012, the novel From Russia, with Love was dramatised for Radio 4; it featured a full cast again starring Stephens as Bond. In May 2014 Stephens again played Bond, in On Her Majesty's Secret Service, with Alfred Molina as Blofeld, and Joanna Lumley as Irma Bunt. Comics In 1957, the Daily Express approached Ian Fleming to adapt his stories into comic strips, offering him £1,500 per novel and a share of takings from syndication. After initial reluctance, Fleming, who felt the strips would lack the quality of his writing, agreed. To aid the Daily Express in illustrating Bond, Fleming commissioned an artist to create a sketch of how he believed James Bond looked. The illustrator, John McLusky, however, felt that Fleming's 007 looked too "outdated" and "pre-war" and changed Bond to give him a more masculine look. The first strip, Casino Royale was published from 7 July 1958 to 13 December 1958 and was written by Anthony Hern and illustrated by John McLusky. Most of the Bond novels and short stories have since been adapted for illustration, as well as Kingsley Amis's Colonel Sun; the works were written by Henry Gammidge or Jim Lawrence with Yaroslav Horak replacing McClusky as artist in 1966. After the Fleming and Amis material had been adapted, original stories were produced, continuing in the Daily Express and Sunday Express until May 1977. Several comic book adaptations of the James Bond films have been published through the years: at the time of Dr. No's release in October 1962, a comic book adaptation of the screenplay, written by Norman J. Nodel, was published in Britain as part of the Classics Illustrated anthology series. It was later reprinted in the United States by DC Comics as part of its Showcase anthology series, in January 1963. This was the first American comic book appearance of James Bond and is noteworthy for being a relatively rare example of a British comic being reprinted in a fairly high-profile American comic. It was also one of the earliest comics to be censored on racial grounds (some skin tones and dialogue were changed for the American market). With the release of the 1981 film For Your Eyes Only, Marvel Comics published a two-issue comic book adaptation of the film. When Octopussy was released in the cinemas in 1983, Marvel published an accompanying comic; Eclipse also produced a one-off comic for Licence to Kill, although Timothy Dalton refused to allow his likeness to be used. New Bond stories were also drawn up and published from 1989 onwards through Marvel, Eclipse Comics, Dark Horse Comics and Dynamite Entertainment. Films Eon Productions films Eon Productions, the company of Canadian Harry Saltzman and American Albert R. "Cubby" Broccoli, released the first cinema adaptation of an Ian Fleming novel, Dr. No (1962), based on the eponymous 1958 novel and featuring Sean Connery as 007. Connery starred in a further four films before leaving the role after You Only Live Twice (1967), which was taken up by George Lazenby for On Her Majesty's Secret Service (1969). Lazenby left the role after just one appearance and Connery was brought back for his last Eon-produced film Diamonds Are Forever. Roger Moore was appointed to the role of 007 for Live and Let Die (1973). He played Bond a further six times over twelve years, before being replaced by Timothy Dalton for two films. After a six-year hiatus, during which a legal wrangle threatened Eon's productions of the Bond films, Irish actor Pierce Brosnan was cast as Bond in GoldenEye (1995); he remained in the role for a total of four films through 2002. In 2006, Daniel Craig was given the role for Casino Royale (2006), which rebooted the series. Craig appeared for a total of five films. The series has grossed well over $7 billion to date, making it the fifth-highest-grossing film series. Non-Eon films In 1967, Casino Royale was adapted into a parody Bond film starring David Niven as Sir James Bond and Ursula Andress as Vesper Lynd. Niven had been Fleming's preference for the role of Bond. The result of a court case in the High Court in London in 1963 allowed Kevin McClory to produce a remake of Thunderball titled Never Say Never Again in 1983. The film, produced by Jack Schwartzman's Taliafilm production company and starring Sean Connery as Bond, was not part of the Eon series of Bond films. In 1997, the Sony Corporation acquired all or some of McClory's rights in an undisclosed deal, which were then subsequently acquired by MGM, whilst on 4 December 1997, MGM announced that the company had purchased the rights to Never Say Never Again from Taliafilm. , Eon holds the full adaptation rights to all of Fleming's Bond novels. Music The "James Bond Theme" was written by Monty Norman and was first orchestrated by the John Barry Orchestra for 1962's Dr. No, although the actual authorship of the music has been a matter of controversy for many years. In 2001, Norman won £30,000 in libel damages from The Sunday Times newspaper, which suggested that Barry was entirely responsible for the composition. The theme, as written by Norman and arranged by Barry, was described by another Bond film composer, David Arnold, as "bebop-swing vibe coupled with that vicious, dark, distorted electric guitar, definitely an instrument of rock 'n' roll ... it represented everything about the character you would want: It was cocky, swaggering, confident, dark, dangerous, suggestive, sexy, unstoppable. And he did it in two minutes." Barry composed the scores for eleven Bond films and had an uncredited contribution to Dr. No with his arrangement of the Bond Theme. A Bond film staple are the theme songs heard during their title sequences sung by well-known popular singers. Several of the songs produced for the films have been nominated for Academy Awards for Original Song, including Paul McCartney's "Live and Let Die", Carly Simon's "Nobody Does It Better", Sheena Easton's "For Your Eyes Only", Adele's "Skyfall", and Sam Smith's "Writing's on the Wall". Adele won the award at the 85th Academy Awards, and Smith won at the 88th Academy Awards. For the non-Eon produced Casino Royale, Burt Bacharach's score included "The Look of Love" (sung by Dusty Springfield), which was nominated for an Academy Award for Best Original Song. Video games In 1983, the first Bond video game, developed and published by Parker Brothers, was released for the Atari 2600, Atari 5200, Atari 800, Commodore 64, and ColecoVision. Since then, there have been numerous video games either based on the films or using original storylines. In 1997, the first-person shooter video game GoldenEye 007 was developed by Rare for the Nintendo 64, based on GoldenEye. The game received highly positive reviews, won the BAFTA Interactive Entertainment Award for UK Developer of the Year in 1998, and sold over eight million copies worldwide, grossing $250 million, making it the third-best-selling Nintendo 64 game. It is frequently cited as one of the greatest video games of all time. In 1999, Electronic Arts acquired the licence and released Tomorrow Never Dies on 16 December 1999. In October 2000, they released The World Is Not Enough for the Nintendo 64 followed by 007 Racing for the PlayStation on 21 November 2000. In 2003, the company released James Bond 007: Everything or Nothing, which included the likenesses and voices of Pierce Brosnan, Willem Dafoe, Heidi Klum, Judi Dench and John Cleese, amongst others. In November 2005, Electronic Arts released a video game adaptation of 007: From Russia with Love, which involved Sean Connery's image and voice-over for Bond. In 2006, Electronic Arts announced a game based on then-upcoming film Casino Royale: the game was cancelled because it would not be ready by the film's release in November of that year. With MGM losing revenue from lost licensing fees, the franchise was removed from EA to Activision. Activision subsequently released the 007: Quantum of Solace game on 31 October 2008, based on the film of the same name. A new version of GoldenEye 007 featuring Daniel Craig was released for the Wii and a handheld version for the Nintendo DS in November 2010. A year later a new version was released for Xbox 360 and PlayStation 3 under the title GoldenEye 007: Reloaded. In October 2012 007 Legends was released, which featured one mission from each of the Bond actors of the Eon Productions' series. In November 2020, IO Interactive announced Project 007, an original James Bond video game, working closely with licensors MGM and Eon Productions. Role-playing game From 1983 to 1987, a licensed tabletop role-playing game, James Bond 007: Role-Playing In Her Majesty's Secret Service, was published by Victory Games (a branch of Avalon Hill) with it being designed by Gerard Christopher Klug. It was the most popular espionage role-playing game for its time. In addition to providing materials for players to create original scenarios, the game also offered players the opportunity to have adventures modelled after many of the Eon Productions film adaptations, albeit with modifications to provide challenges by preventing players from slavishly imitating Bond's actions in the stories. Guns, vehicles and gadgets Guns For the first five novels, Fleming armed Bond with a Beretta 418 until he received a letter from a thirty-one-year-old Bond enthusiast and gun expert, Geoffrey Boothroyd, criticising Fleming's choice of firearm for Bond, calling it "a lady's gun—and not a very nice lady at that!" Boothroyd suggested that Bond should swap his Beretta for a 7.65mm Walther PPK and this exchange of arms made it to Dr. No. Boothroyd also gave Fleming advice on the Berns-Martin triple draw shoulder holster and a number of the weapons used by SMERSH and other villains. In thanks, Fleming gave the MI6 Armourer in his novels the name Major Boothroyd and, in Dr. No, M introduces him to Bond as "the greatest small-arms expert in the world". Bond also used a variety of rifles, including the Savage Model 99 in "For Your Eyes Only" and a Winchester .308 target rifle in "The Living Daylights". Other handguns used by Bond in the Fleming books included the Colt Detective Special and a long-barrelled Colt .45 Army Special. The first Bond film, Dr. No, saw M ordering Bond to leave his Beretta behind and take up the Walther PPK, which Bond used in eighteen films. In Tomorrow Never Dies and the two subsequent films, Bond's main weapon was the Walther P99 semi-automatic pistol. Vehicles In the early Bond stories Fleming gave Bond a battleship-grey Bentley Litre with an Amherst Villiers supercharger. After Bond's car was written off by Hugo Drax in Moonraker, Fleming gave Bond a Mark II Continental Bentley, which he used in the remaining books of the series. During Goldfinger, Bond was issued with an Aston Martin DB Mark III with a homing device, which he used to track Goldfinger across France. Bond returned to his Bentley for the subsequent novels. The Bond of the films has driven a number of cars, including the Aston Martin V8 Vantage, during the 1980s, the V12 Vanquish and DBS during the 2000s, as well as the Lotus Esprit; the BMW Z3, BMW 750iL and the BMW Z8. He has, however, also needed to drive a number of other vehicles, ranging from a Citroën 2CV to a Routemaster Bus, amongst others. Bond's most famous car is the silver grey Aston Martin DB5, first seen in Goldfinger; it later featured in Thunderball, GoldenEye, Tomorrow Never Dies, Casino Royale, Skyfall and Spectre. The films have used a number of different Aston Martins for filming and publicity, one of which was sold in January 2006 at an auction in the US for $2.1 million to an unnamed European collector. In 2010, another DB5 used in Goldfinger was sold at auction for $4.6m million (£2.6 million). Gadgets Fleming's novels and early screen adaptations presented minimal equipment such as the booby-trapped attaché case in From Russia, with Love, although this situation changed dramatically with the films. However, the effects of the two Eon-produced Bond films Dr. No and From Russia with Love had an effect on the novel The Man with the Golden Gun, through the increased number of devices used in Fleming's final story. For the film adaptations of Bond, the pre-mission briefing by Q Branch became one of the motifs that ran through the series. Dr. No provided no spy-related gadgets, but a Geiger counter was used; industrial designer Andy Davey observed that the first ever onscreen spy-gadget was the attaché case shown in From Russia with Love, which he described as "a classic 007 product". The gadgets assumed a higher profile in the 1964 film Goldfinger. The film's success encouraged further espionage equipment from Q Branch to be supplied to Bond, although the increased use of technology led to an accusation that Bond was over-reliant on equipment, particularly in the later films. Davey noted that "Bond's gizmos follow the zeitgeist more closely than any other ... nuance in the films" as they moved from the potential representations of the future in the early films, through to the brand-name obsessions of the later films. It is also noticeable that, although Bond uses a number of pieces of equipment from Q Branch, including the Little Nellie autogyro, a jet pack and the exploding attaché case, the villains are also well-equipped with custom-made devices, including Scaramanga's golden gun, Rosa Klebb's poison-tipped shoes, Oddjob's steel-rimmed bowler hat and Blofeld's communication devices in his agents' vanity case. Cultural impact Cinematically, Bond has been a major influence within the spy genre since the release of Dr. No in 1962, with 22 secret agent films
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both a short and a long version. Elongated vowels are usually denoted with a line over the vowel (a macron) in rōmaji, a repeated vowel character in hiragana, or a chōonpu succeeding the vowel in katakana. is compressed rather than protruded, or simply unrounded. Consonants Some Japanese consonants have several allophones, which may give the impression of a larger inventory of sounds. However, some of these allophones have since become phonemic. For example, in the Japanese language up to and including the first half of the 20th century, the phonemic sequence was palatalized and realized phonetically as , approximately chi ; however, now and are distinct, as evidenced by words like tī "Western-style tea" and chii "social status". The "r" of the Japanese language is of particular interest, ranging between an apical central tap and a lateral approximant. The "g" is also notable; unless it starts a sentence, it may be pronounced , in the Kanto prestige dialect and in other eastern dialects. The phonotactics of Japanese are relatively simple. The syllable structure is (C)(G)V(C), that is, a core vowel surrounded by an optional onset consonant, a glide and either the first part of a geminate consonant (/, represented as Q) or a moraic nasal in the coda (/, represented as N). The nasal is sensitive to its phonetic environment and assimilates to the following phoneme, with pronunciations including . Onset-glide clusters only occur at the start of syllables but clusters across syllables are allowed as long as the two consonants are the moraic nasal followed by a homorganic consonant. Japanese also includes a pitch accent, which is not represented in syllabic writing; for example ("chopsticks") and ("bridge") are both spelled (hashi), and are only differentiated by the tone contour. Grammar Sentence structure Japanese word order is classified as subject–object–verb. Unlike many Indo-European languages, the only strict rule of word order is that the verb must be placed at the end of a sentence (possibly followed by sentence-end particles). This is because Japanese sentence elements are marked with particles that identify their grammatical functions. The basic sentence structure is topic–comment. For example, Kochira wa Tanaka-san desu (). kochira ("this") is the topic of the sentence, indicated by the particle wa. The verb de aru (desu is a contraction of its polite form de arimasu) is a copula, commonly translated as "to be" or "it is" (though there are other verbs that can be translated as "to be"), though technically it holds no meaning and is used to give a sentence 'politeness'. As a phrase, Tanaka-san desu is the comment. This sentence literally translates to "As for this person, (it) is Mx Tanaka." Thus Japanese, like many other Asian languages, is often called a topic-prominent language, which means it has a strong tendency to indicate the topic separately from the subject, and that the two do not always coincide. The sentence Zō wa hana ga nagai () literally means, "As for elephant(s), (the) nose(s) (is/are) long". The topic is zō "elephant", and the subject is hana "nose". In Japanese, the subject or object of a sentence need not be stated if it is obvious from context. As a result of this grammatical permissiveness, there is a tendency to gravitate towards brevity; Japanese speakers tend to omit pronouns on the theory they are inferred from the previous sentence, and are therefore understood. In the context of the above example, hana-ga nagai would mean "[their] noses are long," while nagai by itself would mean "[they] are long." A single verb can be a complete sentence: Yatta! () "[I / we / they / etc] did [it]!". In addition, since adjectives can form the predicate in a Japanese sentence (below), a single adjective can be a complete sentence: Urayamashii! () "[I'm] jealous [of it]!". While the language has some words that are typically translated as pronouns, these are not used as frequently as pronouns in some Indo-European languages, and function differently. In some cases Japanese relies on special verb forms and auxiliary verbs to indicate the direction of benefit of an action: "down" to indicate the out-group gives a benefit to the in-group; and "up" to indicate the in-group gives a benefit to the out-group. Here, the in-group includes the speaker and the out-group does not, and their boundary depends on context. For example, oshiete moratta () (literally, "explained" with a benefit from the out-group to the in-group) means "[he/she/they] explained [it] to [me/us]". Similarly, oshiete ageta () (literally, "explained" with a benefit from the in-group to the out-group) means "[I/we] explained [it] to [him/her/them]". Such beneficiary auxiliary verbs thus serve a function comparable to that of pronouns and prepositions in Indo-European languages to indicate the actor and the recipient of an action. Japanese "pronouns" also function differently from most modern Indo-European pronouns (and more like nouns) in that they can take modifiers as any other noun may. For instance, one does not say in English: The amazed he ran down the street. (grammatically incorrect insertion of a pronoun) But one can grammatically say essentially the same thing in Japanese: Transliteration: Odoroita kare wa michi o hashitte itta. (grammatically correct) This is partly because these words evolved from regular nouns, such as kimi "you" ( "lord"), anata "you" ( "that side, yonder"), and boku "I" ( "servant"). This is why some linguists do not classify Japanese "pronouns" as pronouns, but rather as referential nouns, much like Spanish usted (contracted from vuestra merced, "your [(flattering majestic) plural] grace") or Portuguese o senhor. Japanese personal pronouns are generally used only in situations requiring special emphasis as to who is doing what to whom. The choice of words used as pronouns is correlated with the sex of the speaker and the social situation in which they are spoken: men and women alike in a formal situation generally refer to themselves as watashi ( "private") or watakushi (also ), while men in rougher or intimate conversation are much more likely to use the word ore ( "oneself", "myself") or boku. Similarly, different words such as anata, kimi, and omae (, more formally "the one before me") may refer to a listener depending on the listener's relative social position and the degree of familiarity between the speaker and the listener. When used in different social relationships, the same word may have positive (intimate or respectful) or negative (distant or disrespectful) connotations. Japanese often use titles of the person referred to where pronouns would be used in English. For example, when speaking to one's teacher, it is appropriate to use sensei (, teacher), but inappropriate to use anata. This is because anata is used to refer to people of equal or lower status, and one's teacher has higher status. Inflection and conjugation Japanese nouns have no grammatical number, gender or article aspect. The noun hon () may refer to a single book or several books; hito () can mean "person" or "people", and ki () can be "tree" or "trees". Where number is important, it can be indicated by providing a quantity (often with a counter word) or (rarely) by adding a suffix, or sometimes by duplication (e.g. , hitobito, usually written with an iteration mark as ). Words for people are usually understood as singular. Thus Tanaka-san usually means Mx Tanaka. Words that refer to people and animals can be made to indicate a group of individuals through the addition of a collective suffix (a noun suffix that indicates a group), such as -tachi, but this is not a true plural: the meaning is closer to the English phrase "and company". A group described as Tanaka-san-tachi may include people not named Tanaka. Some Japanese nouns are effectively plural, such as hitobito "people" and wareware "we/us", while the word tomodachi "friend" is considered singular, although plural in form. Verbs are conjugated to show tenses, of which there are two: past and present (or non-past) which is used for the present and the future. For verbs that represent an ongoing process, the -te iru form indicates a continuous (or progressive) aspect, similar to the suffix ing in English. For others that represent a change of state, the -te iru form indicates a perfect aspect. For example, kite iru means "He has come (and is still here)", but tabete iru means "He is eating". Questions (both with an interrogative pronoun and yes/no questions) have the same structure as affirmative sentences, but with intonation rising at the end. In the formal register, the question particle -ka is added. For example, ii desu () "It is OK" becomes ii desu-ka () "Is it OK?". In a more informal tone sometimes the particle -no () is added instead to show a personal interest of the speaker: Dōshite konai-no? "Why aren't (you) coming?". Some simple queries are formed simply by mentioning the topic with an interrogative intonation to call for the hearer's attention: Kore wa? "(What about) this?"; O-namae wa? () "(What's your) name?". Negatives are formed by inflecting the verb. For example, Pan o taberu () "I will eat bread" or "I eat bread" becomes Pan o tabenai () "I will not eat bread" or "I do not eat bread". Plain negative forms are i-adjectives (see below) and inflect as such, e.g. Pan o tabenakatta () "I did not eat bread". The so-called -te verb form is used for a variety of purposes: either progressive or perfect aspect (see above); combining verbs in a temporal sequence (Asagohan o tabete sugu dekakeru "I'll eat breakfast and leave at once"), simple commands, conditional statements and permissions (Dekakete-mo ii? "May I go out?"), etc. The word da (plain), desu (polite) is the copula verb. It corresponds approximately to the English be, but often takes on other roles, including a marker for tense, when the verb is conjugated into its past form datta (plain), deshita (polite). This comes into use because only i-adjectives and verbs can carry tense in Japanese. Two additional common verbs are used to indicate existence ("there is") or, in some contexts, property: aru (negative nai) and iru (negative inai), for inanimate and animate things, respectively. For example, Neko ga iru "There's a cat", Ii kangae-ga nai "[I] haven't got a good idea". The verb "to do" (suru, polite form shimasu) is often used to make verbs from nouns (ryōri suru "to cook", benkyō suru "to study", etc.) and has been productive in creating modern slang words. Japanese also has a huge number of compound verbs to express concepts that are described in English using a verb and an adverbial particle (e.g. tobidasu "to fly out, to flee," from tobu "to fly, to jump" + dasu "to put out, to emit"). There are three types of adjectives (see Japanese adjectives): keiyōshi, or i adjectives, which have a conjugating ending i () (such as atsui "to be hot") which can become past ( atsukatta "it was hot"), or negative ( atsuku nai "it is not hot"). Note that nai is also an i adjective, which can become past ( atsuku nakatta "it was not hot"). atsui hi "a hot day". keiyōdōshi, or na adjectives, which are followed by a form of the copula, usually na. For example, hen (strange) hen na hito "a strange person". rentaishi, also called true adjectives, such as ano "that" ano yama "that mountain". Both keiyōshi and keiyōdōshi may predicate sentences. For example, Gohan ga atsui. "The rice is hot." Kare wa hen da. "He's strange." Both inflect, though they do not show the full range of conjugation found in true verbs. The rentaishi in Modern Japanese are few in number, and unlike the other words, are limited to directly modifying nouns. They never predicate sentences. Examples include ookina "big", kono "this", iwayuru "so-called" and taishita "amazing". Both keiyōdōshi and keiyōshi form adverbs, by following with ni in the case of keiyōdōshi: hen ni naru "become strange", and by changing i to ku in the case of keiyōshi: atsuku naru "become hot". The grammatical function of nouns is indicated by postpositions, also called particles. These include for example: ga for the nominative case. Kare ga yatta. "He did it." ni for the dative case. Tanaka-san ni agete kudasai "Please give it to Mr. Tanaka." It is also used for the lative case, indicating a motion to a location. Nihon ni ikitai "I want to go to Japan." However, へ e is more commonly used for the lative case. pātī e ikanai ka? "Won't you go to the party?" no for the genitive case, or nominalizing phrases. watashi no kamera "my camera" Sukī-ni iku no ga suki desu "(I) like going skiing." o for the accusative case. Nani o tabemasu ka? "What will (you) eat?" wa for the topic. It can co-exist with the case markers listed above, and it overrides ga and (in most cases) o. Watashi wa sushi ga ii desu. (literally) "As for me, sushi is good." The nominative marker ga after watashi is hidden under wa. Note: The subtle difference between wa and ga in Japanese cannot be derived from the English language as such, because the distinction between sentence topic and subject is not made there. While wa indicates the topic, which the rest of the sentence describes or acts upon, it carries the implication that the subject indicated by wa is not unique, or may be part of a larger group. Ikeda-san wa yonjū-ni sai da. "As for Mr. Ikeda, he is forty-two years old." Others in the group may also be of that age. Absence of wa often means the subject is the focus of the sentence. Ikeda-san ga yonjū-ni sai da. "It is Mr. Ikeda who is forty-two years old." This is a reply to
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and Franciscan missionaries; and thus there is better documentation of Late Middle Japanese phonology than for previous forms (for instance, the Arte da Lingoa de Iapam). Among other sound changes, the sequence merges to , in contrast with ; is reintroduced from Chinese; and merges with . Some forms rather more familiar to Modern Japanese speakers begin to appear – the continuative ending -te begins to reduce onto the verb (e.g. yonde for earlier yomite), the -k- in the final syllable of adjectives drops out (shiroi for earlier shiroki); and some forms exist where modern standard Japanese has retained the earlier form (e.g. hayaku > hayau > hayɔɔ, where modern Japanese just has hayaku, though the alternative form is preserved in the standard greeting o-hayō gozaimasu "good morning"; this ending is also seen in o-medetō "congratulations", from medetaku). Late Middle Japanese has the first loanwords from European languages – now-common words borrowed into Japanese in this period include pan ("bread") and tabako ("tobacco", now "cigarette"), both from Portuguese. Modern Japanese Modern Japanese is considered to begin with the Edo period (which spanned from 1603 to 1867). Since Old Japanese, the de facto standard Japanese had been the Kansai dialect, especially that of Kyoto. However, during the Edo period, Edo (now Tokyo) developed into the largest city in Japan, and the Edo-area dialect became standard Japanese. Since the end of Japan's self-imposed isolation in 1853, the flow of loanwords from European languages has increased significantly. The period since 1945 has seen many words borrowed from other languagessuch as German, Portuguese and English. Many English loan words especially relate to technologyfor example, pasokon (short for "personal computer"), intānetto ("internet"), and kamera ("camera"). Due to the large quantity of English loanwords, modern Japanese has developed a distinction between and , and and , with the latter in each pair only found in loanwords. Geographic distribution Although Japanese is spoken almost exclusively in Japan, it has been spoken outside. Before and during World War II, through Japanese annexation of Taiwan and Korea, as well as partial occupation of China, the Philippines, and various Pacific islands, locals in those countries learned Japanese as the language of the empire. As a result, many elderly people in these countries can still speak Japanese. Japanese emigrant communities (the largest of which are to be found in Brazil, with 1.4 million to 1.5 million Japanese immigrants and descendants, according to Brazilian IBGE data, more than the 1.2 million of the United States) sometimes employ Japanese as their primary language. Approximately 12% of Hawaii residents speak Japanese, with an estimated 12.6% of the population of Japanese ancestry in 2008. Japanese emigrants can also be found in Peru, Argentina, Australia (especially in the eastern states), Canada (especially in Vancouver where 1.4% of the population has Japanese ancestry), the United States (notably Hawaii, where 16.7% of the population has Japanese ancestry, and California), and the Philippines (particularly in Davao region and Laguna province). Official status Japanese has no official status in Japan, but is the de facto national language of the country. There is a form of the language considered standard: , meaning "standard Japanese", or , "common language". The meanings of the two terms are almost the same. Hyōjungo or kyōtsūgo is a conception that forms the counterpart of dialect. This normative language was born after the from the language spoken in the higher-class areas of Tokyo (see Yamanote). Hyōjungo is taught in schools and used on television and in official communications. It is the version of Japanese discussed in this article. Formerly, standard was different from . The two systems have different rules of grammar and some variance in vocabulary. Bungo was the main method of writing Japanese until about 1900; since then kōgo gradually extended its influence and the two methods were both used in writing until the 1940s. Bungo still has some relevance for historians, literary scholars, and lawyers (many Japanese laws that survived World War II are still written in bungo, although there are ongoing efforts to modernize their language). Kōgo is the dominant method of both speaking and writing Japanese today, although bungo grammar and vocabulary are occasionally used in modern Japanese for effect. The 1982 state constitution of Angaur, Palau, names Japanese along with Palauan and English as an official language of the state. However, the results of the 2005 census show that in April 2005 there were no usual or legal residents of Angaur aged 5 or older who spoke Japanese at home at all. Dialects and mutual intelligibility Japanese dialects typically differ in terms of pitch accent, inflectional morphology, vocabulary, and particle usage. Some even differ in vowel and consonant inventories, although this is uncommon. In terms of mutual intelligibility, a survey in 1967 found the four most unintelligible dialects (excluding Ryūkyūan languages and Tohoku dialects) to students from Greater Tokyo are the Kiso dialect (in the deep mountains of Nagano Prefecture), the Himi dialect (in Toyama Prefecture), the Kagoshima dialect and the Maniwa dialect (in Okayama Prefecture). The survey is based on recordings of 12- to 20- second long, of 135 to 244 phonemes, which 42 students listened and translated word-by-word. The listeners are all Keio University students who grew up in the Kanto region. There are some language islands in mountain villages or isolated islands such as Hachijō-jima island whose dialects are descended from the Eastern dialect of Old Japanese. Dialects of the Kansai region are spoken or known by many Japanese, and Osaka dialect in particular is associated with comedy (see Kansai dialect). Dialects of Tōhoku and North Kantō are associated with typical farmers. The Ryūkyūan languages, spoken in Okinawa and the Amami Islands (politically part of Kagoshima), are distinct enough to be considered a separate branch of the Japonic family; not only is each language unintelligible to Japanese speakers, but most are unintelligible to those who speak other Ryūkyūan languages. However, in contrast to linguists, many ordinary Japanese people tend to consider the Ryūkyūan languages as dialects of Japanese. The imperial court also seems to have spoken an unusual variant of the Japanese of the time. Most likely being the spoken form of Classical Japanese language, a writing style that was prevalent during the Heian period, but began decline during the late Meiji period. The Ryūkyūan languages are spoken by a decreasing number of elderly people so UNESCO classified it as endangered, because they could become extinct by 2050. Young people mostly use Japanese and cannot understand the Ryukyuan languages. Okinawan Japanese is a variant of Standard Japanese influenced by the Ryukyuan languages. It is the primary dialect spoken among young people in the Ryukyu Islands. Modern Japanese has become prevalent nationwide (including the Ryūkyū islands) due to education, mass media, and an increase of mobility within Japan, as well as economic integration. Classification Japanese is a member of the Japonic language family, which also includes the Ryukyuan languages spoken in the Ryukyu Islands. As these closely related languages are commonly treated as dialects of the same language, Japanese is often called a language isolate. According to Martine Irma Robbeets, Japanese has been subject to more attempts to show its relation to other languages than any other language in the world. Since Japanese first gained the consideration of linguists in the late 19th century, attempts have been made to show its genealogical relation to languages or language families such as Ainu, Korean, Chinese, Tibeto-Burman, Uralic, Altaic (or Ural-Altaic), Mon–Khmer and Malayo-Polynesian. At the fringe, some linguists have suggested a link to Indo-European languages, including Greek, and to Lepcha. Main modern theories try to link Japanese either to northern Asian languages, like Korean or the proposed larger Altaic family, or to various Southeast Asian languages, especially Austronesian. None of these proposals have gained wide acceptance (and the Altaic family itself is now considered controversial). As it stands, only the link to Ryukyuan has wide support. Other theories view the Japanese language as an early creole language formed through inputs from at least two distinct language groups, or as a distinct language of its own that has absorbed various aspects from neighbouring languages. Phonology Vowels Japanese has five vowels, and vowel length is phonemic, with each having both a short and a long version. Elongated vowels are usually denoted with a line over the vowel (a macron) in rōmaji, a repeated vowel character in hiragana, or a chōonpu succeeding the vowel in katakana. is compressed rather than protruded, or simply unrounded. Consonants Some Japanese consonants have several allophones, which may give the impression of a larger inventory of sounds. However, some of these allophones have since become phonemic. For example, in the Japanese language up to and including the first half of the 20th century, the phonemic sequence was palatalized and realized phonetically as , approximately chi ; however, now and are distinct, as evidenced by words like tī "Western-style tea" and chii "social status". The "r" of the Japanese language is of particular interest, ranging between an apical central tap and a lateral approximant. The "g" is also notable; unless it starts a sentence, it may be pronounced , in the Kanto prestige dialect and in other eastern dialects. The phonotactics of Japanese are relatively simple. The syllable structure is (C)(G)V(C), that is, a core vowel surrounded by an optional onset consonant, a glide and either the first part of a geminate consonant (/, represented as Q) or a moraic nasal in the coda (/, represented as N). The nasal is sensitive to its phonetic environment and assimilates to the following phoneme, with pronunciations including . Onset-glide clusters only occur at the start of syllables but clusters across syllables are allowed as long as the two consonants are the moraic nasal followed by a homorganic consonant. Japanese also includes a pitch accent, which is not represented in syllabic writing; for example ("chopsticks") and ("bridge") are both spelled (hashi), and are only differentiated by the tone contour. Grammar Sentence structure Japanese word order is classified as subject–object–verb. Unlike many Indo-European languages, the only strict rule of word order is that the verb must be placed at the end of a sentence (possibly followed by sentence-end particles). This is because Japanese sentence elements are marked with particles that identify their grammatical functions. The basic sentence structure is topic–comment. For example, Kochira wa Tanaka-san desu (). kochira ("this") is the topic of the sentence, indicated by the particle wa. The verb de aru (desu is a contraction of its polite form de arimasu) is a copula, commonly translated as "to be" or "it is" (though there are other verbs that can be translated as "to be"), though technically it holds no meaning and is used to give a sentence 'politeness'. As a phrase, Tanaka-san desu is the comment. This sentence literally translates to "As for this person, (it) is Mx Tanaka." Thus Japanese, like many other Asian languages, is often called a topic-prominent language, which means it has a strong tendency to indicate the topic separately from the subject, and that the two do not always coincide. The sentence Zō wa hana ga nagai () literally means, "As for elephant(s), (the) nose(s) (is/are) long". The topic is zō "elephant", and the subject is hana "nose". In Japanese, the subject or object of a sentence need not be stated if it is obvious from context. As a result of this grammatical permissiveness, there is a tendency to gravitate towards brevity; Japanese speakers tend to omit pronouns on the theory they are inferred from the previous sentence, and are therefore understood. In the context of the above example, hana-ga nagai would mean "[their] noses are long," while nagai by itself would mean "[they] are long." A single verb can be a complete sentence: Yatta! () "[I / we / they / etc] did [it]!". In addition, since adjectives can form the predicate in a Japanese sentence (below), a single adjective can be a complete sentence: Urayamashii! () "[I'm] jealous [of it]!". While the language has some words that are typically translated as pronouns, these are not used as frequently as pronouns in some Indo-European languages, and function differently. In some cases Japanese relies on special verb forms and auxiliary verbs to indicate the direction of benefit of an action: "down" to indicate the out-group gives a benefit to the in-group; and "up" to indicate the in-group gives a benefit to the out-group. Here, the in-group includes the speaker and the out-group does not, and their boundary depends on context. For example, oshiete moratta () (literally, "explained" with a benefit from the out-group to the in-group) means "[he/she/they] explained [it] to [me/us]". Similarly, oshiete ageta () (literally, "explained" with a benefit from the in-group to the out-group) means "[I/we] explained [it] to [him/her/them]". Such beneficiary auxiliary verbs thus serve a function comparable to that of pronouns and prepositions in Indo-European languages to indicate the actor and the recipient of an action. Japanese "pronouns" also function differently from most modern Indo-European pronouns (and more like nouns) in that they can take modifiers as any other noun may. For instance, one does not say in English: The amazed he ran down the street. (grammatically incorrect insertion of a pronoun) But one can grammatically say essentially the same thing in Japanese: Transliteration: Odoroita kare wa michi o hashitte itta. (grammatically correct) This is partly because these words evolved from regular nouns, such as kimi "you" ( "lord"), anata "you" ( "that side, yonder"), and boku "I" ( "servant"). This is why some linguists do not classify Japanese "pronouns" as pronouns, but rather as referential nouns, much like Spanish usted (contracted from vuestra merced, "your [(flattering majestic) plural] grace") or Portuguese o senhor. Japanese personal pronouns are generally used only in situations requiring special emphasis as to who is doing what to whom. The choice of words used as pronouns is correlated with the sex of the speaker and the social situation in which they are spoken: men and women alike in a formal situation generally refer to themselves as watashi ( "private") or watakushi (also ), while men in rougher or intimate conversation are much more likely to use the word ore ( "oneself", "myself") or boku. Similarly, different words such as anata, kimi, and omae (, more formally "the one before me") may refer to a listener depending on the listener's relative social position and the degree of familiarity between the speaker and the listener. When used in different social relationships, the same word may have positive (intimate or respectful) or negative (distant or disrespectful) connotations. Japanese often use titles of the person referred to where pronouns would be used in English. For example, when speaking to one's teacher, it is appropriate to use sensei (, teacher), but inappropriate to use anata. This is because anata is used to refer to people of equal or lower status, and one's teacher has higher status. Inflection and conjugation Japanese nouns have no grammatical number, gender or article aspect. The noun hon () may refer to a single book or several books; hito () can mean "person" or "people", and ki () can be "tree" or "trees". Where number is important, it can be indicated by providing a quantity (often with a counter word) or (rarely) by adding a suffix, or sometimes by duplication (e.g. , hitobito, usually written with an iteration mark as ). Words for people are usually understood as singular. Thus Tanaka-san usually means Mx Tanaka. Words that refer to people and animals can be made to indicate a group of individuals through the addition of a collective suffix (a noun suffix that indicates a group), such as -tachi, but this is not a true plural: the meaning is closer to the English phrase "and company". A group described as Tanaka-san-tachi may include people not named Tanaka. Some Japanese nouns are effectively plural, such as hitobito "people" and wareware "we/us", while the word tomodachi "friend" is considered singular, although plural in form. Verbs are conjugated to show tenses, of which there are two: past and present (or non-past) which is used for the present and the future. For verbs that represent an ongoing process, the -te iru form indicates a continuous (or progressive) aspect, similar to the suffix ing in English. For others that represent a change of state, the -te iru form indicates a perfect aspect. For example, kite iru means "He has come (and is still here)", but tabete iru means "He is eating". Questions (both with an interrogative pronoun and yes/no questions) have the same structure as affirmative sentences, but with intonation rising at the end. In the formal register, the question particle -ka is added. For example, ii desu () "It is OK" becomes ii desu-ka () "Is it OK?". In a more informal tone sometimes the particle -no () is added instead to show a personal interest of the speaker: Dōshite konai-no? "Why aren't (you) coming?". Some simple queries are formed simply by mentioning the topic with an interrogative intonation to call for the hearer's attention: Kore wa? "(What about) this?"; O-namae wa? () "(What's your) name?". Negatives are formed by inflecting the verb. For example, Pan o taberu () "I will eat bread" or "I eat bread" becomes Pan o tabenai () "I will not eat bread" or "I do not eat bread". Plain negative forms are i-adjectives (see below) and inflect as such, e.g. Pan o tabenakatta () "I did not eat bread". The so-called -te verb form is used for a variety of purposes: either progressive or perfect aspect (see above); combining verbs in a temporal sequence (Asagohan o tabete sugu dekakeru "I'll eat breakfast and leave at once"), simple commands, conditional statements and permissions (Dekakete-mo ii? "May I go out?"), etc. The word da (plain), desu (polite) is the copula verb. It corresponds approximately to the English be, but often takes on other roles, including a marker for tense, when the verb is conjugated into its past form datta (plain), deshita (polite). This comes into use because only i-adjectives and verbs can carry tense in Japanese. Two additional common verbs are used to indicate existence ("there is") or, in some contexts, property: aru (negative nai) and iru (negative inai), for inanimate and animate things, respectively. For example, Neko ga iru "There's a cat", Ii kangae-ga nai "[I] haven't got a good idea". The verb "to do" (suru, polite form shimasu) is often used to make verbs from nouns (ryōri suru "to cook", benkyō suru "to study", etc.) and has been productive in creating modern slang words. Japanese also has a huge number of compound verbs to express concepts that are described in English using a verb and an adverbial particle (e.g. tobidasu "to fly out, to flee," from tobu "to fly, to jump" + dasu "to put out, to emit"). There are three types of adjectives (see Japanese adjectives): keiyōshi, or i adjectives, which have a conjugating ending i () (such as atsui "to be hot") which can become past ( atsukatta "it was hot"), or negative ( atsuku nai "it is not hot"). Note that nai is also an i adjective, which can become past ( atsuku nakatta "it was not hot"). atsui hi "a hot day". keiyōdōshi, or na adjectives, which are followed by a form of the copula, usually na. For example, hen (strange) hen na hito "a strange person". rentaishi, also called true adjectives, such as ano "that" ano yama "that mountain". Both keiyōshi and keiyōdōshi may predicate sentences. For example, Gohan ga atsui. "The rice is hot." Kare wa hen da. "He's strange." Both inflect, though they do not show the full range of conjugation found in true verbs. The rentaishi in Modern Japanese are few in number, and unlike the other words, are limited to directly modifying nouns. They never predicate sentences. Examples include ookina "big", kono "this", iwayuru "so-called" and taishita "amazing". Both keiyōdōshi and keiyōshi form adverbs, by following with ni in the case of keiyōdōshi: hen ni naru "become strange", and by changing i to ku in the case of keiyōshi: atsuku naru "become hot". The grammatical function of nouns is indicated by postpositions, also called particles. These include for example: ga for the nominative case. Kare ga yatta. "He did it." ni for the dative case. Tanaka-san ni agete kudasai "Please give it to Mr. Tanaka." It is also used for the lative case, indicating a motion to a location. Nihon ni ikitai "I want to go to Japan." However, へ e is more commonly used for the lative case. pātī e ikanai ka? "Won't you go to the party?" no for the genitive case, or nominalizing phrases. watashi no kamera "my camera" Sukī-ni iku no ga suki desu "(I) like going skiing." o for the accusative case. Nani o tabemasu ka? "What will (you) eat?" wa for the topic. It can co-exist with the case markers listed above, and it overrides ga and (in most cases) o. Watashi wa sushi ga ii desu. (literally) "As for me, sushi is good." The nominative marker ga after watashi is hidden under wa. Note: The subtle difference between wa and ga in Japanese cannot be derived from the English language as such, because the distinction between sentence topic and subject is not made there. While wa indicates the topic, which the rest of the sentence describes or acts upon, it carries
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of Wales' visit to a Canadian veterans hospital to see a soldier who had lost all of his senses and his limbs. "Though the novel was a pacifist piece published in wartime, it was well reviewed and won an American Booksellers Award in 1940." (It was published two days after the declaration of war in Europe, more than two years before the United States joined World War II.) Publication Serialized in the Daily Worker in March 1940, published by the Communist Party USA to which Trumbo belonged, the book became "a rally point for the political left" which had opposed involvement in World War II during the period of the Molotov–Ribbentrop Pact (1939-1941) when the USSR maintained a non aggression pact with Nazi Germany. Shortly after the 1941 German invasion of the Soviet Union, Trumbo and his publishers decided to suspend reprinting the book until the end of the war, due to the Communist Party USA's support for the war so long as the US was allied with the Soviet Union against Nazi Germany. In his introduction to a 1959 reprinting, Trumbo describes receiving letters from right-wing isolationists requesting copies of the book when it was out of print. Trumbo contacted the FBI and turned these letters over to them. Trumbo regretted this decision, which he later called "foolish," after two FBI agents showed up at his home and it became clear that "their interest lay not in the letters but in me." Adaptations On March 9, 1940, a radio adaptation of Johnny Got His Gun was produced and directed by Arch Oboler, based on his script, and presented on the NBC Radio series, Arch Oboler's Plays. James Cagney voiced Joe Bonham on that broadcast. In 1971, Trumbo adapted for the screen and directed an eponymous film adaptation of the novel, starring Timothy Bottoms as Joe Bonham. In early 2009, the 1971 film made its U.S. DVD debut, produced by Shout! Factory. The DVD included the original, uncut film, plus a 2005 documentary (Dalton Trumbo: Rebel In Hollywood), new cast interviews, Metallica's music video "One", behind-the-scenes footage with commentary by stars Timothy Bottoms and Jules Brenner, the 1940 radio adaptation, and the original theatrical trailer. In 1982, Johnny Got His Gun was adapted into a stage play by Bradley Rand Smith, which has since been performed worldwide. Its first off-Broadway run starred Jeff Daniels, who won an Obie Award for his performance. In 1984, a television adaptation was filmed by director Miroslava Valová under the Czech name Johnny si vzal pušku. It was filmed via Czechoslovak Television in Prague, starring , Petr Haničinec and Věra Galatíková. In 1988, Metallica released the studio album ...And Justice for All, which includes the song "One", heavily based on the book's events and depiction of Joe Bonham's condition. The music video for the song features several clips from the film adaptation. In 2008, Ben McKenzie starred in a solo performance in the "live on stage, on film" version of the play. From May 21, 2014 to June 14, 2014, the UK stage premiere, directed by David Mercatali and starring Jack Holden, ran
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for war) Kareen (who was aged 19 years at the time of Joe's departure) is mentioned throughout the book as Joe floats between reality and fantasy. She and Joe sleep together for the first time (chapter 3) the night before he leaves, with her father's reluctant approval. Diane (Joe's first girlfriend) Diane is only mentioned in chapter 4. In that chapter it is mentioned that she cheated on Joe with a boy named Glen Hogan. She also cheats on Joe with his best friend, Bill Harper (who told him that she cheated with Hogan). Bill Harper (Joe's best friend) Bill Harper warns Joe that Diane has cheated on him with Glen Hogan. Joe, who doesn't believe the news, hits Bill. Joe later finds out Bill was truthful and decides that he wants to renew their friendship. However, he finds Bill and Diane making out at her home and is hurt by both. The end of chapter 4 references how Bill was killed at Belleau Wood. Howie Joe meets Howie (chapter 4) after his troubles with Diane and Glen Hogan. It seems that Howie was never able to keep a girl in his life, and his girlfriend Onie also cheated on him with Glen Hogan. Joe and Howie decide not only to forget about their girlfriends but also about Glen Hogan. Joe and Howie join a group of Mexicans working on a railroad. However, once Howie receives an apologetic telegram from Onie, the boys decide to return home. José José worked at a bakery with Joe. He was given the job at the bakery through the local homeless shelter. José has many stories that set him apart from the other homeless workers, including the fact that he refused marriage to a wealthy woman. José wanted to work in Hollywood. When the opportunity presented itself to work for a picture company, José purposely gets fired because he feels his own personal honor will not allow him to quit on the boss that gave him his original opportunity. New day nurse The new day nurse was the first person to successfully communicate with Joe after his injuries. She moved her finger on his bare chest in the shape of the letter M until Joe signaled that he understood "M". She then spelled out "MERRY CHRISTMAS" and Joe signaled that he understood. The new day nurse then deduced that Joe's head-banging was in Morse Code and fetched someone who knew Morse Code. Title and context The title is a play on the phrase "Johnny get your gun", a rallying call that was commonly used to encourage young American men to enlist in the military in the late 19th and early 20th centuries. That phrase was popularized in the George M. Cohan song "Over There", which was widely recorded in the first year of American involvement in World War I; the versions by Al Jolson, Enrico Caruso, and Nora Bayes are believed to have sold the most copies on phonograph records at the time. Johnny Get Your Gun is also the name of a 1919 film directed by Donald Crisp. Many of protagonist Joe Bonham's early memories are based on Dalton Trumbo's early life in Colorado and Los Angeles. The novel was inspired by an article he read about Edward VIII, Prince of Wales' visit to a Canadian veterans hospital to see a soldier who had lost all of his
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of such claims, so proposed a wager, telling Ehrlich to select any raw material he wanted and select "any date more than a year away," and Simon would bet that the commodity's price on that date would be lower than what it was at the time of the wager. Ehrlich and his colleagues picked five metals that they thought would undergo big price increases: chromium, copper, nickel, tin, and tungsten. Then, on paper, they bought $200 worth of each, for a total bet of $1,000, using the prices on September 29, 1980, as an index. They designated September 29, 1990, 10 years hence, as the payoff date. If the inflation-adjusted prices of the various metals rose in the interim, Simon would pay Ehrlich the combined difference. If the prices fell, Ehrlich et al. would pay Simon. Between 1980 and 1990, the world's population grew by more than 800 million, the largest increase in one decade in all of history. But by September 1990, the price of each of Ehrlich's selected metals had fallen. Chromium, which had sold for $3.90 a pound in 1980, was down to $3.70 in 1990. Tin, which was $8.72 a pound in 1980, was down to $3.88 a decade later. As a result, in October 1990, Paul Ehrlich mailed Julian Simon a check for $576.07 to settle the wager in Simon's favor. Analysis Julian Simon won because the price of three of the five metals went down in nominal terms and all five of the metals fell in price in inflation-adjusted terms, with both tin and tungsten falling by more than half. In his book Betrayal of Science and Reason, Ehrlich wrote that Simon "[asserted] that humanity would never run out of anything". Ehrlich added that he and fellow scientists viewed renewable resources as more important indicators of the state of planet Earth, but that he decided to go along with the bet anyway. Afterward, Simon offered to raise the wager to $20,000 and to use any resources at any time that Ehrlich preferred. Ehrlich countered with a challenge to bet that temperatures would increase in the future. The two were unable to reach an agreement on the terms of a second wager before Simon died. Ehrlich could have won if the bet had been for a different ten-year period. Ehrlich wrote that the five metals in question had increased in price between the years 1950 and 1975. Asset manager Jeremy Grantham wrote that if the Simon–Ehrlich wager had been for a longer period (from 1980 to 2011), then Simon would have lost on four of the five metals. He also noted that if the wager had been expanded to "all of the most important commodities," instead of just five metals, over that longer period of 1980 to 2011, then Simon would have lost "by a lot." Economist Mark J. Perry noted that for an even longer period of time, from 1934 to 2013, the inflation-adjusted price of the Dow Jones-AIG Commodities Index showed "an overall significant downward trend" and concluded that Simon was "more right than lucky". Economist Tim Worstall wrote that "The end result of all of this is that yes, it is true that Ehrlich could have, would have, won the bet depending upon the starting date. ... But the long term trend for metals at least is downwards." The proposed second wager Understanding that Simon wanted to bet again, Ehrlich and climatologist Stephen Schneider counter-offered, challenging Simon to bet on 15 current trends, betting $1000 that each will get worse (as in the previous wager) over a ten-year future period. The bets were: The three years 2002–2004 will on average be warmer than 1992–1994. There
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agricultural soil per person in 2004 than 1994. There will be on average less rice and wheat grown per person in 2002–2004 than in 1992–1994. In developing nations there will be less firewood available per person in 2004 than in 1994. The remaining area of virgin tropical moist forests will be significantly smaller in 2004 than in 1994. The oceanic fishery harvest per person will continue its downward trend and thus in 2004 will be smaller than in 1994. There will be fewer plant and animal species still extant in 2004 than in 1994. More people will die of AIDS in 2004 than in 1994. Between 1994 and 2004, sperm cell counts of human males will continue to decline and reproductive disorders will continue to increase. The gap in wealth between the richest 10% of humanity and the poorest 10% will be greater in 2004 than in 1994. Simon declined Ehrlich and Schneider's offer to bet, and used the following analogy to explain why he did so: In his 1981 book The Ultimate Resource, Simon noted that not all decreases in resources or increases in unwanted effects correspond to overall decreases in human wellbeing. Hence there can be an "optimal level of pollution" which accepts some increases in certain kinds of pollution in a way that increases overall wellbeing, while acknowledging that any increase in pollution is nevertheless a cost which must be considered in any such calculation (p. 143). Some of the trends listed above are actually predicted by Simon's theory of resource development, and do not in themselves even count as costs (as pollution does). E.g., he pointed out that due to increased efficiency, the amount of cropland required and actually used to grow food for each person has decreased over time and is likely to continue to do so (p. 5). The same might potentially be true of decreased reliance on firewood in developing countries, and per capita use of specific food sources like rice, wheat, and fish, if economic development makes a diverse range of alternative foods available. Some have also proven false, e.g., the amount of ozone in the lower atmosphere has decreased from 1994 to 2004. Other wagers In 1996, Simon bet $1000 with David South, professor of the Auburn University School of Forestry, that the inflation-adjusted price of timber would decrease in the following five years. Simon paid out early on the bet in 1997 (before his death in 1998) based on his expectation that prices would remain above 1996 levels (which they did). In 1999, when The Economist headlined an article entitled, "$5 a barrel oil soon?" and with oil trading in the $12/barrel range, David South offered $1000 to any economist who would bet with him that the price of oil would be greater than $12/barrel in 2010. No economist took him up on the offer. However, in October 2000, Zagros Madjd-Sadjadi, an economist with The University of the West Indies, bet $1000 with David South that the inflation-adjusted price of oil would decrease to an inflation-adjusted price of $25 by 2010 (down from what was then $30/barrel). Madjd-Sadjadi paid South an inflation-adjusted $1,242 in January 2010. The price of oil at the time was $81/barrel. See also Long Bet Project Malthusian catastrophe Oil price increases since 2003 Peak oil Richard Rainwater Simmons–Tierney bet Scientific wager References Further reading Sabin, Paul (2013), The Bet (Yale University Press). Desrochers, Pierre and Vincent Geloso, "Snatching the Wrong Conclusions from the Jaws of Defeat: A Historical/Resourceship Perspective on Paul Sabin's The Bet: Paul Ehrlich, Julian Simon, and Our Gamble over Earth's Future (Yale University Press, 2013), Part 2: The Wager: Protagonists and Lessons." New Perspectives on Political
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Tenniel's more precisely-designed illustrations depicted specific moments of time, locale and individual character instead of just generalised scenes. In addition to a change in specificity of background, Tenniel developed a new interest in human types, expressions, and individualised representation, something that would carry over into his illustrations of Wonderland. Referred to by many as theatricality, this hallmark of Tenniel's style probably stemmed from his earlier interest in caricature. In Tenniel's first years on Punch he developed this caricaturist's interest in the uniqueness of persons and things, almost giving a human like personality to the objects in the environment. For example, a comparison of one of John Everett Millais's illustrations of a girl in a chair with Tenniel's illustration of Alice in a chair shows clearly that Millais's chair is just a prop, whereas Tenniel's chair possesses a menacing and towering presence. Another change in style was his shaded lines. These transformed from mechanical horizontal lines to vigorously hand-drawn hatching that greatly intensified darker areas. Grotesque Tenniel's "grotesque" was one reason why Lewis Carroll wanted Tenniel as his illustrator for the Alice books, in the sense of imparting a disturbing sense that the real world may have ceased to be reliable. Tenniel's style was characteristically grotesque through his dark, atmospheric compositions of exaggerated fantasy creatures carefully drawn in outline. Often the mechanism was to use animal heads on recognisable human bodies or vice versa, as Grandville had done in the Parisian satirical journal Charivari. In Tenniel's illustrations, the grotesque is found also in mergers of beings and things, deformities in and violence to the human body (e. g. when Alice drinks the potion and grows huge), and a proclivity to deal with ordinary things of this world while presenting such phenomena. The most noticeably grotesque is Tenniel's famous Jabberwock drawing in Alice. The Alice illustrations combine fantasy and reality. Scholars such as Morris trace Tenniel's stylistic change to the late 1850s trend towards realism. For the grotesque to operate, "it is our world which has to be transformed and not some fantasy realm." The illustrations constantly but subtly remind us of the real world, as do some of Tenniel's scenes derived from a medieval town, the portico of a Georgian town, or the checked jacket on the White Rabbit. Additionally, Tenniel closely follows Carroll's text, so that the reader sees the similitude between the written text and the illustrations. These touches of realism help to convince readers that all these seemingly grotesque inhabitants of Wonderland are simply themselves, simply real, not just performing. Image and text in Alice One unusual aspect of the Alice books is the placing of Tenniel's illustrations on the pages. This physical relation of illustrations to text meshes them together. Carroll and Tenniel expressed this in various ways. One was bracketing: two relevant sentences would bracket an image as a way of imparting the moment that Tenniel was trying to illustrate. This bracketing of Tenniel's pictures with text adds to their "dramatic immediacy." However, other, less frequent illustrations work with the texts as captions. Another link between illustration and text is the use of broader and narrower illustrations. Broader ones are meant to be centred on the page, narrower to be "let in" or run flush to the margin, alongside a narrow column of continuing text. Still, words run in parallel with the depiction of those things. For example, when Alice says, "Oh, my poor little feet!", it not only occurs at the foot of the page but is right next to her feet in the illustration. Some of these narrower illustrations are "L"-shaped, and of great importance as some of his most memorable work. The top or base of these illustrations runs the full width of the page, but the other end leaves room on one side for text. Book illustrations A selected list: Entirely by Tenniel Juvenile Verse and Picture Book (1846) Undine (1846) Aesop's Fables (1848) Blair's Grave (1858) Shirley Brooks' The Gordian Knot (1860) Shirley Brooks' The Silver Cord (1861) Moore's Lalla Rookh (1861), 69 drawings Lewis Carroll's Alice's Adventures in Wonderland (1866) The Mirage of Life (1867) Lewis Carroll's Through the Looking-Glass (1870) Lewis Carroll's The Nursery "Alice" (1890) Tenniel's different collaborations: Thomas Ingoldsby's The Ingoldsby Legends Pollok's Course of Time (1857) The Poets of the Nineteenth Century (1858) Edgar Allan Poe's "The Raven," in The Poetical Works of Edgar Allan Poe (1858) Home Affections (1858) Cholmondeley Pennell's Puck on Pegasus (1863) The Arabian Nights (1863) L. B. White, English Sacred Poetry of the Olden Time (1864) Legends and Lyrics (1865) Martin Farquhar Tupper's Proverbial Philosophy Barry Cornwall's Dramatic Scenes: With other poems (1857) Retirement and death An ultimate tribute came to an elderly Tenniel as he was knighted for public service in 1893 by Queen Victoria. It was the first such honour ever bestowed on an illustrator or cartoonist. His fellows saw his knighthood as gratitude for "raising what had been a fairly lowly profession to an unprecedented level of respectability." With his knighthood, Tenniel elevated the social status of the black-and-white illustrator, and sparked a new sense of recognition of his profession. When he retired in January 1901, Tenniel was honoured with a farewell banquet (on 12 June), at which AJ Balfour, then Leader of the House of Commons, presided, and described Tenniel as "a great artist and a great gentleman". Tenniel died on 25 February 1914, three days before his 94th birthday. He was buried in Kensal Green Cemetery in London. Legacy The Punch historian M. H. Spielmann, who knew Tenniel, wrote that the political clout contained in his Punch cartoons was capable of "swaying parties and people, too". Two days after his death, The Daily Graphic recalled how
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Wonderland (1866) The Mirage of Life (1867) Lewis Carroll's Through the Looking-Glass (1870) Lewis Carroll's The Nursery "Alice" (1890) Tenniel's different collaborations: Thomas Ingoldsby's The Ingoldsby Legends Pollok's Course of Time (1857) The Poets of the Nineteenth Century (1858) Edgar Allan Poe's "The Raven," in The Poetical Works of Edgar Allan Poe (1858) Home Affections (1858) Cholmondeley Pennell's Puck on Pegasus (1863) The Arabian Nights (1863) L. B. White, English Sacred Poetry of the Olden Time (1864) Legends and Lyrics (1865) Martin Farquhar Tupper's Proverbial Philosophy Barry Cornwall's Dramatic Scenes: With other poems (1857) Retirement and death An ultimate tribute came to an elderly Tenniel as he was knighted for public service in 1893 by Queen Victoria. It was the first such honour ever bestowed on an illustrator or cartoonist. His fellows saw his knighthood as gratitude for "raising what had been a fairly lowly profession to an unprecedented level of respectability." With his knighthood, Tenniel elevated the social status of the black-and-white illustrator, and sparked a new sense of recognition of his profession. When he retired in January 1901, Tenniel was honoured with a farewell banquet (on 12 June), at which AJ Balfour, then Leader of the House of Commons, presided, and described Tenniel as "a great artist and a great gentleman". Tenniel died on 25 February 1914, three days before his 94th birthday. He was buried in Kensal Green Cemetery in London. Legacy The Punch historian M. H. Spielmann, who knew Tenniel, wrote that the political clout contained in his Punch cartoons was capable of "swaying parties and people, too". Two days after his death, The Daily Graphic recalled how Tenniel "had an influence on the political feeling of this time which is hardly measurable.... While Tenniel was drawing them (his subjects), we always looked to the Punch cartoon to crystallize the national and international situation, and the popular feeling about it—and never looked in vain." This social influence resulted from the weekly publishing of his political cartoons over 50 years, whereby Tenniel's fame allowed for a want and need for his particular illustrative work, away from the newspaper. Tenniel became not only one of Victorian Britain's most published illustrators, but as a Punch cartoonist one of the "supreme social observers" of British society and an integral component of a powerful journalistic force. The New-York Tribune journalist George W. Smalley referred to John Tenniel in 1914 as "one of the greatest intellectual forces of his time, (who) understood social laws and political energies." Public exhibitions of Sir John Tenniel's work were held in 1895 and 1900. Tenniel was also the author of one of the mosaics, Leonardo da Vinci, in the South Court in the Victoria and Albert Museum. His stippled watercolour drawings appeared from time to time in the exhibitions of the Royal Institute of Painters in Water Colours, to which he had been elected in 1874. Tenniel Close, a Bayswater street near his former studio, is named after him. Gallery References Bibliography John Buchanan-Brown, Early Victorian Illustrated Books: Britain, France and Germany. London: The British Library and Oak Knoll Press, 2005 Lewis Carroll, Alice's Adventures in Wonderland & Through the Looking-Glass. Edited by Roger Lancelyn Green. Illustrated by John Tenniel. Oxford: Oxford UP, 1971 Lewis Carroll, The Annotated Alice: Alice's Adventures in Wonderland & Through the Looking-Glass. Introduction and notes by Martin Gardner. Illustrated by John Tenniel. New York: Bramhall House, 1960 Morton N. Cohen and Edward Wakeling, eds, Lewis Carroll and His Illustrators: Collaborations and Correspondence, 1865–1898. Ithaca: Cornell UP, 2003 L. Perry Curtis, book review: Sir John Tenniel: Aspects of His Work. Victorian Studies. Vol. 40, Bloomington: Indiana UP, 1996. 168–171. JSTOR recovered 21 November 2010 L. Perry Curtis, book review: Drawing Conclusions: A Cartoon History of Anglo-Irish Relations, 1798–1998 by Roy Douglas, et al. Victorian Studies. Bloomington: Indiana UP, 2001. 520–522. JSTOR recovered 21 November 2010 Edward D. Dalziel and George Dalziel, The Brothers Dalziel: A Record of Fifty Years' Work, London: Methuen, 1901 Eleanor M. Garvey and W. H. Bond, Introduction, Tenniel's Alice. Cambridge: Harvard College Library/The Stinehour Press, 1978 J. Francis Gladstone and Jo Elwyn-Jones, The Alice Companion Palgrave Macmillan, 1998. Paul Goldman, Victorian Illustrators, Aldershot, UK: Scolar Press, 1996 Marguerite Mespoulet, Creators of Wonderland. New York: Arrow Editions, 1934 Harry Levin, "Wonderland Revisited" The Kenyon Review, Vol. 27, no. 4, Kenyon College, 1965, pp. 591–616 JSTOR recovered 3 December 2010 Frankie Morris, John Tenniel, Cartoonist: A Critical and Sociocultural Study in the Art of the Victorian Political Cartoon, PhD dissertation, Columbia: University of Missouri, 1985 William Cosmo Monkhouse, The Life and Works of Sir John Tenniel, London: ArtJournal Easter Annual, 1901 Graham Ovenden and John Davis, The Illustrators of Alice in Wonderland and Through the Looking-Glass, New York: St Martin's Press, 1972 Forrest Reid, Illustrators of the Eighteen Sixties: An Illustrated Survey of the Work of 58 British Artists, New York: Dover Publications, 1975 Frances Sarzano, Sir John Tenniel,
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By the 18th century, slaves in the New Orleans area gathered socially at a special market, in an area which later became known as Congo Square, famous for its African dances. By 1866, the Atlantic slave trade had brought nearly 400,000 Africans to North America. The slaves came largely from West Africa and the greater Congo River basin and brought strong musical traditions with them. The African traditions primarily use a single-line melody and call-and-response pattern, and the rhythms have a counter-metric structure and reflect African speech patterns. An 1885 account says that they were making strange music (Creole) on an equally strange variety of 'instruments'—washboards, washtubs, jugs, boxes beaten with sticks or bones and a drum made by stretching skin over a flour-barrel. Lavish festivals with African-based dances to drums were organized on Sundays at Place Congo, or Congo Square, in New Orleans until 1843. There are historical accounts of other music and dance gatherings elsewhere in the southern United States. Robert Palmer said of percussive slave music: Usually such music was associated with annual festivals, when the year's crop was harvested and several days were set aside for celebration. As late as 1861, a traveler in North Carolina saw dancers dressed in costumes that included horned headdresses and cow tails and heard music provided by a sheepskin-covered "gumbo box", apparently a frame drum; triangles and jawbones furnished the auxiliary percussion. There are quite a few [accounts] from the southeastern states and Louisiana dating from the period 1820–1850. Some of the earliest [Mississippi] Delta settlers came from the vicinity of New Orleans, where drumming was never actively discouraged for very long and homemade drums were used to accompany public dancing until the outbreak of the Civil War. Another influence came from the harmonic style of hymns of the church, which black slaves had learned and incorporated into their own music as spirituals. The origins of the blues are undocumented, though they can be seen as the secular counterpart of the spirituals. However, as Gerhard Kubik points out, whereas the spirituals are homophonic, rural blues and early jazz "was largely based on concepts of heterophony". During the early 19th century an increasing number of black musicians learned to play European instruments, particularly the violin, which they used to parody European dance music in their own cakewalk dances. In turn, European-American minstrel show performers in blackface popularized the music internationally, combining syncopation with European harmonic accompaniment. In the mid-1800s the white New Orleans composer Louis Moreau Gottschalk adapted slave rhythms and melodies from Cuba and other Caribbean islands into piano salon music. New Orleans was the main nexus between the Afro-Caribbean and African-American cultures. African rhythmic retention The Black Codes outlawed drumming by slaves, which meant that African drumming traditions were not preserved in North America, unlike in Cuba, Haiti, and elsewhere in the Caribbean. African-based rhythmic patterns were retained in the United States in large part through "body rhythms" such as stomping, clapping, and patting juba dancing. In the opinion of jazz historian Ernest Borneman, what preceded New Orleans jazz before 1890 was "Afro-Latin music", similar to what was played in the Caribbean at the time. A three-stroke pattern known in Cuban music as tresillo is a fundamental rhythmic figure heard in many different slave musics of the Caribbean, as well as the Afro-Caribbean folk dances performed in New Orleans Congo Square and Gottschalk's compositions (for example "Souvenirs From Havana" (1859)). Tresillo (shown below) is the most basic and most prevalent duple-pulse rhythmic cell in sub-Saharan African music traditions and the music of the African Diaspora. Tresillo is heard prominently in New Orleans second line music and in other forms of popular music from that city from the turn of the 20th century to present. "By and large the simpler African rhythmic patterns survived in jazz ... because they could be adapted more readily to European rhythmic conceptions," jazz historian Gunther Schuller observed. "Some survived, others were discarded as the Europeanization progressed." In the post-Civil War period (after 1865), African Americans were able to obtain surplus military bass drums, snare drums and fifes, and an original African-American drum and fife music emerged, featuring tresillo and related syncopated rhythmic figures. This was a drumming tradition that was distinct from its Caribbean counterparts, expressing a uniquely African-American sensibility. "The snare and bass drummers played syncopated cross-rhythms," observed the writer Robert Palmer, speculating that "this tradition must have dated back to the latter half of the nineteenth century, and it could have not have developed in the first place if there hadn't been a reservoir of polyrhythmic sophistication in the culture it nurtured." Afro-Cuban influence African-American music began incorporating Afro-Cuban rhythmic motifs in the 19th century when the habanera (Cuban contradanza) gained international popularity. Musicians from Havana and New Orleans would take the twice-daily ferry between both cities to perform, and the habanera quickly took root in the musically fertile Crescent City. John Storm Roberts states that the musical genre habanera "reached the U.S. twenty years before the first rag was published." For the more than quarter-century in which the cakewalk, ragtime, and proto-jazz were forming and developing, the habanera was a consistent part of African-American popular music. Habaneras were widely available as sheet music and were the first written music which was rhythmically based on an African motif (1803). From the perspective of African-American music, the "habanera rhythm" (also known as "congo"), "tango-congo", or tango. can be thought of as a combination of tresillo and the backbeat. The habanera was the first of many Cuban music genres which enjoyed periods of popularity in the United States and reinforced and inspired the use of tresillo-based rhythms in African-American music. New Orleans native Louis Moreau Gottschalk's piano piece "Ojos Criollos (Danse Cubaine)" (1860) was influenced by the composer's studies in Cuba: the habanera rhythm is clearly heard in the left hand. In Gottschalk's symphonic work "A Night in the Tropics" (1859), the tresillo variant cinquillo appears extensively. The figure was later used by Scott Joplin and other ragtime composers. Comparing the music of New Orleans with the music of Cuba, Wynton Marsalis observes that tresillo is the New Orleans "clavé", a Spanish word meaning "code" or "key", as in the key to a puzzle, or mystery. Although the pattern is only half a clave, Marsalis makes the point that the single-celled figure is the guide-pattern of New Orleans music. Jelly Roll Morton called the rhythmic figure the Spanish tinge and considered it an essential ingredient of jazz. Ragtime The abolition of slavery in 1865 led to new opportunities for the education of freed African Americans. Although strict segregation limited employment opportunities for most blacks, many were able to find work in entertainment. Black musicians were able to provide entertainment in dances, minstrel shows, and in vaudeville, during which time many marching bands were formed. Black pianists played in bars, clubs, and brothels, as ragtime developed. Ragtime appeared as sheet music, popularized by African-American musicians such as the entertainer Ernest Hogan, whose hit songs appeared in 1895. Two years later, Vess Ossman recorded a medley of these songs as a banjo solo known as "Rag Time Medley". Also in 1897, the white composer William Krell published his "Mississippi Rag" as the first written piano instrumental ragtime piece, and Tom Turpin published his "Harlem Rag", the first rag published by an African-American. Classically trained pianist Scott Joplin produced his "Original Rags" in 1898 and, in 1899, had an international hit with "Maple Leaf Rag", a multi-strain ragtime march with four parts that feature recurring themes and a bass line with copious seventh chords. Its structure was the basis for many other rags, and the syncopations in the right hand, especially in the transition between the first and second strain, were novel at the time. The last four measures of Scott Joplin's "Maple Leaf Rag" (1899) are shown below. African-based rhythmic patterns such as tresillo and its variants, the habanera rhythm and cinquillo, are heard in the ragtime compositions of Joplin and Turpin. Joplin's "Solace" (1909) is generally considered to be in the habanera genre: both of the pianist's hands play in a syncopated fashion, completely abandoning any sense of a march rhythm. Ned Sublette postulates that the tresillo/habanera rhythm "found its way into ragtime and the cakewalk," whilst Roberts suggests that "the habanera influence may have been part of what freed black music from ragtime's European bass". Blues African genesis Blues is the name given to both a musical form and a music genre, which originated in African-American communities of primarily the Deep South of the United States at the end of the 19th century from their spirituals, work songs, field hollers, shouts and chants and rhymed simple narrative ballads. The African use of pentatonic scales contributed to the development of blue notes in blues and jazz. As Kubik explains: Many of the rural blues of the Deep South are stylistically an extension and merger of basically two broad accompanied song-style traditions in the west central Sudanic belt: A strongly Arabic/Islamic song style, as found for example among the Hausa. It is characterized by melisma, wavy intonation, pitch instabilities within a pentatonic framework, and a declamatory voice. An ancient west central Sudanic stratum of pentatonic song composition, often associated with simple work rhythms in a regular meter, but with notable off-beat accents. W. C. Handy: early published blues W. C. Handy became interested in folk blues of the Deep South while traveling through the Mississippi Delta. In this folk blues form, the singer would improvise freely within a limited melodic range, sounding like a field holler, and the guitar accompaniment was slapped rather than strummed, like a small drum which responded in syncopated accents, functioning as another "voice". Handy and his band members were formally trained African-American musicians who had not grown up with the blues, yet he was able to adapt the blues to a larger band instrument format and arrange them in a popular music form. Handy wrote about his adopting of the blues: The primitive southern Negro, as he sang, was sure to bear down on the third and seventh tone of the scale, slurring between major and minor. Whether in the cotton field of the Delta or on the Levee up St. Louis way, it was always the same. Till then, however, I had never heard this slur used by a more sophisticated Negro, or by any white man. I tried to convey this effect ... by introducing flat thirds and sevenths (now called blue notes) into my song, although its prevailing key was major ... , and I carried this device into my melody as well. The publication of his "Memphis Blues" sheet music in 1912 introduced the 12-bar blues to the world (although Gunther Schuller argues that it is not really a blues, but "more like a cakewalk"). This composition, as well as his later "St. Louis Blues" and others, included the habanera rhythm, and would become jazz standards. Handy's music career began in the pre-jazz era and contributed to the codification of jazz through the publication of some of the first jazz sheet music. New Orleans The music of New Orleans had a profound effect on the creation of early jazz. In New Orleans, slaves could practice elements of their culture such as voodoo and playing drums. Many early jazz musicians played in the bars and brothels of the red-light district around Basin Street called Storyville. In addition to dance bands, there were marching bands which played at lavish funerals (later called jazz funerals). The instruments used by marching bands and dance bands became the instruments of jazz: brass, drums, and reeds tuned in the European 12-tone scale. Small bands contained a combination of self-taught and formally educated musicians, many from the funeral procession tradition. These bands traveled in black communities in the deep south. Beginning in 1914, Creole and African-American musicians played in vaudeville shows which carried jazz to cities in the northern and western parts of the U.S. Jazz became international in 1914, when the Creole Band with cornettist Freddie Keppard performed the first ever jazz concert outside the United States, at the Pantages Playhouse Theatre in Winnipeg, Canada. In New Orleans, a white bandleader named Papa Jack Laine integrated blacks and whites in his marching band. He was known as "the father of white jazz" because of the many top players he employed, such as George Brunies, Sharkey Bonano, and future members of the Original Dixieland Jass Band. During the early 1900s, jazz was mostly performed in African-American and mulatto communities due to segregation laws. Storyville brought jazz to a wider audience through tourists who visited the port city of New Orleans. Many jazz musicians from African-American communities were hired to perform in bars and brothels. These included Buddy Bolden and Jelly Roll Morton in addition to those from other communities, such as Lorenzo Tio and Alcide Nunez. Louis Armstrong started his career in Storyville and found success in Chicago. Storyville was shut down by the U.S. government in 1917. Syncopation Cornetist Buddy Bolden played in New Orleans from 1895 to 1906. No recordings by him exist. His band is credited with creating the big four: the first syncopated bass drum pattern to deviate from the standard on-the-beat march. As the example below shows, the second half of the big four pattern is the habanera rhythm. Afro-Creole pianist Jelly Roll Morton began his career in Storyville. Beginning in 1904, he toured with vaudeville shows to southern cities, Chicago, and New York City. In 1905, he composed "Jelly Roll Blues", which became the first jazz arrangement in print when it was published in 1915. In introduced more musicians to the New Orleans style. Morton considered the tresillo/habanera, which he called the Spanish tinge, an essential ingredient of jazz. "Now in one of my earliest tunes, "New Orleans Blues," you can notice the Spanish tinge. In fact, if you can't manage to put tinges of Spanish in your tunes, you will never be able to get the right seasoning, I call it, for jazz." An excerpt of "New Orleans Blues" is shown below. In the excerpt, the left hand plays the tresillo rhythm, while the right hand plays variations on cinquillo. Morton was a crucial innovator in the evolution from the early jazz form known as ragtime to jazz piano, and could perform pieces in either style; in 1938, Morton made a series of recordings for the Library of Congress in which he demonstrated the difference between the two styles. Morton's solos, however, were still close to ragtime, and were not merely improvisations over chord changes as in later jazz, but his use of the blues was of equal importance. Swing in the early 20th century Morton loosened ragtime's rigid rhythmic feeling, decreasing its embellishments and employing a swing feeling. Swing is the most important and enduring African-based rhythmic technique used in jazz. An oft quoted definition of swing by Louis Armstrong is: "if you don't feel it, you'll never know it." The New Harvard Dictionary of Music states that swing is: "An intangible rhythmic momentum in jazz...Swing defies analysis; claims to its presence may inspire arguments." The dictionary does nonetheless provide the useful description of triple subdivisions of the beat contrasted with duple subdivisions: swing superimposes six subdivisions of the beat over a basic pulse structure or four subdivisions. This aspect of swing is far more prevalent in African-American music than in Afro-Caribbean music. One aspect of swing, which is heard in more rhythmically complex Diaspora musics, places strokes in-between the triple and duple-pulse "grids". New Orleans brass bands are a lasting influence, contributing horn players to the world of professional jazz with the distinct sound of the city whilst helping black children escape poverty. The leader of New Orleans' Camelia Brass Band, D'Jalma Ganier, taught Louis Armstrong to play trumpet; Armstrong would then popularize the New Orleans style of trumpet playing, and then expand it. Like Jelly Roll Morton, Armstrong is also credited with the abandonment of ragtime's stiffness in favor of swung notes. Armstrong, perhaps more than any other musician, codified the rhythmic technique of swing in jazz and broadened the jazz solo vocabulary. The Original Dixieland Jass Band made the music's first recordings early in 1917, and their "Livery Stable Blues" became the earliest released jazz record. That year, numerous other bands made recordings featuring "jazz" in the title or band name, but most were ragtime or novelty records rather than jazz. In February 1918 during World War I, James Reese Europe's "Hellfighters" infantry band took ragtime to Europe, then on their return recorded Dixieland standards including "Darktown Strutters' Ball". Other regions In the northeastern United States, a "hot" style of playing ragtime had developed, notably James Reese Europe's symphonic Clef Club orchestra in New York City, which played a benefit concert at Carnegie Hall in 1912. The Baltimore rag style of Eubie Blake influenced James P. Johnson's development of stride piano playing, in which the right hand plays the melody, while the left hand provides the rhythm and bassline. In Ohio and elsewhere in the mid-west the major influence was ragtime, until about 1919. Around 1912, when the four-string banjo and saxophone came in, musicians began to improvise the melody line, but the harmony and rhythm remained unchanged. A contemporary account states that blues could only be heard in jazz in the gut-bucket cabarets, which were generally looked down upon by the Black middle-class. The Jazz Age From 1920 to 1933, Prohibition in the United States banned the sale of alcoholic drinks, resulting in illicit speakeasies which became lively venues of the "Jazz Age", hosting popular music, dance songs, novelty songs, and show tunes. Jazz began to get a reputation as immoral, and many members of the older generations saw it as a threat to the old cultural values by promoting the decadent values of the Roaring 20s. Henry van Dyke of Princeton University wrote, "... it is not music at all. It's merely an irritation of the nerves of hearing, a sensual teasing of the strings of physical passion." The New York Times reported that Siberian villagers used jazz to scare away bears, but the villagers had used pots and pans; another story claimed that the fatal heart attack of a celebrated conductor was caused by jazz. In 1919, Kid Ory's Original Creole Jazz Band of musicians from New Orleans began playing in San Francisco and Los Angeles, where in 1922 they became the first black jazz band of New Orleans origin to make recordings. During the same year, Bessie Smith made her first recordings. Chicago was developing "Hot Jazz", and King Oliver joined Bill Johnson. Bix Beiderbecke formed The Wolverines in 1924. Despite its Southern black origins, there was a larger market for jazzy dance music played by white orchestras. In 1918, Paul Whiteman and his orchestra became a hit in San Francisco. He signed a contract with Victor and became the top bandleader of the 1920s, giving hot jazz a white component, hiring white musicians such as Bix Beiderbecke, Jimmy Dorsey, Tommy Dorsey, Frankie Trumbauer, and Joe Venuti. In 1924, Whiteman commissioned George Gershwin's Rhapsody in Blue, which was premiered by his orchestra. Jazz began to be recognized as a notable musical form. Olin Downes, reviewing the concert in The New York Times, wrote, "This composition shows extraordinary talent, as it shows a young composer with aims that go far beyond those of his ilk, struggling with a form of which he is far from being master. ... In spite of all this, he has expressed himself in a significant and, on the whole, highly original form. ... His first theme ... is no mere dance-tune ... it is an idea, or several ideas, correlated and combined in varying and contrasting rhythms that immediately intrigue the listener." After Whiteman's band successfully toured Europe, huge hot jazz orchestras in theater pits caught on with other whites, including Fred Waring, Jean Goldkette, and Nathaniel Shilkret. According to Mario Dunkel, Whiteman's success was based on a "rhetoric of domestication" according to which he had elevated and rendered valuable (read "white") a previously inchoate (read "black") kind of music. Whiteman's success caused blacks to follow suit, including Earl Hines (who opened in The Grand Terrace Cafe in Chicago in 1928), Duke Ellington (who opened at the Cotton Club in Harlem in 1927), Lionel Hampton, Fletcher Henderson, Claude Hopkins, and Don Redman, with Henderson and Redman developing the "talking to one another" formula for "hot" swing music. In 1924, Louis Armstrong joined the Fletcher Henderson dance band for a year, as featured soloist. The original New Orleans style was polyphonic, with theme variation and simultaneous collective improvisation. Armstrong was a master of his hometown style, but by the time he joined Henderson's band, he was already a trailblazer in a new phase of jazz, with its emphasis on arrangements and soloists. Armstrong's solos went well beyond the theme-improvisation concept and extemporized on chords, rather than melodies. According to Schuller, by comparison, the solos by Armstrong's bandmates (including a young Coleman Hawkins), sounded "stiff, stodgy", with "jerky rhythms and a grey undistinguished tone quality". The following example shows a short excerpt of the straight melody of "Mandy, Make Up Your Mind" by George W. Meyer and Arthur Johnston (top), compared with Armstrong's solo improvisations (below) (recorded 1924). Armstrong's solos were a significant factor in making jazz a true 20th-century language. After leaving Henderson's group, Armstrong formed his Hot Five band, where he popularized scat singing. Swing in the 1920s and 1930s The 1930s belonged to popular swing big bands, in which some virtuoso soloists became as famous as the band leaders. Key figures in developing the "big" jazz band included bandleaders and arrangers Count Basie, Cab Calloway, Jimmy and Tommy Dorsey, Duke Ellington, Benny Goodman, Fletcher Henderson, Earl Hines, Harry James, Jimmie Lunceford, Glenn Miller and Artie Shaw. Although it was a collective sound, swing also offered individual musicians a chance to "solo" and improvise melodic, thematic solos which could at times be complex "important" music. Over time, social strictures regarding racial segregation began to relax in America: white bandleaders began to recruit black musicians and black bandleaders white ones. In the mid-1930s, Benny Goodman hired pianist Teddy Wilson, vibraphonist Lionel Hampton and guitarist Charlie Christian to join small groups. In the 1930s, Kansas City Jazz as exemplified by tenor saxophonist Lester Young marked the transition from big bands to the bebop influence of the 1940s. An early 1940s style known as "jumping the blues" or jump blues used small combos, uptempo music and blues chord progressions, drawing on boogie-woogie from the 1930s. The influence of Duke Ellington While swing was reaching the height of its popularity, Duke Ellington spent the late 1920s and 1930s developing an innovative musical idiom for his orchestra. Abandoning the conventions of swing, he experimented with orchestral sounds, harmony, and musical form with complex compositions that still translated well for popular audiences; some of his tunes became hits, and his own popularity spanned from the United States to Europe. Ellington called his music American Music, rather than jazz, and liked to describe those who impressed him as "beyond category". These included many musicians from his orchestra, some of whom are considered among the best in jazz in their own right, but it was Ellington who melded them into one of the most popular jazz orchestras in the history of jazz. He often composed for the style and skills of these individuals, such as "Jeep's Blues" for Johnny Hodges, "Concerto for Cootie" for Cootie Williams (which later became "Do Nothing Till You Hear from Me" with Bob Russell's lyrics), and "The Mooche" for Tricky Sam Nanton and Bubber Miley. He also recorded compositions written by his bandsmen, such as Juan Tizol's "Caravan" and "Perdido", which brought the "Spanish Tinge" to big-band jazz. Several members of the orchestra remained with him for several decades. The band reached a creative peak in the early 1940s, when Ellington and a small hand-picked group of his composers and arrangers wrote for an orchestra of distinctive voices who displayed tremendous creativity. Beginnings of European jazz As only a limited number of American jazz records were released in Europe, European jazz traces many of its roots to American artists such as James Reese Europe, Paul Whiteman, and Lonnie Johnson, who visited Europe during and after World War I. It was their live performances which inspired European audiences' interest in jazz, as well as the interest in all things American (and therefore exotic) which accompanied the economic and political woes of Europe during this time. The beginnings of a distinct European style of jazz began to emerge in this interwar period. British jazz began with a tour by the Original Dixieland Jazz Band in 1919. In 1926, Fred Elizalde and His Cambridge Undergraduates began broadcasting on the BBC. Thereafter jazz became an important element in many leading dance orchestras, and jazz instrumentalists became numerous. This style entered full swing in France with the Quintette du Hot Club de France, which began in 1934. Much of this French jazz was a combination of African-American jazz and the symphonic styles in which French musicians were well-trained; in this, it is easy to see the inspiration taken from Paul Whiteman since his style was also a fusion of the two. Belgian guitarist Django Reinhardt popularized gypsy jazz, a mix of 1930s American swing, French dance hall "musette", and Eastern European folk with a languid, seductive feel; the main instruments were steel stringed guitar, violin, and double bass. Solos pass from one player to another as guitar and bass form the rhythm section. Some researchers believe Eddie Lang and Joe Venuti pioneered the guitar-violin partnership characteristic of the genre, which was brought to France after they had been heard live or on Okeh Records in the late 1920s. Post-war jazz The outbreak of World War II marked a turning point for jazz. The swing-era jazz of the previous decade had challenged other popular music as being representative of the nation's culture, with big bands reaching the height of the style's success by the early 1940s; swing acts and big bands traveled with U.S. military overseas to Europe, where it also became popular. Stateside, however, the war presented difficulties for the big-band format: conscription shortened the number of musicians available; the military's need for shellac (commonly used for pressing gramophone records) limited record production; a shortage of rubber (also due to the war effort) discouraged bands from touring via road travel; and a demand by the musicians' union for a commercial recording ban limited music distribution between 1942 and 1944. Many of the big bands who were deprived of experienced musicians because of the war effort began to enlist young players who were below the age for conscription, as was the case with saxophonist Stan Getz's entry in a band as a teenager. This coincided with a nationwide resurgence in the Dixieland style of pre-swing jazz; performers such as clarinetist George Lewis, cornetist Bill Davison, and trombonist Turk Murphy were hailed by conservative jazz critics as more authentic than the big bands. Elsewhere, with the limitations on recording, small groups of young musicians developed a more uptempo, improvisational style of jazz, collaborating and experimenting with new ideas for melodic development, rhythmic language, and harmonic substitution, during informal, late-night jam sessions hosted in small clubs and apartments. Key figures in this development were largely based in New York and included pianists Thelonious Monk and Bud Powell, drummers Max Roach and Kenny Clarke, saxophonist Charlie Parker, and trumpeter Dizzy Gillespie. This musical development became known as bebop. Bebop and subsequent post-war jazz developments featured a wider set of notes, played in more complex patterns and at faster tempos than previous jazz. According to Clive James, bebop was "the post-war musical development which tried to ensure that jazz would no longer be the spontaneous sound of joy ... Students of race relations in America are generally agreed that the exponents of post-war jazz were determined, with good reason, to present themselves as challenging artists rather than tame entertainers." The end of the war marked "a revival of the spirit of experimentation and musical pluralism under which it had been conceived", along with "the beginning of a decline in the popularity of jazz music in America", according to American academic Michael H. Burchett. With the rise of bebop and the end of the swing era after the war, jazz lost its cachet as pop music. Vocalists of the famous big bands moved on to being marketed and performing as solo pop singers; these included Frank Sinatra, Peggy Lee, Dick Haymes, and Doris Day. Older musicians who still performed their pre-war jazz, such as Armstrong and Ellington, were gradually viewed in the mainstream as passé. Other younger performers, such as singer Big Joe Turner and saxophonist Louis Jordan, who were discouraged by bebop's increasing complexity pursued more lucrative endeavors in rhythm and blues, jump blues, and eventually rock and roll. Some, including Gillespie, composed intricate yet danceable pieces for bebop musicians in an effort to make them more accessible, but bebop largely remained on the fringes of American audiences' purview. "The new direction of postwar jazz drew a wealth of critical acclaim, but it steadily declined in popularity as it developed a reputation as an academic genre that was largely inaccessible to mainstream audiences", Burchett said. "The quest to make jazz more relevant to popular audiences, while retaining its artistic integrity, is a constant and prevalent theme in the history of postwar jazz." During its swing period, jazz had been an uncomplicated musical scene; according to Paul Trynka, this changed in the post-war years: Bebop In the early 1940s, bebop-style performers began to shift jazz from danceable popular music toward a more challenging "musician's music". The most influential bebop musicians included saxophonist Charlie Parker, pianists Bud Powell and Thelonious Monk, trumpeters Dizzy Gillespie and Clifford Brown, and drummer Max Roach. Divorcing itself from dance music, bebop established itself more as an art form, thus lessening its potential popular and commercial appeal. Composer Gunther Schuller wrote: "In 1943 I heard the great Earl Hines band which had Bird in it and all those other great musicians. They were playing all the flatted fifth chords and all the modern harmonies and substitutions and Dizzy Gillespie runs in the trumpet section work. Two years later I read that that was 'bop' and the beginning of modern jazz ... but the band never made recordings." Dizzy Gillespie wrote: "People talk about the Hines band being 'the incubator of bop' and the leading exponents of that music ended up in the Hines band. But people also have the erroneous impression that the music was new. It was not. The music evolved from what went before. It was the same basic music. The difference was in how you got from here to here to here...naturally each age has got its own shit." Since bebop was meant to be listened to, not danced to, it could use faster tempos. Drumming shifted to a more elusive and explosive style, in which the ride cymbal was used to keep time while the snare and bass drum were used for accents. This led to a highly syncopated music with a linear rhythmic complexity. Bebop musicians employed several harmonic devices which were not previously typical in jazz, engaging in a more abstracted form of chord-based improvisation. Bebop scales are traditional scales with an added chromatic passing note; bebop also uses "passing" chords, substitute chords, and altered chords. New forms of chromaticism and dissonance were introduced into jazz, and the dissonant tritone (or "flatted fifth") interval became the "most important interval of bebop" Chord progressions for bebop tunes were often taken directly from popular swing-era tunes and reused with a new and more complex melody and/or reharmonized with more complex chord progressions to form new compositions, a practice which was already well-established in earlier jazz, but came to be central to the bebop style. Bebop made use of several relatively common chord progressions, such as blues (at base, I–IV–V, but often infused with ii–V motion) and "rhythm changes" (I–VI–ii–V) – the chords to the 1930s pop standard "I Got Rhythm". Late bop also moved towards extended forms that represented a departure from pop and show tunes. The harmonic development in bebop is often traced back to a moment experienced by Charlie Parker while performing "Cherokee" at Clark Monroe's Uptown House, New York, in early 1942. "I'd been getting bored with the stereotyped changes that were being used...and I kept thinking there's bound to be something else. I could hear it sometimes. I couldn't play it...I was working over 'Cherokee,' and, as I did, I found that by using the higher intervals of a chord as a melody line and backing them with appropriately related changes, I could play the thing I'd been hearing. It came alive." Gerhard Kubik postulates that harmonic development in bebop sprang from blues and African-related tonal sensibilities rather than 20th-century Western classical music. "Auditory inclinations were the African legacy in [Parker's] life, reconfirmed by the experience of the blues tonal system, a sound world at odds with the Western diatonic chord categories. Bebop musicians eliminated Western-style functional harmony in their music while retaining the strong central tonality of the blues as a basis for drawing upon various African matrices." Samuel Floyd states that blues was both the bedrock and propelling force of bebop, bringing about a new harmonic conception using extended chord structures that led
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ostinato "Afro Blue" bass line. The cross noteheads indicate the main beats (not bass notes). When John Coltrane covered "Afro Blue" in 1963, he inverted the metric hierarchy, interpreting the tune as a jazz waltz with duple cross-beats superimposed (2:3). Originally a B pentatonic blues, Coltrane expanded the harmonic structure of "Afro Blue". Perhaps the most respected Afro-cuban jazz combo of the late 1950s was vibraphonist Cal Tjader's band. Tjader had Mongo Santamaria, Armando Peraza, and Willie Bobo on his early recording dates. Dixieland revival In the late 1940s, there was a revival of Dixieland, harking back to the contrapuntal New Orleans style. This was driven in large part by record company reissues of jazz classics by the Oliver, Morton, and Armstrong bands of the 1930s. There were two types of musicians involved in the revival: the first group was made up of those who had begun their careers playing in the traditional style and were returning to it (or continuing what they had been playing all along), such as Bob Crosby's Bobcats, Max Kaminsky, Eddie Condon, and Wild Bill Davison. Most of these players were originally Midwesterners, although there were a small number of New Orleans musicians involved. The second group of revivalists consisted of younger musicians, such as those in the Lu Watters band, Conrad Janis, and Ward Kimball and his Firehouse Five Plus Two Jazz Band. By the late 1940s, Louis Armstrong's Allstars band became a leading ensemble. Through the 1950s and 1960s, Dixieland was one of the most commercially popular jazz styles in the US, Europe, and Japan, although critics paid little attention to it. Hard bop Hard bop is an extension of bebop (or "bop") music that incorporates influences from blues, rhythm and blues, and gospel, especially in saxophone and piano playing. Hard bop was developed in the mid-1950s, coalescing in 1953 and 1954; it developed partly in response to the vogue for cool jazz in the early 1950s and paralleled the rise of rhythm and blues. Miles Davis' 1954 performance of "Walkin'" at the first Newport Jazz Festival announced the style to the jazz world. The quintet Art Blakey and the Jazz Messengers, led by Blakey and featuring pianist Horace Silver and trumpeter Clifford Brown, were leaders in the hard bop movement with Davis. Modal jazz Modal jazz is a development which began in the later 1950s which takes the mode, or musical scale, as the basis of musical structure and improvisation. Previously, a solo was meant to fit into a given chord progression, but with modal jazz, the soloist creates a melody using one (or a small number of) modes. The emphasis is thus shifted from harmony to melody: "Historically, this caused a seismic shift among jazz musicians, away from thinking vertically (the chord), and towards a more horizontal approach (the scale)", explained pianist Mark Levine. The modal theory stems from a work by George Russell. Miles Davis introduced the concept to the greater jazz world with Kind of Blue (1959), an exploration of the possibilities of modal jazz which would become the best selling jazz album of all time. In contrast to Davis' earlier work with hard bop and its complex chord progression and improvisation, Kind of Blue was composed as a series of modal sketches in which the musicians were given scales that defined the parameters of their improvisation and style. "I didn't write out the music for Kind of Blue, but brought in sketches for what everybody was supposed to play because I wanted a lot of spontaneity," recalled Davis. The track "So What" has only two chords: D-7 and E-7. Other innovators in this style include Jackie McLean, and two of the musicians who had also played on Kind of Blue: John Coltrane and Bill Evans. Free jazz Free jazz, and the related form of avant-garde jazz, broke through into an open space of "free tonality" in which meter, beat, and formal symmetry all disappeared, and a range of world music from India, Africa, and Arabia were melded into an intense, even religiously ecstatic or orgiastic style of playing. While loosely inspired by bebop, free jazz tunes gave players much more latitude; the loose harmony and tempo was deemed controversial when this approach was first developed. The bassist Charles Mingus is also frequently associated with the avant-garde in jazz, although his compositions draw from myriad styles and genres. The first major stirrings came in the 1950s with the early work of Ornette Coleman (whose 1960 album Free Jazz: A Collective Improvisation coined the term) and Cecil Taylor. In the 1960s, exponents included Albert Ayler, Gato Barbieri, Carla Bley, Don Cherry, Larry Coryell, John Coltrane, Bill Dixon, Jimmy Giuffre, Steve Lacy, Michael Mantler, Sun Ra, Roswell Rudd, Pharoah Sanders, and John Tchicai. In developing his late style, Coltrane was especially influenced by the dissonance of Ayler's trio with bassist Gary Peacock and drummer Sunny Murray, a rhythm section honed with Cecil Taylor as leader. In November 1961, Coltrane played a gig at the Village Vanguard, which resulted in the classic Chasin' the 'Trane, which Down Beat magazine panned as "anti-jazz". On his 1961 tour of France, he was booed, but persevered, signing with the new Impulse! Records in 1960 and turning it into "the house that Trane built", while championing many younger free jazz musicians, notably Archie Shepp, who often played with trumpeter Bill Dixon, who organized the 4-day "October Revolution in Jazz" in Manhattan in 1964, the first free jazz festival. A series of recordings with the Classic Quartet in the first half of 1965 show Coltrane's playing becoming increasingly abstract, with greater incorporation of devices like multiphonics, utilization of overtones, and playing in the altissimo register, as well as a mutated return to Coltrane's sheets of sound. In the studio, he all but abandoned his soprano to concentrate on the tenor saxophone. In addition, the quartet responded to the leader by playing with increasing freedom. The group's evolution can be traced through the recordings The John Coltrane Quartet Plays, Living Space and Transition (both June 1965), New Thing at Newport (July 1965), Sun Ship (August 1965), and First Meditations (September 1965). In June 1965, Coltrane and 10 other musicians recorded Ascension, a 40-minute-long piece without breaks that included adventurous solos by young avant-garde musicians as well as Coltrane, and was controversial primarily for the collective improvisation sections that separated the solos. Dave Liebman later called it "the torch that lit the free jazz thing". After recording with the quartet over the next few months, Coltrane invited Pharoah Sanders to join the band in September 1965. While Coltrane used over-blowing frequently as an emotional exclamation-point, Sanders would opt to overblow his entire solo, resulting in a constant screaming and screeching in the altissimo range of the instrument. Free jazz in Europe Free jazz was played in Europe in part because musicians such as Ayler, Taylor, Steve Lacy, and Eric Dolphy spent extended periods of time there, and European musicians such as Michael Mantler and John Tchicai traveled to the U.S. to experience American music firsthand. European contemporary jazz was shaped by Peter Brötzmann, John Surman, Krzysztof Komeda, Zbigniew Namysłowski, Tomasz Stanko, Lars Gullin, Joe Harriott, Albert Mangelsdorff, Kenny Wheeler, Graham Collier, Michael Garrick and Mike Westbrook. They were eager to develop approaches to music that reflected their heritage. Since the 1960s, creative centers of jazz in Europe have developed, such as the creative jazz scene in Amsterdam. Following the work of drummer Han Bennink and pianist Misha Mengelberg, musicians started to explore by improvising collectively until a form (melody, rhythm, a famous song) is found Jazz critic Kevin Whitehead documented the free jazz scene in Amsterdam and some of its main exponents such as the ICP (Instant Composers Pool) orchestra in his book New Dutch Swing. Since the 1990s Keith Jarrett has defended free jazz from criticism. British writer Stuart Nicholson has argued European contemporary jazz has an identity different from American jazz and follows a different trajectory. Latin jazz Latin jazz is jazz that employs Latin American rhythms and is generally understood to have a more specific meaning than simply jazz from Latin America. A more precise term might be Afro-Latin jazz, as the jazz subgenre typically employs rhythms that either have a direct analog in Africa or exhibit an African rhythmic influence beyond what is ordinarily heard in other jazz. The two main categories of Latin jazz are Afro-Cuban jazz and Brazilian jazz. In the 1960s and 1970s, many jazz musicians had only a basic understanding of Cuban and Brazilian music, and jazz compositions which used Cuban or Brazilian elements were often referred to as "Latin tunes", with no distinction between a Cuban son montuno and a Brazilian bossa nova. Even as late as 2000, in Mark Gridley's Jazz Styles: History and Analysis, a bossa nova bass line is referred to as a "Latin bass figure". It was not uncommon during the 1960s and 1970s to hear a conga playing a Cuban tumbao while the drumset and bass played a Brazilian bossa nova pattern. Many jazz standards such as "Manteca", "On Green Dolphin Street" and "Song for My Father" have a "Latin" A section and a swung B section. Typically, the band would only play an even-eighth "Latin" feel in the A section of the head and swing throughout all of the solos. Latin jazz specialists like Cal Tjader tended to be the exception. For example, on a 1959 live Tjader recording of "A Night in Tunisia", pianist Vince Guaraldi soloed through the entire form over an authentic mambo. Afro-Cuban jazz renaissance For most of its history, Afro-Cuban jazz had been a matter of superimposing jazz phrasing over Cuban rhythms. But by the end of the 1970s, a new generation of New York City musicians had emerged who were fluent in both salsa dance music and jazz, leading to a new level of integration of jazz and Cuban rhythms. This era of creativity and vitality is best represented by the Gonzalez brothers Jerry (congas and trumpet) and Andy (bass). During 1974–1976, they were members of one of Eddie Palmieri's most experimental salsa groups: salsa was the medium, but Palmieri was stretching the form in new ways. He incorporated parallel fourths, with McCoy Tyner-type vamps. The innovations of Palmieri, the Gonzalez brothers and others led to an Afro-Cuban jazz renaissance in New York City. This occurred in parallel with developments in Cuba The first Cuban band of this new wave was Irakere. Their "Chékere-son" (1976) introduced a style of "Cubanized" bebop-flavored horn lines that departed from the more angular guajeo-based lines which were typical of Cuban popular music and Latin jazz up until that time. It was based on Charlie Parker's composition "Billie's Bounce", jumbled together in a way that fused clave and bebop horn lines. In spite of the ambivalence of some band members towards Irakere's Afro-Cuban folkloric / jazz fusion, their experiments forever changed Cuban jazz: their innovations are still heard in the high level of harmonic and rhythmic complexity in Cuban jazz and in the jazzy and complex contemporary form of popular dance music known as timba. Afro-Brazilian jazz Brazilian jazz, such as bossa nova, is derived from samba, with influences from jazz and other 20th-century classical and popular music styles. Bossa is generally moderately paced, with melodies sung in Portuguese or English, whilst the related jazz-samba is an adaptation of street samba into jazz. The bossa nova style was pioneered by Brazilians João Gilberto and Antônio Carlos Jobim and was made popular by Elizete Cardoso's recording of "Chega de Saudade" on the Canção do Amor Demais LP. Gilberto's initial releases, and the 1959 film Black Orpheus, achieved significant popularity in Latin America; this spread to North America via visiting American jazz musicians. The resulting recordings by Charlie Byrd and Stan Getz cemented bossa nova's popularity and led to a worldwide boom, with 1963's Getz/Gilberto, numerous recordings by famous jazz performers such as Ella Fitzgerald and Frank Sinatra, and the eventual entrenchment of the bossa nova style as a lasting influence in world music. Brazilian percussionists such as Airto Moreira and Naná Vasconcelos also influenced jazz internationally by introducing Afro-Brazilian folkloric instruments and rhythms into a wide variety of jazz styles, thus attracting a greater audience to them. African-inspired Rhythm The first jazz standard composed by a non-Latino to use an overt African cross-rhythm was Wayne Shorter's "Footprints" (1967). On the version recorded on Miles Smiles by Miles Davis, the bass switches to a tresillo figure at 2:20. "Footprints" is not, however, a Latin jazz tune: African rhythmic structures are accessed directly by Ron Carter (bass) and Tony Williams (drums) via the rhythmic sensibilities of swing. Throughout the piece, the four beats, whether sounded or not, are maintained as the temporal referent. The following example shows the and forms of the bass line. The slashed noteheads indicate the main beats (not bass notes), where one ordinarily taps their foot to "keep time". Pentatonic scales The use of pentatonic scales was another trend associated with Africa. The use of pentatonic scales in Africa probably goes back thousands of years. McCoy Tyner perfected the use of the pentatonic scale in his solos, and also used parallel fifths and fourths, which are common harmonies in West Africa. The minor pentatonic scale is often used in blues improvisation, and like a blues scale, a minor pentatonic scale can be played over all of the chords in a blues. The following pentatonic lick was played over blues changes by Joe Henderson on Horace Silver's "African Queen" (1965). Jazz pianist, theorist, and educator Mark Levine refers to the scale generated by beginning on the fifth step of a pentatonic scale as the V pentatonic scale. Levine points out that the V pentatonic scale works for all three chords of the standard II–V–I jazz progression. This is a very common progression, used in pieces such as Miles Davis' "Tune Up". The following example shows the V pentatonic scale over a II–V–I progression. Accordingly, John Coltrane's "Giant Steps" (1960), with its 26 chords per 16 bars, can be played using only three pentatonic scales. Coltrane studied Nicolas Slonimsky's Thesaurus of Scales and Melodic Patterns, which contains material that is virtually identical to portions of "Giant Steps". The harmonic complexity of "Giant Steps" is on the level of the most advanced 20th-century art music. Superimposing the pentatonic scale over "Giant Steps" is not merely a matter of harmonic simplification, but also a sort of "Africanizing" of the piece, which provides an alternate approach for soloing. Mark Levine observes that when mixed in with more conventional "playing the changes", pentatonic scales provide "structure and a feeling of increased space". Sacred and liturgical jazz As noted above, jazz has incorporated from its inception aspects of African-American sacred music including spirituals and hymns. Secular jazz musicians often performed renditions of spirituals and hymns as part of their repertoire or isolated compositions such as "Come Sunday", part of "Black and Beige Suite" by Duke Ellington. Later many other jazz artists borrowed from black gospel music. However, it was only after World War II that a few jazz musicians began to compose and perform extended works intended for religious settings and/or as religious expression. Since the 1950s, sacred and liturgical music has been performed and recorded by many prominent jazz composers and musicians. The "Abyssinian Mass" by Wynton Marsalis (Blueengine Records, 2016) is a recent example. Relatively little has been written about sacred and liturgical jazz. In a 2013 doctoral dissertation, Angelo Versace examined the development of sacred jazz in the 1950s using disciplines of musicology and history. He noted that the traditions of black gospel music and jazz were combined in the 1950s to produce a new genre, "sacred jazz". Versace maintained that the religious intent separates sacred from secular jazz. Most prominent in initiating the sacred jazz movement were pianist and composer Mary Lou Williams, known for her jazz masses in the 1950s and Duke Ellington. Prior to his death in 1974 in response to contacts from Grace Cathedral in San Francisco, Duke Ellington wrote three Sacred Concerts: 1965 – A Concert of Sacred Music; 1968 – Second Sacred Concert; 1973 – Third Sacred Concert. The most prominent form of sacred and liturgical jazz is the jazz mass. Although most often performed in a concert setting rather than church worship setting, this form has many examples. An eminent example of composers of the jazz mass was Mary Lou Williams. Williams converted to Catholicism in 1957, and proceeded to compose three masses in the jazz idiom. One was composed in 1968 to honor the recently assassinated Martin Luther King Jr. and the third was commissioned by a pontifical commission. It was performed once in 1975 in St Patrick's Cathedral in New York City. However the Catholic Church has not embraced jazz as appropriate for worship. In 1966 Joe Masters recorded "Jazz Mass" for Columbia Records. A jazz ensemble was joined by soloists and choir using the English text of the Roman Catholic Mass. Other examples include "Jazz Mass in Concert" by Lalo Schiffrin (Aleph Records, 1998, UPC 0651702632725) and "Jazz Mass" by Vince Guaraldi (Fantasy Records, 1965). In England, classical composer Will Todd recorded his "Jazz Missa Brevis" with a jazz ensemble, soloists and the St Martin's Voices on a 2018 Signum Records release, "Passion Music/Jazz Missa Brevis" also released as "Mass in Blue", and jazz organist James Taylor composed "The Rochester Mass" (Cherry Red Records, 2015). In 2013, Versace put forth bassist Ike Sturm and New York composer Deanna Witkowski as contemporary exemplars of sacred and liturgical jazz. Jazz fusion In the late 1960s and early 1970s, the hybrid form of jazz-rock fusion was developed by combining jazz improvisation with rock rhythms, electric instruments and the highly amplified stage sound of rock musicians such as Jimi Hendrix and Frank Zappa. Jazz fusion often uses mixed meters, odd time signatures, syncopation, complex chords, and harmonies. According to AllMusic: ... until around 1967, the worlds of jazz and rock were nearly completely separate. [However, ...] as rock became more creative and its musicianship improved, and as some in the jazz world became bored with hard bop and did not want to play strictly avant-garde music, the two different idioms began to trade ideas and occasionally combine forces. Miles Davis' new directions In 1969, Davis fully embraced the electric instrument approach to jazz with In a Silent Way, which can be considered his first fusion album. Composed of two side-long suites edited heavily by producer Teo Macero, this quiet, static album would be equally influential to the development of ambient music. As Davis recalls: The music I was really listening to in 1968 was James Brown, the great guitar player Jimi Hendrix, and a new group who had just come out with a hit record, "Dance to the Music", Sly and the Family Stone ... I wanted to make it more like rock. When we recorded In a Silent Way I just threw out all the chord sheets and told everyone to play off of that. Two contributors to In a Silent Way also joined organist Larry Young to create one of the early acclaimed fusion albums: Emergency! (1969) by The Tony Williams Lifetime. Psychedelic-jazz Weather Report Weather Report's self-titled electronic and psychedelic Weather Report debut album caused a sensation in the jazz world on its arrival in 1971, thanks to the pedigree of the group's members (including percussionist Airto Moreira), and their unorthodox approach to music. The album featured a softer sound than would be the case in later years (predominantly using acoustic bass with Shorter exclusively playing soprano saxophone, and with no synthesizers involved), but is still considered a classic of early fusion. It built on the avant-garde experiments which Joe Zawinul and Shorter had pioneered with Miles Davis on Bitches Brew, including an avoidance of head-and-chorus composition in favor of continuous rhythm and movement – but took the music further. To emphasize the group's rejection of standard methodology, the album opened with the inscrutable avant-garde atmospheric piece "Milky Way", which featured by Shorter's extremely muted saxophone inducing vibrations in Zawinul's piano strings while the latter pedaled the instrument. Down Beat described the album as "music beyond category", and awarded it Album of the Year in the magazine's polls that year. Weather Report's subsequent releases were creative funk-jazz works. Jazz-rock Although some jazz purists protested against the blend of jazz and rock, many jazz innovators crossed over from the contemporary hard bop scene into fusion. As well as the electric instruments of rock (such as electric guitar, electric bass, electric piano and synthesizer keyboards), fusion also used the powerful amplification, "fuzz" pedals, wah-wah pedals and other effects that were used by 1970s-era rock bands. Notable performers of jazz fusion included Miles Davis, Eddie Harris, keyboardists Joe Zawinul, Chick Corea, and Herbie Hancock, vibraphonist Gary Burton, drummer Tony Williams (drummer), violinist Jean-Luc Ponty, guitarists Larry Coryell, Al Di Meola, John McLaughlin, Ryo Kawasaki, and Frank Zappa, saxophonist Wayne Shorter and bassists Jaco Pastorius and Stanley Clarke. Jazz fusion was also popular in Japan, where the band Casiopea released more than thirty fusion albums. According to jazz writer Stuart Nicholson, "just as free jazz appeared on the verge of creating a whole new musical language in the 1960s ... jazz-rock briefly suggested the promise of doing the same" with albums such as Williams' Emergency! (1970) and Davis' Agharta (1975), which Nicholson said "suggested the potential of evolving into something that might eventually define itself as a wholly independent genre quite apart from the sound and conventions of anything that had gone before." This development was stifled by commercialism, Nicholson said, as the genre "mutated into a peculiar species of jazz-inflected pop music that eventually took up residence on FM radio" at the end of the 1970s. Jazz-funk By the mid-1970s, the sound known as jazz-funk had developed, characterized by a strong back beat (groove), electrified sounds and, often, the presence of electronic analog synthesizers. Jazz-funk also draws influences from traditional African music, Afro-Cuban rhythms and Jamaican reggae, notably Kingston bandleader Sonny Bradshaw. Another feature is the shift of emphasis from improvisation to composition: arrangements, melody and overall writing became important. The integration of funk, soul, and R&B music into jazz resulted in the creation of a genre whose spectrum is wide and ranges from strong jazz improvisation to soul, funk or disco with jazz arrangements, jazz riffs and jazz solos, and sometimes soul vocals. Early examples are Herbie Hancock's Headhunters band and Miles Davis' On the Corner album, which, in 1972, began Davis' foray into jazz-funk and was, he claimed, an attempt at reconnecting with the young black audience which had largely forsaken jazz for rock and funk. While there is a discernible rock and funk influence in the timbres of the instruments employed, other tonal and rhythmic textures, such as the Indian tambora and tablas and Cuban congas and bongos, create a multi-layered soundscape. The album was a culmination of sorts of the musique concrète approach that Davis and producer Teo Macero had begun to explore in the late 1960s. Traditionalism in the 1980s The 1980s saw something of a reaction against the fusion and free jazz that had dominated the 1970s. Trumpeter Wynton Marsalis emerged early in the decade, and strove to create music within what he believed was the tradition, rejecting both fusion and free jazz and creating extensions of the small and large forms initially pioneered by artists such as Louis Armstrong and Duke Ellington, as well as the hard bop of the 1950s. It is debatable whether Marsalis' critical and commercial success was a cause or a symptom of the reaction against Fusion and Free Jazz and the resurgence of interest in the kind of jazz pioneered in the 1960s (particularly modal jazz and post-bop); nonetheless there were many other manifestations of a resurgence of traditionalism, even if fusion and free jazz were by no means abandoned and continued to develop and evolve. For example, several musicians who had been prominent in the fusion genre during the 1970s began to record acoustic jazz once more, including Chick Corea and Herbie Hancock. Other musicians who had experimented with electronic instruments in the previous decade had abandoned them by the 1980s; for example, Bill Evans, Joe Henderson, and Stan Getz. Even the 1980s music of Miles Davis, although certainly still fusion, adopted a far more accessible and recognizably jazz-oriented approach than his abstract work of the mid-1970s, such as a return to a theme-and-solos approach. The emergence of young jazz talent beginning to perform in older, established musicians' groups further impacted the resurgence of traditionalism in the jazz community. In the 1970s, the groups of Betty Carter and Art Blakey and the Jazz Messengers retained their conservative jazz approaches in the midst of fusion and jazz-rock, and in addition to difficulty booking their acts, struggled to find younger generations of personnel to authentically play traditional styles such as hard bop and bebop. In the late 1970s, however, a resurgence of younger jazz players in Blakey's band began to occur. This movement included musicians such as Valery Ponomarev and Bobby Watson, Dennis Irwin and James Williams. In the 1980s, in addition to Wynton and Branford Marsalis, the emergence of pianists in the Jazz Messengers such as Donald Brown, Mulgrew Miller, and later, Benny Green, bassists such as Charles Fambrough, Lonnie Plaxico (and later, Peter Washington and Essiet Essiet) horn players such as Bill Pierce, Donald Harrison and later Javon Jackson and Terence Blanchard emerged as talented jazz musicians, all of whom made significant contributions in the 1990s and 2000s. The
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During his visits to England in these years, Swift published A Tale of a Tub and The Battle of the Books (1704) and began to gain a reputation as a writer. This led to close, lifelong friendships with Alexander Pope, John Gay, and John Arbuthnot, forming the core of the Martinus Scriblerus Club (founded in 1713). Swift became increasingly active politically in these years. Swift supported the Glorious Revolution and early in his life belonged to the Whigs. As a member of the Anglican Church, he feared a return of the Catholic monarchy and "Papist" absolutism. From 1707 to 1709 and again in 1710, Swift was in London unsuccessfully urging upon the Whig administration of Lord Godolphin the claims of the Irish clergy to the First-Fruits and Twentieths ("Queen Anne's Bounty"), which brought in about £2,500 a year, already granted to their brethren in England. He found the opposition Tory leadership more sympathetic to his cause, and, when they came to power in 1710, he was recruited to support their cause as editor of The Examiner. In 1711, Swift published the political pamphlet The Conduct of the Allies, attacking the Whig government for its inability to end the prolonged war with France. The incoming Tory government conducted secret (and illegal) negotiations with France, resulting in the Treaty of Utrecht (1713) ending the War of the Spanish Succession. Swift was part of the inner circle of the Tory government, and often acted as mediator between Henry St John (Viscount Bolingbroke), the secretary of state for foreign affairs (1710–15), and Robert Harley (Earl of Oxford), lord treasurer and prime minister (1711–14). Swift recorded his experiences and thoughts during this difficult time in a long series of letters to Esther Johnson, collected and published after his death as A Journal to Stella. The animosity between the two Tory leaders eventually led to the dismissal of Harley in 1714. With the death of Queen Anne and accession of George I that year, the Whigs returned to power, and the Tory leaders were tried for treason for conducting secret negotiations with France. Swift has been described by scholars as "a Whig in politics and Tory in religion" and Swift related his own views in similar terms, stating that as "a lover of liberty, I found myself to be what they called a Whig in politics ... But, as to religion, I confessed myself to be an High-Churchman." In his "Thoughts on Religion", fearing the intense partisan strife waged over religious belief in the seventeenth century England, Swift wrote that "Every man, as a member of the commonwealth, ought to be content with the possession of his own opinion in private." However, it should be borne in mind that, during Swift's time period, terms like "Whig" and "Tory" both encompassed a wide array of opinions and factions, and neither term aligns with a modern political party or modern political alignments. Also during these years in London, Swift became acquainted with the Vanhomrigh family (Dutch merchants who had settled in Ireland, then moved to London) and became involved with one of the daughters, Esther. Swift furnished Esther with the nickname "Vanessa" (derived by adding "Essa", a pet form of Esther, to the "Van" of her surname, Vanhomrigh), and she features as one of the main characters in his poem Cadenus and Vanessa. The poem and their correspondence suggest that Esther was infatuated with Swift, and that he may have reciprocated her affections, only to regret this and then try to break off the relationship. Esther followed Swift to Ireland in 1714, and settled at her old family home, Celbridge Abbey. Their uneasy relationship continued for some years; then there appears to have been a confrontation, possibly involving Esther Johnson. Esther Vanhomrigh died in 1723 at the age of 35, having destroyed the will she had made in Swift's favour. Another lady with whom he had a close but less intense relationship was Anne Long, a toast of the Kit-Cat Club. Final years Before the fall of the Tory government, Swift hoped that his services would be rewarded with a church appointment in England. However, Queen Anne appeared to have taken a dislike to Swift and thwarted these efforts. Her dislike has been attributed to A Tale of a Tub, which she thought blasphemous, compounded by The Windsor Prophecy, where Swift, with a surprising lack of tact, advised the Queen on which of her bedchamber ladies she should and should not trust. The best position his friends could secure for him was the Deanery of St Patrick's; this was not in the Queen's gift, and Anne, who could be a bitter enemy, made it clear that Swift would not have received the preferment if she could have prevented it. With the return of the Whigs, Swift's best move was to leave England and he returned to Ireland in disappointment, a virtual exile, to live "like a rat in a hole". Once in Ireland, however, Swift began to turn his pamphleteering skills in support of Irish causes, producing some of his most memorable works: Proposal for Universal Use of Irish Manufacture (1720), Drapier's Letters (1724), and A Modest Proposal (1729), earning him the status of an Irish patriot. This new role was unwelcome to the Government, which made clumsy attempts to silence him. His printer, Edward Waters, was convicted of seditious libel in 1720, but four years later a grand jury refused to find that the Drapier's Letters (which, though written under a pseudonym, were universally known to be Swift's work) were seditious. Swift responded with an attack on the Irish judiciary almost unparalleled in its ferocity, his principal target being the "vile and profligate villain" William Whitshed, Lord Chief Justice of Ireland. Also during these years, he began writing his masterpiece, Travels into Several Remote Nations of the World, in Four Parts, by Lemuel Gulliver, first a surgeon, and then a captain of several ships, better known as Gulliver's Travels. Much of the material reflects his political experiences of the preceding decade. For instance, the episode in which the giant Gulliver puts out the Lilliputian palace fire by urinating on it can be seen as a metaphor for the Tories' illegal peace treaty; having done a good thing in an unfortunate manner. In 1726 he paid a long-deferred visit to London, taking with him the manuscript of Gulliver's Travels. During his visit he stayed with his old friends Alexander Pope, John Arbuthnot and John Gay, who helped him arrange for the anonymous publication of his book. First published in November 1726, it was an immediate hit, with a total of three printings that year and another in early 1727. French, German, and Dutch translations appeared in 1727, and pirated copies were printed in Ireland. Swift returned to England one more time in 1727, and stayed once again with Alexander Pope. The visit was cut short when Swift received word that Esther Johnson was dying, and rushed back home to be with her. On 28 January 1728, Johnson died; Swift had prayed at her bedside, even composing prayers for her comfort. Swift could not bear to be present at the end, but on the night of her death he began to write his The Death of Mrs Johnson. He was too ill to attend the funeral at St Patrick's. Many years later, a lock of hair, assumed to be Johnson's, was found in his desk, wrapped in a paper bearing the words, "Only a woman's hair". Death Death became a frequent feature of Swift's life from this point. In 1731 he wrote Verses on the Death of Dr. Swift, his own obituary, published in 1739. In 1732, his good friend and collaborator John Gay died. In 1735, John Arbuthnot, another friend from his days in London, died. In 1738 Swift began to show signs of illness, and in 1742 he may have suffered a stroke, losing the ability to speak and realising his worst fears of becoming mentally disabled. ("I shall be like that tree", he once said, "I shall die at the top.") He became increasingly quarrelsome, and long-standing friendships, like that with Thomas Sheridan, ended without sufficient cause. To protect him from unscrupulous hangers on, who had begun to prey on the great man, his closest companions had him declared of "unsound mind and memory". However, it was long believed by many that Swift was actually insane at this point. In his book Literature and Western Man, author J. B. Priestley even cites the final chapters of Gulliver's Travels as proof of Swift's approaching "insanity". Bewley attributes his decline to 'terminal dementia'. In part VIII of his series, The Story of Civilization, Will Durant describes the final years of Swift's life as such: "Definite symptoms of madness appeared in 1738. In 1741, guardians were appointed to take care of his affairs and watch lest in his outbursts of violence he should do himself harm. In 1742, he suffered great pain from the inflammation of his left eye, which swelled to the size of an egg; five attendants had to restrain him from tearing out his eye. He went a whole year without uttering a word." In 1744, Alexander Pope died. Then on 19 October 1745, Swift, at nearly 80, died. After being laid out in public view for the people of Dublin to pay their last respects, he was buried in his own cathedral by Esther Johnson's side, in accordance with his wishes. The bulk of his fortune (£12,000) was left to found a hospital for the mentally ill, originally known as St Patrick's Hospital for Imbeciles, which opened in 1757, and which still exists as a psychiatric hospital. (Text extracted from the introduction to The Journal to Stella by George A. Aitken and from other sources). Jonathan Swift
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lock of hair, assumed to be Johnson's, was found in his desk, wrapped in a paper bearing the words, "Only a woman's hair". Death Death became a frequent feature of Swift's life from this point. In 1731 he wrote Verses on the Death of Dr. Swift, his own obituary, published in 1739. In 1732, his good friend and collaborator John Gay died. In 1735, John Arbuthnot, another friend from his days in London, died. In 1738 Swift began to show signs of illness, and in 1742 he may have suffered a stroke, losing the ability to speak and realising his worst fears of becoming mentally disabled. ("I shall be like that tree", he once said, "I shall die at the top.") He became increasingly quarrelsome, and long-standing friendships, like that with Thomas Sheridan, ended without sufficient cause. To protect him from unscrupulous hangers on, who had begun to prey on the great man, his closest companions had him declared of "unsound mind and memory". However, it was long believed by many that Swift was actually insane at this point. In his book Literature and Western Man, author J. B. Priestley even cites the final chapters of Gulliver's Travels as proof of Swift's approaching "insanity". Bewley attributes his decline to 'terminal dementia'. In part VIII of his series, The Story of Civilization, Will Durant describes the final years of Swift's life as such: "Definite symptoms of madness appeared in 1738. In 1741, guardians were appointed to take care of his affairs and watch lest in his outbursts of violence he should do himself harm. In 1742, he suffered great pain from the inflammation of his left eye, which swelled to the size of an egg; five attendants had to restrain him from tearing out his eye. He went a whole year without uttering a word." In 1744, Alexander Pope died. Then on 19 October 1745, Swift, at nearly 80, died. After being laid out in public view for the people of Dublin to pay their last respects, he was buried in his own cathedral by Esther Johnson's side, in accordance with his wishes. The bulk of his fortune (£12,000) was left to found a hospital for the mentally ill, originally known as St Patrick's Hospital for Imbeciles, which opened in 1757, and which still exists as a psychiatric hospital. (Text extracted from the introduction to The Journal to Stella by George A. Aitken and from other sources). Jonathan Swift wrote his own epitaph: W. B. Yeats poetically translated it from the Latin as: Swift has sailed into his rest; Savage indignation there Cannot lacerate his breast. Imitate him if you dare, World-besotted traveller; he Served human liberty. Works Swift was a prolific writer, notable for his satires. The most recent collection of his prose works (Herbert Davis, ed. Basil Blackwell, 1965–) comprises fourteen volumes. A recent edition of his complete poetry (Pat Rodges, ed. Penguin, 1983) is 953 pages long. One edition of his correspondence (David Woolley, ed. P. Lang, 1999) fills three volumes. Major prose works Swift's first major prose work, A Tale of a Tub, demonstrates many of the themes and stylistic techniques he would employ in his later work. It is at once wildly playful and funny while being pointed and harshly critical of its targets. In its main thread, the Tale recounts the exploits of three sons, representing the main threads of Christianity, who receive a bequest from their father of a coat each, with the added instructions to make no alterations whatsoever. However, the sons soon find that their coats have fallen out of current fashion, and begin to look for loopholes in their father's will that will let them make the needed alterations. As each finds his own means of getting around their father's admonition, they struggle with each other for power and dominance. Inserted into this story, in alternating chapters, the narrator includes a series of whimsical "digressions" on various subjects. In 1690, Sir William Temple, Swift's patron, published An Essay upon Ancient and Modern Learning a defence of classical writing (see Quarrel of the Ancients and the Moderns), holding up the Epistles of Phalaris as an example. William Wotton responded to Temple with Reflections upon Ancient and Modern Learning (1694), showing that the Epistles were a later forgery. A response by the supporters of the Ancients was then made by Charles Boyle (later the 4th Earl of Orrery and father of Swift's first biographer). A further retort on the Modern side came from Richard Bentley, one of the pre-eminent scholars of the day, in his essay Dissertation upon the Epistles of Phalaris (1699). The final words on the topic belong to Swift in his Battle of the Books (1697, published 1704) in which he makes a humorous defence on behalf of Temple and the cause of the Ancients. In 1708, a cobbler named John Partridge published a popular almanac of astrological predictions. Because Partridge falsely determined the deaths of several church officials, Swift attacked Partridge in Predictions for the Ensuing Year by Isaac Bickerstaff, a parody predicting that Partridge would die on 29 March. Swift followed up with a pamphlet issued on 30 March claiming that Partridge had in fact died, which was widely believed despite Partridge's statements to the contrary. According to other sources, Richard Steele used the persona of Isaac Bickerstaff, and was the one who wrote about the "death" of John Partridge and published it in The Spectator, not Jonathan Swift. The Drapier's Letters (1724) was a series of pamphlets against the monopoly granted by the English government to William Wood to mint copper coinage for Ireland. It was widely believed that Wood would need to flood Ireland with debased coinage in order to make a profit. In these "letters" Swift posed as a shop-keeper—a draper—to criticise the plan. Swift's writing was so effective in undermining opinion in the project that a reward was offered by the government to anyone disclosing the true identity of the author. Though hardly a secret (on returning to Dublin after one of his trips to England, Swift was greeted with a banner, "Welcome Home, Drapier") no one turned Swift in, although there was an unsuccessful attempt to prosecute the publisher John Harding. Thanks to the general outcry against the coinage, Wood's patent was rescinded in September 1725 and the coins were kept out of circulation. In "Verses on the Death of Dr. Swift" (1739) Swift recalled this as one of his best achievements. Gulliver's Travels, a large portion of which Swift wrote at Woodbrook House in County Laois, was published in 1726. It is regarded as his masterpiece. As with his other writings, the Travels was published under a pseudonym, the fictional Lemuel Gulliver, a ship's surgeon and later a sea captain. Some of the correspondence between printer Benj. Motte and Gulliver's also-fictional cousin negotiating the book's publication has survived. Though it has often been mistakenly thought of and published in bowdlerised form as a children's book, it is a great and sophisticated satire of human nature based on Swift's experience of his times. Gulliver's Travels is an anatomy of human nature, a sardonic looking-glass, often criticised for its apparent misanthropy. It asks its readers to refute it, to deny that it has adequately characterised human nature and society. Each of the four books—recounting four voyages to mostly fictional exotic lands—has a different theme, but all are attempts to deflate human pride. Critics hail the work as a satiric reflection on the shortcomings of Enlightenment thought. In 1729, Swift's A Modest Proposal for Preventing the Children of Poor People in Ireland Being a Burden on Their Parents or Country, and for Making Them Beneficial to the Publick was published in Dublin by Sarah Harding. It is a satire in which the narrator, with intentionally grotesque arguments, recommends that Ireland's poor escape their poverty by selling their children as food to the rich: "I have been assured by a very knowing American of my acquaintance in London, that a young healthy child well nursed is at a year old a most delicious nourishing and wholesome food ..." Following the satirical form, he introduces the reforms he is actually suggesting by deriding them: Therefore let no man talk to me of other expedients ... taxing our absentees ... using [nothing] except what is of our own growth and manufacture ... rejecting ... foreign luxury ... introducing a vein of parsimony, prudence and temperance ... learning to love our country ... quitting our animosities and factions ... teaching landlords to have at least one degree of mercy towards their tenants. ... Therefore I repeat, let no man talk to me of these and the like expedients, till he hath at least some glympse of hope, that there will ever be some hearty and sincere attempt to put them into practice. Essays, tracts, pamphlets, periodicals "A Meditation upon a Broom-stick" (1703–10): Full text: Project Gutenberg "A Tritical Essay upon the Faculties of the Mind" (1707–11): Full text: Jonathan Swift Archives, King's College London The Bickerstaff-Partridge Papers (1708–09): Full text: U of Adelaide "An Argument Against Abolishing Christianity" (1708–11): Full text: U of Adelaide The Intelligencer (with Thomas Sheridan (1719–1788)): Text: Project Gutenberg The Examiner (1710): Texts: Ourcivilisation.com, Project Gutenberg "A Proposal for Correcting, Improving and Ascertaining the English Tongue" (1712): Full texts: Jack Lynch, U of Virginia "On the Conduct of the Allies" (1711) "Hints Toward an Essay on Conversation" (1713): Full text: Bartleby.com "A Letter to a Young Gentleman, Lately Entered into Holy Orders" (1720) "A Letter of Advice to a Young Poet" (1721): Full text: Bartleby.com Drapier's Letters (1724, 1725): Full text: Project Gutenberg "Bon Mots de Stella" (1726): a curiously irrelevant appendix to "Gulliver's Travels" "A Modest Proposal", perhaps the most notable satire in English, suggesting that the Irish should engage in cannibalism. (Written in 1729) "An Essay on the Fates of Clergymen" "A Treatise on Good Manners and Good Breeding": Full text: Bartleby.com "A modest address to the wicked authors of the present age. Particularly the authors of Christianity not founded on argument; and of The resurrection of Jesus considered" (1743–45?) Poems "Ode to the Athenian Society", Swift's first publication, printed in The Athenian Mercury in the supplement of Feb 14, 1691. Poems of Jonathan Swift, D.D. Texts at Project Gutenberg: Volume One, Volume Two "Baucis and Philemon" (1706–09): Full text: Munseys "A Description of the Morning" (1709): Full annotated text: U of Toronto; Another text: U of Virginia "A Description of a City Shower" (1710): Full text: U of Virginia "Cadenus and Vanessa" (1713): Full text: Munseys "Phillis, or, the Progress of Love" (1719): Full text: theotherpages.org Stella's birthday poems: 1719. Full annotated text: U of Toronto 1720. Full text: U of Virginia 1727. Full text: U of Toronto "The Progress of Beauty" (1719–20): Full text: OurCivilisation.com "The Progress of Poetry" (1720): Full text: theotherpages.org "A Satirical Elegy on the Death of a Late Famous General" (1722): Full text: U of Toronto "To Quilca, a Country House not in Good Repair" (1725): Full text: U of Toronto "Advice to the Grub Street Verse-writers" (1726): Full text: U of Toronto "The Furniture of a Woman's Mind" (1727) "On a Very Old Glass" (1728): Full text: Gosford.co.uk "A Pastoral Dialogue" (1729): Full text: Gosford.co.uk "The Grand Question debated Whether Hamilton's Bawn should be turned into a Barrack or a Malt House" (1729): Full text: Gosford.co.uk "On Stephen Duck, the Thresher and Favourite Poet" (1730): Full text: U of Toronto "Death and Daphne" (1730): Full text: OurCivilisation.com "The Place of the Damn'd" (1731): "A Beautiful Young Nymph Going to Bed" (1731): Full annotated text: Jack Lynch; Another text: U of Virginia "Strephon and Chloe" (1731): Full annotated text: Jack Lynch; Another text: U of Virginia "Helter Skelter" (1731): Full text: OurCivilisation.com "Cassinus and Peter: A Tragical Elegy" (1731): Full annotated text: Jack Lynch "The Day of Judgment" (1731): Full text "Verses on the Death of Dr. Swift, D.S.P.D." (1731–32): Full annotated texts: Jack Lynch, U of Toronto; Non-annotated text:: U of Virginia "An Epistle to a Lady" (1732): Full text: OurCivilisation.com "The Beasts' Confession to the Priest" (1732): Full annotated text: U of Toronto "The Lady's Dressing Room" (1732): Full annotated text: Jack Lynch "On Poetry: A Rhapsody" (1733) "The Puppet Show" Full text: Worldwideschool.org "The Logicians Refuted" Full text: Worldwideschool.org Correspondence, personal writings "When I Come to Be Old" – Swift's resolutions. (1699): Full text: JaffeBros A Journal to Stella (1710–13): Full text (presented as daily entries): The Journal to Stella; Extracts: OurCivilisation.com; Letters: Selected Letters: JaffeBros To Oxford and Pope: OurCivilisation.com The Correspondence of Jonathan Swift, D.D. Edited by David Woolley. In four volumes, plus index volume. Frankfurt am Main; New York : P. Lang, c. 1999–c. 2007. Sermons, prayers Three Sermons and Three Prayers. Full text: U of Adelaide, Project Gutenberg Three Sermons: I. on mutual subjection. II. on conscience. III. on the trinity. Text: Project Gutenberg Writings on Religion and the Church. Text at Project Gutenberg: Volume One, Volume Two "The First He Wrote Oct. 17, 1727." Full text: Worldwideschool.org "The Second Prayer Was Written Nov. 6, 1727." Full text: Worldwideschool.org Miscellany Directions to Servants (1731): Full text: Jonathon Swift Archive A Complete Collection of Genteel and Ingenious Conversation (1738) "Thoughts on Various Subjects." Full text: U of Adelaide Historical Writings: Project Gutenberg Swift quotes at Bartleby: Bartleby.com – 59 quotations, with notes Legacy John Ruskin named him as one of the three people in history who were the most influential for him. George Orwell named him as one of the writers he most admired, despite disagreeing with him on almost every moral and political issue. Modernist poet Edith Sitwell wrote a fictional biography of Swift, titled I Live Under a Black Sun and published in 1937. Swift crater, a crater on Mars's moon Deimos, is named after Jonathan Swift, who predicted the existence of the moons of Mars. In 1982, Soviet playwright Grigory Gorin wrote a theatrical fantasy called The House That Swift Built based on the last years of Jonathan Swift's life and episodes of his works. The play was filmed by director Mark Zakharov in the 1984 two-part television movie of the same name. In honour of Swift's long-time residence in Trim, there are several monuments in the town marking his legacy. Most notable is Swift's Street, named after him. Trim also holds a recurring festival in honour of Swift, called the 'Trim Swift Festival'. Jake Arnott features him in his 2017 novel The Fatal Tree. A 2017 analysis of library holdings data revealed that Swift is the most popular Irish author, and that Gulliver’s Travels is the most widely held work of Irish literature in libraries globally. See also Poor Richard's Almanack Sweetness and light Notes References . Includes almost 100 illustrations. . Noted biographer succinctly critiques (pp. v–vii) biographical works by Lord Orrery, Patrick Delany, Deane Swift, John Hawkesworth, Samuel Johnson, Thomas Sheridan, Walter Scott, William Monck Mason, John Forester, John Barrett, and W.R. Wilde. Samuel Johnson's "Life of Swift": JaffeBros . From his Lives of the Poets. William Makepeace Thackeray's influential vitriolic biography: JaffeBros . From his English Humourists of The Eighteenth Century. Sir Walter Scott Memoirs of Jonathan Swift, D.D., Dean of St. Patrick's, Dublin. Paris: A. and W. Galignani, 1826. External links Jonathan Swift at the Eighteenth-Century Poetry Archive (ECPA) BBC audio file "Swift's A modest Proposal". BBC discussion. In our time. Jonathan Swift at the National Portrait Gallery, London Swift, Jonathan (1667–1745) Dean of St Patrick's Dublin Satirist at the National Register of Archives Online works Works by Jonathan Swift at The Online Books Page 1667 births 1745 deaths 18th-century Anglo-Irish people 18th-century English novelists 18th-century Irish Anglican priests 18th-century Irish novelists 18th-century Irish writers 18th-century Irish male writers Alumni of Hart Hall, Oxford Alumni of Trinity College Dublin Anglo-Irish artists Burials at St Patrick's Cathedral, Dublin Christian writers Deans of St. Patrick's Cathedral, Dublin Doctors of Divinity English Anglicans English fantasy writers English male novelists English male poets
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the accounting error and instead withholding the information during subsequent discussions and contractual negotiations. Biafra was ordered to pay $200,000, including $20,000 in punitive damages. After an appeal by Biafra's lawyers, in June 2003, the California Court of Appeals unanimously upheld all the conditions of the 2000 verdict against Biafra and Alternative Tentacles. Furthermore, the plaintiffs were awarded the rights to most of Dead Kennedys recorded works—which accounted for about half the sales for Alternative Tentacles. Now in control of the Dead Kennedys name, Biafra's former bandmates went on tour with a new lead vocalist. Other bands In the early 1980s, Biafra collaborated with musicians Christian Lunch and Adrian Borland (of The Sound) and Morgan Fisher (of Mott the Hoople) for the electropunk musical project The Witch Trials, releasing one self-titled EP in its lifetime. In 1988, Biafra, with Al Jourgensen and Paul Barker of the band Ministry, and Jeff Ward, formed Lard. The band became yet another side project for Ministry, with Biafra providing vocals and lyrics. According to a March 2009 interview with Jourgensen, he and Biafra are working on a new Lard album, which is being recorded in Jourgensen's El Paso studio. Jourgensen also claimed in 2021 that Biafra was in works of a new Lard album. While working on the film Terminal City Ricochet in 1989, Biafra did a song for the film's soundtrack with D.O.A.. As a result, Biafra worked with D.O.A. on the album Last Scream of the Missing Neighbors. Biafra also worked with Nomeansno on the soundtrack, which led to their collaboration on the album The Sky Is Falling and I Want My Mommy the following year. Biafra also provided lyrics for the song "Biotech is Godzilla" for Sepultura's 1993 album Chaos A.D.. In 1999, Biafra and other members of the anti-globalization movement protested the WTO Meeting of 1999 in Seattle. Along with other prominent West Coast musicians, he formed the short-lived band the No WTO Combo to help promote the movement's cause. The band was originally scheduled to play during the protest, but the performance was canceled due to riots. The band performed a short set the following night at the Showbox in downtown Seattle (outside the designated area), along with the hiphop group Spearhead. No WTO Combo later released a CD of recordings from the concert, entitled Live from the Battle in Seattle. As of late 2005, Biafra was performing with the band The Melvins under the name "Jello Biafra and the Melvins", though fans sometimes refer to them as "The Jelvins". Together they have released two albums, and worked on material for a third collaborative release, much of which was premiered live at two concerts at the Great American Music Hall in San Francisco during an event called Biafra Five-O, commemorating Biafra's 50th birthday, the 30th anniversary of the founding of the Dead Kennedys, and the beginning of legalized same-sex marriage in California. Biafra was also working with a band known as Jello Biafra and the Guantanamo School of Medicine, which included Ralph Spight of Victims Family on guitar and Billy Gould of Faith No More on bass. This group debuted during Biafra Five-O. In 2011, Biafra appeared in a singular concert event with an all-star cast of Southern musicians including members from Cowboy Mouth, Dash Rip Rock, Mojo Nixon and Down entitled, "Jello Biafra and the New Orleans Raunch & Soul All Stars" who performed an array of classic Soul covers to a packed house at the 12-Bar in New Orleans, Louisiana. He would later reunite with many of the same musicians during the Carnival season 2014 to revisit many of these classics at Siberia, New Orleans. A live album from the 2011 performance, Walk on Jindal's Splinters, and a companion single, Fannie May/Just a Little Bit, were released in 2015. Alternative Tentacles In June 1979, Biafra co-founded the record label Alternative Tentacles, with which the Dead Kennedys released their first single, "California über alles". The label was created to allow the band to release albums without having to deal with pressure from major labels to change their music, although the major labels were not willing to sign the band due to their songs being deemed too controversial. After dealing with Cherry Red in the UK and IRS Records in the US for their first album Fresh Fruit for Rotting Vegetables, the band released all later albums, and later pressings of Fresh Fruit on Alternative Tentacles. The exception being live albums released after the band's break-up, which the other band members compiled from recordings in the band partnership's vaults without Biafra's input or endorsement.. Biafra has been the owner of the company since its founding, though he does not receive a salary for his position; Biafra has referred to his position in the company as "absentee thoughtlord". Biafra is an ardent collector of unusual vinyl records of all kinds, from 1950s and 1960s ethno-pop recordings by the likes of Les Baxter and Esquivel to vanity pressings that have circulated regionally, to German crooner Heino (for whom he would later participate in the documentary Heino: Made In Germany); he cites his always growing collection as one of his biggest musical influences. In 1993 he gave an interview to RE/Search Publications for their second Incredibly Strange Music book focusing primarily on these records, and later participated in a two-part episode of Fuse TV's program Crate Diggers on the same subject. His interest in such recordings, often categorized as outsider music, led to his discovery of the prolific (and schizophrenic) singer/songwriter/artist Wesley Willis, whom he signed to Alternative Tentacles in 1994, preceding Willis' major label deal with American Recordings. His collection grew so large that on October 1, 2005, Biafra donated a portion of his collection to an annual yard sale co-promoted by Alternative Tentacles and held at their warehouse in Emeryville, California. In 2006, along with Alternative Tentacles employee and The Frisk lead singer Jesse Luscious, Biafra began co-hosting The Alternative Tentacles Batcast, a downloadable podcast hosted by alternativetentacles.com. The show primarily focuses on interviews with artists and bands that are currently signed to the Alternative Tentacles label, although there are also occasional episodes where Biafra devoted the show to answering fan questions. Spoken word Biafra became a spoken word artist in January 1986 with a performance at University of California, Los Angeles. In his performance he combined humor with his political beliefs, much in the same way that he did with the lyrics to his songs. Despite his continued spoken word performances, he did not begin recording spoken word albums until after the disbanding of the Dead Kennedys. His ninth spoken word album, In the Grip of Official Treason, was released in October 2006. Biafra was also featured in the British band Pitchshifter's song As Seen on TV reciting the words of dystopian futuristic radio advertisements. Politics Biafra has resisted identifying with any particular political party or ideology, saying, "I don't label myself strictly an anarchist or a socialist or let alone a libertarian or something like that," In a 2012 interview, Biafra said "I'm very pro-tax as long as it goes for the right things. I don't mind paying more money as long as it's going to provide shelter for people sleeping in the street or getting the schools fixed back up, getting the infrastructure up to the standards of other countries, including a high speed rail system. I'm totally down with that." Mayoral campaign In the autumn of 1979, Biafra ran for mayor of San Francisco, using the Jell-O ad campaign catchphrase, "There's always room for Jello", as his campaign slogan. Having entered the race before creating a campaign platform, Biafra later wrote his platform on a napkin while attending a Pere Ubu concert where Dead Kennedys drummer Ted told Biafra, "Biafra, you have such a big mouth that you should run for Mayor." As he campaigned, Biafra wore campaign T-shirts from his opponent Quentin Kopp's previous campaign and at one point vacuumed leaves off the front lawn of another opponent, current U.S. Senator Dianne Feinstein, to mock her publicity stunt of sweeping streets in downtown San Francisco for a few hours. He also made a whistlestop campaign tour along the BART line. Supporters committed equally odd actions; two well known signs held by supporters said "If he doesn't win I'll kill myself" and "What if he does win?" At the time, in San Francisco any individual could legally run for mayor if a petition was signed by 1500 people or if $1500 was paid. Biafra paid $900 and got signatures over time and eventually became a legal candidate, meaning he received statements put in voters' pamphlets and equal news coverage. His platform included unconventional points such as forcing businessmen to wear clown suits within city limits, erecting statues of Dan White, who assassinated Mayor George Moscone and City Supervisor Harvey Milk in 1978, around the city and allowing the parks department to sell eggs and tomatoes with which people could pelt the statues, hiring workers who had lost their jobs due to a tax initiative to panhandle in wealthy neighborhoods (including Senator Dianne Feinstein's), and a citywide ban on cars. Biafra has expressed irritation that these parts of his platform attained such notoriety, preferring instead to be remembered for serious proposals such as legalizing squatting in vacant, tax-delinquent buildings and requiring police officers to run for election by the people of the neighborhoods they patrol. He finished third out of a field of ten, receiving 3.79 percent of the vote (6,591 votes); the election ended in a runoff that did not involve him (Feinstein was declared the winner). Presidential campaign In 2000, the New York State Green Party drafted Biafra as a candidate for the Green Party presidential nomination, and a few supporters were elected to the party's nominating convention in Denver, Colorado. Biafra chose death row inmate Mumia Abu-Jamal as his running mate. The party overwhelmingly chose Ralph Nader as the presidential candidate with 295 of the 319 delegate votes. Biafra received 10 votes. Biafra, along with a camera crew (dubbed by Biafra as "The Camcorder Truth Jihad"), later reported for the Independent Media Center at the Republican and Democratic conventions. Post-2000 After losing the 2000 nomination, Biafra became highly active in Nader's presidential campaign, as well as in 2004 and 2008. During the 2008 campaign Jello played at rallies and answered questions for journalists in support of Nader. When gay rights activists accused Nader of costing Al Gore the 2000 election, Biafra reminded them that Tipper Gore's Parents Music Resource Center wanted warning stickers on albums with content referencing homosexuality. After Barack Obama won the general election, Biafra wrote an open letter making suggestions on how to run his term as president. Biafra criticized Obama during his term, stating that "Obama even won the award for best
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album Rock Against Bush, Vol. 1. Obscenity prosecution In April 1986, police officers raided Biafra's house in response to complaints by the Parents Music Resource Center (PMRC). In June 1986, L.A. deputy city attorney Michael Guarino, working under City Attorney James Hahn, brought Biafra to trial in Los Angeles for distributing "harmful material to minors" in the Dead Kennedys album Frankenchrist. However, the dispute was about neither the music nor the lyrics from the album, but rather the print of the H. R. Giger poster Landscape XX (Penis Landscape) included with the album. Music author Reebee Garofalo argued that Biafra and Alternative Tentacles may have been targeted because the label was a "small, self-managed and self-supported company that could ill afford a protracted legal battle." Facing the possible sentence of a year in jail and a $2,000 fine, Biafra, Dirk Dirksen, and Suzanne Stefanac founded the No More Censorship Defense Fund, a benefit featuring several punk rock bands, to help pay for his legal fees, which neither he nor his record label could afford. The jury deadlocked 5 to 7 in favor of acquittal, prompting a mistrial; despite a motion to re-try the case, the judge ordered all charges dropped. The Dead Kennedys disbanded during the trial, in December 1986, due to the mounting legal costs; in the wake of their disbandment, Biafra made a career of his spoken word performances. Biafra has a cameo role in the 1988 film Tapeheads. He plays an FBI agent who arrests the two protagonists (played by Tim Robbins and John Cusack). While arresting them his character asks "Remember what we did to Jello Biafra?" lampooning the obscenity prosecution. On March 25, 2005, Biafra appeared on the U.S. radio program This American Life, "Episode 285: Know Your Enemy", which featured a phone call between Jello Biafra and Michael Guarino, the prosecutor in the Frankenchrist trial. Lawsuit and reunion activities In October 1998, three former members of the Dead Kennedys sued Biafra for nonpayment of royalties. The other members of Dead Kennedys alleged that Biafra, in his capacity as the head of Alternative Tentacles records, discovered an accounting error amounting to some $75,000 in unpaid royalties over almost a decade. Rather than informing his bandmates of this mistake, the suit alleged, Biafra knowingly concealed the information until a whistleblower employee at the record label notified the band. According to Biafra, the suit resulted from his refusal to allow one of the band's most well-known singles, "Holiday in Cambodia", to be used in a commercial for Levi's Dockers; Biafra opposes Levi's because of his belief that they use unfair business practices and sweatshop labor. Biafra maintained that he had never denied them royalties, and that he himself had not even received royalties for re-releases of their albums or "posthumous" live albums which had been licensed to other labels by the Decay Music partnership. Decay Music denied this charge and have posted what they say are his cashed royalty checks, written to his legal name of Eric Boucher. Biafra also complained about the songwriting credits in new reissues and archival live albums of songs, alleging that he was the sole composer of songs that were wrongly credited to the entire band. In May 2000, a jury found Biafra and Alternative Tentacles liable by not promptly informing his former bandmates of the accounting error and instead withholding the information during subsequent discussions and contractual negotiations. Biafra was ordered to pay $200,000, including $20,000 in punitive damages. After an appeal by Biafra's lawyers, in June 2003, the California Court of Appeals unanimously upheld all the conditions of the 2000 verdict against Biafra and Alternative Tentacles. Furthermore, the plaintiffs were awarded the rights to most of Dead Kennedys recorded works—which accounted for about half the sales for Alternative Tentacles. Now in control of the Dead Kennedys name, Biafra's former bandmates went on tour with a new lead vocalist. Other bands In the early 1980s, Biafra collaborated with musicians Christian Lunch and Adrian Borland (of The Sound) and Morgan Fisher (of Mott the Hoople) for the electropunk musical project The Witch Trials, releasing one self-titled EP in its lifetime. In 1988, Biafra, with Al Jourgensen and Paul Barker of the band Ministry, and Jeff Ward, formed Lard. The band became yet another side project for Ministry, with Biafra providing vocals and lyrics. According to a March 2009 interview with Jourgensen, he and Biafra are working on a new Lard album, which is being recorded in Jourgensen's El Paso studio. Jourgensen also claimed in 2021 that Biafra was in works of a new Lard album. While working on the film Terminal City Ricochet in 1989, Biafra did a song for the film's soundtrack with D.O.A.. As a result, Biafra worked with D.O.A. on the album Last Scream of the Missing Neighbors. Biafra also worked with Nomeansno on the soundtrack, which led to their collaboration on the album The Sky Is Falling and I Want My Mommy the following year. Biafra also provided lyrics for the song "Biotech is Godzilla" for Sepultura's 1993 album Chaos A.D.. In 1999, Biafra and other members of the anti-globalization movement protested the WTO Meeting of 1999 in Seattle. Along with other prominent West Coast musicians, he formed the short-lived band the No WTO Combo to help promote the movement's cause. The band was originally scheduled to play during the protest, but the performance was canceled due to riots. The band performed a short set the following night at the Showbox in downtown Seattle (outside the designated area), along with the hiphop group Spearhead. No WTO Combo later released a CD of recordings from the concert, entitled Live from the Battle in Seattle. As of late 2005, Biafra was performing with the band The Melvins under the name "Jello Biafra and the Melvins", though fans sometimes refer to them as "The Jelvins". Together they have released two albums, and worked on material for a third collaborative release, much of which was premiered live at two concerts at the Great American Music Hall in San Francisco during an event called Biafra Five-O, commemorating Biafra's 50th birthday, the 30th anniversary of the founding of the Dead Kennedys, and the beginning of legalized same-sex marriage in California. Biafra was also working with a band known as Jello Biafra and the Guantanamo School of Medicine, which included Ralph Spight of Victims Family on guitar and Billy Gould of Faith No More on bass. This group debuted during Biafra Five-O. In 2011, Biafra appeared in a singular concert event with an all-star cast of Southern musicians including members from Cowboy Mouth, Dash Rip Rock, Mojo Nixon and Down entitled, "Jello Biafra and the New Orleans Raunch & Soul All Stars" who performed an array of classic Soul covers to a packed house at the 12-Bar in New Orleans, Louisiana. He would later reunite with many of the same musicians during the Carnival season 2014 to revisit many of these classics at Siberia, New Orleans. A live album from the 2011 performance, Walk on Jindal's Splinters, and a companion single, Fannie May/Just a Little Bit, were released in 2015. Alternative Tentacles In June 1979, Biafra co-founded the record label Alternative Tentacles, with which the Dead Kennedys released their first single, "California über alles". The label was created to allow the band to release albums without having to deal with pressure from major labels to change their music, although the major labels were not willing to sign the band due to their songs being deemed too controversial. After dealing with Cherry Red in the UK and IRS Records in the US for their first album Fresh Fruit for Rotting Vegetables, the band released all later albums, and later pressings of Fresh Fruit on Alternative Tentacles. The exception being live albums released after the band's break-up, which the other band members compiled from recordings in the band partnership's vaults without Biafra's input or endorsement.. Biafra has been the owner of the company since its founding, though he does not receive a salary for his position; Biafra has referred to his position in the company as "absentee thoughtlord".
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Agnes, in going to the University of Glasgow. The results for the bursary examination were not posted until October 1915; Grierson applied to work at the munitions at Alexandria; the munitions building had been the original home of the Argyll Motor Company which had earlier in the twentieth century built the first complete motor car in Scotland. Grierson was the second name on the bursary list and received the John Clark bursary, which was tenable for four years. Grierson entered the University of Glasgow in 1916; however, he was unhappy that his efforts to help in World War I were only through his work at the munitions. Grierson wanted to join the navy; his family on his father's side had long been lighthouse keepers, and John had many memories of visiting lighthouses and being beside the sea. He went to the Crystal Palace in London to train with the Royal Naval Volunteer Reserve. In his recruitment letter he had added a year to his age so that he could attend. On 7 January 1916, Grierson was sent to the wireless telegraphy station at Aultbea, Cromarty, as an ordinary telegraphist but was promoted to telegraphist on 2 June 1916. On 23 January 1917, he became a telegraphist on the minesweeper H.M.S Surf and served there until 13 October 1917. The next day he joined H.M.S Rightwhale, where he was promoted to leading telegraphist on 2 June 1918 and remained on the vessel until he was demobilised. Grierson walked away from his time in the navy with a British War Medal and the Victory Medal. University of Glasgow Grierson returned to university in 1919; he joined the Fabian Society in 1919 and dissolved it in 1921. The New University Labour Club was initiated by John as well as the Critic's Club; he also had poetry published in the Glasgow University magazine from November 1920 until February 1923. Grierson received the Buchan Prize in the Ordinary Class of English Language in the academic year of 1919–20, he also received the prize and first-class certificate in the academic year of 1920–21 in the Ordinary Class of Moral Philosophy and graduated with a Master of Arts in English and moral philosophy in 1923. In 1923, Grierson received a Rockefeller Research Fellowship to study in the United States at the University of Chicago, and later at Columbia and the University of Wisconsin–Madison. His research focus was the psychology of propaganda—the impact of the press, film, and other mass media on forming public opinion. Grierson was particularly interested in the popular appeal and influence of the "yellow" (tabloid) press, and the influence and role of these journals on the education of new American citizens from abroad. Social critic In his review of Robert Flaherty's film Moana (1926) in the New York Sun (8 February 1926), Grierson wrote that it had 'documentary' value. In his essay "First Principles of Documentary" (1932), Grierson argued that the principles of documentary were that cinema's potential for observing life could be exploited in a new art form; that the "original" actor and "original" scene are better guides than their fiction counterparts to interpreting the modern world; and that materials "thus taken from the raw" can be more real than the acted article. In this regard, Grierson's views align with the Soviet filmmaker Dziga Vertov's contempt for dramatic fiction as "bourgeois excess", though with considerably more subtlety. Grierson's definition of documentary as "creative treatment of actuality" has gained some acceptance, though it presents philosophical questions about documentaries containing stagings and reenactments. Like many social critics of the time, Grierson was profoundly concerned about what he perceived to be clear threats to democracy. In the US, he encountered a marked tendency toward political reaction, anti-democratic sentiments, and political apathy. He read and agreed with the journalist and political philosopher Walter Lippmann's book Public Opinion which blamed the erosion of democracy in part on the fact that the political and social complexities of contemporary society made it difficult if not impossible for the public to comprehend and respond to issues vital to the maintenance of democratic society. In Grierson's view, a way to counter these problems was to involve citizens in their government with the kind of engaging excitement generated by the popular press, which simplified and dramatized public affairs. It was during this time that Grierson developed a conviction that motion pictures could play a central role in promoting this process. (It has been suggested that some of Grierson's notions regarding the social and political uses of film were influenced by reading Lenin's writing about film as education and propaganda.) Grierson's emerging view of film was as a form of social and political communication—a mechanism for social reform, education, and perhaps spiritual uplift. His view of Hollywood movie-making was considerably less sanguine: "In an age when the faiths, the loyalties, and the purposes have been more than usually undermined, mental fatigue--or is it spiritual fatigue?--represents a large factor in everyday experience. Our cinema magnate does no more than exploit the occasion. He also, more or less frankly, is a dope pedlar." Film critic Grierson's emerging and outspoken film philosophies caught the attention of New York film critics at the time. He was asked to write criticism for the New York Sun. At the Sun, Grierson wrote articles on film aesthetics and audience reception, and developed broad contacts in the film world. According to popular myth, in the course of this writing stint, Grierson coined the term "documentary" in writing about Robert J. Flaherty's film Moana (1926): "Of course Moana, being a visual account of events in the daily life of a Polynesian youth and his family, has documentary value." During this time, Grierson was also involved in scrutinizing the film industries of other countries. He may have been involved in arranging to bring Sergei Eisenstein's groundbreaking film The Battleship Potemkin (1925) to US audiences for the first time. Eisenstein's editing techniques and film theories, particularly the use of montage, would have a significant influence on Grierson's own work. Filmmaker Grierson returned to Great Britain in 1927 armed with the sense that film could be enlisted to deal with the problems of the Great Depression, and to build national morale and national consensus. Filmmaking for Grierson was an exalted calling; the Filmmaker a patriot. In all of this, there was more than a little elitism, a stance reflected in Grierson's many dicta of the time: "The elect have their duty." "I look on cinema as a pulpit, and use it as a propagandist." In the US Grierson had met pioneering documentary filmmaker Robert Flaherty. Grierson respected Flaherty immensely for his contributions to documentary form and his attempts to use the camera to bring alive the lives of everyday people and everyday events. Less commendable in Grierson's view was Flaherty's focus on exotic and faraway cultures. ("In the profounder kind of way", wrote Grierson of Flaherty, "we live and prosper each of us by denouncing the other"). In Grierson's view, the focus of film should be on the everyday drama of ordinary people. As Grierson wrote in his diaries: "Beware the ends of the earth and the exotic: the drama is on your doorstep wherever the slums are, wherever there is malnutrition, wherever there is exploitation and cruelty." "'You keep your savages in the far place Bob; we are going after the savages of Birmingham,' I think I said to him pretty early on. And we did.") Empire Marketing Board On his return to England, Grierson was employed on a temporary basis as an Assistant Films Officer of the Empire Marketing Board (EMB), a governmental agency which had been established in 1926 to promote British world trade and British unity throughout the empire. One of the major functions of the EMB was publicity, which the Board accomplished through exhibits, posters, and publications and films. It was within the context of this State-funded organisation that the "documentary" as we know it today got its start. In late 1929 Grierson and his cameraman, Basil Emmott completed his first film, Drifters, which he wrote, produced and directed. The film, which follows the heroic work of North Sea herring fishermen, was a radical departure from anything being made by the British film industry or Hollywood. A large part of its innovation lies in the fierce boldness in bringing the camera to rugged locations such as a small boat in the middle of a gale while leaving relatively less of the action staged. The choice of topic was chosen less from Grierson's curiosity than the fact that he discovered that the Financial Secretary had made the herring industry his hobbyhorse. It premiered in a private film club in London in November 1929 on a double-bill with Eisenstein's -then controversial- film The Battleship Potemkin (which was banned from general release in Britain until 1954) and received high praise from both its sponsors and the press. The film was shown from 9 December 1929, in the Stoll in Kingsway and then was later screened throughout Britain. After this success, Grierson moved away from film direction into a greater focus on production and administration within the EMB. He became a tireless organizer and recruiter for the EMB, enlisting a stable of energetic young filmmakers into the film unit between 1930 and 1933. Those enlisted included filmmakers Basil Wright, Edgar Anstey, Stuart Legg, Paul Rotha, Arthur Elton, Humphrey Jennings, Harry Watt, and Alberto Cavalcanti. This group formed the core of what was to become known as the British Documentary Film Movement. Robert Flaherty himself also worked briefly for the unit. In 1933 the EMB Film Unit was disbanded, a casualty of Depression-era economics. General Post Office Grierson's boss at the EMB moved to the General Post Office (GPO) as its first public relations officer, with the stipulation that he could bring the EMB film unit with him. Grierson's crew were charged with demonstrating how the Post Office facilitated modern communication and brought the nation together, a task aimed as much at GPO workers as the general public. During Grierson's administration, the GPO Film Unit produced a series of groundbreaking films, including Night Mail (dir. Basil Wright and Harry Watt, 1936) and Coal Face (dir. Alberto Cavalcanti, 1935). In 1934 he produced at the GPO Film Unit the award-winning The Song of Ceylon (dir. Basil Wright) which was sponsored jointly by the Ceylon Tea Propaganda Bureau and the EMB. In 1934, Grierson sailed on the Isabella Greig out of Granton to film Granton Trawler on Viking Bank which is between Shetland and the Norwegian coast. The footage from his voyage was handed over to Edgar Anstey, who pulled footage of when the camera had fallen over on the deck of the boat to create a storm scene. Granton Trawler was a favourite film of Grierson's, he saw it as a homage to the Isabella Greig that was sunk in 1941 by German bombs when it went out to fish and was never seen again. The Private Life of Gannets was also filmed on the Isabella Greig; the film was shot on Grassholm with Grierson shooting the slow-motion sequence of the gannets diving for fish which took only one afternoon to shoot near Bass Rock in the Firth of Forth. The Private Life of Gannets went on to pick up an Academy Award in 1937. Grierson eventually grew restless with having to work within the bureaucratic and budgetary confines of government sponsorship. Grierson resigned from the G.P.O. on 30 June 1937, which gave him more time to pursue his passions and the freedom to speak his mind on issues around the world. In response, he sought out private industry sponsorship for film production. He was finally successful in getting the British gas industry to underwrite an annual film program. Perhaps the most significant works produced during this time were Housing Problems (dir. Arthur Elton, Edgar Anstey, John Taylor, and Grierson's sister Ruby Grierson, 1935). Canada In 1938, Grierson was invited by the Canadian government to study the country's film production. Grierson sailed at the end of May in 1938 for Canada and arrived on 17 June. Grierson met with the Prime Minister, William Lyon Mackenzie King and also spoke with many important figures across Canada, they were all in agreement of the importance of film in reducing sectionalism and in promoting the relationship of Canada between home and abroad. The head of the Motion Picture Bureau for Canada, Frank Bagdley, did not
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of North Sea herring fishermen, was a radical departure from anything being made by the British film industry or Hollywood. A large part of its innovation lies in the fierce boldness in bringing the camera to rugged locations such as a small boat in the middle of a gale while leaving relatively less of the action staged. The choice of topic was chosen less from Grierson's curiosity than the fact that he discovered that the Financial Secretary had made the herring industry his hobbyhorse. It premiered in a private film club in London in November 1929 on a double-bill with Eisenstein's -then controversial- film The Battleship Potemkin (which was banned from general release in Britain until 1954) and received high praise from both its sponsors and the press. The film was shown from 9 December 1929, in the Stoll in Kingsway and then was later screened throughout Britain. After this success, Grierson moved away from film direction into a greater focus on production and administration within the EMB. He became a tireless organizer and recruiter for the EMB, enlisting a stable of energetic young filmmakers into the film unit between 1930 and 1933. Those enlisted included filmmakers Basil Wright, Edgar Anstey, Stuart Legg, Paul Rotha, Arthur Elton, Humphrey Jennings, Harry Watt, and Alberto Cavalcanti. This group formed the core of what was to become known as the British Documentary Film Movement. Robert Flaherty himself also worked briefly for the unit. In 1933 the EMB Film Unit was disbanded, a casualty of Depression-era economics. General Post Office Grierson's boss at the EMB moved to the General Post Office (GPO) as its first public relations officer, with the stipulation that he could bring the EMB film unit with him. Grierson's crew were charged with demonstrating how the Post Office facilitated modern communication and brought the nation together, a task aimed as much at GPO workers as the general public. During Grierson's administration, the GPO Film Unit produced a series of groundbreaking films, including Night Mail (dir. Basil Wright and Harry Watt, 1936) and Coal Face (dir. Alberto Cavalcanti, 1935). In 1934 he produced at the GPO Film Unit the award-winning The Song of Ceylon (dir. Basil Wright) which was sponsored jointly by the Ceylon Tea Propaganda Bureau and the EMB. In 1934, Grierson sailed on the Isabella Greig out of Granton to film Granton Trawler on Viking Bank which is between Shetland and the Norwegian coast. The footage from his voyage was handed over to Edgar Anstey, who pulled footage of when the camera had fallen over on the deck of the boat to create a storm scene. Granton Trawler was a favourite film of Grierson's, he saw it as a homage to the Isabella Greig that was sunk in 1941 by German bombs when it went out to fish and was never seen again. The Private Life of Gannets was also filmed on the Isabella Greig; the film was shot on Grassholm with Grierson shooting the slow-motion sequence of the gannets diving for fish which took only one afternoon to shoot near Bass Rock in the Firth of Forth. The Private Life of Gannets went on to pick up an Academy Award in 1937. Grierson eventually grew restless with having to work within the bureaucratic and budgetary confines of government sponsorship. Grierson resigned from the G.P.O. on 30 June 1937, which gave him more time to pursue his passions and the freedom to speak his mind on issues around the world. In response, he sought out private industry sponsorship for film production. He was finally successful in getting the British gas industry to underwrite an annual film program. Perhaps the most significant works produced during this time were Housing Problems (dir. Arthur Elton, Edgar Anstey, John Taylor, and Grierson's sister Ruby Grierson, 1935). Canada In 1938, Grierson was invited by the Canadian government to study the country's film production. Grierson sailed at the end of May in 1938 for Canada and arrived on 17 June. Grierson met with the Prime Minister, William Lyon Mackenzie King and also spoke with many important figures across Canada, they were all in agreement of the importance of film in reducing sectionalism and in promoting the relationship of Canada between home and abroad. The head of the Motion Picture Bureau for Canada, Frank Bagdley, did not appreciate Grierson's assessment and criticism of the films made by the Bureau which was that they focused too much on Canada as a place to holiday. Grierson delivered his report on government film propaganda and the weaknesses he had found in Canadian film production; his suggestion was to create a national coordinating body for the production of films. An abridged version of the report ran to 66 pages, which was prepared by August in London. Grierson returned to Britain but was invited back to Canada on 14 October 1938; he returned in November. National Film Board of Canada and Wartime Information Board In 1939, Canada created the National Film Commission, which would later become the National Film Board of Canada. The bill to create a National Film Board was drafted by Grierson; the bill was introduced in March 1939 and given Royal Assent on 2 May 1939. Grierson was appointed the first Commissioner of the National Film Board in October 1939. When Canada entered World War II in 1939, the NFB focused on the production of propaganda films, many of which Grierson directed. For example, captured footage of German war activity was incorporated in documentaries that were distributed to the then-neutral United States. Grierson grieved the death of his sister Ruby in 1940; she was on City of Benares while it was evacuating children to Canada. The City of Benares was torpedoed, and of the 406 on board, only 148 survived. Grierson resigned from his position in January 1941, over his year as Commissioner at the National Film Board 40 films were made, the year before the Motion Picture Bureau had made only one and a half. Recommendations for the future running were made for the National Film Board, and Grierson was persuaded to stay for a further six months to oversee the changes. During WWII, Grierson was a consultant to prime minister William Lyon Mackenzie King as a minister of the Wartime Information Board. He remained on the National Film Board and managed to complete his duties to Wartime Information Board as well through his deputies that aided him in the task. Grierson was asked to keep his dual role until January 1944, however, he resigned in 1943 as the job he had been asked to complete had been finished as far as he was concerned. Before he finished with the Wartime Information Bureau Grierson was also offered the role of chairman of the Canadian Broadcasting Corporation but turned it down as he believed that this would give him too much power. On 26 February 1942, Grierson attended the Academy Awards and received the award on behalf of the National Film Board for Churchill's Island. Grierson also presented the award for the best documentary, the first time that this award was given by the Academy. After the Dieppe Raid, there were reports that Canadians that had been taken as prisoners of war had been manacled under Hitler's orders. Grierson proposed that the Film Board show how the German prisoners of war were being treated in Canada through a film. Ham Wright directed the film showing the German sailors that had been captured; playing football, enjoying meals and looking healthy. Only one copy of the film was made, it was sent to the Swiss Red Cross who deliberately let it fall into German hands. Grierson was to learn at a later date that Hitler had indeed watched the film and ordered that the Canadian prisoners of war released from their manacles. After the war, the National Film Board focused on producing documentaries that reflected the lives of Canadians. The National Film Board has become recognized around the world for producing quality films, some of which have won Academy Awards. The National Film Board had become one of the largest film studios and was respected around the world for what it had achieved; it had especially had influence in Czechoslovakia and China. In December 1943 Grierson was elected by the Permanent Film Committee of the National Council for Canadian-Soviet Friendship to become honorary chairman. One of the tasks at the National Film Board that Grierson strongly pushed for the films being produced to be in French as well as English. He also pushed for a French unit in the National Film Board. Grierson concentrated on documentary film production in New York after resigning his post following in August 1945; his resignation was to take effect in November 1945. In 1946 Grierson was asked to testify as part of the investigation of the Gouzenko Affair regarding communist spies in the National Film Board and the Wartime Information Board, rumours spread that he had been a leader of a spy ring during his offices with the Canadian government, a rumour he denied. Due to the rumours, the projects that Grierson had been trying to put together were not commissioned and he was barred from taking an important position at the United Nations. Commission on Freedom of the Press Grierson was appointed as a foreign adviser to the Commission on Freedom of the Press in December 1943, which had been set up by the University of Chicago. Grierson was able to make a large contribution to the committee which included Robert M. Hutchins, William E. Hocking, Harold D. Lasswell, Archibald McLeish and Charles Merriam. A Free and Responsible Press was published in 1947. UNESCO Grierson was offered the position of head of information at UNESCO at the end of 1946; he attended the first General Conference of UNESCO from 26 November until 10 December in Paris. He had the idea for the Unesco Courier which was published in several languages across the world, first as a tabloid and later as a magazine. Grierson was invited to open the Edinburgh International Film Festival in 1947, from 31 August to 7 September. At the start of 1948 he resigned from his position as director for Mass Communications and Public Information, he left in April to return to Britain. Central Office of Information In February 1948, Grierson was appointed the controller of the Central Office of Information's film operations to co-ordinate the work of the Crown Film Unit and Films Division, and to take overall charge of the planning, production and distribution of government films. On 23 June 1948, he accepted an honorary degree, an LL.D from the University of Glasgow. He left in 1950 due to financial restrictions on the documentaries that he wished to make. Group 3 Grierson was appointed to the position of executive producer of Group 3 at the end of 1950; it was a film production enterprise that received loans of government money through the National Film Finance Corporation. They filmed at Southall Studios in West London but later moved to Beaconsfield Studios. Group 3 was to have continuous production from 1951 until 1955 when it stopped producing films, the organisation had made a loss of over £400,000 as production of the films usually ran over the time allocated, and there had also been difficulty getting the films shown in cinemas. During this time Grierson had been diagnosed with tuberculosis in May 1953, he spent a fortnight in hospital and then had a year of convalescing at his home, Tog Hill in Calstone. Grierson spent much of his time corresponding with the directors at Group 3, as well as commenting on scripts and story ideas. He had recovered enough to attend the Cannes Film Festival in April 1954, taking the production of Man of Africa. At the Edinburgh Film Festival in the same year, a dinner was held in Grierson's honour to celebrate twenty-five years of documentary. Films of Scotland Committee Grierson joined the newly revived Films of Scotland Committee in 1955, also on the committee was Norman Wilson, Forsyth Hardy, George Singleton, C. A. Oakley and Neil Paterson. In 1956, Grierson was the president of the Venice Film Festival's jury; he was also jury president at the Cork Film Festival and the South American Film Festival in 1958. In 1957, Grierson received a special Canadian Film Award. Grierson wrote the script for, Seawards the Great Ship, it was directed by Hilary Harris and awarded an Academy Award in 1961, a feat for the Films of Scotland Committee. This Wonderful World The first programme of This Wonderful World was aired on 11 October 1957 in Scotland; it was on The Culbin Sands which focused on how the Forestry Commission had replanted six thousand acres of woodland along the mouth of Findhorn. In the seventeenth century wild sand had blown into the mouth and covered the land, the successful replanting of the forest was a great success for the commission. This Wonderful World was shown weekly, other topics for episodes included Leonardo da Vinci, ballet, King Penguins and Norman McLaren's Boogie Doodle. This Wonderful World began to be aired in England in February 1959, it ran for a further eight years and was in the Top Ten programmes for the week for the UK in 1960. In 1961, Grierson was appointed a Commander of the Order of the British Empire in the Queen's Birthday Honours. In 1962, he was a member of the jury for the Vancouver Film Festival, during his visit to Canada he also received the Royal Canadian Academy of Arts Medal for his contribution to the visual arts. In 1963, he was busy with This Wonderful World and the Films of Scotland Committee but still found time to attend the twenty-fifth anniversary of the National Film Board in Montreal. In 1965, Grierson was the patron of the Commonwealth Film Festival which took place in Cardiff in that year. In 1966, he was offered the role of Governor of the British Film Institute; however, he turned down the position. This Wonderful World changed the title to John Grierson Presents. In 1967, after returning from the Oberhausen Film Festival where he had been the President of Honour of the jury, Grierson suffered a bout of bronchitis which lasted eight days. His brother Anthony, who had trained to be a doctor was called and diagnosed Grierson with emphysema, his coughing fits were a cause for concern, and he was admitted to Manor Hospital. Grierson decided to give up smoking and drinking to benefit his health. Later life Grierson opened the new primary school at Cambusbarron on 10 October 1967; his sister Dorothy attended the day with him. The BBC expressed their wishes to make a programme about Grierson in the year of his seventieth birthday, which he turned down three times In the year of his seventieth birthday, Grierson received many tributes from across the globe. He was made an honorary member of the Association of Cinematograph, Television and Allied Technicians; he pressed for the ceremony to be held in Glasgow. He also received the Golden Thistle Award for Outstanding Achievement in the Art of Cinema at the Edinburgh Film Festival. In January 1969, Grierson left for Canada to lecture at McGill University; enrollment for his classes grew to around seven hundred students. He also lectured at
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first season was moderately successful, the second season did less well, which led to cancellation of the series. 2002–2010: Documentaries and Avatar success In 2002, Cameron served as producer on the 2002 film Solaris, a science fiction drama directed by Steven Soderbergh. The film received mixed reviews and did poorly at the box office. Keen to make documentaries, Cameron directed Expedition: Bismarck, about the German Battleship Bismarck. In 2003, he directed Ghosts of the Abyss, a documentary about RMS Titanic which was released by Walt Disney Pictures and Walden Media, and designed for 3D theaters. Cameron told The Guardian his intention for filming everything in 3D. In 2005, Cameron co-directed Aliens of the Deep, a documentary about the various forms of life in the ocean. He also starred in Titanic Adventure with Tony Robinson, another documentary about the Titanic shipwreck. In 2006, Cameron co-created and narrated The Exodus Decoded, a documentary exploring the Biblical account of the Exodus. In 2007, Cameron and fellow director Simcha Jacobovici, produced The Lost Tomb of Jesus. It was broadcast on Discovery Channel on March 4, 2007; the documentary was controversial for arguing that the Talpiot Tomb was the burial place of Jesus of Nazareth. By the mid-2000s, Cameron returned to directing and producing another mainstream film since Titanic. Cameron had mentioned two projects as early as June 2005; Avatar (2009) and Alita: Battle Angel (2019), the latter which he produced, both films were to be shot in 3D technology. He wanted to make Alita: Battle Angel first, followed by Avatar but switched the order in February 2006. Although Cameron had written an 80-page treatment for Avatar in 1995, Cameron stated that he wanted the necessary technology to improve before starting production. Avatar, with the story line set in the mid-22nd century, had an estimated budget in excess of $300 million. The cast includes Sam Worthington, Zoe Saldana, Stephen Lang, Michelle Rodriguez and Sigourney Weaver. It was composed with a mix of live-action footage and computer-generated animation, using an advanced version of the performance capture technique, previously used by director Robert Zemeckis in The Polar Express. Cameron intended Avatar to be 3D-only but decided to adapt it for conventional viewing as well. Intended for release in May 2009, Avatar premiered on December 18, 2009. This delay allowed more time for post-production and the opportunity for theaters to install 3D projectors. Avatar broke several box office records during its initial theatrical run. It grossed $749.7 million in the United States and Canada and more than $2.74 billion worldwide, becoming the highest-grossing film of all time in the United States and Canada, surpassing Titanic. It was the first film to earn more than $2 billion worldwide. Avatar was nominated for nine Academy Awards, including Best Picture and Best Director, and won three: Best Art Direction, Best Cinematography, and Best Visual Effects. In July 2010, an extended theatrical re-release generated a worldwide $33.2 million at the box office. In his mixed review, Sukhdev Sandhu of The Telegraph complimented the 3D, but opined that Cameron "should have been more brutal in his editing". That year, Vanity Fair reported that Cameron's earnings were US$257 million, making him the highest earner in Hollywood. As of 2020, Avatar and Titanic hold the achievement for being the first two of the five films in history to gross over $2 billion worldwide. 2011–present In 2011, Cameron served as an executive producer for Sanctum, a disaster-survival film about a cave diving expedition which turns deadly. Although receiving mixed reviews, the film earned a fair $108 million at the worldwide box office. Cameron re-investigated the sinking of RMS Titanic with eight experts in a 2012 TV documentary special, Titanic: The Final Word with James Cameron, which premiered on April 8 on the National Geographic Channel. In the feature, the experts revised the CGI animation of the sinking conceived in 1995. In March 2010, Cameron announced that Titanic will be converted and re-released in 3D to commemorate the centennial anniversary of the tragedy. On March 27, 2012, Titanic 3D premiered at Royal Albert Hall, London. He also served as executive producer of Cirque du Soleil: Worlds Away and Deepsea Challenge 3D in 2012 and 2014, respectively. Cameron starred in the 2017 documentary Atlantis Rising, with collaborator Simcha Jacobovici. The pair go on an adventure to explore the existence of the city of Atlantis. The programme aired on January 29 on the National Geographic channel. Next, Cameron produced and appeared in a documentary about the history of science fiction. James Cameron’s Story of Science Fiction, the six-episodic series was broadcast on AMC in 2018. The series featured interviews with guests including Ridley Scott, Steven Spielberg, George Lucas and Christopher Nolan. He stated "Without Jules Verne and H. G. Wells, there wouldn't have been Ray Bradbury or Robert A. Heinlein, and without them, there wouldn't be [George] Lucas, [Steven] Spielberg, Ridley Scott or me". Alita: Battle Angel was finally released in 2019 after being in parallel development with Avatar. Written by Cameron and friend Jon Landau, the film was directed by Robert Rodriguez. The film is based on a 1990s Japanese manga series Battle Angel Alita, depicting a cyborg who cannot remember anything of her past life and tries to uncover the truth. Produced with similar techniques and technology as in Avatar, the film starred Rosa Salazar, Christoph Waltz, Jennifer Connelly, Mahershala Ali, Ed Skrein, Jackie Earle Haley and Keean Johnson. The film premiered on January 31, 2019, to generally positive reviews and $404 million at the worldwide box office. In her review, Monica Castillo of RogerEbert.com called it "an awe-inspiring jump for [Rodriguez]" and "a visual bonanza" despite the bulky script. Cameron returned to the Terminator franchise as producer and writer for Tim Miller's Terminator: Dark Fate (2019). Upcoming projects In August 2013, Cameron announced plans to direct three sequels to Avatar simultaneously, for release in December 2016, 2017, and 2018. However, the release dates have been postponed to December 16, 2022, with the following three sequels to be released, respectively, on December 20, 2024, December 18, 2026, and December 22, 2028. Deadline Hollywood estimated that the budget for these would be over $1 billion. Avatar 2 and Avatar 3 began simultaneous production in Manhattan Beach, California on August 15, 2017. Principal photography began in New Zealand on September 25, 2017. The other sequels are expected to begin production as soon as Avatar 2 and 3 have finished. Although the sequels 4 and 5 have been given the green-light, Cameron stated in a 2017 interview, "Let's face it, if Avatar 2 and 3 don't make enough money, there's not going to be a 4 and 5". Lightstorm Entertainment bought the film rights to the Taylor Stevens novel, The Informationist, a thriller set in Africa; Cameron plans to direct. In 2010, he indicated he would adapt the Charles R. Pellegrino book The Last Train from Hiroshima, which is about the survivors of the atomic bombings of Hiroshima and Nagasaki. Cameron met with survivor Tsutomu Yamaguchi before his death in 2010. Activism and social causes As of 2012, Cameron and his family have adopted a vegan diet. Cameron states that "by changing what you eat, you will change the entire contract between the human species and the natural world". He and his wife are advocates of plant-based food and have called for constructive actions to produce more plant-based food and less meat to mitigate the impact of climate change. In 2006, Cameron's wife co-founded MUSE School, which became the first K-12 vegan school in the United States. He has also hosted events for Global Green USA, and pushed for sustainable solutions to energy use. In early 2014, Cameron purchased the Beaufort Vineyard and Estate Winery in Courtenay, British Columbia for $2.7 million, to pursue his passion for sustainable agribusiness. In June 2019, Cameron announced a business venture with film director Peter Jackson, to produce plant-based meat, cheese, and dairy products in New Zealand. He suggested that we need "a nice transition to a meatless or relatively meatless world in 20 or 30 years". In 2012, Cameron purchased more than 1,000 hectares (2,471 acres) of land in remote South Wairarapa, New Zealand; subsequent purchases have seen that grow to approximately 5,000 hectares. The Camerons grow a range of organic fruit, nuts and vegetables on the land. Nearby in Greytown, they run a café and grocery store, Forest Food Organics, selling produce from their land. In June 2010, Cameron met with officials of the Environmental Protection Agency to discuss possible solutions to the Deepwater Horizon oil spill. It was reported that he offered his assistance to help stop the oil well from leaking. He is a member of the NASA Advisory Council and he worked with the space agency to build cameras for the Curiosity rover sent for Mars. However, NASA launched the rover without Cameron's technology due to a lack of time during testing. He has expressed interest in a project about Mars, stating "I've been very interested in the Humans to Mars movement [...] and I've done a tremendous amount of personal research for a novel, a miniseries, and a 3D film". Cameron is a member of the Mars Society, a non-profit organization lobbying for the colonization of Mars. Cameron endorsed Democratic candidate Hillary Clinton for the 2016 United States presidential election. Personal life Cameron has been married five times. He was married to Sharon Williams from 1978 to 1984. A year after he and Sharon divorced, Cameron married film producer Gale Anne Hurd, a close collaborator for his 1980s films. They divorced in 1989. Soon after separating from Hurd, Cameron met the director Kathryn Bigelow whom he wed in 1989, but they divorced in 1991. Cameron then began a relationship with Linda Hamilton, actress in The Terminator series. Their daughter was born in 1993. Cameron married Hamilton in 1997. Amid speculation of an affair between Cameron and actress Suzy Amis, Cameron and Hamilton separated after two years of marriage, with Hamilton receiving a settlement of $50 million. He married Amis, his fifth wife, in 2000. They have one son and two daughters together. Cameron used to reside in the United States from 1971, but he remains a Canadian citizen. Cameron applied for American citizenship in 2004, but withdrew his application after George W. Bush won the presidential election. Captivated by New Zealand while filming Avatar, Cameron bought a 1500ha farm and a home there and divides his time between California and New Zealand now. However, Cameron listed his house in Malibu, California for sale and has now decided to be a resident in New Zealand and make all his future movies there. He said in August 2020 "......As a New Zealand resident (and hopefully soon-to-be-citizen) I plan to make all my future films in New Zealand, and I see the country having an opportunity to demonstrate to the international film industry how to safely return to work. Doing so with Avatar will be a beacon that, when this is over, will attract more production to New Zealand and continue to stimulate the screen industry and the economy for years. Cameron has said he is a "Converted Agnostic", adding "I've sworn off agnosticism, which I now call cowardly atheism". Cameron met close friend Guillermo del Toro on the production of his 1993 film, Cronos. In 1998, del Toro's father was kidnapped in Guadalajara and Cameron gave del Toro more than $1 million in cash to pay a ransom and have his father released. Cameron is an expert on deep-sea exploration, in part because of his work on The Abyss and Titanic, and his childhood fascination with shipwrecks. He has contributed to advancements in underwater filming and remotely operated vehicles, and helped develop the 3D Fusion Camera System. In 2011, Cameron became a National Geographic explorer-in-residence. In his role on March 7, 2012, he dived five miles deep to the bottom of the New Britain Trench with the Deepsea Challenger. 19 days later, Cameron reached the Challenger Deep, the
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anything that related to film technology" at the library. After the excitement of seeing Star Wars in 1977, Cameron quit his job as a truck driver to enter the film industry. Career 1978–1983: Early work Cameron's directing career began in 1978. After borrowing money from a consortium of dentists, he learned to direct, write and produce his first short film, Xenogenesis (1978) with a friend. Learning as they went, Cameron said he felt like a doctor doing his first surgical procedure. He then served as a production assistant for Rock and Roll High School (1979). While educating himself about filmmaking techniques, Cameron started a job as a miniature model maker at Roger Corman Studios. He was soon employed as an art director for the science-fiction film Battle Beyond the Stars (1980). He carried out the special effects for John Carpenter's Escape from New York (1981), served as production designer for Galaxy of Terror (1981), and consulted on the design for Android (1982). Cameron was hired as the special effects director for the sequel to Piranha (1978), titled Piranha II: The Spawning in 1982. The original director, Miller Drake, left the project due to creative differences with producer Ovidio Assonitis. Shot in Rome, Italy and on Grand Cayman Island, the film gave Cameron the opportunity to become director for a major film for the first time. However, Cameron later said that it did not feel like his first film due to power-struggles with Assonitis. Disillusioned from being in Rome and suffering from a fever, Cameron had a nightmare about an invincible robot hit-man sent from the future to assassinate him, which later led to the inspiration of The Terminator. Upon release of Piranha II: The Spawning, critics were not impressed; author Tim Healey called it "a marvellously bad movie which splices clichés from every conceivable source". 1984–1992: Breakthrough Inspired by John Carpenter's horror film Halloween (1978), in 1982 Cameron wrote the script for The Terminator (1984), a sci-fi action film about a cyborg sent from the future to carry out a lethal mission. Cameron wanted to sell the script so that he could direct the movie. Whilst some film studios expressed interest in the project, many executives were unwilling to let a new and unfamiliar director make the movie. Gale Anne Hurd, a colleague and founder of Pacific Western Productions, to whom Cameron was married from 1984 to 1989, agreed to buy Cameron's script for one dollar, on the condition that Cameron direct the film. He convinced the president of Hemdale Pictures to make the film, with Cameron as director and Hurd as a producer. Lance Henriksen, who starred in Piranha II: The Spawning, was considered for the lead role, but Cameron decided that Arnold Schwarzenegger was more suitable as the cyborg villain due to his bodybuilder appearance. Henriksen was given a smaller role instead. Michael Biehn and Cameron's future wife, Linda Hamilton, also joined the cast. The Terminator was a box office success, exceeding expectations set by Orion Pictures. The film proved popular with audiences and earned over $78 million worldwide. George Perry of the BBC praised Cameron's direction, writing "Cameron laces the action with ironic jokes, but never lets up on hinting that the terror may strike at any moment". In 2008, the film was selected for preservation in the United States National Film Registry, being deemed "culturally, historically, or aesthetically significant". In 1984, Cameron co-wrote the screenplay to Rambo: First Blood Part II with Sylvester Stallone. Cameron moved onto his next directorial feature, which was the sequel to Alien (1979), a science fiction horror directed by Ridley Scott. After titling the sequel Aliens (1986), Cameron recast Sigourney Weaver as Ellen Ripley, who first appeared in Alien. Aliens follows the protagonist, Ripley, as she helps a group of marines fight off extraterrestrials. Despite conflicts with cast and crew during production, and having to replace one of the lead actors—James Remar with Michael Biehn—Aliens was a box office success, generating over $130 million worldwide. The film was nominated for seven Academy Awards in 1987; Best Actress, Best Art Direction, Best Film Editing, Best Original Score and Best Sound. It won awards for Best Sound Editing and Best Visual Effects. In addition, the film including Weaver made the cover of Time magazine in July 1986. After Aliens, Cameron and Gale Anne Hurd decided to make The Abyss, a story about oil-rig workers who discover strange intelligent life in the ocean. Based on an idea which Cameron had conceived of during high school, the film was initially budgeted at $41 million, although it ran considerably over this amount. It starred Ed Harris, Mary Elizabeth Mastrantonio and Michael Biehn. The production process began in the Cayman Islands and in South Carolina, inside the building of an unfinished nuclear power plant with two huge water tanks. The cast and crew recall Cameron's dictatorial behavior, and the filming of water scenes which were mentally and physically exhausting. Upon the film's release, The Abyss was praised for its special effects, and earned $90 million at the worldwide box office. The Abyss received four Academy Award nominations and won Best Visual Effects. In 1990, Cameron co-founded the firm Lightstorm Entertainment with partner Lawrence Kasanoff. In 1991, Cameron served as executive producer for Point Break (1991), directed by Kathryn Bigelow, to whom he was married between 1989 and 1991. After the success of The Terminator, there were discussions for a sequel. In the late 1980s, Mario Kassar of Carolco Pictures secured the rights to the sequel, allowing Cameron to begin production of the film, Terminator 2: Judgment Day (1991). Written by William Wisher Jr. and himself, Schwarzenegger and Linda Hamilton reprise their roles. The story follows on from Terminator, depicting a new villain (T-1000), possessing shape-shifting ability and hunting for Sarah Connor's son, John (Edward Furlong). Cameron cast Robert Patrick as T-1000 because of his lean and thin appearance—a sharp contrast to Schwarzenegger. Cameron explained, "I wanted someone who was extremely fast and agile. If the T-800 is a human Panzer tank, then the T-1000 is a Porsche". Terminator 2 was one of the most expensive films to be produced, costing at least $94 million. Despite the challenging use of computer-generated imagery (CGI), the film was completed on time and released on July 3, 1991. Terminator 2 broke box office records (including the opening weekend record for an R-rated film), earning over $200 million in the North America and being the first to earn over $300 million worldwide. It won four Academy Awards: Best Makeup, Best Sound Mixing, Best Sound Editing, and Best Visual Effects. It also received nominations for Best Cinematography and Best Film Editing, but lost both to political thriller JFK (1991). 1993–2001: Continued efforts and Titanic In subsequent years, Cameron planned to do a third Terminator film but plans never materialized. The rights to the Terminator franchise were eventually purchased by Kassar from a bankruptcy sale of Carolco's assets. Cameron moved on to other projects and, in 1993, co-founded Digital Domain, a visual effects production company. In 1994, Cameron and Schwarzenegger reunited for their third collaboration, True Lies, a remake of the 1991 French comedy La Totale! The story depicts an American secret agent who leads a double life as a married man, whose wife believes he is a computer salesman. The film co-stars Jamie Lee Curtis, Eliza Dushku and Tom Arnold. Cameron's Lightstorm Entertainment signed a deal with 20th Century Fox for the production of True Lies. Budgeted at a minimum of $100 million, the film earned $146 million worldwide. The film was nominated for an Academy Award for Best Visual Effects and Curtis won a Golden Globe Award for Best Actress. In 1995, Cameron co-produced Strange Days, a science fiction thriller. The film was directed by Kathryn Bigelow and co-written by Jay Cocks. Strange Days was critically and financially unsuccessful. In 1996, Cameron reunited with the cast of Terminator 2 to film T2 3-D: Battle Across Time, an attraction at Universal Studios Florida, and in other parks around the world. His next major project was Titanic (1997), an epic film about , which sank in 1912 after striking an iceberg. With a production budget of $200 million, at the time it was the most expensive film ever made. Starting in 1995, Cameron took several dives to the bottom of the Atlantic Ocean to capture footage of the wreck, which would later be used in the film. A replica of the ship was built in Rosarito Beach and principal photography began in September 1996. Titanic made headlines before its release for being over-budget and exceeding its schedule. Cameron's completed screenplay depicts two star-crossed lovers, portrayed by Leonardo DiCaprio and Kate Winslet, from different social classes who fall in love amid the backdrop of the tragedy; a radical departure from his previous work. The supporting cast includes Billy Zane, Kathy Bates, Frances Fisher, Gloria Stuart, Bernard Hill, Jonathan Hyde, Victor Garber, Danny Nucci, David Warner and Bill Paxton. After months of delay, Titanic premiered on December 19, 1997. The film received strong critical acclaim and became the highest-grossing film of all time, holding this position for 12 years until Cameron's Avatar beat the record in 2010. The costumes and sets were praised, and The Washington Post considered the CGI graphics to be spectacular. Titanic received a record-tie of fourteen nominations (tied with All About Eve (1950)) at the 1998 Academy Awards. It won 11 of the awards, tying the record for most wins with 1959's Ben-Hur, and 2003's The Lord of the Rings: The Return of the King, including: Best Picture, Best Director, Best Art Direction, Best Cinematography, Best Visual Effects, Best Film Editing, Best Costume Design, Best Sound Mixing, Best Sound Editing, Best Original Score, and Best Original Song. Upon receiving Best Picture, Cameron and producer Jon Landau asked for a moment of silence to remember the 1,500 people who died when the ship sank. Film critic Roger Ebert praised Cameron's storytelling, writing "It is flawlessly crafted, intelligently constructed, strongly acted, and spellbinding". Authors Kevin Sandler and Gaylyn Studlar wrote in 1999 that the romance, historical nostalgia and James Horner's music contributed to the film's cultural phenomenon. In 2017, on its 20th anniversary, Titanic became Cameron's second film to be selected for preservation in the United States National Film Registry. After the huge publicity of Titanic, Cameron kept a low profile. In 1998, he and his brother, John, formed Earthship Productions, a company to allow streaming of documentaries on the deep sea, one of Cameron's interests. He had planned to make a film about Spider-Man, a project developed by Menahem Golan of Cannon Films. Columbia hired David Koepp to adapt Cameron's ideas into a screenplay, but due to various disagreements, Cameron abandoned the project. In 2002, Spider-Man was released with the screenplay credited solely to Koepp. In 2000, Cameron made his debut in television and co-created Dark Angel with Charles H. Eglee, a television series influenced by cyberpunk, biopunk, contemporary superheroes and third-wave feminism. Dark Angel starred Jessica Alba as Max Guevara, a genetically enhanced super-soldier created by a secretive organization. While the first season was moderately successful, the second season did less well, which led to cancellation of the series. 2002–2010: Documentaries and Avatar success In 2002, Cameron served as producer on the 2002 film Solaris, a science fiction drama directed by Steven Soderbergh. The film received mixed reviews and did poorly at the box office. Keen to make documentaries, Cameron directed Expedition: Bismarck, about the German Battleship Bismarck. In 2003, he directed Ghosts of the Abyss, a documentary about RMS Titanic which was released by Walt Disney Pictures and Walden Media, and designed for 3D theaters. Cameron told The Guardian his intention for filming everything in 3D. In 2005, Cameron co-directed Aliens of the Deep, a documentary about the various forms of life in the ocean. He also starred in Titanic Adventure with Tony Robinson, another documentary about the Titanic shipwreck. In 2006, Cameron co-created and narrated The Exodus Decoded, a documentary exploring the Biblical account of the Exodus. In 2007, Cameron and fellow director Simcha Jacobovici, produced The Lost Tomb of Jesus. It was broadcast on Discovery Channel on March 4, 2007; the documentary was controversial for arguing that the Talpiot Tomb was the burial place of Jesus of Nazareth. By the mid-2000s, Cameron returned to directing and producing another mainstream film since Titanic. Cameron had mentioned two projects as early as June 2005; Avatar (2009) and Alita: Battle Angel (2019), the latter which he produced, both films were to be shot in 3D technology. He wanted to make Alita: Battle Angel first, followed by Avatar but switched the order in February 2006. Although Cameron had written an 80-page treatment for Avatar in 1995, Cameron stated that he wanted the necessary technology to improve before starting production. Avatar, with the story line set in the mid-22nd century, had an estimated budget in excess of $300 million. The cast includes Sam Worthington, Zoe Saldana, Stephen Lang, Michelle Rodriguez and Sigourney Weaver. It was composed with a mix of live-action footage and computer-generated animation, using an advanced version of the performance capture technique, previously used by director Robert Zemeckis in The Polar Express. Cameron intended Avatar to be 3D-only but decided to adapt it for conventional viewing as well. Intended for release in May 2009, Avatar premiered on December 18, 2009. This delay allowed more time for post-production and the opportunity for theaters to install 3D projectors. Avatar broke several box office records during its initial theatrical run. It grossed $749.7 million in the United States and Canada and more than $2.74 billion worldwide, becoming the highest-grossing film of all time in the United States and Canada, surpassing Titanic. It was the first film to earn more than $2 billion worldwide. Avatar was nominated for nine Academy Awards, including Best Picture and Best Director, and won three: Best Art Direction, Best Cinematography, and Best Visual Effects. In July 2010, an extended theatrical re-release generated a worldwide $33.2 million at the box office. In his mixed review, Sukhdev Sandhu of The Telegraph complimented the 3D, but opined that Cameron "should have been more brutal in his editing". That year, Vanity Fair reported that Cameron's earnings were US$257 million, making him the highest earner in Hollywood. As of 2020, Avatar and Titanic hold the achievement for being the first two of the five films in history to gross over $2 billion worldwide. 2011–present In 2011, Cameron served as an executive producer for Sanctum, a disaster-survival film about a cave diving expedition which turns deadly. Although receiving mixed reviews, the film earned a fair $108 million at the worldwide box office. Cameron re-investigated the sinking of RMS Titanic with eight experts in a 2012 TV documentary special, Titanic: The Final Word with James Cameron, which premiered on April 8 on the National Geographic Channel. In the feature, the experts revised the CGI animation of the sinking conceived in 1995. In March 2010, Cameron announced that Titanic will be converted and re-released in 3D to commemorate the centennial anniversary of the tragedy. On March 27, 2012, Titanic 3D premiered at Royal Albert Hall, London. He also served as executive producer of Cirque du Soleil: Worlds Away and Deepsea Challenge 3D in 2012 and 2014, respectively. Cameron starred in the 2017 documentary Atlantis Rising, with collaborator Simcha Jacobovici. The pair go on an adventure to explore the existence of the city of Atlantis. The programme aired on January 29 on the National Geographic channel. Next, Cameron produced and appeared in a documentary about the history of science fiction. James Cameron’s Story of Science Fiction, the six-episodic series was broadcast on AMC in 2018. The series featured interviews with guests including Ridley Scott, Steven Spielberg, George Lucas and Christopher Nolan. He stated "Without Jules Verne and H. G. Wells, there wouldn't have been Ray Bradbury or Robert A. Heinlein, and without them, there wouldn't be [George] Lucas, [Steven] Spielberg, Ridley Scott or me". Alita: Battle Angel was finally released in 2019 after being in parallel development with Avatar. Written by Cameron and friend Jon Landau, the film was directed by Robert Rodriguez. The film is based on a 1990s Japanese manga series Battle Angel Alita, depicting a cyborg who cannot remember anything of her past life and tries to uncover the truth. Produced with similar techniques and technology as in Avatar, the film starred Rosa Salazar, Christoph Waltz, Jennifer Connelly, Mahershala Ali, Ed Skrein, Jackie Earle Haley and Keean Johnson. The film premiered on January 31, 2019, to generally positive reviews and $404 million at the worldwide box office. In her review, Monica Castillo of RogerEbert.com called it "an awe-inspiring jump for [Rodriguez]" and "a visual bonanza" despite the bulky script. Cameron returned to the Terminator franchise as producer and writer for Tim Miller's Terminator: Dark Fate (2019). Upcoming projects In August 2013, Cameron announced plans to direct three sequels to Avatar simultaneously, for release in December 2016, 2017, and 2018. However, the release dates have been postponed to December 16, 2022, with the following three sequels to be released, respectively, on December 20, 2024, December 18, 2026, and December 22, 2028. Deadline Hollywood estimated that the budget for these would be over $1 billion. Avatar 2 and Avatar 3 began simultaneous production in Manhattan Beach, California on August 15, 2017. Principal photography began in New Zealand on September 25, 2017. The other sequels are expected to begin production as soon as Avatar 2 and 3 have finished. Although the sequels 4 and 5 have been given the green-light, Cameron stated in a 2017 interview, "Let's face it, if Avatar 2 and 3 don't make enough money, there's not going to be a 4 and 5". Lightstorm Entertainment bought the film rights to the Taylor Stevens novel, The Informationist, a thriller set in Africa; Cameron plans to direct. In 2010, he indicated he would adapt the Charles R. Pellegrino book The Last Train from Hiroshima, which
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of the Reform movement in Judaism by opposing it to the strict and traditional rabbinical approach and thus comes to the conclusions similar to that of the Conservative movement. Religious texts The following is a basic, structured list of the central works of Jewish practice and thought. Tanakh (Hebrew Bible) and Rabbinic literature Mesorah Targum Jewish Biblical exegesis (also see Midrash below) Works of the Talmudic Era (classic rabbinic literature) Mishnah and commentaries Tosefta and the minor tractates Talmud: The Babylonian Talmud and commentaries Jerusalem Talmud and commentaries Midrashic literature: Halakhic Midrash Aggadic Midrash Halakhic literature Major codes of Jewish law and custom Mishneh Torah and commentaries Tur and commentaries Shulchan Aruch and commentaries Responsa literature Thought and ethics Jewish philosophy Musar literature and other works of Jewish ethics Kabbalah Hasidic works Siddur and Jewish liturgy Piyyut (Classical Jewish poetry) Legal literature The basis of halakha and tradition is the Torah (also known as the Pentateuch or the Five Books of Moses). According to rabbinic tradition, there are 613 commandments in the Torah. Some of these laws are directed only to men or to women, some only to the ancient priestly groups, the Kohanim and Leviyim (members of the tribe of Levi), some only to farmers within the Land of Israel. Many laws were only applicable when the Temple in Jerusalem existed, and only 369 of these commandments are still applicable today. While there have been Jewish groups whose beliefs were based on the written text of the Torah alone (e.g., the Sadducees, and the Karaites), most Jews believe in the oral law. These oral traditions were transmitted by the Pharisee school of thought of ancient Judaism and were later recorded in written form and expanded upon by the rabbis. According to Rabbinical Jewish tradition, God gave both the Written Law (the Torah) and the Oral Torah to Moses on Mount Sinai. The Oral law is the oral tradition as relayed by God to Moses and from him, transmitted and taught to the sages (rabbinic leaders) of each subsequent generation. For centuries, the Torah appeared only as a written text transmitted in parallel with the oral tradition. Fearing that the oral teachings might be forgotten, Rabbi Judah haNasi undertook the mission of consolidating the various opinions into one body of law which became known as the Mishnah. The Mishnah consists of 63 tractates codifying halakha, which are the basis of the Talmud. According to Abraham ben David, the Mishnah was compiled by Rabbi Judah haNasi after the destruction of Jerusalem, in anno mundi 3949, which corresponds to 189 CE. Over the next four centuries, the Mishnah underwent discussion and debate in both of the world's major Jewish communities (in Israel and Babylonia). The commentaries from each of these communities were eventually compiled into the two Talmuds, the Jerusalem Talmud (Talmud Yerushalmi) and the Babylonian Talmud (Talmud Bavli). These have been further expounded by commentaries of various Torah scholars during the ages. In the text of the Torah, many words are left undefined and many procedures are mentioned without explanation or instructions. Such phenomena are sometimes offered to validate the viewpoint that the Written Law has always been transmitted with a parallel oral tradition, illustrating the assumption that the reader is already familiar with the details from other, i.e., oral, sources. Halakha, the rabbinic Jewish way of life, then, is based on a combined reading of the Torah, and the oral tradition—the Mishnah, the halakhic Midrash, the Talmud and its commentaries. The halakha has developed slowly, through a precedent-based system. The literature of questions to rabbis, and their considered answers, is referred to as responsa (in Hebrew, Sheelot U-Teshuvot.) Over time, as practices develop, codes of halakha are written that are based on the responsa; the most important code, the Shulchan Aruch, largely determines Orthodox religious practice today. Jewish philosophy Jewish philosophy refers to the conjunction between serious study of philosophy and Jewish theology. Major Jewish philosophers include Philo of Alexandria, Solomon ibn Gabirol, Saadia Gaon, Judah Halevi, Maimonides, and Gersonides. Major changes occurred in response to the Enlightenment (late 18th to early 19th century) leading to the post-Enlightenment Jewish philosophers. Modern Jewish philosophy consists of both Orthodox and non-Orthodox oriented philosophy. Notable among Orthodox Jewish philosophers are Eliyahu Eliezer Dessler, Joseph B. Soloveitchik, and Yitzchok Hutner. Well-known non-Orthodox Jewish philosophers include Martin Buber, Franz Rosenzweig, Mordecai Kaplan, Abraham Joshua Heschel, Will Herberg, and Emmanuel Lévinas. Rabbinic hermeneutics Orthodox and many other Jews do not believe that the revealed Torah consists solely of its written contents, but of its interpretations as well. The study of Torah (in its widest sense, to include both poetry, narrative, and law, and both the Hebrew Bible and the Talmud) is in Judaism itself a sacred act of central importance. For the sages of the Mishnah and Talmud, and for their successors today, the study of Torah was therefore not merely a means to learn the contents of God's revelation, but an end in itself. According to the Talmud, In Judaism, "the study of Torah can be a means of experiencing God". Reflecting on the contribution of the Amoraim and Tanaim to contemporary Judaism, Professor Jacob Neusner observed: To study the Written Torah and the Oral Torah in light of each other is thus also to study how to study the word of God. In the study of Torah, the sages formulated and followed various logical and hermeneutical principles. According to David Stern, all Rabbinic hermeneutics rest on two basic axioms: These two principles make possible a great variety of interpretations. According to the Talmud, Observant Jews thus view the Torah as dynamic, because it contains within it a host of interpretations. According to Rabbinic tradition, all valid interpretations of the written Torah were revealed to Moses at Sinai in oral form, and handed down from teacher to pupil (The oral revelation is in effect coextensive with the Talmud itself). When different rabbis forwarded conflicting interpretations, they sometimes appealed to hermeneutic principles to legitimize their arguments; some rabbis claim that these principles were themselves revealed by God to Moses at Sinai. Thus, Hillel called attention to seven commonly used hermeneutical principles in the interpretation of laws (baraita at the beginning of Sifra); R. Ishmael, thirteen (baraita at the beginning of Sifra; this collection is largely an amplification of that of Hillel). Eliezer b. Jose ha-Gelili listed 32, largely used for the exegesis of narrative elements of Torah. All the hermeneutic rules scattered through the Talmudim and Midrashim have been collected by Malbim in Ayyelet ha-Shachar, the introduction to his commentary on the Sifra. Nevertheless, R. Ishmael's 13 principles are perhaps the ones most widely known; they constitute an important, and one of Judaism's earliest, contributions to logic, hermeneutics, and jurisprudence. Judah Hadassi incorporated Ishmael's principles into Karaite Judaism in the 12th century. Today R. Ishmael's 13 principles are incorporated into the Jewish prayer book to be read by observant Jews on a daily basis. Jewish identity Distinction between Jews as a people and Judaism According to Daniel Boyarin, the underlying distinction between religion and ethnicity is foreign to Judaism itself, and is one form of the dualism between spirit and flesh that has its origin in Platonic philosophy and that permeated Hellenistic Judaism. Consequently, in his view, Judaism does not fit easily into conventional Western categories, such as religion, ethnicity, or culture. Boyarin suggests that this in part reflects the fact that much of Judaism's more than 3,000-year history predates the rise of Western culture and occurred outside the West (that is, Europe, particularly medieval and modern Europe). During this time, Jews experienced slavery, anarchic and theocratic self-government, conquest, occupation, and exile. In the Jewish diaspora, they were in contact with, and influenced by, ancient Egyptian, Babylonian, Persian, and Hellenic cultures, as well as modern movements such as the Enlightenment (see Haskalah) and the rise of nationalism, which would bear fruit in the form of a Jewish state in their ancient homeland, the Land of Israel. They also saw an elite population convert to Judaism (the Khazars), only to disappear as the centers of power in the lands once occupied by that elite fell to the people of Rus and then the Mongols. Thus, Boyarin has argued that "Jewishness disrupts the very categories of identity, because it is not national, not genealogical, not religious, but all of these, in dialectical tension." In contrast to this point of view, practices such as Humanistic Judaism reject the religious aspects of Judaism, while retaining certain cultural traditions. Who is a Jew? According to Rabbinic Judaism, a Jew is anyone who was either born of a Jewish mother or who converted to Judaism in accordance with halakha. Reconstructionist Judaism and the larger denominations of worldwide Progressive Judaism (also known as Liberal or Reform Judaism) accept the child as Jewish if one of the parents is Jewish, if the parents raise the child with a Jewish identity, but not the smaller regional branches. All mainstream forms of Judaism today are open to sincere converts, although conversion has traditionally been discouraged since the time of the Talmud. The conversion process is evaluated by an authority, and the convert is examined on his or her sincerity and knowledge. Converts are called "ben Abraham" or "bat Abraham", (son or daughter of Abraham). Conversions have on occasion been overturned. In 2008, Israel's highest religious court invalidated the conversion of 40,000 Jews, mostly from Russian immigrant families, even though they had been approved by an Orthodox rabbi. Rabbinical Judaism maintains that a Jew, whether by birth or conversion, is a Jew forever. Thus a Jew who claims to be an atheist or converts to another religion is still considered by traditional Judaism to be Jewish. According to some sources, the Reform movement has maintained that a Jew who has converted to another religion is no longer a Jew, and the Israeli Government has also taken that stance after Supreme Court cases and statutes. However, the Reform movement has indicated that this is not so cut and dried, and different situations call for consideration and differing actions. For example, Jews who have converted under duress may be permitted to return to Judaism "without any action on their part but their desire to rejoin the Jewish community" and "A proselyte who has become an apostate remains, nevertheless, a Jew". Karaite Judaism believes that Jewish identity can only be transmitted by patrilineal descent. Although a minority of modern Karaites believe that Jewish identity requires that both parents be Jewish, and not only the father. They argue that only patrilineal descent can transmit Jewish identity on the grounds that all descent in the Torah went according to the male line. The question of what determines Jewish identity in the State of Israel was given new impetus when, in the 1950s, David Ben-Gurion requested opinions on mihu Yehudi ("Who is a Jew") from Jewish religious authorities and intellectuals worldwide in order to settle citizenship questions. This is still not settled, and occasionally resurfaces in Israeli politics. Historical definitions of Jewish identity have traditionally been based on halakhic definitions of matrilineal descent, and halakhic conversions. Historical definitions of who is a Jew date back to the codification of the Oral Torah into the Babylonian Talmud, around 200 CE. Interpretations of sections of the Tanakh, such as Deuteronomy 7:1–5, by Jewish sages, are used as a warning against intermarriage between Jews and Canaanites because "[the non-Jewish husband] will cause your child to turn away from Me and they will worship the gods (i.e., idols) of others." Leviticus 24 says that the son in a marriage between a Hebrew woman and an Egyptian man is "of the community of Israel." This is complemented by Ezra 10, where Israelites returning from Babylon vow to put aside their gentile wives and their children. A popular theory is that the rape of Jewish women in captivity brought about the law of Jewish identity being inherited through the maternal line, although scholars challenge this theory citing the Talmudic establishment of the law from the pre-exile period. Since the anti-religious Haskalah movement of the late 18th and 19th centuries, halakhic interpretations of Jewish identity have been challenged. Jewish demographics The total number of Jews worldwide is difficult to assess because the definition of "who is a Jew" is problematic; not all Jews identify themselves as Jewish, and some who identify as Jewish are not considered so by other Jews. According to the Jewish Year Book (1901), the global Jewish population in 1900 was around 11 million. The latest available data is from the World Jewish Population Survey of 2002 and the Jewish Year Calendar (2005). In 2002, according to the Jewish Population Survey, there were 13.3 million Jews around the world. The Jewish Year Calendar cites 14.6 million. It is 0.25% of world population. Jewish population growth is currently near zero percent, with 0.3% growth from 2000 to 2001. Jewish religious movements Rabbinic Judaism Rabbinic Judaism (or in some Christian traditions, Rabbinism) (Hebrew: "Yahadut Rabanit" – יהדות רבנית) has been the mainstream form of Judaism since the 6th century CE, after the codification of the Talmud. It is characterised by the belief that the Written Torah (Written Law) cannot be correctly interpreted without reference to the Oral Torah and the voluminous literature specifying what behavior is sanctioned by the Law. The Jewish Enlightenment of the late 18th century resulted in the division of Ashkenazi (Western) Jewry into religious movements or denominations, especially in North America and Anglophone countries. The main denominations today outside Israel (where the situation is rather different) are Orthodox, Conservative, and Reform. The notion "traditional Judaism" includes the Orthodox with Conservative or solely the Orthodox Jews. Orthodox Judaism holds that both the Written and Oral Torah were divinely revealed to Moses and that the laws within it are binding and unchanging. Orthodox Jews generally consider commentaries on the Shulchan Aruch (a condensed codification of halakha that largely favored Sephardic traditions) to be the definitive codification of halakha. Orthodoxy places a high importance on Maimonides' 13 principles as a definition of Jewish faith. Orthodoxy is often divided into Haredi Judaism and Modern Orthodox Judaism. Haredi is less accommodating to modernity and has less interest in non-Jewish disciplines, and it may be distinguished from Modern Orthodox Judaism in practice by its styles of dress and more stringent practices. Subsets of Haredi Judaism include Hasidic Judaism, which is rooted in the Kabbalah and distinguished by reliance on a Rebbe or religious teacher; their opponents Misnagdim (Lithuanian); and Sephardic Haredi Judaism, which emerged among Sephardic and Mizrahi (Asian and North African) Jews in Israel. "Centrist" Orthodoxy (Joseph B. Soloveitchik) is sometimes also distinguished. Conservative Judaism is characterized by a commitment to traditional halakha and customs, including observance of Shabbat and kashrut, a deliberately non-fundamentalist teaching of Jewish principles of faith, a positive attitude toward modern culture, and an acceptance of both traditional rabbinic and modern scholarship when considering Jewish religious texts. Conservative Judaism teaches that halakha is not static, but has always developed in response to changing conditions. It holds that the Torah is a divine document written by prophets inspired by God and reflecting his will, but rejects the Orthodox position that it was dictated by God to Moses. Conservative Judaism holds that the Oral Law is divine and normative, but holds that both the Written and Oral Law may be interpreted by the rabbis to reflect modern sensibilities and suit modern conditions. Reform Judaism, called Liberal or Progressive Judaism in many countries, defines Judaism in relatively universalist terms, rejects most of the ritual and ceremonial laws of the Torah while observing moral laws, and emphasizes the ethical call of the Prophets. Reform Judaism has developed an egalitarian prayer service in the vernacular (along with Hebrew in many cases) and emphasizes personal connection to Jewish tradition. Reconstructionist Judaism, like Reform Judaism, does not hold that halakha, as such, requires observance, but unlike Reform, Reconstructionist thought emphasizes the role of the community in deciding what observances to follow. Jewish Renewal is a recent North American movement which focuses on spirituality and social justice but does not address issues of halakha. Men and women participate equally in prayer. Humanistic Judaism is a small non-theistic movement centered in North America and Israel that emphasizes Jewish culture and history as the sources of Jewish identity. Subbotniks (Sabbatarians) are a movement of Jews of Russian ethnic origin in the 18th–20th centuries, the majority of whom belonged to Rabbinic and Karaite Judaism. Many settled in the Holy Land as part of the Zionist First Aliyah in order to escape oppression in the Russian Empire and later mostly intermarried with other Jews, their descendants included Alexander Zaïd, Major-General Alik Ron, and the mother of Ariel Sharon. Sephardi and Mizrahi Judaism While traditions and customs vary between discrete communities, it can be said that Sephardi and Mizrahi Jewish communities do not generally adhere to the "movement" framework popular in and among Ashkenazi Jewry. Historically, Sephardi and Mizrahi communities have eschewed denominations in favour of a "big tent" approach. This is particularly the case in contemporary Israel, which is home to the largest communities of Sephardi and Mizrahi Jews in the world. (However, individual Sephardi and Mizrahi Jews may be members of or attend synagogues that do adhere to one Ashkenazi-inflected movement or another.) Sephardi and Mizrahi observance of Judaism tends toward the conservative, and prayer rites are reflective of this, with the text of each rite being largely unchanged since their respective inception. Observant Sephardim may follow the teachings of a particular rabbi or school of thought; for example, the Sephardic Chief Rabbi of Israel. Jewish movements in Israel Most Jewish Israelis classify themselves as "secular" (hiloni), "traditional" (masorti), "religious" (dati) or Haredi. The term "secular" is more popular as a self-description among Israeli families of western (European) origin, whose Jewish identity may be a very powerful force in their lives, but who see it as largely independent of traditional religious belief and practice. This portion of the population largely ignores organized religious life, be it of the official Israeli rabbinate (Orthodox) or of the liberal movements common to diaspora Judaism (Reform, Conservative). The term "traditional" (masorti) is most common as a self-description among Israeli families of "eastern" origin (i.e., the Middle East, Central Asia, and North Africa). This term, as commonly used, has nothing to do with the Conservative Judaism, which also names itself "Masorti" outside North America. There is a great deal of ambiguity in the ways "secular" and "traditional" are used in Israel: they often overlap, and they cover an extremely wide range in terms of worldview and practical religious observance. The term "Orthodox" is not popular in Israeli discourse, although the percentage of Jews who come under that category is far greater than in the Jewish diaspora. What would be called "Orthodox" in the diaspora includes what is commonly called dati (religious) or haredi (ultra-Orthodox) in Israel. The former term includes what is called "Religious Zionism" or the "National Religious" community, as well as what has become known over the past decade or so as haredi-leumi (nationalist haredi), or "Hardal", which combines a largely haredi lifestyle with nationalist ideology. (Some people, in Yiddish, also refer to observant Orthodox Jews as frum, as opposed to frei (more liberal Jews)). Haredi applies to a populace that can be roughly divided into three separate groups along both ethnic and ideological lines: (1) "Lithuanian" (non-hasidic) haredim of Ashkenazic origin; (2) Hasidic haredim of Ashkenazic origin; and (3) Sephardic haredim. Karaites and Samaritans Karaite Judaism defines itself as the remnants of the non-Rabbinic Jewish sects of the Second Temple period, such as the Sadducees. The Karaites ("Scripturalists") accept only the Hebrew Bible and what they view as the Peshat ("simple" meaning); they do not accept non-biblical writings as authoritative. Some European Karaites do not see themselves as part of the Jewish community at all, although most do. The Samaritans, a very small community located entirely around Mount Gerizim in the Nablus/Shechem region of the West Bank and in Holon, near Tel Aviv in Israel, regard themselves as the descendants of the Israelites of the Iron Age kingdom of Israel. Their religious practices are based on the literal text of the written Torah (Five Books of Moses), which they view as the only authoritative scripture (with a special regard also for the Samaritan Book of Joshua). Haymanot (Ethiopian Judaism) Haymanot (meaning "religion" in Ge'ez and Amharic) refers the Judaism practiced by Ethiopian Jews. This version of Judaism differs substantially from Rabbinic, Karaite, and Samaritan Judaisms, Ethiopian Jews having diverged from their coreligionists earlier. Sacred scriptures (the Orit) are written in Ge'ez, not Hebrew, and dietary laws are based strictly on the text of the Orit, without explication from ancillary commentaries. Holidays also differ, with some Rabbinic holidays not observed in Ethiopian Jewish communities, and some additional holidays, like Sigd. Secular Judaism Jewish secularism refers to secularism in a particularly Jewish context, denoting the definition of Jewishness either with little recourse to religion or without. Jewish Secularist ideologies first arose in the latter third of the 19th century, and reached the apogee of their influence in the interwar period. Noahide (B'nei Noah movement) Noahidism is a Jewish religious movement based on the Seven Laws of Noah and their traditional interpretations within Rabbinic Judaism. According to the halakha, non-Jews (gentiles) are not obligated to convert to Judaism, but they are required to observe the Seven Laws of Noah to be assured of a place in the World to Come (Olam Ha-Ba), the final reward of the righteous. The divinely ordained penalty for violating any of the Laws of Noah is discussed in the Talmud, but in practical terms it is subject to the working legal system which is established by the society at large. Those who subscribe to the observance of the Noahic Covenant are referred to as B'nei Noach (Hebrew: בני נח, "Children of Noah") or Noahides (/ˈnoʊ.ə.haɪdɪs/). Supporting organizations have been established around the world over the past decades by both Noahides and Orthodox Jews. Historically, the Hebrew term B'nei Noach has applied to all non-Jews as descendants of Noah. However, nowadays it's primarily used to refer specifically to those non-Jews who observe the Seven Laws of Noah. Jewish observances Jewish ethics Jewish ethics may be guided by halakhic traditions, by other moral principles, or by central Jewish virtues. Jewish ethical practice is typically understood to be marked by values such as justice, truth, peace, loving-kindness (chesed), compassion, humility, and self-respect. Specific Jewish ethical practices include practices of charity (tzedakah) and refraining from negative speech (lashon hara). Proper ethical practices regarding sexuality and many other issues are subjects of dispute among Jews. Prayers Traditionally, Jews recite prayers three times daily, Shacharit, Mincha, and Ma'ariv with a fourth prayer, Mussaf added on Shabbat and holidays. At the heart of each service is the Amidah or Shemoneh Esrei. Another key prayer in many services is the declaration of faith, the Shema Yisrael (or Shema). The Shema is the recitation of a verse from the Torah (Deuteronomy 6:4): Shema Yisrael Adonai Eloheinu Adonai Echad—"Hear, O Israel! The Lord is our God! The Lord is One!" Most of the prayers in a traditional Jewish service can be recited in solitary prayer, although communal prayer is preferred. Communal prayer requires a quorum of ten adult Jews, called a minyan. In nearly all Orthodox and a few Conservative circles, only male Jews are counted toward a minyan; most Conservative Jews and members of other Jewish denominations count female Jews as well. In addition to prayer services, observant traditional Jews recite prayers and benedictions throughout the day when performing various acts. Prayers are recited upon waking up in the morning, before eating or drinking different foods, after eating a meal, and so on. The approach to prayer varies among the Jewish denominations. Differences can include the texts of prayers, the frequency of prayer, the number of prayers recited at various religious events, the use of musical instruments and choral music, and whether prayers are recited in the traditional liturgical languages or the vernacular. In general, Orthodox and Conservative congregations adhere most closely to tradition, and Reform and Reconstructionist synagogues are more likely to incorporate translations and contemporary writings in their services. Also, in most Conservative synagogues, and all Reform and Reconstructionist congregations, women participate in prayer services on an equal basis with men, including roles traditionally filled only by men, such as reading from the Torah. In addition, many Reform temples use musical accompaniment such as organs and mixed choirs. Religious clothing A kippah (Hebrew: כִּפָּה, plural kippot; Yiddish: יאַרמלקע, yarmulke) is a slightly rounded brimless skullcap worn by many Jews while praying, eating, reciting blessings, or studying Jewish religious texts, and at all times by some Jewish men. In Orthodox communities, only men wear kippot; in non-Orthodox communities, some women also wear kippot. Kippot range in size from a small round beanie that covers only the back of the head to a large, snug cap that covers the whole crown. Tzitzit (Hebrew: צִיציִת) (Ashkenazi pronunciation: tzitzis) are special knotted "fringes" or "tassels" found on the four corners of the tallit (Hebrew: טַלִּית) (Ashkenazi pronunciation: tallis), or prayer shawl. The tallit is worn by Jewish men and some Jewish women during the prayer service. Customs vary regarding when a Jew begins wearing a tallit. In the Sephardi community, boys wear a tallit from bar mitzvah age. In some Ashkenazi communities, it is customary to wear one only after marriage. A tallit katan (small tallit) is a fringed garment worn under the clothing throughout the day. In some Orthodox circles, the fringes are allowed to hang freely outside the clothing. Tefillin (Hebrew: תְפִלִּין), known in English as phylacteries (from the Greek word φυλακτήριον, meaning safeguard or amulet), are two square leather boxes containing biblical verses, attached to the forehead and wound around the left arm by leather straps. They are worn during weekday morning prayer by observant Jewish men and some Jewish women. A kittel (Yiddish: קיטל), a white knee-length overgarment, is worn by prayer leaders and some observant traditional Jews on the High Holidays. It is traditional for the head of the household to wear a kittel at the Passover seder in some communities, and some grooms wear one under the wedding canopy. Jewish males are buried in a tallit and sometimes also a kittel which are part of the tachrichim (burial garments). Jewish holidays Jewish holidays are special days in the Jewish calendar, which celebrate moments in Jewish history, as well as central themes in the relationship between God and the world, such as creation, revelation, and redemption. Shabbat Shabbat, the weekly day of rest lasting from shortly before sundown on Friday night to nightfall on Saturday night, commemorates God's day of rest after six days of creation. It plays a pivotal role in Jewish practice and is governed by a large corpus of religious law. At sundown on Friday, the woman of the house welcomes the Shabbat by lighting two or more candles and reciting a blessing. The evening meal begins with the Kiddush, a blessing recited aloud over a cup of wine, and the Mohtzi, a blessing recited over the bread. It is customary to have challah, two braided loaves of bread, on the table. During Shabbat, Jews are forbidden to engage in any activity that falls under 39 categories of melakhah, translated literally as "work". In fact the activities banned on the Sabbath are not "work" in the usual sense: They include such actions as lighting a fire, writing, using money and carrying in the public domain. The prohibition of lighting a fire has been extended in the modern era to driving a car, which involves burning fuel and using electricity. Three pilgrimage festivals Jewish holy days (chaggim), celebrate landmark events in Jewish history, such as the Exodus from Egypt and the giving of the Torah, and sometimes mark the change of seasons and transitions in the agricultural cycle. The three major festivals, Sukkot, Passover and Shavuot, are called "regalim" (derived from the Hebrew word "regel", or foot). On the three regalim, it was customary for the Israelites to make pilgrimages to Jerusalem to offer sacrifices in the Temple. Passover (Pesach) is a week-long holiday beginning on the evening of the 14th day of Nisan (the first month in the Hebrew calendar), that commemorates the Exodus from Egypt. Outside Israel, Passover is celebrated for eight days. In ancient times, it coincided with the barley harvest. It is the only holiday that centers on home-service, the Seder. Leavened products (chametz) are removed from the house prior to the holiday and are not consumed throughout the week. Homes are thoroughly cleaned to ensure no bread or bread by-products remain, and a symbolic burning of the last vestiges of chametz is conducted on the morning of the Seder. Matzo is eaten instead of bread. Shavuot ("Pentecost" or "Feast of Weeks") celebrates the revelation of the Torah to the Israelites on Mount Sinai. Also known as the Festival of Bikurim, or first fruits, it coincided in biblical times with the wheat harvest. Shavuot customs include all-night study marathons known as Tikkun Leil Shavuot, eating dairy foods (cheesecake and blintzes are special favorites), reading the Book of Ruth, decorating homes and synagogues with greenery, and wearing white clothing, symbolizing purity. Sukkot ("Tabernacles" or "The Festival of Booths") commemorates the Israelites' forty years of wandering through the desert on their way to the Promised Land. It is celebrated through the construction of temporary booths called sukkot (sing. sukkah) that represent the temporary shelters of the Israelites during their wandering. It coincides with the fruit harvest and marks the end of the agricultural cycle. Jews around the world eat in sukkot for seven days and nights. Sukkot concludes with Shemini Atzeret, where Jews begin to pray for rain and Simchat Torah, "Rejoicing of the Torah", a holiday which marks reaching the end of the Torah reading cycle and beginning all over again. The occasion is celebrated with singing and dancing with the Torah scrolls. Shemini Atzeret and Simchat Torah are technically considered to be a separate holiday and not a part of Sukkot. High Holy Days The High Holidays (Yamim Noraim or "Days of Awe") revolve around judgment and forgiveness. Rosh Hashanah, (also Yom Ha-Zikkaron or "Day of Remembrance", and Yom Teruah, or "Day of the Sounding of the Shofar"). Rosh Hashanah is the Jewish New Year (literally, "head of the year"), although it falls on the first day of the seventh month of the Hebrew calendar, Tishri. Rosh Hashanah marks the beginning of the 10-day period of atonement leading up to Yom Kippur, during which Jews are commanded to search their souls and make amends for sins committed, intentionally or not, throughout the year. Holiday customs include blowing the shofar, or ram's horn, in the synagogue, eating apples and honey, and saying blessings over a variety of symbolic foods, such as pomegranates. Yom Kippur, ("Day of Atonement") is the holiest day of the Jewish year. It is a day of communal fasting and praying for forgiveness for one's sins. Observant Jews spend the entire day in the synagogue, sometimes with a short break in the afternoon, reciting prayers from a special holiday prayerbook called a "Machzor". Many non-religious Jews make a point of attending synagogue services and fasting on Yom Kippur. On the eve of Yom Kippur, before candles are lit, a prefast meal, the "seuda mafseket", is eaten. Synagogue services on the eve of Yom Kippur begin with the Kol Nidre prayer. It is customary to wear white on Yom Kippur, especially for Kol Nidre, and leather shoes are not worn. The following day, prayers are held from morning to evening. The final prayer service, called "Ne'ilah", ends with a long blast of the shofar. Purim Purim (Hebrew: Pûrîm "lots") is a joyous Jewish holiday that commemorates the deliverance of the Persian Jews from the plot of the evil Haman, who sought to exterminate them, as recorded in the biblical Book of Esther. It is characterized by public recitation of the Book of Esther, mutual gifts of food and drink, charity to the poor, and a celebratory meal (Esther 9:22). Other customs include drinking wine, eating special pastries called hamantashen, dressing up in masks and costumes, and organizing carnivals and parties. Purim has celebrated annually on the 14th of the Hebrew month of Adar, which occurs in February or March of the Gregorian calendar. Hanukkah Hanukkah (, "dedication") also known as the Festival of Lights, is an eight-day Jewish holiday that starts on the 25th day of Kislev (Hebrew calendar). The festival is observed in Jewish homes by the kindling of lights on each of the festival's eight nights, one on the first night, two on the second night and so on. The holiday was called Hanukkah (meaning "dedication") because it marks the re-dedication of the Temple after its desecration by Antiochus IV Epiphanes. Spiritually, Hanukkah commemorates the "Miracle of the Oil". According to the Talmud, at the re-dedication of the Temple in Jerusalem following the victory of the Maccabees over the Seleucid Empire, there was only enough consecrated oil to fuel the eternal flame in the Temple for one day. Miraculously, the oil burned for eight days—which was the length of time it took to press, prepare and consecrate new oil. Hanukkah is not mentioned in the Bible and was never considered a major holiday in Judaism, but it has become much more visible and widely celebrated in modern times, mainly because it falls around the same time as Christmas and has national Jewish overtones that have been emphasized since the establishment of the State of Israel. Fast days Tisha B'Av ( or , "the Ninth of Av") is a day of mourning and fasting commemorating the destruction of the First and Second Temples, and in later times, the expulsion of the Jews from Spain. There are three more minor Jewish fast days that commemorate various stages of the destruction of the Temples. They are the 17th Tamuz, the 10th of Tevet and Tzom Gedaliah (the 3rd of Tishrei). Israeli holidays The modern holidays of Yom Ha-shoah (Holocaust Remembrance Day), Yom Hazikaron (Israeli Memorial Day) and Yom Ha'atzmaut (Israeli Independence Day) commemorate the horrors of the Holocaust, the fallen soldiers of Israel and victims of terrorism, and Israeli independence, respectively. There are some who prefer to commemorate those who were killed in the Holocaust on the 10th of Tevet. Torah readings The core of festival and Shabbat prayer services is the public reading of the Torah, along with connected readings from the other books of the Tanakh, called Haftarah. Over the course of a year, the whole Torah is read, with the cycle starting over in the autumn, on Simchat Torah. Synagogues and religious buildings Synagogues are Jewish houses of prayer and study. They usually contain separate rooms for prayer (the main sanctuary), smaller rooms for study, and often an area for community or educational use. There is no set blueprint for synagogues and the architectural shapes and interior designs of synagogues vary greatly. The Reform movement mostly refer to their synagogues as temples. Some traditional features of a synagogue are: The ark (called aron ha-kodesh by Ashkenazim and hekhal by Sephardim) where the Torah scrolls are kept (the ark is often closed with an ornate curtain (parochet) outside or inside the ark doors); The elevated reader's platform (called bimah by Ashkenazim and tebah by Sephardim), where the Torah is read (and services are conducted in Sephardi synagogues); The eternal light (ner tamid), a continually lit lamp or lantern used as a reminder of the constantly lit menorah of the Temple in Jerusalem The pulpit, or amud, a lectern facing the Ark where the hazzan or prayer leader stands while praying. In addition to synagogues, other buildings of significance in Judaism include yeshivas, or institutions of Jewish learning, and mikvahs, which are ritual baths. Dietary laws: kashrut The Jewish dietary laws are known as kashrut. Food prepared in accordance with them is termed kosher, and food that is not kosher is also known as treifah or treif. People who observe these laws are colloquially said to be "keeping kosher". Many of the laws apply to animal-based foods. For example, in order to be considered kosher, mammals must have split hooves and chew their cud. The pig is arguably the most well-known example of a non-kosher animal. Although it has split hooves, it does not chew its cud. For seafood to be kosher, the animal must have fins and scales. Certain types of seafood, such as shellfish, crustaceans, and eels, are therefore considered non-kosher. Concerning birds, a list of non-kosher species is given in the Torah. The exact translations of many of the species have not survived, and some non-kosher birds' identities are no longer certain. However, traditions exist about the kashrut status of a few birds. For example, both chickens and turkeys are permitted in most communities. Other types of animals, such as amphibians, reptiles, and most insects, are prohibited altogether. In addition to the requirement that the species be considered kosher, meat and poultry (but not fish) must come from a healthy animal slaughtered in a process known as shechitah. Without the proper slaughtering practices even an otherwise kosher animal will be rendered treif. The slaughtering process is intended to be quick and relatively painless to the animal. Forbidden parts of animals include the blood, some fats, and the area in and around the sciatic nerve. Halakha also forbids the consumption of meat and dairy products together. The waiting period between eating meat and eating dairy varies by the order in which they are consumed and by community, and can extend for up to six hours. Based on the Biblical injunction against cooking a kid in its mother's milk, this rule is mostly derived from the Oral Torah, the Talmud and Rabbinic la. Chicken and other kosher birds are considered the same as meat under the laws of kashrut, but the prohibition is rabbinic, not biblical. The use of dishes, serving utensils, and ovens may make food treif that would otherwise be kosher. Utensils that have been used to prepare non-kosher food, or dishes that have held meat and are now used for dairy products, render the food treif under certain conditions. Furthermore, all Orthodox and some Conservative authorities forbid the consumption of processed grape products made by non-Jews, due to ancient pagan practices of using wine in rituals. Some Conservative authorities permit wine and grape juice made without rabbinic supervision. The Torah does not give specific reasons for most of the laws of kashrut. However, a number of explanations have been offered, including maintaining ritual purity, teaching impulse control, encouraging obedience to God, improving health, reducing cruelty to animals and preserving the distinctness of the Jewish community. The various categories of dietary laws may have developed for different reasons, and some may exist for multiple reasons. For example, people are forbidden from consuming the blood of birds and mammals because, according to the Torah, this is where animal souls are contained. In contrast, the Torah forbids Israelites from eating non-kosher species because "they are unclean". The Kabbalah describes sparks of holiness that are released by the act of eating kosher foods, but are too tightly bound in non-kosher foods to be released by eating. Survival concerns supersede all the laws of kashrut, as they do for most halakhot. Laws of ritual purity The Tanakh describes circumstances in which a person who is tahor or ritually pure may become tamei or ritually impure. Some of these circumstances are contact with human corpses or graves, seminal flux, vaginal flux, menstruation, and contact with people who have become impure from any of these. In Rabbinic Judaism, Kohanim, members of the hereditary caste that served as priests in the time of the Temple, are mostly restricted from entering grave sites and touching dead bodies. During the Temple period, such priests (Kohanim) were required to eat their bread offering (Terumah) in a state of ritual purity, which laws eventually led to more rigid laws being enacted, such as hand-washing which became a requisite of all Jews before consuming ordinary bread. Family purity An important subcategory of the ritual purity laws relates to the segregation of menstruating women. These laws are also known as niddah, literally "separation", or family purity. Vital aspects of halakha for traditionally observant Jews, they are not usually followed by Jews in liberal denominations. Especially in Orthodox Judaism, the Biblical laws are augmented by Rabbinical injunctions. For example, the Torah mandates that a woman in her normal menstrual period must abstain from sexual intercourse for seven days. A woman whose menstruation is prolonged must continue to abstain for seven more days after bleeding has stopped. The Rabbis conflated ordinary niddah with this extended menstrual period, known in the Torah as zavah, and mandated that a woman may not have sexual intercourse with her husband from the time she begins her menstrual flow until seven days after it ends. In addition, Rabbinical law forbids the husband from touching or sharing a bed with his wife during this period. Afterwards, purification can occur in a ritual bath called a mikveh Traditional Ethiopian Jews keep menstruating women in separate huts and, similar to Karaite practice,
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in Yiddish, also refer to observant Orthodox Jews as frum, as opposed to frei (more liberal Jews)). Haredi applies to a populace that can be roughly divided into three separate groups along both ethnic and ideological lines: (1) "Lithuanian" (non-hasidic) haredim of Ashkenazic origin; (2) Hasidic haredim of Ashkenazic origin; and (3) Sephardic haredim. Karaites and Samaritans Karaite Judaism defines itself as the remnants of the non-Rabbinic Jewish sects of the Second Temple period, such as the Sadducees. The Karaites ("Scripturalists") accept only the Hebrew Bible and what they view as the Peshat ("simple" meaning); they do not accept non-biblical writings as authoritative. Some European Karaites do not see themselves as part of the Jewish community at all, although most do. The Samaritans, a very small community located entirely around Mount Gerizim in the Nablus/Shechem region of the West Bank and in Holon, near Tel Aviv in Israel, regard themselves as the descendants of the Israelites of the Iron Age kingdom of Israel. Their religious practices are based on the literal text of the written Torah (Five Books of Moses), which they view as the only authoritative scripture (with a special regard also for the Samaritan Book of Joshua). Haymanot (Ethiopian Judaism) Haymanot (meaning "religion" in Ge'ez and Amharic) refers the Judaism practiced by Ethiopian Jews. This version of Judaism differs substantially from Rabbinic, Karaite, and Samaritan Judaisms, Ethiopian Jews having diverged from their coreligionists earlier. Sacred scriptures (the Orit) are written in Ge'ez, not Hebrew, and dietary laws are based strictly on the text of the Orit, without explication from ancillary commentaries. Holidays also differ, with some Rabbinic holidays not observed in Ethiopian Jewish communities, and some additional holidays, like Sigd. Secular Judaism Jewish secularism refers to secularism in a particularly Jewish context, denoting the definition of Jewishness either with little recourse to religion or without. Jewish Secularist ideologies first arose in the latter third of the 19th century, and reached the apogee of their influence in the interwar period. Noahide (B'nei Noah movement) Noahidism is a Jewish religious movement based on the Seven Laws of Noah and their traditional interpretations within Rabbinic Judaism. According to the halakha, non-Jews (gentiles) are not obligated to convert to Judaism, but they are required to observe the Seven Laws of Noah to be assured of a place in the World to Come (Olam Ha-Ba), the final reward of the righteous. The divinely ordained penalty for violating any of the Laws of Noah is discussed in the Talmud, but in practical terms it is subject to the working legal system which is established by the society at large. Those who subscribe to the observance of the Noahic Covenant are referred to as B'nei Noach (Hebrew: בני נח, "Children of Noah") or Noahides (/ˈnoʊ.ə.haɪdɪs/). Supporting organizations have been established around the world over the past decades by both Noahides and Orthodox Jews. Historically, the Hebrew term B'nei Noach has applied to all non-Jews as descendants of Noah. However, nowadays it's primarily used to refer specifically to those non-Jews who observe the Seven Laws of Noah. Jewish observances Jewish ethics Jewish ethics may be guided by halakhic traditions, by other moral principles, or by central Jewish virtues. Jewish ethical practice is typically understood to be marked by values such as justice, truth, peace, loving-kindness (chesed), compassion, humility, and self-respect. Specific Jewish ethical practices include practices of charity (tzedakah) and refraining from negative speech (lashon hara). Proper ethical practices regarding sexuality and many other issues are subjects of dispute among Jews. Prayers Traditionally, Jews recite prayers three times daily, Shacharit, Mincha, and Ma'ariv with a fourth prayer, Mussaf added on Shabbat and holidays. At the heart of each service is the Amidah or Shemoneh Esrei. Another key prayer in many services is the declaration of faith, the Shema Yisrael (or Shema). The Shema is the recitation of a verse from the Torah (Deuteronomy 6:4): Shema Yisrael Adonai Eloheinu Adonai Echad—"Hear, O Israel! The Lord is our God! The Lord is One!" Most of the prayers in a traditional Jewish service can be recited in solitary prayer, although communal prayer is preferred. Communal prayer requires a quorum of ten adult Jews, called a minyan. In nearly all Orthodox and a few Conservative circles, only male Jews are counted toward a minyan; most Conservative Jews and members of other Jewish denominations count female Jews as well. In addition to prayer services, observant traditional Jews recite prayers and benedictions throughout the day when performing various acts. Prayers are recited upon waking up in the morning, before eating or drinking different foods, after eating a meal, and so on. The approach to prayer varies among the Jewish denominations. Differences can include the texts of prayers, the frequency of prayer, the number of prayers recited at various religious events, the use of musical instruments and choral music, and whether prayers are recited in the traditional liturgical languages or the vernacular. In general, Orthodox and Conservative congregations adhere most closely to tradition, and Reform and Reconstructionist synagogues are more likely to incorporate translations and contemporary writings in their services. Also, in most Conservative synagogues, and all Reform and Reconstructionist congregations, women participate in prayer services on an equal basis with men, including roles traditionally filled only by men, such as reading from the Torah. In addition, many Reform temples use musical accompaniment such as organs and mixed choirs. Religious clothing A kippah (Hebrew: כִּפָּה, plural kippot; Yiddish: יאַרמלקע, yarmulke) is a slightly rounded brimless skullcap worn by many Jews while praying, eating, reciting blessings, or studying Jewish religious texts, and at all times by some Jewish men. In Orthodox communities, only men wear kippot; in non-Orthodox communities, some women also wear kippot. Kippot range in size from a small round beanie that covers only the back of the head to a large, snug cap that covers the whole crown. Tzitzit (Hebrew: צִיציִת) (Ashkenazi pronunciation: tzitzis) are special knotted "fringes" or "tassels" found on the four corners of the tallit (Hebrew: טַלִּית) (Ashkenazi pronunciation: tallis), or prayer shawl. The tallit is worn by Jewish men and some Jewish women during the prayer service. Customs vary regarding when a Jew begins wearing a tallit. In the Sephardi community, boys wear a tallit from bar mitzvah age. In some Ashkenazi communities, it is customary to wear one only after marriage. A tallit katan (small tallit) is a fringed garment worn under the clothing throughout the day. In some Orthodox circles, the fringes are allowed to hang freely outside the clothing. Tefillin (Hebrew: תְפִלִּין), known in English as phylacteries (from the Greek word φυλακτήριον, meaning safeguard or amulet), are two square leather boxes containing biblical verses, attached to the forehead and wound around the left arm by leather straps. They are worn during weekday morning prayer by observant Jewish men and some Jewish women. A kittel (Yiddish: קיטל), a white knee-length overgarment, is worn by prayer leaders and some observant traditional Jews on the High Holidays. It is traditional for the head of the household to wear a kittel at the Passover seder in some communities, and some grooms wear one under the wedding canopy. Jewish males are buried in a tallit and sometimes also a kittel which are part of the tachrichim (burial garments). Jewish holidays Jewish holidays are special days in the Jewish calendar, which celebrate moments in Jewish history, as well as central themes in the relationship between God and the world, such as creation, revelation, and redemption. Shabbat Shabbat, the weekly day of rest lasting from shortly before sundown on Friday night to nightfall on Saturday night, commemorates God's day of rest after six days of creation. It plays a pivotal role in Jewish practice and is governed by a large corpus of religious law. At sundown on Friday, the woman of the house welcomes the Shabbat by lighting two or more candles and reciting a blessing. The evening meal begins with the Kiddush, a blessing recited aloud over a cup of wine, and the Mohtzi, a blessing recited over the bread. It is customary to have challah, two braided loaves of bread, on the table. During Shabbat, Jews are forbidden to engage in any activity that falls under 39 categories of melakhah, translated literally as "work". In fact the activities banned on the Sabbath are not "work" in the usual sense: They include such actions as lighting a fire, writing, using money and carrying in the public domain. The prohibition of lighting a fire has been extended in the modern era to driving a car, which involves burning fuel and using electricity. Three pilgrimage festivals Jewish holy days (chaggim), celebrate landmark events in Jewish history, such as the Exodus from Egypt and the giving of the Torah, and sometimes mark the change of seasons and transitions in the agricultural cycle. The three major festivals, Sukkot, Passover and Shavuot, are called "regalim" (derived from the Hebrew word "regel", or foot). On the three regalim, it was customary for the Israelites to make pilgrimages to Jerusalem to offer sacrifices in the Temple. Passover (Pesach) is a week-long holiday beginning on the evening of the 14th day of Nisan (the first month in the Hebrew calendar), that commemorates the Exodus from Egypt. Outside Israel, Passover is celebrated for eight days. In ancient times, it coincided with the barley harvest. It is the only holiday that centers on home-service, the Seder. Leavened products (chametz) are removed from the house prior to the holiday and are not consumed throughout the week. Homes are thoroughly cleaned to ensure no bread or bread by-products remain, and a symbolic burning of the last vestiges of chametz is conducted on the morning of the Seder. Matzo is eaten instead of bread. Shavuot ("Pentecost" or "Feast of Weeks") celebrates the revelation of the Torah to the Israelites on Mount Sinai. Also known as the Festival of Bikurim, or first fruits, it coincided in biblical times with the wheat harvest. Shavuot customs include all-night study marathons known as Tikkun Leil Shavuot, eating dairy foods (cheesecake and blintzes are special favorites), reading the Book of Ruth, decorating homes and synagogues with greenery, and wearing white clothing, symbolizing purity. Sukkot ("Tabernacles" or "The Festival of Booths") commemorates the Israelites' forty years of wandering through the desert on their way to the Promised Land. It is celebrated through the construction of temporary booths called sukkot (sing. sukkah) that represent the temporary shelters of the Israelites during their wandering. It coincides with the fruit harvest and marks the end of the agricultural cycle. Jews around the world eat in sukkot for seven days and nights. Sukkot concludes with Shemini Atzeret, where Jews begin to pray for rain and Simchat Torah, "Rejoicing of the Torah", a holiday which marks reaching the end of the Torah reading cycle and beginning all over again. The occasion is celebrated with singing and dancing with the Torah scrolls. Shemini Atzeret and Simchat Torah are technically considered to be a separate holiday and not a part of Sukkot. High Holy Days The High Holidays (Yamim Noraim or "Days of Awe") revolve around judgment and forgiveness. Rosh Hashanah, (also Yom Ha-Zikkaron or "Day of Remembrance", and Yom Teruah, or "Day of the Sounding of the Shofar"). Rosh Hashanah is the Jewish New Year (literally, "head of the year"), although it falls on the first day of the seventh month of the Hebrew calendar, Tishri. Rosh Hashanah marks the beginning of the 10-day period of atonement leading up to Yom Kippur, during which Jews are commanded to search their souls and make amends for sins committed, intentionally or not, throughout the year. Holiday customs include blowing the shofar, or ram's horn, in the synagogue, eating apples and honey, and saying blessings over a variety of symbolic foods, such as pomegranates. Yom Kippur, ("Day of Atonement") is the holiest day of the Jewish year. It is a day of communal fasting and praying for forgiveness for one's sins. Observant Jews spend the entire day in the synagogue, sometimes with a short break in the afternoon, reciting prayers from a special holiday prayerbook called a "Machzor". Many non-religious Jews make a point of attending synagogue services and fasting on Yom Kippur. On the eve of Yom Kippur, before candles are lit, a prefast meal, the "seuda mafseket", is eaten. Synagogue services on the eve of Yom Kippur begin with the Kol Nidre prayer. It is customary to wear white on Yom Kippur, especially for Kol Nidre, and leather shoes are not worn. The following day, prayers are held from morning to evening. The final prayer service, called "Ne'ilah", ends with a long blast of the shofar. Purim Purim (Hebrew: Pûrîm "lots") is a joyous Jewish holiday that commemorates the deliverance of the Persian Jews from the plot of the evil Haman, who sought to exterminate them, as recorded in the biblical Book of Esther. It is characterized by public recitation of the Book of Esther, mutual gifts of food and drink, charity to the poor, and a celebratory meal (Esther 9:22). Other customs include drinking wine, eating special pastries called hamantashen, dressing up in masks and costumes, and organizing carnivals and parties. Purim has celebrated annually on the 14th of the Hebrew month of Adar, which occurs in February or March of the Gregorian calendar. Hanukkah Hanukkah (, "dedication") also known as the Festival of Lights, is an eight-day Jewish holiday that starts on the 25th day of Kislev (Hebrew calendar). The festival is observed in Jewish homes by the kindling of lights on each of the festival's eight nights, one on the first night, two on the second night and so on. The holiday was called Hanukkah (meaning "dedication") because it marks the re-dedication of the Temple after its desecration by Antiochus IV Epiphanes. Spiritually, Hanukkah commemorates the "Miracle of the Oil". According to the Talmud, at the re-dedication of the Temple in Jerusalem following the victory of the Maccabees over the Seleucid Empire, there was only enough consecrated oil to fuel the eternal flame in the Temple for one day. Miraculously, the oil burned for eight days—which was the length of time it took to press, prepare and consecrate new oil. Hanukkah is not mentioned in the Bible and was never considered a major holiday in Judaism, but it has become much more visible and widely celebrated in modern times, mainly because it falls around the same time as Christmas and has national Jewish overtones that have been emphasized since the establishment of the State of Israel. Fast days Tisha B'Av ( or , "the Ninth of Av") is a day of mourning and fasting commemorating the destruction of the First and Second Temples, and in later times, the expulsion of the Jews from Spain. There are three more minor Jewish fast days that commemorate various stages of the destruction of the Temples. They are the 17th Tamuz, the 10th of Tevet and Tzom Gedaliah (the 3rd of Tishrei). Israeli holidays The modern holidays of Yom Ha-shoah (Holocaust Remembrance Day), Yom Hazikaron (Israeli Memorial Day) and Yom Ha'atzmaut (Israeli Independence Day) commemorate the horrors of the Holocaust, the fallen soldiers of Israel and victims of terrorism, and Israeli independence, respectively. There are some who prefer to commemorate those who were killed in the Holocaust on the 10th of Tevet. Torah readings The core of festival and Shabbat prayer services is the public reading of the Torah, along with connected readings from the other books of the Tanakh, called Haftarah. Over the course of a year, the whole Torah is read, with the cycle starting over in the autumn, on Simchat Torah. Synagogues and religious buildings Synagogues are Jewish houses of prayer and study. They usually contain separate rooms for prayer (the main sanctuary), smaller rooms for study, and often an area for community or educational use. There is no set blueprint for synagogues and the architectural shapes and interior designs of synagogues vary greatly. The Reform movement mostly refer to their synagogues as temples. Some traditional features of a synagogue are: The ark (called aron ha-kodesh by Ashkenazim and hekhal by Sephardim) where the Torah scrolls are kept (the ark is often closed with an ornate curtain (parochet) outside or inside the ark doors); The elevated reader's platform (called bimah by Ashkenazim and tebah by Sephardim), where the Torah is read (and services are conducted in Sephardi synagogues); The eternal light (ner tamid), a continually lit lamp or lantern used as a reminder of the constantly lit menorah of the Temple in Jerusalem The pulpit, or amud, a lectern facing the Ark where the hazzan or prayer leader stands while praying. In addition to synagogues, other buildings of significance in Judaism include yeshivas, or institutions of Jewish learning, and mikvahs, which are ritual baths. Dietary laws: kashrut The Jewish dietary laws are known as kashrut. Food prepared in accordance with them is termed kosher, and food that is not kosher is also known as treifah or treif. People who observe these laws are colloquially said to be "keeping kosher". Many of the laws apply to animal-based foods. For example, in order to be considered kosher, mammals must have split hooves and chew their cud. The pig is arguably the most well-known example of a non-kosher animal. Although it has split hooves, it does not chew its cud. For seafood to be kosher, the animal must have fins and scales. Certain types of seafood, such as shellfish, crustaceans, and eels, are therefore considered non-kosher. Concerning birds, a list of non-kosher species is given in the Torah. The exact translations of many of the species have not survived, and some non-kosher birds' identities are no longer certain. However, traditions exist about the kashrut status of a few birds. For example, both chickens and turkeys are permitted in most communities. Other types of animals, such as amphibians, reptiles, and most insects, are prohibited altogether. In addition to the requirement that the species be considered kosher, meat and poultry (but not fish) must come from a healthy animal slaughtered in a process known as shechitah. Without the proper slaughtering practices even an otherwise kosher animal will be rendered treif. The slaughtering process is intended to be quick and relatively painless to the animal. Forbidden parts of animals include the blood, some fats, and the area in and around the sciatic nerve. Halakha also forbids the consumption of meat and dairy products together. The waiting period between eating meat and eating dairy varies by the order in which they are consumed and by community, and can extend for up to six hours. Based on the Biblical injunction against cooking a kid in its mother's milk, this rule is mostly derived from the Oral Torah, the Talmud and Rabbinic la. Chicken and other kosher birds are considered the same as meat under the laws of kashrut, but the prohibition is rabbinic, not biblical. The use of dishes, serving utensils, and ovens may make food treif that would otherwise be kosher. Utensils that have been used to prepare non-kosher food, or dishes that have held meat and are now used for dairy products, render the food treif under certain conditions. Furthermore, all Orthodox and some Conservative authorities forbid the consumption of processed grape products made by non-Jews, due to ancient pagan practices of using wine in rituals. Some Conservative authorities permit wine and grape juice made without rabbinic supervision. The Torah does not give specific reasons for most of the laws of kashrut. However, a number of explanations have been offered, including maintaining ritual purity, teaching impulse control, encouraging obedience to God, improving health, reducing cruelty to animals and preserving the distinctness of the Jewish community. The various categories of dietary laws may have developed for different reasons, and some may exist for multiple reasons. For example, people are forbidden from consuming the blood of birds and mammals because, according to the Torah, this is where animal souls are contained. In contrast, the Torah forbids Israelites from eating non-kosher species because "they are unclean". The Kabbalah describes sparks of holiness that are released by the act of eating kosher foods, but are too tightly bound in non-kosher foods to be released by eating. Survival concerns supersede all the laws of kashrut, as they do for most halakhot. Laws of ritual purity The Tanakh describes circumstances in which a person who is tahor or ritually pure may become tamei or ritually impure. Some of these circumstances are contact with human corpses or graves, seminal flux, vaginal flux, menstruation, and contact with people who have become impure from any of these. In Rabbinic Judaism, Kohanim, members of the hereditary caste that served as priests in the time of the Temple, are mostly restricted from entering grave sites and touching dead bodies. During the Temple period, such priests (Kohanim) were required to eat their bread offering (Terumah) in a state of ritual purity, which laws eventually led to more rigid laws being enacted, such as hand-washing which became a requisite of all Jews before consuming ordinary bread. Family purity An important subcategory of the ritual purity laws relates to the segregation of menstruating women. These laws are also known as niddah, literally "separation", or family purity. Vital aspects of halakha for traditionally observant Jews, they are not usually followed by Jews in liberal denominations. Especially in Orthodox Judaism, the Biblical laws are augmented by Rabbinical injunctions. For example, the Torah mandates that a woman in her normal menstrual period must abstain from sexual intercourse for seven days. A woman whose menstruation is prolonged must continue to abstain for seven more days after bleeding has stopped. The Rabbis conflated ordinary niddah with this extended menstrual period, known in the Torah as zavah, and mandated that a woman may not have sexual intercourse with her husband from the time she begins her menstrual flow until seven days after it ends. In addition, Rabbinical law forbids the husband from touching or sharing a bed with his wife during this period. Afterwards, purification can occur in a ritual bath called a mikveh Traditional Ethiopian Jews keep menstruating women in separate huts and, similar to Karaite practice, do not allow menstruating women into their temples because of a temple's special sanctity. Emigration to Israel and the influence of other Jewish denominations have led to Ethiopian Jews adopting more normative Jewish practices. Life-cycle events Life-cycle events, or rites of passage, occur throughout a Jew's life that serves to strengthen Jewish identity and bind him/her to the entire community. Brit milah – Welcoming male babies into the covenant through the rite of circumcision on their eighth day of life. The baby boy is also given his Hebrew name in the ceremony. A naming ceremony intended as a parallel ritual for girls, named zeved habat or brit bat, enjoys limited popularity. Bar mitzvah and Bat mitzvah – This passage from childhood to adulthood takes place when a female Jew is twelve and a male Jew is thirteen years old among Orthodox and some Conservative congregations. In the Reform movement, both girls and boys have their bat/bar mitzvah at age thirteen. This is often commemorated by having the new adults, male only in the Orthodox tradition, lead the congregation in prayer and publicly read a "portion" of the Torah. Marriage – Marriage is an extremely important lifecycle event. A wedding takes place under a chuppah, or wedding canopy, which symbolizes a happy house. At the end of the ceremony, the groom breaks a glass with his foot, symbolizing the continuous mourning for the destruction of the Temple, and the scattering of the Jewish people. Death and Mourning – Judaism has a multi-staged mourning practice. The first stage is called the shiva (literally "seven", observed for one week) during which it is traditional to sit at home and be comforted by friends and family, the second is the shloshim (observed for one month) and for those who have lost one of their parents, there is a third stage, avelut yud bet chodesh, which is observed for eleven months. Community leadership Classical priesthood The role of the priesthood in Judaism has significantly diminished since the destruction of the Second Temple in 70 CE when priests attended to the Temple and sacrifices. The priesthood is an inherited position, and although priests no longer have any but ceremonial duties, they are still honored in many Jewish communities. Many Orthodox Jewish communities believe that they will be needed again for a future Third Temple and need to remain in readiness for future duty. Kohen (priest) – patrilineal descendant of Aaron, brother of Moses. In the Temple, the kohanim were charged with performing the sacrifices. Today, a Kohen is the first one called up at the reading of the Torah, performs the Priestly Blessing, as well as complying with other unique laws and ceremonies, including the ceremony of redemption of the first-born. Levi (Levite) – Patrilineal descendant of Levi the son of Jacob. In the Temple in Jerusalem, the levites sang Psalms, performed construction, maintenance, janitorial, and guard duties, assisted the priests, and sometimes interpreted the law and Temple ritual to the public. Today, a Levite is called up second to the reading of the Torah. Prayer leaders From the time of the Mishnah and Talmud to the present, Judaism has required specialists or authorities for the practice of very few rituals or ceremonies. A Jew can fulfill most requirements for prayer by himself. Some activities—reading the Torah and haftarah (a supplementary portion from the Prophets or Writings), the prayer for mourners, the blessings for bridegroom and bride, the complete grace after meals—require a minyan, the presence of ten Jews. The most common professional clergy in a synagogue are: Rabbi of a congregation – Jewish scholar who is charged with answering the legal questions of a congregation. This role requires ordination by the congregation's preferred authority (i.e., from a respected Orthodox rabbi or, if the congregation is Conservative or Reform, from academic seminaries). A congregation does not necessarily require a rabbi. Some congregations have a rabbi but also allow members of the congregation to act as shatz or baal kriyah (see below). Hassidic Rebbe – rabbi who is the head of a Hasidic dynasty. Hazzan (note: the "h" denotes voiceless pharyngeal fricative) (cantor) – a trained vocalist who acts as shatz. Chosen for a good voice, knowledge of traditional tunes, understanding of the meaning of the prayers and sincerity in reciting them. A congregation does not need to have a dedicated hazzan. Jewish prayer services do involve two specified roles, which are sometimes, but not always, filled by a rabbi or hazzan in many congregations. In other congregations these roles are filled on an ad-hoc basis by members of the congregation who lead portions of services on a rotating basis: Shaliach tzibur or Shatz (leader—literally "agent" or "representative"—of the congregation) leads those assembled in prayer and sometimes prays on behalf of the community. When a shatz recites a prayer on behalf of the congregation, he is not acting as an intermediary but rather as a facilitator. The entire congregation participates in the recital of such prayers by saying amen at their conclusion; it is with this act that the shatz's prayer becomes the prayer of the congregation. Any adult capable of reciting the prayers clearly may act as shatz. In Orthodox congregations and some Conservative congregations, only men can be prayer leaders, but all Progressive communities now allow women to serve in this function. The Baal kriyah or baal koreh (master of the reading) reads the weekly Torah portion. The requirements for being the baal kriyah are the same as those for the shatz. These roles are not mutually exclusive. The same person is often qualified to fill more than one role and often does. Often there are several people capable of filling these roles and different services (or parts of services) will be led by each. Many congregations, especially larger ones, also rely on a: Gabbai (sexton) – Calls people up to the Torah, appoints the shatz for each prayer session if there is no standard shatz, and makes certain that the synagogue is kept clean and supplied. The three preceding positions are usually voluntary and considered an honor. Since the Enlightenment large synagogues have often adopted the practice of hiring rabbis and hazzans to act as shatz and baal kriyah, and this is still typically the case in many Conservative and Reform congregations. However, in most Orthodox synagogues these positions are filled by laypeople on a rotating or ad-hoc basis. Although most congregations hire one or more Rabbis, the use of a professional hazzan is generally declining in American congregations, and the use of professionals for other offices is rarer still. Specialized religious roles Dayan (judge) – An ordained rabbi with special legal training who belongs to a beth din (rabbinical court). In Israel, religious courts handle marriage and divorce cases, conversion and financial disputes in the Jewish community. Mohel (circumciser) – An expert in the laws of circumcision who has received training from a previously qualified mohel and performs the brit milah (circumcision). Shochet (ritual slaughterer) – In order for meat to be kosher, it must be slaughtered by a shochet who is an expert in the laws of kashrut and has been trained by another shochet. Sofer (scribe) – Torah scrolls, tefillin (phylacteries), mezuzot (scrolls put on doorposts), and gittin (bills of divorce) must be written by a sofer who is an expert in Hebrew calligraphy and has undergone rigorous training in the laws of writing sacred texts. Rosh yeshiva – A Torah scholar who runs a yeshiva. Mashgiach of a yeshiva – Depending on which yeshiva, might either be the person responsible for ensuring attendance and proper conduct, or even supervise the emotional and spiritual welfare of the students and give lectures on mussar (Jewish ethics). Mashgiach – Supervises manufacturers of kosher food, importers, caterers and restaurants to ensure that the food is kosher. Must be an expert in the laws of kashrut and trained by a rabbi, if not a rabbi himself. Historical Jewish groupings (to 1700) Around the 1st century CE, there were several small Jewish sects: the Pharisees, Sadducees, Zealots, Essenes, and Christians. After the destruction of the Second Temple in 70 CE, these sects vanished. Christianity survived, but by breaking with Judaism and becoming a separate religion; the Pharisees survived but in the form of Rabbinic Judaism (today, known simply as "Judaism"). The Sadducees rejected the divine inspiration of the Prophets and the Writings, relying only on the Torah as divinely inspired. Consequently, a number of other core tenets of the Pharisees' belief system (which became the basis for modern Judaism), were also dismissed by the Sadducees. (The Samaritans practiced a similar religion, which is traditionally considered separate from Judaism.) Like the Sadducees who relied only on the Torah, some Jews in the 8th and 9th centuries rejected the authority and divine inspiration of the oral law as recorded in the Mishnah (and developed by later rabbis in the two Talmuds), relying instead only upon the Tanakh. These included the Isunians, the Yudganites, the Malikites, and others. They soon developed oral traditions of their own, which differed from the rabbinic traditions, and eventually formed the Karaite sect. Karaites exist in small numbers today, mostly living in Israel. Rabbinical and Karaite Jews each hold that the others are Jews, but that the other faith is erroneous. Over a long time, Jews formed distinct ethnic groups in several different geographic areas—amongst others, the Ashkenazi Jews (of central and Eastern Europe), the Sephardi Jews (of Spain, Portugal, and North Africa), the Beta Israel of Ethiopia, the Yemenite Jews from the southern tip of the Arabian Peninsula and the Malabari and Cochin Jews from Kerala . Many of these groups have developed differences in their prayers, traditions and accepted canons; however, these distinctions are mainly the result of their being formed at some cultural distance from normative (rabbinic) Judaism, rather than based on any doctrinal dispute. Persecutions Antisemitism arose during the Middle Ages, in the form of persecutions, pogroms, forced conversions, expulsions, social restrictions and ghettoization. This was different in quality from the repressions of Jews which had occurred in ancient times. Ancient repressions were politically motivated and Jews were treated the same as members of other ethnic groups. With the rise of the Churches, the main motive for attacks on Jews changed from politics to religion and the religious motive for such attacks was specifically derived from Christian views about Jews and Judaism. During the Middle Ages, Jewish people who lived under Muslim rule generally experienced tolerance and integration, but there were occasional outbreaks of violence like Almohad's persecutions. Hasidism Hasidic Judaism was founded by Yisroel ben Eliezer (1700–1760), also known as the Ba'al Shem Tov (or Besht). It originated in a time of persecution of the Jewish people when European Jews had turned inward to Talmud study; many felt that most expressions of Jewish life had become too "academic", and that they no longer had any emphasis on spirituality or joy. Its adherents favored small and informal gatherings called Shtiebel, which, in contrast to a traditional synagogue, could be used both as a place of worship and for celebrations involving dancing, eating, and socializing. Ba'al Shem Tov's disciples attracted many followers; they themselves established numerous Hasidic sects across Europe. Unlike other religions, which typically expanded through word of mouth or by use of print, Hasidism spread largely owing to Tzadiks, who used their influence to encourage others to follow the movement. Hasidism appealed to many Europeans because it was easy to learn, did not require full immediate commitment, and presented a compelling spectacle. Hasidic Judaism eventually became the way of life for many Jews in Eastern Europe. Waves of Jewish immigration in the 1880s carried it to the United States. The movement itself claims to be nothing new, but a refreshment of original Judaism. As some have put it: "they merely re-emphasized that which the generations had lost". Nevertheless, early on there was a serious schism between Hasidic and non-Hasidic Jews. European Jews who rejected the Hasidic movement were dubbed by the Hasidim as Misnagdim, (lit. "opponents"). Some of the reasons for the rejection of Hasidic Judaism were the exuberance of Hasidic worship, its deviation from tradition in ascribing infallibility and miracles to their leaders, and the concern that it might become a messianic sect. Over time differences between the Hasidim and their opponents have slowly diminished and both groups are now considered part of Haredi Judaism. The Enlightenment and new religious movements In the late 18th century CE, Europe was swept by a group of intellectual, social and political movements known as the Enlightenment. The Enlightenment led to reductions in the European laws that prohibited Jews to interact with the wider secular world, thus allowing Jews access to secular education and experience. A parallel Jewish movement, Haskalah or the "Jewish Enlightenment", began, especially in Central Europe and Western Europe, in response to both the Enlightenment and these new freedoms. It placed an emphasis on integration with secular society and a pursuit of non-religious knowledge through reason. With the promise of political emancipation, many Jews saw no reason to continue to observe halakha and increasing numbers of Jews assimilated into Christian Europe. Modern religious movements of Judaism all formed in reaction to this trend. In Central Europe, followed by Great Britain and the United States, Reform (or Liberal) Judaism developed, relaxing legal obligations (especially those that limited Jewish relations with non-Jews), emulating Protestant decorum in prayer, and emphasizing the ethical values of Judaism's Prophetic tradition. Modern Orthodox Judaism developed in reaction to Reform Judaism, by leaders who argued that Jews could participate in public life as citizens equal to Christians while maintaining the observance of halakha. Meanwhile, in the United States, wealthy Reform Jews helped European scholars, who were Orthodox in practice but critical (and skeptical) in their study of the Bible and Talmud, to establish a seminary to train rabbis for immigrants from Eastern Europe. These left-wing Orthodox rabbis were joined by right-wing Reform rabbis who felt that halakha should not be entirely abandoned, to form the Conservative movement. Orthodox Jews who opposed the Haskalah formed Haredi Orthodox Judaism. After massive movements of Jews following The Holocaust and the creation of the state of Israel, these movements have competed for followers from among traditional Jews in or from other countries. Spectrum of observance Countries such as the United States, Israel, Canada, United Kingdom, Argentina and South Africa contain large Jewish populations. Jewish religious practice varies widely through all levels of observance. According to the 2001 edition of the National Jewish Population Survey, in the United States' Jewish community—the world's second largest—4.3 million Jews out of 5.1 million had some sort of connection to the religion. Of that population of connected Jews, 80% participated in some sort of Jewish religious observance, but only 48% belonged to a congregation, and fewer than 16% attend regularly. Birth rates for American Jews have dropped from 2.0 to 1.7. (Replacement rate is 2.1.) Intermarriage rates range from 40–50%
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longer on background information but utilitarianism itself. He quotes utilitarianism as "The greatest happiness principle", defining this theory by saying that pleasure and no pain are the only inherently good things in the world and expands on it by saying that "actions are right in proportion as they tend to promote happiness, wrong as they tend to produce the reverse of happiness. By happiness is intended pleasure, and the absence of pain; by unhappiness, pain, and the privation of pleasure." He views it not as an animalistic concept because he sees seeking out pleasure as a way of using our higher facilities. He also says in this chapter that the happiness principle is based not exclusively on the individual but mainly on the community. Mill also defends the idea of a "strong utilitarian conscience (i.e. a strong feeling of obligation to the general happiness)". He argued that humans have a desire to be happy and that that desire causes us to want to be in unity with other humans. This causes us to care about the happiness of others, as well as the happiness of complete strangers. But this desire also causes us to experience pain when we perceive harm to other people. He believes in internal sanctions that make us experience guilt and appropriate our actions. These internal sanctions make us want to do good because we do not want to feel guilty for our actions. Happiness is our ultimate end because it is our duty. He argues that we do not need to be constantly motivated by the concern of people's happiness because most of the actions done by people are done out of good intention, and the good of the world is made up of the good of the people. In Mill's fourth chapter, Of What Sort of Proof the Principle of Utility is Susceptible, he speaks of what proofs of Utility are affected. He starts this chapter off by saying that all of his claims cannot be backed up by reasoning. He claims that the only proof that something brings one pleasure is if someone finds it pleasurable. Next, he talks about how morality is the basic way to achieve happiness. He also discusses in this chapter that Utilitarianism is beneficial for virtue. He says that "it maintains not only that virtue is to be desired, but that it is to be desired disinterestedly, for itself." In his final chapter he looks at the connection between Utilitarianism and justice. He contemplates the question of whether justice is something distinct from Utility or not. He reasons this question in several different ways and finally comes to the conclusion that in certain cases justice is essential for Utility, but in others, social duty is far more important than justice. Mill believes that "justice must give way to some other moral principle, but that what is just in ordinary cases is, by reason of that other principle, not just in the particular case." The qualitative account of happiness that Mill advocates thus sheds light on his account presented in On Liberty. As he suggests in that text, utility is to be conceived in relation to humanity "as a progressive being", which includes the development and exercise of rational capacities as we strive to achieve a "higher mode of existence". The rejection of censorship and paternalism is intended to provide the necessary social conditions for the achievement of knowledge and the greatest ability for the greatest number to develop and exercise their deliberative and rational capacities. Mill redefines the definition of happiness as "the ultimate end, for the sake of which all other things are desirable (whether we are considering our own good or that of other people) is an existence as free as possible from pain and as rich as possible in enjoyments". He firmly believed that moral rules and obligations could be referenced to promoting happiness, which connects to having a noble character. While Mill is not a standard act utilitarian or rule utilitarian, he is a minimizing utilitarian, which "affirms that it would be desirable to maximize happiness for the greatest number, but not that we are morally required to do so". Achieving happiness Mill believed that for the majority of people (those with but a moderate degree of sensibility and of capacity for enjoyment) happiness is best achieved en passant, rather than striving for it directly. This meant no self-consciousness, scrutiny, self-interrogation, dwelling on, thinking about, imagining or questioning on one's happiness. Then, if otherwise fortunately circumstanced, one would "inhale happiness with the air you breathe." Economic philosophy Mill's early economic philosophy was one of free markets. However, he accepted interventions in the economy, such as a tax on alcohol, if there were sufficient utilitarian grounds. He also accepted the principle of legislative intervention for the purpose of animal welfare. He originally believed that "equality of taxation" meant "equality of sacrifice" and that progressive taxation penalized those who worked harder and saved more and was therefore "a mild form of robbery". Given an equal tax rate regardless of income, Mill agreed that inheritance should be taxed. A utilitarian society would agree that everyone should be equal one way or another. Therefore, receiving inheritance would put one ahead of society unless taxed on the inheritance. Those who donate should consider and choose carefully where their money goes – some charities are more deserving than others. Considering public charities boards such as a government will disburse the money equally. However, a private charity board like a church would disburse the monies fairly to those who are in more need than others. Later he altered his views toward a more socialist bent, adding chapters to his Principles of Political Economy in defence of a socialist outlook, and defending some socialist causes. Within this revised work he also made the radical proposal that the whole wage system be abolished in favour of a co-operative wage system. Nonetheless, some of his views on the idea of flat taxation remained, albeit altered in the third edition of the Principles of Political Economy to reflect a concern for differentiating restrictions on "unearned" incomes, which he favoured, and those on "earned" incomes, which he did not favour. In his autobiography, Mill stated that in relation to his later views on political economy, his "ideal of ultimate improvement... would class [him] decidedly under the general designation of Socialists". His views shifted partly due to reading the works of utopian socialists, but also from the influence of Harriet Taylor. In his work Socialism, Mill argued that the prevalence of poverty in contemporary industrial capitalist societies was "pro tanto a failure of the social arrangements", and that attempts to condone this state of affairs as being the result of individual failings did not represent a justification of them but instead were "an irresistible claim upon every human being for protection against suffering". Mill's Principles, first published in 1848, was one of the most widely read of all books on economics in the period. As Adam Smith's Wealth of Nations had during an earlier period, Principles came to dominate economics teaching. In the case of Oxford University it was the standard text until 1919, when it was replaced by Marshall's Principles of Economics. Criticism In Karl Marx's critique of political economy, he mentioned Mill in the Grundrisse. Marx claimed that Mills thinking posited the categories of capital in an ahistorical fashion. Economic democracy Mill's main objection to socialism focused on what he saw its destruction of competition. He wrote, "I utterly dissent from the most conspicuous and vehement part of their teaching – their declamations against competition." He was an egalitarian, but he argued more for equal opportunity and placed meritocracy above all other ideals in this regard. According to Mill, a socialist society would only be attainable through the provision of basic education for all, promoting economic democracy instead of capitalism, in the manner of substituting capitalist businesses with worker cooperatives. He says: Political democracy Mill's major work on political democracy, Considerations on Representative Government, defends two fundamental principles: extensive participation by citizens and enlightened competence of rulers. The two values are obviously in tension, and some readers have concluded that he is an elitist democrat, while others count him as an earlier participatory democrat. In one section, he appears to defend plural voting, in which more competent citizens are given extra votes (a view he later repudiated). However, in another chapter he argues cogently for the value of participation by all citizens. He believed that the incompetence of the masses could eventually be overcome if they were given a chance to take part in politics, especially at the local level. Mill is one of the few political philosophers ever to serve in government as an elected official. In his three years in Parliament, he was more willing to compromise than the "radical" principles expressed in his writing would lead one to expect. Mill was a major proponent of the diffusion and use of public education to the working class. He saw the value of the individual person, and believed that "man had the inherent capability of guiding his own destiny-but only if his faculties were developed and fulfilled", which could be achieved through education. He regarded education as a pathway to improve human nature which to him meant "to encourage, among other characteristics, diversity and originality, the energy of character, initiative, autonomy, intellectual cultivation, aesthetic sensibility, non-self-regarding interests, prudence, responsibility, and self-control". Education allowed for humans to develop into full informed citizens that had the tools to improve their condition and make fully informed electoral decisions. The power of education lay in its ability to serve as a great equalizer among the classes allowing the working class the ability to control their own destiny and compete with the upper classes. Mill recognized the paramount importance of public education in avoiding the tyranny of the majority by ensuring that all the voters and political participants were fully developed individuals. It was through education, he believed, that an individual could become a full participant within representative democracy. Theories of wealth and income distribution In Principles of Political Economy, Mill offered an analysis of two economic phenomena often linked together: the laws of production and wealth and the modes of its distribution. Regarding the former, he believed that it was not possible to alter to laws of production, "the ultimate properties of matter and mind... only to employ these properties to bring about events we are interested". The modes of distribution of wealth is a matter of human institutions solely, starting with what Mill believed to be the primary and fundamental institution: Individual Property. He believed that all individuals must start on equal terms, with division of the instruments of production fairly among all members of society. Once each member has an equal amount of individual property, they must be left to their own exertion not to be interfered with by the state. Regarding inequality of wealth, Mill believed that it was the role of the government to establish both social and economic policies that promote the equality of opportunity. The government, according to Mill, should implement three tax policies to help alleviate poverty: fairly-assessed income tax; an inheritance tax; and a policy to restrict sumptuary consumption. Inheritance of capital and wealth plays a large role in development of inequality, because it provides greater opportunity for those receiving the inheritance. Mill's solution to inequality of wealth brought about by inheritance was to implement a greater tax on inheritances, because he believed the most important authoritative function of the government is Taxation, and taxation judiciously implemented could promote equality. The environment Mill demonstrated an early insight into the value of the natural world—in particular in Book IV, chapter VI of Principles of Political Economy: "Of the Stationary State" in which Mill recognised wealth beyond the material, and argued that the logical conclusion of unlimited growth was destruction of the environment and a reduced quality of life. He concludes that a stationary state could be preferable to unending economic growth: I cannot, therefore, regard the stationary states of capital and wealth with the unaffected aversion so generally manifested towards it by political economists of the old school. If the earth must lose that great portion of its pleasantness which it owes to things that the unlimited increase of wealth and population would extirpate from it, for the mere purpose of enabling it to support a larger, but not a better or a happier population, I sincerely hope, for the sake of posterity, that they will be content to be stationary, long before necessity compel them to it. Rate of profit According to Mill, the ultimate tendency in an economy is for the rate of profit to decline due to diminishing returns in agriculture and increase in population at a Malthusian rate. In popular culture Mill is the subject of a 1905 clerihew by E. C. Bentley: Mill is mentioned in Monty Python's "Bruces' Philosophers Song" (1973) in the lines: Major publications See also John Stuart Mill Institute Mill's methods John Stuart Mill Library List of liberal theorists On Social Freedom Women's suffrage in the United Kingdom Notes References Mill's work Other sources Duncan Bell,
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gain “industrial and social independence” that would allow them the same movement in their agency and citizenship as men. Mill’s view of opportunity stands out in its reach, but even more so in the population he foresees could benefit from it. Mill was hopeful of the autonomy such an education could allow for its recipients and especially for women. Through the consequential sophistication and knowledge attained from it, individuals are able to properly act in ways that recedes away from those leading towards overpopulation. This stands directly in combat of the view held by many of Mill’s contemporaries and predecessors who viewed such inclusive programs to be counter intuitive. Aiming help for marginalized groups such as the poor and working class would only stand to reward them of being in that status thus incentivizing them for their lack of vast contribution to the aggregate and encourage fertility which at its extreme could lead to overproduction. He talks about the role of women in marriage and how it must be changed. Mill comments on three major facets of women's lives that he felt are hindering them: society and gender construction; education; and marriage. He argues that the oppression of women was one of the few remaining relics from ancient times, a set of prejudices that severely impeded the progress of humanity. As a Member of Parliament, Mill introduced an unsuccessful amendment to the Reform Bill to substitute the word "person" in place of "man". Utilitarianism The canonical statement of Mill's utilitarianism can be found in his book, Utilitarianism. Although this philosophy has a long tradition, Mill's account is primarily influenced by Jeremy Bentham and Mill's father James Mill. John Stuart Mill believed in the philosophy of utilitarianism, which he would describe as the principle that holds "that actions are right in the proportion as they tend to promote happiness, wrong as they tend to produce the reverse of happiness". By happiness he means, "intended pleasure, and the absence of pain; by unhappiness, pain, and the privation of pleasure". It is clear that we do not all value virtues as a path to happiness and that we sometimes only value them for selfish reasons. However, Mill asserts that upon reflection, even when we value virtues for selfish reasons we are in fact cherishing them as a part of our happiness. Bentham's famous formulation of utilitarianism is known as the greatest-happiness principle. It holds that one must always act so as to produce the greatest aggregate happiness among all sentient beings, within reason. In a similar vein, Mill's method of determining the best utility is that a moral agent, when given the choice between two or more actions, ought to choose the action that contributes most to (maximizes) the total happiness in the world. Happiness, in this context, is understood as the production of pleasure or privation of pain. Given that determining the action that produces the most utility is not always so clear cut, Mill suggests that the utilitarian moral agent, when attempting to rank the utility of different actions, should refer to the general experience of persons. That is, if people generally experience more happiness following action X than they do action Y, the utilitarian should conclude that action X produces more utility than action Y, and so is to be preferred. Utilitarianism is a consequentialist ethical theory, meaning that it holds that acts are justified insofar as they produce a desirable outcome. The overarching goal of utilitarianism—the ideal consequence—is to achieve the "greatest good for the greatest number as the end result of human action." In Utilitarianism, Mill states that "happiness is the sole end of human action". This statement aroused some controversy, which is why Mill took it a step further, explaining how the very nature of humans wanting happiness, and who "take it to be reasonable under free consideration", demands that happiness is indeed desirable. In other words, free will leads everyone to make actions inclined on their own happiness, unless reasoned that it would improve the happiness of others, in which case, the greatest utility is still being achieved. To that extent, the utilitarianism that Mill is describing is a default lifestyle that he believes is what people who have not studied a specific opposing field of ethics would naturally and subconsciously use when faced with a decision. Utilitarianism is thought of by some of its activists to be a more developed and overarching ethical theory of Immanuel Kant's belief in goodwill, and not just some default cognitive process of humans. Where Kant (1724-1804) would argue that reason can only be used properly by goodwill, Mill would say that the only way to universally create fair laws and systems would be to step back to the consequences, whereby Kant's ethical theories become based around the ultimate good—utility. By this logic the only valid way to discern what is the proper reason would be to view the consequences of any action and weigh the good and the bad, even if on the surface, the ethical reasoning seems to indicate a different train of thought. Higher and lower pleasures Mill's major contribution to utilitarianism is his argument for the qualitative separation of pleasures. Bentham treats all forms of happiness as equal, whereas Mill argues that intellectual and moral pleasures (higher pleasures) are superior to more physical forms of pleasure (lower pleasures). He distinguishes between happiness and contentment, claiming that the former is of higher value than the latter, a belief wittily encapsulated in the statement that, "it is better to be a human being dissatisfied than a pig satisfied; better to be Socrates dissatisfied than a fool satisfied. And if the fool, or the pig, are of a different opinion, it is because they only know their own side of the question." This made Mill believe that "our only ultimate end" is happiness. One unique part of his utilitarian view, that is not seen in others, is the idea of higher and lower pleasures. Mill explains the different pleasures as: He defines higher pleasures as mental, moral, and aesthetic pleasures, and lower pleasures as being more sensational. He believed that higher pleasures should be seen as preferable to lower pleasures since they have a greater quality in virtue. He holds that pleasures gained in activity are of a higher quality than those gained passively. Mill defines the difference between higher and lower forms of pleasure with the principle that those who have experienced both tend to prefer one over the other. This is, perhaps, in direct contrast with Bentham's statement that "Quantity of pleasure being equal, push-pin is as good as poetry", that, if a simple child's game like hopscotch causes more pleasure to more people than a night at the opera house, it is more incumbent upon a society to devote more resources to propagating hopscotch than running opera houses. Mill's argument is that the "simple pleasures" tend to be preferred by people who have no experience with high art, and are therefore not in a proper position to judge. He also argues that people who, for example, are noble or practise philosophy, benefit society more than those who engage in individualist practices for pleasure, which are lower forms of happiness. It is not the agent's own greatest happiness that matters "but the greatest amount of happiness altogether". Chapters Mill separated his explanation of Utilitarianism into five different sections: General Remarks; What Utilitarianism Is; Of the Ultimate Sanction of the Principle of Utility; Of What Sort of Proof the Principle of Utility is Susceptible; and Of the Connection between Justice and Utility. In the General Remarks portion of his essay, he speaks how next to no progress has been made when it comes to judging what is right and what is wrong of morality and if there is such a thing as moral instinct (which he argues that there may not be). However, he agrees that in general "Our moral faculty, according to all those of its interpreters who are entitled to the name of thinkers, supplies us only with the general principles of moral judgments". In What Utilitarianism Is, he focuses no longer on background information but utilitarianism itself. He quotes utilitarianism as "The greatest happiness principle", defining this theory by saying that pleasure and no pain are the only inherently good things in the world and expands on it by saying that "actions are right in proportion as they tend to promote happiness, wrong as they tend to produce the reverse of happiness. By happiness is intended pleasure, and the absence of pain; by unhappiness, pain, and the privation of pleasure." He views it not as an animalistic concept because he sees seeking out pleasure as a way of using our higher facilities. He also says in this chapter that the happiness principle is based not exclusively on the individual but mainly on the community. Mill also defends the idea of a "strong utilitarian conscience (i.e. a strong feeling of obligation to the general happiness)". He argued that humans have a desire to be happy and that that desire causes us to want to be in unity with other humans. This causes us to care about the happiness of others, as well as the happiness of complete strangers. But this desire also causes us to experience pain when we perceive harm to other people. He believes in internal sanctions that make us experience guilt and appropriate our actions. These internal sanctions make us want to do good because we do not want to feel guilty for our actions. Happiness is our ultimate end because it is our duty. He argues that we do not need to be constantly motivated by the concern of people's happiness because most of the actions done by people are done out of good intention, and the good of the world is made up of the good of the people. In Mill's fourth chapter, Of What Sort of Proof the Principle of Utility is Susceptible, he speaks of what proofs of Utility are affected. He starts this chapter off by saying that all of his claims cannot be backed up by reasoning. He claims that the only proof that something brings one pleasure is if someone finds it pleasurable. Next, he talks about how morality is the basic way to achieve happiness. He also discusses in this chapter that Utilitarianism is beneficial for virtue. He says that "it maintains not only that virtue is to be desired, but that it is to be desired disinterestedly, for itself." In his final chapter he looks at the connection between Utilitarianism and justice. He contemplates the question of whether justice is something distinct from Utility or not. He reasons this question in several different ways and finally comes to the conclusion that in certain cases justice is essential for Utility, but in others, social duty is far more important than justice. Mill believes that "justice must give way to some other moral principle, but that what is just in ordinary cases is, by reason of that other principle, not just in the particular case." The qualitative account of happiness that Mill advocates thus sheds light on his account presented in On Liberty. As he suggests in that text, utility is to be conceived in relation to humanity "as a progressive being", which includes the development and exercise of rational capacities as we strive to achieve a "higher mode of existence". The rejection of censorship and paternalism is intended to provide the necessary social conditions for the achievement of knowledge and the greatest ability for the greatest number to develop and exercise their deliberative and rational capacities. Mill redefines the definition of happiness as "the ultimate end, for the sake of which all other things are desirable (whether we are considering our own good or that of other people) is an existence as free as possible from pain and as rich as possible in enjoyments". He firmly believed that moral rules and obligations could be referenced to promoting happiness, which connects to having a noble character. While Mill is not a standard act utilitarian or rule utilitarian, he is a minimizing utilitarian, which "affirms that it would be desirable to maximize happiness for the greatest number, but not that we are morally required to do so". Achieving happiness Mill believed that for the majority of people (those with but a moderate degree of sensibility and of capacity for enjoyment) happiness is best achieved en passant, rather than striving for it directly. This meant no self-consciousness, scrutiny, self-interrogation, dwelling on, thinking about, imagining or questioning on one's happiness. Then, if otherwise fortunately circumstanced, one would "inhale happiness with the air you breathe." Economic philosophy Mill's early economic philosophy was one of free markets. However, he accepted interventions in the economy, such as a tax on alcohol, if there were sufficient utilitarian grounds. He also accepted the principle of legislative intervention for the purpose of animal welfare. He originally believed that "equality of taxation" meant "equality of sacrifice" and that progressive taxation penalized those who worked harder and saved more and was therefore "a mild form of robbery". Given an equal tax rate regardless of income, Mill agreed that inheritance should be taxed. A utilitarian society would agree that everyone should be equal one way or another. Therefore, receiving inheritance would put one ahead of society unless taxed on the inheritance. Those who donate should consider and choose carefully where their money goes – some charities are more deserving than others. Considering public charities boards such as a government will disburse the money equally. However, a private charity board like a church would disburse the monies fairly to those who are in more need than others. Later he altered his views toward a more socialist bent, adding chapters to his Principles of Political Economy in defence of a socialist outlook, and defending some socialist causes. Within this revised work he also made the radical proposal that the whole wage system be abolished in favour of a co-operative wage system. Nonetheless, some of his views on the idea of flat taxation remained, albeit altered in the third edition of the Principles of Political Economy to reflect a concern for differentiating restrictions on "unearned" incomes, which he favoured, and those on "earned" incomes, which he did not favour. In his autobiography, Mill stated that in relation to his later views on political economy, his "ideal of ultimate improvement... would class [him] decidedly under the general designation of Socialists". His views shifted partly due to reading the works of utopian socialists, but also from the influence of Harriet Taylor. In his work Socialism, Mill argued that the prevalence of poverty in contemporary industrial capitalist societies was "pro tanto a failure of the social arrangements", and that attempts to condone this state of affairs as being the result of individual failings did not represent a justification of them but instead were "an irresistible claim upon every human being for protection against suffering". Mill's Principles, first published in 1848, was one of the most widely read of all books on economics in the period. As Adam Smith's Wealth of Nations had during an earlier period, Principles came to dominate economics teaching. In the case of Oxford University it was the standard text until 1919, when it was replaced by
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the uncertainties, and by describing the potential benefits and costs of policies to address climate change. In a 2003 study about changes in environmental activism regarding the Crown of the Continent Ecosystem, Pedynowski noted that junk science can undermine the credibility of science over a much broader scale because misrepresentation by special interests casts doubt on more defensible claims and undermines the credibility of all research. In his 2006 book Junk Science, Dan Agin emphasized two main causes of junk science: fraud, and ignorance. In the first case, Agin discussed falsified results in the development of organic transistors: As far as understanding junk science is concerned, the important aspect is that both Bell Laboratories and the international physics community were fooled until someone noticed that noise records published by Jan Hendrik Schön in several papers were identical—which means physically impossible. In the second case, he cites an example that demonstrates ignorance of statistical principles in the lay press: Since no such proof is possible [that genetically modified food is harmless], the article in The New York Times was what is called a "bad rap" against the U.S. Department of Agriculture—a bad rap based on a junk-science belief that it's possible to prove a null hypothesis. Agin asks the reader to step back from the rhetoric, as "how things are labeled does not make a science junk science." In its place, he offers that junk science is ultimately motivated by the desire to hide undesirable truths from the public. Misuse in public relations John Stauber and Sheldon Rampton of PR Watch say the concept of junk science has come to be invoked in attempts to dismiss scientific findings that stand in the way of short-term corporate profits. In their book Trust Us, We're Experts (2001), they write that industries have launched multimillion-dollar campaigns to position certain theories as junk science in the popular mind, often failing to employ the scientific method themselves. For example, the tobacco industry has described research demonstrating the harmful effects of smoking and second-hand smoke as junk science, through the vehicle of various astroturf groups. Theories more favorable to corporate activities are portrayed in words as "sound science". Past examples where "sound science" was used include the research into the toxicity of Alar, which was heavily criticized by antiregulatory advocates, and Herbert Needleman's research into low dose lead poisoning. Needleman was accused of fraud and personally attacked. Fox News commentator Steven Milloy often denigrates credible scientific research on topics like global warming, ozone depletion, and passive smoking as "junk science". The credibility of Milloy's website junkscience.com was questioned by Paul D. Thacker, a writer for The New Republic, in the wake of evidence that Milloy had received funding from Philip Morris, RJR Tobacco, and Exxon Mobil. Thacker also noted that Milloy was receiving almost $100,000 a year in consulting fees from Philip Morris while he criticized the evidence regarding the hazards of second-hand smoke as junk science. Following the publication of this article, the Cato Institute, which had hosted the junkscience.com site, ceased its association with the site and removed Milloy from its list of adjunct scholars. Tobacco industry documents reveal that Philip Morris executives conceived of the "Whitecoat Project" in the 1980s as a response to emerging scientific data on the harmfulness of second-hand smoke. The goal of the Whitecoat Project, as conceived by Philip Morris and other tobacco companies, was to use ostensibly independent "scientific consultants" to spread doubt in the public mind about scientific data through invoking concepts like junk science. According to epidemiologist David Michaels, Assistant Secretary of Energy for Environment, Safety, and Health in the Clinton Administration, the tobacco industry invented the "sound science" movement in the 1980s as part of their campaign against the regulation of second-hand smoke. David Michaels has argued that, since the U.S. Supreme Court ruling in Daubert v. Merrell Dow Pharmaceuticals, Inc., lay judges have become "gatekeepers" of scientific testimony and, as a result, respected scientists have sometimes been unable to provide testimony so that corporate defendants are "increasingly emboldened" to accuse adversaries of practicing junk science. Notable cases American psychologist Paul Cameron has been designated by the Southern Poverty Law Center (SPLC) as an anti-gay extremist and a purveyor of "junk science". Cameron's research has been heavily criticized for unscientific methods and distortions which attempt to link homosexuality with pedophilia. In one instance, Cameron claimed that lesbians are 300 times more likely to get into car accidents. The SPLC states his work has been continually cited in some sections of the media despite being discredited. Cameron was expelled from the American Psychological Association in 1983. Combatting junk science In 1995, the Union of Concerned Scientists launched the Sound Science Initiative, a national network of scientists
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of science over a much broader scale because misrepresentation by special interests casts doubt on more defensible claims and undermines the credibility of all research. In his 2006 book Junk Science, Dan Agin emphasized two main causes of junk science: fraud, and ignorance. In the first case, Agin discussed falsified results in the development of organic transistors: As far as understanding junk science is concerned, the important aspect is that both Bell Laboratories and the international physics community were fooled until someone noticed that noise records published by Jan Hendrik Schön in several papers were identical—which means physically impossible. In the second case, he cites an example that demonstrates ignorance of statistical principles in the lay press: Since no such proof is possible [that genetically modified food is harmless], the article in The New York Times was what is called a "bad rap" against the U.S. Department of Agriculture—a bad rap based on a junk-science belief that it's possible to prove a null hypothesis. Agin asks the reader to step back from the rhetoric, as "how things are labeled does not make a science junk science." In its place, he offers that junk science is ultimately motivated by the desire to hide undesirable truths from the public. Misuse in public relations John Stauber and Sheldon Rampton of PR Watch say the concept of junk science has come to be invoked in attempts to dismiss scientific findings that stand in the way of short-term corporate profits. In their book Trust Us, We're Experts (2001), they write that industries have launched multimillion-dollar campaigns to position certain theories as junk science in the popular mind, often failing to employ the scientific method themselves. For example, the tobacco industry has described research demonstrating the harmful effects of smoking and second-hand smoke as junk science, through the vehicle of various astroturf groups. Theories more favorable to corporate activities are portrayed in words as "sound science". Past examples where "sound science" was used include the research into the toxicity of Alar, which was heavily criticized by antiregulatory advocates, and Herbert Needleman's research into low dose lead poisoning. Needleman was accused of fraud and personally attacked. Fox News commentator Steven Milloy often denigrates credible scientific research on topics like global warming, ozone depletion, and passive smoking as "junk science". The credibility of Milloy's website junkscience.com was questioned by Paul D. Thacker, a writer for The New Republic, in the wake of evidence that Milloy had received funding from Philip Morris, RJR Tobacco, and Exxon Mobil. Thacker also noted that Milloy was receiving almost $100,000 a year in consulting fees from Philip Morris while he criticized the evidence regarding the hazards of second-hand smoke as junk science. Following the publication of this article, the Cato Institute, which had hosted the junkscience.com site, ceased its association with the site and removed Milloy from its list of adjunct scholars. Tobacco industry documents reveal that Philip Morris executives conceived of the "Whitecoat Project" in the 1980s as a response to emerging scientific data on the harmfulness of second-hand smoke. The goal of the Whitecoat Project, as conceived by Philip Morris and
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one of the main characters in the French-Canadian animated series Martin Mystery Music and dance Java (dance), a Parisian Bal-musette dance Java (band), a French band "Java" (instrumental), a 1958 song by Allen Toussaint "Java", song by Lucienne Delyle, Grand Prix du disque 1956 Eddy Marnay & Emil Stern "Java", a song by Augustus Pablo Transportation Avian Java, a British hang glider HMS Java, three ships of the British Royal Navy Java (1813 ship), British merchant and migrant ship USS Java (1815), a 44-gun frigate in the United States Navy SS Java (1865), a British and French ocean liner built in 1865 Java-class cruiser, a class of Dutch World War II light cruisers Bentley Java, a 1994 concept car Chrysler Java, a 1999 concept car Other uses Javanese script (ISO 15924 code:
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Java virtual machine, an abstract computing machine enabling a computer to run a Java program Geography United States Java, Alabama Java, Montana Java, New York Java, Ohio Java, South Dakota Java, Virginia Other places Java, Mull, a hamlet on the Isle of Mull, Argyll and Bute, Scotland Java-eiland, a neighborhood in Amsterdam Java (town), a town in Georgia/South Ossetia Java District, district around this town in Georgia Java, São Tomé and Príncipe Jave la Grande or Java Maior, a phantom island south of Java. Entertainment Java (board game), a board game set on the island of Java Java (comics), a villain appearing in the DC Comics series Metamorpho Java the Caveman, one of the main characters in the French-Canadian animated series Martin Mystery Music and dance Java (dance), a Parisian Bal-musette dance Java (band), a French band "Java" (instrumental), a 1958 song by Allen Toussaint "Java",
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and in the direction of British overseas discovery. Cook's maps were used into the 20th century, with copies being referenced by those sailing Newfoundland's waters for 200 years. Following on from his exertions in Newfoundland, Cook wrote that he intended to go not only "farther than any man has been before me, but as far as I think it is possible for a man to go". First voyage (1768–1771) On 25 May 1768, the Admiralty commissioned Cook to command a scientific voyage to the Pacific Ocean. The purpose of the voyage was to observe and record the 1769 transit of Venus across the Sun which, when combined with observations from other places, would help to determine the distance of the Earth from the Sun. Cook, at age 39, was promoted to lieutenant to grant him sufficient status to take the command. For its part, the Royal Society agreed that Cook would receive a one hundred guinea gratuity in addition to his Naval pay. The expedition sailed aboard , departing England on 26 August 1768. Cook and his crew rounded Cape Horn and continued westward across the Pacific, arriving at Tahiti on 13 April 1769, where the observations of the transit were made. However, the result of the observations was not as conclusive or accurate as had been hoped. Once the observations were completed, Cook opened the sealed orders, which were additional instructions from the Admiralty for the second part of his voyage: to search the south Pacific for signs of the postulated rich southern continent of Terra Australis. Cook then sailed to New Zealand where he mapped the complete coastline, making only some minor errors. With the aid of Tupaia, a Tahitian priest who had joined the expedition, Cook was the first European to communicate with the Māori. He then voyaged west, reaching the southeastern coast of Australia on 19 April 1770, and in doing so his expedition became the first recorded Europeans to have encountered its eastern coastline. On 23 April, he made his first recorded direct observation of indigenous Australians at Brush Island near Bawley Point, noting in his journal: "... and were so near the Shore as to distinguish several people upon the Sea beach they appear'd to be of a very dark or black Colour but whether this was the real colour of their skins or the C[l]othes they might have on I know not." On 29 April, Cook and crew made their first landfall on the mainland of the continent at a place now known as the Kurnell Peninsula. Cook originally named the area "Stingray Bay", but later he crossed this out and named it "Botany Bay" after the unique specimens retrieved by the botanists Joseph Banks and Daniel Solander. It is here that Cook made first contact with an aboriginal tribe known as the Gweagal. After his departure from Botany Bay, he continued northwards. He stopped at Bustard Bay (now known as Seventeen Seventy) on 23 May 1770. On 24 May, Cook and Banks and others went ashore. Continuing north, on 11 June a mishap occurred when Endeavour ran aground on a shoal of the Great Barrier Reef, and then "nursed into a river mouth on 18 June 1770". The ship was badly damaged, and his voyage was delayed almost seven weeks while repairs were carried out on the beach (near the docks of modern Cooktown, Queensland, at the mouth of the Endeavour River). The voyage then continued and at about midday on 22 August 1770, they reached the northernmost tip of the coast and, without leaving the ship, Cook named it York Cape (now Cape York). Leaving the east coast, Cook turned west and nursed his battered ship through the dangerously shallow waters of Torres Strait. Searching for a vantage point, Cook saw a steep hill on a nearby island from the top of which he hoped to see "a passage into the Indian Seas". Cook named the island Possession Island, where he claimed the entire coastline that he had just explored as British territory. He returned to England via Batavia (modern Jakarta, Indonesia), where many in his crew succumbed to malaria, and then the Cape of Good Hope, arriving at the island of Saint Helena on 30 April 1771. The ship finally returned to England on 12 July 1771, anchoring in The Downs, with Cook going to Deal. Interlude Cook's journals were published upon his return, and he became something of a hero among the scientific community. Among the general public, however, the aristocratic botanist Joseph Banks was a greater hero. Banks even attempted to take command of Cook's second voyage but removed himself from the voyage before it began, and Johann Reinhold Forster and his son Georg Forster were taken on as scientists for the voyage. Cook's son George was born five days before he left for his second voyage. Second voyage (1772–1775) Shortly after his return from the first voyage, Cook was promoted in August 1771 to the rank of commander. In 1772, he was commissioned to lead another scientific expedition on behalf of the Royal Society, to search for the hypothetical Terra Australis. On his first voyage, Cook had demonstrated by circumnavigating New Zealand that it was not attached to a larger landmass to the south. Although he charted almost the entire eastern coastline of Australia, showing it to be continental in size, the Terra Australis was believed to lie further south. Despite this evidence to the contrary, Alexander Dalrymple and others of the Royal Society still believed that a massive southern continent should exist. Cook commanded on this voyage, while Tobias Furneaux commanded its companion ship, . Cook's expedition circumnavigated the globe at an extreme southern latitude, becoming one of the first to cross the Antarctic Circle on 17 January 1773. In the Antarctic fog, Resolution and Adventure became separated. Furneaux made his way to New Zealand, where he lost some of his men during an encounter with Māori, and eventually sailed back to Britain, while Cook continued to explore the Antarctic, reaching 71°10'S on 31 January 1774. Cook almost encountered the mainland of Antarctica but turned towards Tahiti to resupply his ship. He then resumed his southward course in a second fruitless attempt to find the supposed continent. On this leg of the voyage, he brought a young Tahitian named Omai, who proved to be somewhat less knowledgeable about the Pacific than Tupaia had been on the first voyage. On his return voyage to New Zealand in 1774, Cook landed at the Friendly Islands, Easter Island, Norfolk Island, New Caledonia, and Vanuatu. Before returning to England, Cook made a final sweep across the South Atlantic from Cape Horn and surveyed, mapped, and took possession for Britain of South Georgia, which had been explored by the English merchant Anthony de la Roché in 1675. Cook also discovered and named Clerke Rocks and the South Sandwich Islands ("Sandwich Land"). He then turned north to South Africa and from there continued back to England. His reports upon his return home put to rest the popular myth of Terra Australis. Cook's second voyage marked a successful employment of Larcum Kendall's K1 copy of John Harrison's H4 marine chronometer, which enabled Cook to calculate his longitudinal position with much greater accuracy. Cook's log was full of praise for this time-piece which he used to make charts of the southern Pacific Ocean that were so remarkably accurate that copies of them were still in use in the mid-20th century. Upon his return, Cook was promoted to the rank of post-captain and given an honorary retirement from the Royal Navy, with a posting as an officer of the Greenwich Hospital. He reluctantly accepted, insisting that he be allowed to quit the post if an opportunity for active duty should arise. His fame extended beyond the Admiralty; he was made a Fellow of the Royal Society and awarded the Copley Gold Medal for completing his second voyage without losing a man to scurvy. Nathaniel Dance-Holland painted his portrait; he dined with James Boswell; he was described in the House of Lords as "the first navigator in Europe". But he could not be kept away from the sea. A third voyage was planned, and Cook volunteered to find the Northwest Passage. He travelled to the Pacific and hoped to travel east to the Atlantic, while a simultaneous voyage travelled the opposite route. Third voyage (1776–1779) Hawaii On his last voyage, Cook again commanded HMS Resolution, while Captain Charles Clerke commanded . The voyage was ostensibly planned to return the Pacific Islander Omai to Tahiti, or so the public was led to believe. The trip's principal goal was to locate a Northwest Passage around the American continent. After dropping Omai at Tahiti, Cook travelled north and in 1778 became the first European to begin formal contact with the Hawaiian Islands. After his initial landfall in January 1778 at Waimea harbour, Kauai, Cook named the archipelago the "Sandwich Islands" after the fourth Earl of Sandwich—the acting First Lord of the Admiralty. North America From the Sandwich Islands, Cook sailed north and then northeast to explore the west coast of North America north of the Spanish settlements in Alta California. He sighted the Oregon coast at approximately 44°30′ north latitude, naming Cape Foulweather, after the bad weather which forced his ships south to about 43° north before they could begin their exploration of the coast northward. He unknowingly sailed past the Strait of Juan de Fuca and soon after entered Nootka Sound on Vancouver Island. He anchored near the First Nations village of Yuquot. Cook's two ships remained in Nootka Sound from 29 March to 26 April 1778, in what Cook called Ship Cove, now Resolution Cove, at the south end of Bligh Island. Relations between Cook's crew and the people of Yuquot were cordial but sometimes strained. In trading, the people of Yuquot demanded much more valuable items than the usual trinkets that had been acceptable in Hawaii. Metal objects were much desired, but the lead, pewter, and tin traded at first soon fell into disrepute. The most valuable items which the British received in trade were sea otter pelts. During the stay, the Yuquot "hosts" essentially controlled the trade with the British vessels; the natives usually visited the British vessels at Resolution Cove instead of the British visiting the village of Yuquot at Friendly Cove. After leaving Nootka Sound in search of the Northwest Passage, Cook explored and mapped the coast all the way to the Bering Strait, on the way identifying what came to be known as Cook Inlet in Alaska. In a single visit, Cook charted the majority of the North American northwest coastline on world maps for the first time, determined the extent of Alaska, and closed the gaps in Russian (from the west) and Spanish (from the south) exploratory probes of the northern limits of the Pacific. By the second week of August 1778, Cook was through the Bering Strait, sailing into the Chukchi Sea. He headed northeast up the coast of Alaska until he was blocked by sea ice at a latitude of 70°44′ north. Cook then sailed west to the Siberian coast, and then southeast down the Siberian coast back to the Bering Strait. By early September 1778 he was back in the Bering Sea to begin the trip to the Sandwich (Hawaiian) Islands. He became increasingly frustrated on this voyage and perhaps began to suffer from a stomach ailment; it has been speculated that this led to irrational behaviour towards his crew, such as forcing them to eat walrus meat, which they had pronounced inedible. Return to Hawaii Cook returned to Hawaii in 1779. After sailing around the archipelago for some eight weeks, he made landfall at Kealakekua Bay on Hawai'i Island, largest island in the Hawaiian Archipelago. Cook's arrival coincided with the Makahiki, a Hawaiian harvest festival of worship for the Polynesian god Lono. Coincidentally the form of Cook's ship, HMS Resolution, or more particularly the mast formation, sails and rigging, resembled certain significant artefacts that formed part of the season of worship. Similarly, Cook's clockwise route around the island of Hawaii before making landfall resembled the processions that took place in a clockwise direction around the island during the Lono festivals. It has been argued (most extensively by Marshall Sahlins) that such coincidences were the reasons for Cook's (and to a limited extent, his crew's) initial deification by some Hawaiians who treated Cook as an incarnation of Lono. Though this view was first suggested by members of Cook's expedition, the idea that any Hawaiians understood Cook to be Lono, and the evidence presented in support of it, were challenged in 1992. Death After a month's stay, Cook attempted to resume his exploration of the northern Pacific. Shortly after leaving Hawaii Island, however, Resolutions foremast broke, so the ships returned to Kealakekua Bay for repairs. Tensions rose, and a number of quarrels broke out between the Europeans and Hawaiians at Kealakekua Bay, including the theft of wood from a burial ground under Cook's orders. An unknown group of Hawaiians took one of Cook's small boats. The evening when the cutter was taken, the people had become "insolent" even with threats to fire upon them. Cook attempted to kidnap and ransom the King of Hawaiʻi, Kalaniʻōpuʻu. The following day, 14 February 1779, Cook marched through the village to retrieve the king. Cook took the king (aliʻi nui) by his own hand and led him away. One of Kalaniʻōpuʻu's favourite wives, Kanekapolei, and two chiefs approached the group as they were heading to the boats. They pleaded with the king not to go. An old kahuna (priest), chanting rapidly while holding out a coconut, attempted to distract Cook and his men as a large crowd began to form at the shore. At this point, the king began to understand that Cook was his enemy. As Cook turned his back to help launch the boats, he was struck on the head by the villagers and then stabbed to death as he fell on his face in the surf. He was first struck on the head with a club by a chief named Kalaimanokahoʻowaha or Kanaʻina (namesake of Charles Kana'ina) and then stabbed by one of the king's attendants, Nuaa. The Hawaiians carried his body away towards the back of the town, still visible to the ship through their spyglass. Four marines, Corporal James Thomas, Private Theophilus Hinks, Private Thomas Fatchett and Private John Allen, were also killed and two others were wounded in the confrontation. Aftermath The esteem which the islanders nevertheless held for Cook caused them to retain his body. Following their practice of the time, they prepared his body with funerary rituals usually reserved for the chiefs and highest elders of the society. The body was disembowelled and baked to facilitate removal of the flesh, and the bones were carefully cleaned for preservation as religious icons in a fashion somewhat reminiscent of the treatment of European saints in the Middle Ages. Some of Cook's remains, thus preserved, were eventually returned to his crew for a formal burial at sea. Clerke assumed leadership of the expedition and made a final attempt to pass through the Bering Strait. He died of tuberculosis on 22 August 1779 and John Gore, a veteran of Cook's first voyage, took command of Resolution and of the expedition. James King replaced Gore in command of Discovery. The expedition returned home, reaching England in October 1780. After their arrival in England, King completed Cook's account of the voyage. Legacy Ethnographic collections The Australian Museum acquired its "Cook Collection" in 1894 from the Government of New South Wales. At that time the collection consisted of 115 artefacts collected on Cook's three voyages throughout the Pacific Ocean, during the period 1768–80, along with documents and memorabilia related to these voyages. Many of the ethnographic artefacts were collected at a time of first contact between Pacific Peoples and Europeans. In 1935 most of the documents and memorabilia were transferred to the Mitchell Library in the State Library of New South Wales. The provenance of the collection shows that the objects remained in the hands of Cook's widow Elizabeth Cook, and her descendants, until 1886. In this year John Mackrell, the great-nephew of Isaac Smith, Elizabeth Cook's cousin, organised the display of this collection at the request of the NSW Government at the Colonial and Indian Exhibition in London. In 1887 the London-based Agent-General for the New South Wales Government, Saul Samuel, bought John Mackrell's items and also acquired items belonging to the other relatives Reverend Canon Frederick Bennett, Mrs Thomas Langton, H.M.C. Alexander, and William Adams. The collection remained with the Colonial Secretary of NSW until 1894, when it was transferred to the Australian Museum. Navigation and science Cook's 12 years sailing around the Pacific Ocean contributed much to Europeans' knowledge of the area. Several islands, such as the Hawaiian group, were encountered for the first time by Europeans, and his more accurate navigational charting of large areas of the Pacific was a major achievement. To create accurate maps, latitude and longitude must be accurately determined. Navigators had been able to work out latitude accurately for centuries by measuring the angle of the sun or a star above the horizon with an instrument such as a backstaff or quadrant. Longitude was more difficult to measure accurately because it requires precise knowledge of the time difference between points on the surface of the earth. The Earth turns a full 360 degrees relative to the sun each day. Thus longitude corresponds to time: 15 degrees every hour, or 1 degree every 4 minutes. Cook gathered accurate longitude measurements during his first voyage from his navigational skills, with the help of astronomer Charles Green, and by using the newly published Nautical Almanac tables, via the lunar distance method – measuring the angular distance from the moon to either the sun during daytime or one of eight bright stars during night-time to determine the time at the Royal Observatory, Greenwich, and comparing that to his local time determined via the altitude of the sun, moon, or stars. On his second voyage, Cook used the K1 chronometer made by Larcum Kendall, which was the shape of a large pocket watch, in diameter. It was a copy of the H4 clock made by John Harrison, which proved to be the first to keep accurate time at sea when used on the ship Deptfords journey to Jamaica in 1761–62. He succeeded in circumnavigating the world on his first voyage without losing a single man to scurvy, an unusual accomplishment at the time. He tested several preventive measures, most importantly the frequent replenishment of fresh food. For presenting a paper on this aspect of the voyage to the Royal Society he was presented with the Copley Medal in 1776. Cook became the first European to have extensive contact with various people of the Pacific. He correctly postulated a link among all the Pacific peoples, despite their being separated by great ocean stretches (see Malayo-Polynesian languages). Cook theorised that Polynesians originated from Asia, which scientist Bryan Sykes later verified. In New Zealand the coming of Cook is often used to signify the onset of the
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was through the Bering Strait, sailing into the Chukchi Sea. He headed northeast up the coast of Alaska until he was blocked by sea ice at a latitude of 70°44′ north. Cook then sailed west to the Siberian coast, and then southeast down the Siberian coast back to the Bering Strait. By early September 1778 he was back in the Bering Sea to begin the trip to the Sandwich (Hawaiian) Islands. He became increasingly frustrated on this voyage and perhaps began to suffer from a stomach ailment; it has been speculated that this led to irrational behaviour towards his crew, such as forcing them to eat walrus meat, which they had pronounced inedible. Return to Hawaii Cook returned to Hawaii in 1779. After sailing around the archipelago for some eight weeks, he made landfall at Kealakekua Bay on Hawai'i Island, largest island in the Hawaiian Archipelago. Cook's arrival coincided with the Makahiki, a Hawaiian harvest festival of worship for the Polynesian god Lono. Coincidentally the form of Cook's ship, HMS Resolution, or more particularly the mast formation, sails and rigging, resembled certain significant artefacts that formed part of the season of worship. Similarly, Cook's clockwise route around the island of Hawaii before making landfall resembled the processions that took place in a clockwise direction around the island during the Lono festivals. It has been argued (most extensively by Marshall Sahlins) that such coincidences were the reasons for Cook's (and to a limited extent, his crew's) initial deification by some Hawaiians who treated Cook as an incarnation of Lono. Though this view was first suggested by members of Cook's expedition, the idea that any Hawaiians understood Cook to be Lono, and the evidence presented in support of it, were challenged in 1992. Death After a month's stay, Cook attempted to resume his exploration of the northern Pacific. Shortly after leaving Hawaii Island, however, Resolutions foremast broke, so the ships returned to Kealakekua Bay for repairs. Tensions rose, and a number of quarrels broke out between the Europeans and Hawaiians at Kealakekua Bay, including the theft of wood from a burial ground under Cook's orders. An unknown group of Hawaiians took one of Cook's small boats. The evening when the cutter was taken, the people had become "insolent" even with threats to fire upon them. Cook attempted to kidnap and ransom the King of Hawaiʻi, Kalaniʻōpuʻu. The following day, 14 February 1779, Cook marched through the village to retrieve the king. Cook took the king (aliʻi nui) by his own hand and led him away. One of Kalaniʻōpuʻu's favourite wives, Kanekapolei, and two chiefs approached the group as they were heading to the boats. They pleaded with the king not to go. An old kahuna (priest), chanting rapidly while holding out a coconut, attempted to distract Cook and his men as a large crowd began to form at the shore. At this point, the king began to understand that Cook was his enemy. As Cook turned his back to help launch the boats, he was struck on the head by the villagers and then stabbed to death as he fell on his face in the surf. He was first struck on the head with a club by a chief named Kalaimanokahoʻowaha or Kanaʻina (namesake of Charles Kana'ina) and then stabbed by one of the king's attendants, Nuaa. The Hawaiians carried his body away towards the back of the town, still visible to the ship through their spyglass. Four marines, Corporal James Thomas, Private Theophilus Hinks, Private Thomas Fatchett and Private John Allen, were also killed and two others were wounded in the confrontation. Aftermath The esteem which the islanders nevertheless held for Cook caused them to retain his body. Following their practice of the time, they prepared his body with funerary rituals usually reserved for the chiefs and highest elders of the society. The body was disembowelled and baked to facilitate removal of the flesh, and the bones were carefully cleaned for preservation as religious icons in a fashion somewhat reminiscent of the treatment of European saints in the Middle Ages. Some of Cook's remains, thus preserved, were eventually returned to his crew for a formal burial at sea. Clerke assumed leadership of the expedition and made a final attempt to pass through the Bering Strait. He died of tuberculosis on 22 August 1779 and John Gore, a veteran of Cook's first voyage, took command of Resolution and of the expedition. James King replaced Gore in command of Discovery. The expedition returned home, reaching England in October 1780. After their arrival in England, King completed Cook's account of the voyage. Legacy Ethnographic collections The Australian Museum acquired its "Cook Collection" in 1894 from the Government of New South Wales. At that time the collection consisted of 115 artefacts collected on Cook's three voyages throughout the Pacific Ocean, during the period 1768–80, along with documents and memorabilia related to these voyages. Many of the ethnographic artefacts were collected at a time of first contact between Pacific Peoples and Europeans. In 1935 most of the documents and memorabilia were transferred to the Mitchell Library in the State Library of New South Wales. The provenance of the collection shows that the objects remained in the hands of Cook's widow Elizabeth Cook, and her descendants, until 1886. In this year John Mackrell, the great-nephew of Isaac Smith, Elizabeth Cook's cousin, organised the display of this collection at the request of the NSW Government at the Colonial and Indian Exhibition in London. In 1887 the London-based Agent-General for the New South Wales Government, Saul Samuel, bought John Mackrell's items and also acquired items belonging to the other relatives Reverend Canon Frederick Bennett, Mrs Thomas Langton, H.M.C. Alexander, and William Adams. The collection remained with the Colonial Secretary of NSW until 1894, when it was transferred to the Australian Museum. Navigation and science Cook's 12 years sailing around the Pacific Ocean contributed much to Europeans' knowledge of the area. Several islands, such as the Hawaiian group, were encountered for the first time by Europeans, and his more accurate navigational charting of large areas of the Pacific was a major achievement. To create accurate maps, latitude and longitude must be accurately determined. Navigators had been able to work out latitude accurately for centuries by measuring the angle of the sun or a star above the horizon with an instrument such as a backstaff or quadrant. Longitude was more difficult to measure accurately because it requires precise knowledge of the time difference between points on the surface of the earth. The Earth turns a full 360 degrees relative to the sun each day. Thus longitude corresponds to time: 15 degrees every hour, or 1 degree every 4 minutes. Cook gathered accurate longitude measurements during his first voyage from his navigational skills, with the help of astronomer Charles Green, and by using the newly published Nautical Almanac tables, via the lunar distance method – measuring the angular distance from the moon to either the sun during daytime or one of eight bright stars during night-time to determine the time at the Royal Observatory, Greenwich, and comparing that to his local time determined via the altitude of the sun, moon, or stars. On his second voyage, Cook used the K1 chronometer made by Larcum Kendall, which was the shape of a large pocket watch, in diameter. It was a copy of the H4 clock made by John Harrison, which proved to be the first to keep accurate time at sea when used on the ship Deptfords journey to Jamaica in 1761–62. He succeeded in circumnavigating the world on his first voyage without losing a single man to scurvy, an unusual accomplishment at the time. He tested several preventive measures, most importantly the frequent replenishment of fresh food. For presenting a paper on this aspect of the voyage to the Royal Society he was presented with the Copley Medal in 1776. Cook became the first European to have extensive contact with various people of the Pacific. He correctly postulated a link among all the Pacific peoples, despite their being separated by great ocean stretches (see Malayo-Polynesian languages). Cook theorised that Polynesians originated from Asia, which scientist Bryan Sykes later verified. In New Zealand the coming of Cook is often used to signify the onset of the colonisation which officially started more than 70 years after his crew became the second group of Europeans to visit that archipelago. Cook carried several scientists on his voyages; they made significant observations and discoveries. Two botanists, Joseph Banks and the Swede Daniel Solander, sailed on the first voyage. The two collected over 3,000 plant species. Banks subsequently strongly promoted British settlement of Australia, leading to the establishment of New South Wales as a penal settlement in 1788. Artists also sailed on Cook's first voyage. Sydney Parkinson was heavily involved in documenting the botanists' findings, completing 264 drawings before his death near the end of the voyage. They were of immense scientific value to British botanists. Cook's second expedition included William Hodges, who produced notable landscape paintings of Tahiti, Easter Island, and other locations. Several officers who served under Cook went on to distinctive accomplishments. William Bligh, Cook's sailing master, was given command of in 1787 to sail to Tahiti and return with breadfruit. Bligh became known for the mutiny of his crew, which resulted in his being set adrift in 1789. He later became Governor of New South Wales, where he was the subject of another mutiny—the 1808 Rum Rebellion. George Vancouver, one of Cook's midshipmen, led a voyage of exploration to the Pacific Coast of North America from 1791 to 1794. In honour of Vancouver's former commander, his ship was named . George Dixon, who sailed under Cook on his third expedition, later commanded his own. Henry Roberts, a lieutenant under Cook, spent many years after that voyage preparing the detailed charts that went into Cook's posthumous atlas, published around 1784. Cook's contributions to knowledge gained international recognition during his lifetime. In 1779, while the American colonies were fighting Britain for their independence, Benjamin Franklin wrote to captains of colonial warships at sea, recommending that if they came into contact with Cook's vessel, they were to "not consider her an enemy, nor suffer any plunder to be made of the effects contained in her, nor obstruct her immediate return to England by detaining her or sending her into any other part of Europe or to America; but that you treat the said Captain Cook and his people with all civility and kindness ... as common friends to mankind." Memorials A U.S. coin, the 1928 Hawaii Sesquicentennial half-dollar, carries Cook's image. Minted for the 150th anniversary of his discovery of the islands, its low mintage (10,008) has made this example of an early United States commemorative coin both scarce and expensive. The site where he was killed in Hawaii was marked in 1874 by a white obelisk set on of chained-off beach. This land, although in Hawaii, was deeded to the United Kingdom by Princess Likelike and her husband, Archibald Scott Cleghorn, to the British Consul to Hawaii, James Hay Wodehouse, in 1877. A nearby town is named Captain Cook, Hawaii; several Hawaiian businesses also carry his name. The Apollo 15 Command/Service Module Endeavour was named after Cook's ship, , as was the . In addition, the first Crew Dragon capsule flown by SpaceX was named for Endeavour. Another shuttle, Discovery, was named after Cook's . The first institution of higher education in North Queensland, Australia, was named after him, with James Cook University opening in Townsville in 1970. Numerous institutions, landmarks and place names reflect the importance of Cook's contributions, including the Cook Islands, Cook Strait, Cook Inlet and the Cook crater on the Moon. Aoraki / Mount Cook, the highest summit in New Zealand, is named for him. Another Mount Cook is on the border between the U.S. state of Alaska and the Canadian Yukon territory, and is designated Boundary Peak 182 as one of the official Boundary Peaks of the Hay–Herbert Treaty. A life-size statue of Cook upon a column stands in Hyde Park located in the centre of Sydney. A large aquatic monument is planned for Cook's landing place at Botany Bay, Sydney. One of the earliest monuments to Cook in the United Kingdom is located at The Vache, erected in 1780 by Admiral Hugh Palliser, a contemporary of Cook and one-time owner of the estate. A large obelisk was built in 1827 as a monument to Cook on Easby Moor overlooking his boyhood village of Great Ayton, along with a smaller monument at the former location of Cook's cottage. There is also a monument to Cook in the church of St Andrew the Great, St Andrew's Street, Cambridge, where his sons Hugh, a student at Christ's College, and James were buried. Cook's widow Elizabeth was also buried in the church and in her will left money for the memorial's upkeep. The 250th anniversary of Cook's birth was marked at the site of his birthplace in Marton by the opening of the Captain Cook Birthplace Museum, located within Stewart Park (1978). A granite vase just to the south of the museum marks the approximate spot where he was born. Tributes also abound in post-industrial Middlesbrough, including a primary school, shopping square and the Bottle 'O Notes, a public artwork by Claes Oldenburg, that was erected in the town's Central Gardens in 1993. Also named after Cook is James Cook University Hospital, a major teaching hospital which opened in 2003 with a railway station serving it called James Cook opening in 2014. The Royal Research Ship RRS James Cook was built in 2006 to replace the RRS Charles Darwin in the UK's Royal Research Fleet, and Stepney Historical Trust placed a plaque on Free Trade Wharf in the Highway, Shadwell to commemorate his life in the East End of London. A statue erected in his honour can be viewed near Admiralty Arch on the south side of The Mall in London. In 2002, Cook was placed at number 12 in the BBC's poll of the 100 Greatest Britons. In 1959, the Cooktown Re-enactment Association first performed a re-enactment of Cook's 1770 landing at the site of modern Cooktown, Australia, and have continued the tradition each year, with the support and participation of many of the local Guugu Yimithirr people. Cultural references Cook was a subject in many literary creations; one of the earliest was "Captain Cook" by Letitia Elizabeth Landon (L.E.L.). In 1931, Kenneth Slessor's poem "Five Visions of Captain Cook" was the "most dramatic break-through" in Australian poetry
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John Baskerville (baptised 28 January 1707 – 8 January 1775) was an English businessman, in areas including japanning and papier-mâché, but he is best remembered as a printer and type designer. He was also responsible for inventing "wove paper", which was considerably smoother than "laid paper", allowing for more sharper printing results. Life Baskerville was born in the village of Wolverley, near Kidderminster in Worcestershire and baptised on 28 January 1706OS(1707 NS) at Wolverley church. Baskerville established an early career teaching handwriting and is known to have offered his services cutting gravestones (a demonstration slab by him survives in the Library of Birmingham) before making a considerable fortune from the manufacture of lacquerwork items (japanning). He practised as a printer in Birmingham, England. Baskerville was a member of the Royal Society of Arts, and an associate of some of the members of the Lunar Society. He directed his punchcutter, John Handy, in the design of many typefaces of broadly similar appearance. In 1757, Baskerville published a remarkable quarto edition of Virgil on wove paper, using his own type. It took three years to complete, but it made such an impact that he was appointed printer to the University of Cambridge the following year. John Baskerville printed works for the University of Cambridge in 1758 and, although an atheist, printed The Book of Common Prayer in 1762, and a splendid folio Bible in 1763.
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designer. He was also responsible for inventing "wove paper", which was considerably smoother than "laid paper", allowing for more sharper printing results. Life Baskerville was born in the village of Wolverley, near Kidderminster in Worcestershire and baptised on 28 January 1706OS(1707 NS) at Wolverley church. Baskerville established an early career teaching handwriting and is known to have offered his services cutting gravestones (a demonstration slab by him survives in the Library of Birmingham) before making a considerable fortune from the manufacture of lacquerwork items (japanning). He practised as a printer in Birmingham, England. Baskerville was a member of the Royal Society of Arts, and an associate of some of the members of the Lunar Society. He directed his punchcutter, John Handy, in the design of many typefaces of broadly similar appearance. In 1757, Baskerville published a remarkable quarto edition of Virgil on wove paper, using his own type. It took three years to complete, but it made such an impact that he was appointed printer to the University of Cambridge the following year. John Baskerville printed works for the University of Cambridge in 1758 and, although an atheist, printed The Book of Common Prayer in 1762, and a splendid folio Bible in 1763. His typefaces were greatly admired by Benjamin Franklin, a fellow printer. Baskerville's work was criticised by jealous competitors and soon fell out of favour, but since the 1920s many new fonts have been released by Linotype, Monotype, and other type foundries – revivals of his work and mostly called 'Baskerville'. Emigre released a popular revival of this typeface in 1996 called Mrs Eaves, named for Baskerville's wife, Sarah Eaves. Baskerville's most notable typeface Baskerville represents the peak of transitional type face and bridges the gap between Old Style and Modern type design. Baskerville also was responsible for significant innovations in printing, paper and ink production. He worked with paper maker James Whatman to produce a smoother whiter paper, sometimes called "wove paper", which
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astronaut John Wesley Young (1879–1932), American mathematician John Zachary Young (1907–1997), English zoologist John Young (naturalist) (born c. 1960s), Australian naturalist Sports Association football (soccer) John Young (footballer, born 1888) (1888–1915), Scottish football player John Young (footballer, born 1889) (1889–19??), Scottish association football player John Young (footballer, born 1891) (1891–1947), Scottish footballer John Young (footballer, born 1951), Scottish association football player and manager John Young (footballer, born 1957), Scottish association football player (Denver Avalanche) Cricket John Young (cricketer, born 1863) (1863–1933), English cricketer John Young (cricketer, born 1876) (1876–1913), English cricketer John Young (cricketer, born 1884) (1884–1960), English cricketer Other sports John Young (pitcher) (fl. 1920s), American Negro league baseball player John Young (swimmer) (1917–2006), Bermudian swimmer John Young (field hockey) (born 1934), Canadian Olympic field hockey player John Young (cyclist) (1936–2013), Australian cyclist John Young (rugby union) (1937–2020), English rugby union player John Young (first baseman) (1949–2016), American baseball player John Young (ice hockey) (born 1969), American ice hockey and roller hockey player Others John Young (pioneer) (1764–1825), American surveyor John Young (abolitionist), (fl. 1800s), American abolitionist and Underground Railroad conductor John Russell Young (1840–1899), American writer, diplomat, and Librarian of Congress John Preston Young (1847–1934), American Confederate veteran, judge and historian John P. Young (1849–1921), American writer and editor of the San Francisco Chronicle John Young (police officer) (1888–1952), New Zealand baker, policeman, unionist and police commissioner John C. Young (1912–1987), Chinese-American civic leader, key figure in the development of Chinatown, San Francisco John Young (Cryptome) (fl. 2000s), American activist and architect Other uses John Young Parkway, American roadway in Florida John W. Young Round
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Young (1910–1988), British Lord Lieutenant of Buckinghamshire Yang Kuo-chiang (a.k.a. John K. Young, born 1950) Chinese military leader, Director-General of National Security Bureau of the Republic of China John J. Young Jr. (born 1962), U.S. Defense Department official Politics and law Australia John Young (Australian politician) (1842–1893), New South Wales politician John Young (jurist) (1919–2008), Australian jurist John Young (judge) (born 1952), Australian jurist in the Federal Court of Australia Canada John Young (seigneur) (c. 1759–1819), Scottish-born Canadian land entrepreneur, jurist, and politician John Young (Canadian politician) (1811–1878), member of the Canadian House of Commons John Young (Gloucester County, New Brunswick politician) (1841–1907), Canadian politician John Young (York County, New Brunswick politician) (1854–1934), Canadian politician John Allan Young (1895–1961), Canadian politician in Saskatchewan U.K. John Young (died 1589) (by 1519–1589), English politician, MP John Young (MP for Marlborough), (fl. 1559), English politician, MP for Marlborough John Young (MP for New Shoreham) (fl. 1586–1597), English politician, MP for New Shoreham, Sussex John Young, 1st Baron Lisgar (1807–1876), British diplomat and politician, NSW Governor, Canadian Governor General John Young (Scottish politician) (1930–2011), Scottish politician, Member of the Scottish Parliament U.S. John Young (governor) (1802–1852), American politician, Governor of New York John Duncan Young (1823–1910), US congressman from Kentucky J. Smith Young (1834–1916), American politician John Andrew Young (1916–2002), American politician from Texas John M. Young (1926–2010), American politician from Wisconsin Elsewhere John Young (advisor) (c. 1742–1835), British-born government advisor in the Kingdom of Hawaii Religion John Young (suffragan bishop in London) (1463–1526), English Catholic churchman and academic John Young (Regius Professor) (1514–1580), English Catholic clergyman and academic John Young (bishop of Rochester) (1532–1605), English academic and Anglican bishop of Rochester John Young (Dean of Winchester) (1585–1654), English Calvinist clergyman John G. Young (bishop) (1746–1813), Irish Catholic bishop John F. Young (1820–1885), American Episcopal bishop of Florida, translator of the hymn Silent Night John Willard Young (1844–1924), American religious leader John Young (Dean of St George's Cathedral) (1914–1991), English Anglican clergyman Science and medicine John Radford Young (1799–1885), English mathematician, professor and author John Young (professor of natural history) (1835–1902), Scottish naturalist, professor of natural history at Glasgow University John Stirling Young (1894–1971), Scottish physician, professor of pathology at Aberdeen University John Watts Young (1930–2018), American astronaut John Wesley Young (1879–1932), American mathematician John Zachary Young (1907–1997), English zoologist John Young (naturalist) (born c. 1960s), Australian naturalist Sports Association football (soccer) John Young (footballer, born 1888) (1888–1915), Scottish football player John Young (footballer, born 1889) (1889–19??), Scottish association football player John Young (footballer, born 1891) (1891–1947), Scottish footballer John Young (footballer, born 1951), Scottish association football player and manager John Young (footballer, born 1957), Scottish association football player (Denver Avalanche) Cricket
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as part of the Marshall Plan on the condition that they opened their markets to trade, aware that the Soviets would never agree. The Allies demanded that Stalin withdraw the Red Army from northern Iran. He initially refused, leading to an international crisis in 1946, but one year later Stalin finally relented and moved the Soviet troops out. Stalin also tried to maximise Soviet influence on the world stage, unsuccessfully pushing for Libya—recently liberated from Italian occupation—to become a Soviet protectorate. He sent Molotov as his representative to San Francisco to take part in negotiations to form the United Nations, insisting that the Soviets have a place on the Security Council. In April 1949, the Western powers established the North Atlantic Treaty Organisation (NATO), an international military alliance of capitalist countries. Within Western countries, Stalin was increasingly portrayed as the "most evil dictator alive" and compared to Hitler. In 1948, Stalin edited and rewrote sections of Falsifiers of History, published as a series of Pravda articles in February 1948 and then in book form. Written in response to public revelations of the 1939 Soviet alliance with Germany, it focused on blaming Western powers for the war. He erroneously claimed that the initial German advance in the early part of the war was not a result of Soviet military weakness, but rather a deliberate Soviet strategic retreat. In 1949, celebrations took place to mark Stalin's seventieth birthday (although he was 71 at the time,) at which Stalin attended an event in the Bolshoi Theatre alongside Marxist–Leninist leaders from across Europe and Asia. Eastern Bloc After the war, Stalin sought to retain Soviet dominance across Eastern Europe while expanding its influence in Asia. Cautiously regarding the responses from the Western Allies, Stalin avoided immediately installing Communist Party governments across Eastern Europe, instead initially ensuring that Marxist-Leninists were placed in coalition ministries. In contrast to his approach to the Baltic states, he rejected the proposal of merging the new communist states into the Soviet Union, rather recognising them as independent nation-states. He was faced with the problem that there were few Marxists left in Eastern Europe, with most having been killed by the Nazis. He demanded that war reparations be paid by Germany and its Axis allies Hungary, Romania, and the Slovak Republic. Aware that these countries had been pushed toward socialism through invasion rather than by proletarian revolution, Stalin referred to them not as "dictatorships of the proletariat" but as "people's democracies", suggesting that in these countries there was a pro-socialist alliance combining the proletariat, peasantry, and lower middle-class. Churchill observed that an "Iron Curtain" had been drawn across Europe, separating the east from the west. In September 1947, a meeting of East European communist leaders was held in Szklarska Poręba, Poland, from which was formed Cominform to co-ordinate the Communist Parties across Eastern Europe and also in France and Italy. Stalin did not personally attend the meeting, sending Zhdanov in his place. Various East European communists also visited Stalin in Moscow. There, he offered advice on their ideas; for instance he cautioned against the Yugoslav idea for a Balkan federation incorporating Bulgaria and Albania. Stalin had a particularly strained relationship with Yugoslav leader Josip Broz Tito due to the latter's continued calls for Balkan federation and for Soviet aid for the communist forces in the ongoing Greek Civil War. In March 1948, Stalin launched an anti-Tito campaign, accusing the Yugoslav communists of adventurism and deviating from Marxist–Leninist doctrine. At the second Cominform conference, held in Bucharest in June 1948, East European communist leaders all denounced Tito's government, accusing them of being fascists and agents of Western capitalism. Stalin ordered several assassination attempts on Tito's life and contemplated invading Yugoslavia. Stalin suggested that a unified, but demilitarised, German state be established, hoping that it would either come under Soviet influence or remain neutral. When the US and UK remained opposed to this, Stalin sought to force their hand by blockading Berlin in June 1948. He gambled that the others would not risk war, but they airlifted supplies into West Berlin until May 1949, when Stalin relented and ended the blockade. In September 1949 the Western powers transformed Western Germany into an independent Federal Republic of Germany; in response the Soviets formed East Germany into the German Democratic Republic in October. In accordance with their earlier agreements, the Western powers expected Poland to become an independent state with free democratic elections. In Poland, the Soviets merged various socialist parties into the Polish United Workers' Party, and vote rigging was used to ensure that it secured office. The 1947 Hungarian elections were also rigged, with the Hungarian Working People's Party taking control. In Czechoslovakia, where the communists did have a level of popular support, they were elected the largest party in 1946. Monarchy was abolished in Bulgaria and Romania. Across Eastern Europe, the Soviet model was enforced, with a termination of political pluralism, agricultural collectivisation, and investment in heavy industry. It was aimed for economic autarky within the Eastern Bloc. Asia In October 1949, Chinese Communist leader Mao Zedong took power in China. With this accomplished, Marxist governments now controlled a third of the world's land mass. Privately, Stalin revealed that he had underestimated the Chinese Communists and their ability to win the civil war, instead encouraging them to make another peace with the KMT. In December 1949, Mao visited Stalin. Initially Stalin refused to repeal the Sino-Soviet Treaty of 1945, which significantly benefited the Soviet Union over China, although in January 1950 he relented and agreed to sign a new treaty between the two countries. Stalin was concerned that Mao might follow Tito's example by pursuing a course independent of Soviet influence, and made it known that if displeased he would withdraw assistance from China; the Chinese desperately needed said assistance after decades of civil war. At the end of the Second World War, the Soviet Union and the United States divided up the Korean Peninsula, formerly a Japanese colonial possession, along the 38th parallel, setting up a communist government in the north and a pro-Western government in the south. North Korean leader Kim Il-sung visited Stalin in March 1949 and again in March 1950; he wanted to invade the south and although Stalin was initially reluctant to provide support, he eventually agreed by May 1950. The North Korean Army launched the Korean War by invading the south in June 1950, making swift gains and capturing Seoul. Both Stalin and Mao believed that a swift victory would ensue. The U.S. went to the UN Security Council—which the Soviets were boycotting over its refusal to recognise Mao's government—and secured military support for the South Koreans. U.S. led forces pushed the North Koreans back. Stalin wanted to avoid direct Soviet conflict with the U.S., convincing the Chinese to aid the North. The Soviet Union was one of the first nations to extend diplomatic recognition to the newly created state of Israel in 1948, in hopes of obtaining an ally in the Middle East. When the Israeli ambassador Golda Meir arrived in the USSR, Stalin was angered by the Jewish crowds who gathered to greet her. He was further angered by Israel's growing alliance with the U.S. After Stalin fell out with Israel, he launched an anti-Jewish campaign within the Soviet Union and the Eastern Bloc. In November 1948, he abolished the JAC, and show trials took place for some of its members. The Soviet press engaged in attacks on Zionism, Jewish culture, and "rootless cosmopolitanism", with growing levels of anti-Semitism being expressed across Soviet society. Stalin's increasing tolerance of anti-Semitism may have stemmed from his increasing Russian nationalism or from the recognition that anti-Semitism had proved a useful mobilising tool for Hitler and that he could do the same; he may have increasingly viewed the Jewish people as a "counter-revolutionary" nation whose members were loyal to the U.S. There were rumours, although they have never been substantiated, that Stalin was planning on deporting all Soviet Jews to the Jewish Autonomous Region in Birobidzhan, eastern Siberia. Final years: 1950–1953 In his later years, Stalin was in poor health. He took increasingly long holidays; in 1950 and again in 1951 he spent almost five months vacationing at his Abkhazian dacha. Stalin nevertheless mistrusted his doctors; in January 1952 he had one imprisoned after they suggested that he should retire to improve his health. In September 1952, several Kremlin doctors were arrested for allegedly plotting to kill senior politicians in what came to be known as the Doctors' Plot; the majority of the accused were Jewish. He instructed the arrested doctors to be tortured to ensure confession. In November, the Slánský trial took place in Czechoslovakia as 13 senior Communist Party figures, 11 of them Jewish, were accused and convicted of being part of a vast Zionist-American conspiracy to subvert Eastern Bloc governments. That same month, a much publicised trial of accused Jewish industrial wreckers took place in Ukraine. In 1951, he initiated the Mingrelian affair, a purge of the Georgian branch of the Communist Party which resulted in over 11,000 deportations. From 1946 until his death, Stalin only gave three public speeches, two of which lasted only a few minutes. The amount of written material that he produced also declined. In 1950, Stalin issued the article "Marxism and Problems of Linguistics", which reflected his interest in questions of Russian nationhood. In 1952, Stalin's last book, Economic Problems of Socialism in the USSR, was published. It sought to provide a guide to leading the country after his death. In October 1952, Stalin gave an hour and a half speech at the Central Committee plenum. There, he emphasised what he regarded as leadership qualities necessary in the future and highlighted the weaknesses of various potential successors, particularly Molotov and Mikoyan. In 1952, he also eliminated the Politburo and replaced it with a larger version which he called the Presidium. Death, funeral and aftermath On 1 March 1953, Stalin's staff found him semi-conscious on the bedroom floor of his Kuntsevo Dacha. He had suffered a cerebral haemorrhage. He was moved onto a couch and remained there for three days. He was hand-fed using a spoon, given various medicines and injections, and leeches were applied to him. Svetlana and Vasily were called to the dacha on 2 March; the latter was drunk and angrily shouted at the doctors, resulting in him being sent home. Stalin died on 5 March 1953. According to Svetlana, it had been "a difficult and terrible death". An autopsy revealed that he had died of a cerebral haemorrhage and that he also suffered from severe damage to his cerebral arteries due to atherosclerosis. It is conjectured that Stalin was murdered; Beria has been suspected of murder, although no firm evidence has ever appeared. Stalin's death was announced on 6 March. The body was embalmed, and then placed on display in Moscow's House of Unions for three days. Crowds were such that a crush killed about 100 people. The funeral involved the body being laid to rest in Lenin's Mausoleum in Red Square on 9 March; hundreds of thousands attended. That month featured a surge in arrests for "anti-Soviet agitation" as those celebrating Stalin's death came to police attention. The Chinese government instituted a period of official mourning for Stalin's death. Stalin left no anointed successor nor a framework within which a transfer of power could take place. The Central Committee met on the day of his death, with Malenkov, Beria, and Khrushchev emerging as the party's key figures. The system of collective leadership was restored, and measures introduced to prevent any one member attaining autocratic domination again. The collective leadership included the following eight senior members of the Presidium of the Central Committee of the Communist Party of the Soviet Union listed according to the order of precedence presented formally on 5 March 1953: Georgy Malenkov, Lavrentiy Beria, Vyacheslav Molotov, Kliment Voroshilov, Nikita Khrushchev, Nikolai Bulganin, Lazar Kaganovich and Anastas Mikoyan. Reforms to the Soviet system were immediately implemented. Economic reform scaled back the mass construction projects, placed a new emphasis on house building, and eased the levels of taxation on the peasantry to stimulate production. The new leaders sought rapprochement with Yugoslavia and a less hostile relationship with the U.S., pursuing a negotiated end to the Korean War in July 1953. The doctors who had been imprisoned were released and the anti-Semitic purges ceased. A mass amnesty for those imprisoned for non-political crimes was issued, halving the country's inmate population, while the state security and Gulag systems were reformed, with torture being banned in April 1953. Political ideology Stalin claimed to have embraced Marxism at the age of fifteen, and it served as the guiding philosophy throughout his adult life; according to Kotkin, Stalin held "zealous Marxist convictions", while Montefiore suggested that Marxism held a "quasi-religious" value for Stalin. Although he never became a Georgian nationalist, during his early life elements from Georgian nationalist thought blended with Marxism in his outlook. The historian Alfred J. Rieber noted that he had been raised in "a society where rebellion was deeply rooted in folklore and popular rituals". Stalin believed in the need to adapt Marxism to changing circumstances; in 1917, he declared that "there is dogmatic Marxism and there is creative Marxism. I stand on the ground of the latter". Volkogonov believed that Stalin's Marxism was shaped by his "dogmatic turn of mind", suggesting that this had been instilled in the Soviet leader during his education in religious institutions. According to scholar Robert Service, Stalin's "few innovations in ideology were crude, dubious developments of Marxism". Some of these derived from political expediency rather than any sincere intellectual commitment; Stalin would often turn to ideology post hoc to justify his decisions. Stalin referred to himself as a praktik, meaning that he was more of a practical revolutionary than a theoretician. As a Marxist and an extreme anti-capitalist, Stalin believed in an inevitable "class war" between the world's proletariat and bourgeoise. He believed that the working classes would prove successful in this struggle and would establish a dictatorship of the proletariat, regarding the Soviet Union as an example of such a state. He also believed that this proletarian state would need to introduce repressive measures against foreign and domestic "enemies" to ensure the full crushing of the propertied classes, and thus the class war would intensify with the advance of socialism. As a propaganda tool, the shaming of "enemies" explained all inadequate economic and political outcomes, the hardships endured by the populace, and military failures. The new state would then be able to ensure that all citizens had access to work, food, shelter, healthcare, and education, with the wastefulness of capitalism eliminated by a new, standardised economic system. According to Sandle, Stalin was "committed to the creation of a society that was industrialised, collectivised, centrally planned and technologically advanced." Stalin adhered to the Leninist variant of Marxism. In his book, Foundations of Leninism, he stated that "Leninism is the Marxism of the epoch of imperialism and of the proletarian revolution". He claimed to be a loyal Leninist, although was—according to Service—"not a blindly obedient Leninist". Stalin respected Lenin, but not uncritically, and spoke out when he believed that Lenin was wrong. During the period of his revolutionary activity, Stalin regarded some of Lenin's views and actions as being the self-indulgent activities of a spoiled émigré, deeming them counterproductive for those Bolshevik activists based within the Russian Empire itself. After the October Revolution, they continued to have differences. Whereas Lenin believed that all countries across Europe and Asia would readily unite as a single state following proletariat revolution, Stalin argued that national pride would prevent this, and that different socialist states would have to be formed; in his view, a country like Germany would not readily submit to being part of a Russian-dominated federal state. Stalin biographer Oleg Khlevniuk nevertheless believed that the pair developed a "strong bond" over the years, while Kotkin suggested that Stalin's friendship with Lenin was "the single most important relationship in Stalin's life". After Lenin's death, Stalin relied heavily on Lenin's writings—far more so than those of Marx and Engels—to guide him in the affairs of state. Stalin adopted the Leninist view on the need for a revolutionary vanguard who could lead the proletariat rather than being led by them. Leading this vanguard, he believed that the Soviet peoples needed a strong, central figure—akin to a Tsar—whom they could rally around. In his words, "the people need a Tsar, whom they can worship and for whom they can live and work". He read about, and admired, two Tsars in particular: Ivan the Terrible and Peter the Great. In the personality cult constructed around him, he was known as the vozhd, an equivalent to the Italian duce and German führer. Stalinism was a development of Leninism, and while Stalin avoided using the term "Marxism-Leninism-Stalinism", he allowed others to do so. Following Lenin's death, Stalin contributed to the theoretical debates within the Communist Party, namely by developing the idea of "Socialism in One Country". This concept was intricately linked to factional struggles within the party, particularly against Trotsky. He first developed the idea in December 1924 and elaborated upon in his writings of 1925–26. Stalin's doctrine held that socialism could be completed in Russia but that its final victory there could not be guaranteed because of the threat from capitalist intervention. For this reason, he retained the Leninist view that world revolution was still a necessity to ensure the ultimate victory of socialism. Although retaining the Marxist belief that the state would wither away as socialism transformed into pure communism, he believed that the Soviet state would remain until the final defeat of international capitalism. This concept synthesised Marxist and Leninist ideas with nationalist ideals, and served to discredit Trotsky—who promoted the idea of "permanent revolution"—by presenting the latter as a defeatist with little faith in Russian workers' abilities to construct socialism. Stalin viewed nations as contingent entities which were formed by capitalism and could merge into others. Ultimately he believed that all nations would merge into a single, global human community, and regarded all nations as inherently equal. In his work, he stated that "the right of secession" should be offered to the ethnic-minorities of the Russian Empire, but that they should not be encouraged to take that option. He was of the view that if they became fully autonomous, then they would end up being controlled by the most reactionary elements of their community; as an example he cited the largely illiterate Tatars, whom he claimed would end up dominated by their mullahs. Stalin argued that the Jews possessed a "national character" but were not a "nation" and were thus unassimilable. He argued that Jewish nationalism, particularly Zionism, was hostile to socialism. According to Khlevniuk, Stalin reconciled Marxism with great-power imperialism and therefore expansion of the empire makes him a worthy to the Russian tsars. Service argued that Stalin's Marxism was imbued with a great deal of Russian nationalism. According to Montefiore, Stalin's embrace of the Russian nation was pragmatic, as the Russians were the core of the population of the USSR; it was not a rejection of his Georgian origins. Stalin's push for Soviet westward expansion into eastern Europe resulted in accusations of Russian imperialism. Personal life and characteristics Ethnically Georgian, Stalin grew up speaking the Georgian language, and did not begin learning Russian until the age of eight or nine. It has been argued that his ancestry was Ossetian, because his genetic haplotype (G2a-Z6653) is considered typical of the Ossetians, but he never acknowledged an Ossetian identity. He remained proud of his Georgian identity, and throughout his life retained a heavy Georgian accent when speaking Russian. According to Montefiore, despite Stalin's affinity for Russia and Russians, he remained profoundly Georgian in his lifestyle and personality. Stalin's colleagues described him as "Asiatic", and he once told a Japanese journalist that "I am not a European man, but an Asian, a Russified Georgian". Service also noted that Stalin "would never be Russian", could not credibly pass as one, and never tried to pretend that he was. Montefiore was of the view that "after 1917, [Stalin] became quadri-national: Georgian by nationality, Russian by loyalty, internationalist by ideology, Soviet by citizenship." Stalin had a soft voice, and when speaking Russian did so slowly, carefully choosing his phrasing. In private he often used coarse language and profanity, although avoided doing so in public. Described as a poor orator, according to Volkogonov, Stalin's speaking style was "simple and clear, without flights of fancy, catchy phrases or platform histrionics". He rarely spoke before large audiences, and preferred to express himself in written form. His writing style was similar, being characterised by its simplicity, clarity, and conciseness. Throughout his life, he used various nicknames and pseudonyms, including "Koba", "Soselo", and "Ivanov", adopting "Stalin" in 1912; it was based on the Russian word for "steel" and has often been translated as "Man of Steel". In adulthood, Stalin measured five feet seven inches (1.7 meters). His mustached face was pock-marked from smallpox during childhood; this was airbrushed from published photographs. He was born with a webbed left foot, and his left arm had been permanently injured in childhood which left it shorter than his right and lacking in flexibility, which was probably the result of being hit, at the age of 12, by a horse-drawn carriage. During his youth, Stalin cultivated a scruffy appearance in rejection of middle-class aesthetic values. By 1907, he grew his hair long and often wore a beard; for clothing, he often wore a traditional Georgian chokha or a red satin shirt with a grey coat and black fedora. From mid-1918 until his death he favoured military-style clothing, in particular long black boots, light-coloured collarless tunics, and a gun. He was a lifelong smoker, who smoked both a pipe and cigarettes. He had few material demands and lived plainly, with simple and inexpensive clothing and furniture; his interest was in power rather than wealth. As leader of the Soviet Union, Stalin typically awoke around 11am, with lunch being served between 3 and 5pm and dinner no earlier than 9pm; he then worked late into the evening. He often dined with other Politburo members and their families. As leader, he rarely left Moscow unless to go to one of his dachas for holiday; he disliked travel, and refused to travel by plane. His choice of favoured holiday house changed over the years, although he holidayed in southern parts of the USSR every year from 1925 to 1936 and again from 1945 to 1951. Along with other senior figures, he had a dacha at Zubalova, 35 km outside Moscow, although ceased using it after Nadezhda's 1932 suicide. After 1932, he favoured holidays in Abkhazia, being a friend of its leader, Nestor Lakoba. In 1934, his new Kuntsevo Dacha was built; 9 km from the Kremlin, it became his primary residence. In 1935 he began using a new dacha provided for him by Lakoba at Novy Afon; in 1936, he had the Kholodnaya Rechka dacha built on the Abkhazian coast, designed by Miron Merzhanov. Personality Trotsky and several other Soviet figures promoted the idea that Stalin was a mediocrity. This gained widespread acceptance outside the Soviet Union during his lifetime but was misleading. According to biographer Montefiore, "it is clear from hostile and friendly witnesses alike that Stalin was always exceptional, even from childhood". Stalin had a complex mind, great self-control, and an excellent memory. He was a hard worker, and displayed a keen desire to learn; when in power, he scrutinised many details of Soviet life, from film scripts to architectural plans and military hardware. According to Volkogonov, "Stalin's private life and working life were one and the same"; he did not take days off from political activities. Stalin could play different roles to different audiences, and was adept at deception, often deceiving others as to his true motives and aims. Several historians have seen it as appropriate to follow Lazar Kaganovich's description of there being "several Stalins" as a means of understanding his multi-faceted personality. He was a good organiser, with a strategic mind, and judged others according to their inner strength, practicality, and cleverness. He acknowledged that he could be rude and insulting, but he rarely raised his voice in anger; as his health deteriorated in later life he became increasingly unpredictable and bad tempered. Despite his tough-talking attitude, he could be very charming; when relaxed, he cracked jokes and mimicked others. Montefiore suggested that this charm was "the foundation of Stalin's power in the Party". Stalin was ruthless, temperamentally cruel, and had a propensity for violence high even among the Bolsheviks. He lacked compassion, something Volkogonov suggested might have been accentuated by his many years in prison and exile, although he was capable of acts of kindness to strangers, even amid the Great Terror. He was capable of self-righteous indignation, and was resentful, and vindictive, holding on to grudges for many years. By the 1920s, he was also suspicious and conspiratorial, prone to believing that people were plotting against him and that there were vast international conspiracies behind acts of dissent. He never attended torture sessions or executions, although Service thought Stalin "derived deep satisfaction" from degrading and humiliating people and enjoyed keeping even close associates in a state of "unrelieved fear". Montefiore thought Stalin's brutality marked him out as a "natural extremist"; Service suggested he had tendencies toward a paranoid and sociopathic personality disorder. According to historian Geoffrey Roberts, Stalin wasn't a psychopath. He was instead an emotionally intelligent and feeling intellectual. Other historians linked his brutality not to any personality trait, but to his unwavering commitment to the survival of the Soviet Union and the international Marxist–Leninist cause. Keenly interested in the arts, Stalin admired artistic talent. He protected several Soviet writers from arrest and prosecution, such as Mikhail Bulgakov, even when their work was labelled harmful to his regime. He enjoyed listening to classical music, owning around 2,700 records, and frequently attending the Bolshoi Theatre during the 1930s and 1940s. His taste in music and theatre was conservative, favouring classical drama, opera, and ballet over what he dismissed as experimental "formalism". He also favoured classical forms in the visual arts, disliking avant-garde styles like cubism and futurism. He was a voracious reader, with having a personal library of over 20,000 books. Little of this was fiction, although he could cite passages from Alexander Pushkin, Nikolay Nekrasov, and Walt Whitman by heart. Stalin's favourite subject was history, closely followed by Marxist theory and then fiction. He favoured historical studies, keeping up with debates in the study of Russian, Mesopotamian, ancient Roman, and Byzantine history. He was very interested in the reigns of Ivan the Terrible, Peter the Great and Catherine the Great. An autodidact, he claimed to read as many as 500 pages a day, with Montefiore regarding him as an intellectual. Lenin was his favourite author but he also read, and sometimes appreciated, a great deal of writing by Leon Trotsky and other arch-enemies. Like all Bolshevik leaders, Stalin believed that reading could help transform not just people's ideas and consciousness, but human nature itself. Stalin also enjoyed watching films late at night at cinemas installed in the Kremlin and his dachas. He favoured the Western genre; his favourite film was the 1938 picture Volga Volga. Stalin was a keen and accomplished billiards player, and collected watches. He also enjoyed practical jokes; for instance, he would place a tomato on the seat of Politburo members and wait for them to sit on it. When at social events, he encouraged singing, as well as alcohol consumption; he hoped that others would drunkenly reveal their secrets to him. As an infant, Stalin displayed a love of flowers, and later in life he became a keen gardener. His Volynskoe suburb had a park, with Stalin devoting much attention to its agricultural activities. Stalin publicly condemned anti-Semitism, although he was repeatedly accused of it. People who knew him, such as Khrushchev, suggested he long harboured negative sentiments toward Jews, and anti-Semitic trends in his policies were further fuelled by Stalin's struggle against Trotsky. After Stalin's death, Khrushchev claimed that Stalin encouraged him to incite anti-Semitism in Ukraine, allegedly telling him that "the good workers at the factory should be given clubs so they can beat the hell out of those Jews." In 1946, Stalin allegedly said privately that "every Jew is a potential spy." Conquest stated that although Stalin had Jewish associates, he promoted anti-Semitism. Service cautioned that there was "no irrefutable evidence" of anti-Semitism in Stalin's published work, although his private statements and public actions were "undeniably reminiscent of crude antagonism towards Jews"; he added that throughout Stalin's lifetime, the Georgian "would be the friend, associate or leader of countless individual Jews". According to Beria, Stalin had affairs with several Jewish women. Relationships and family Friendship was important to Stalin, and he used it to gain and maintain power. Kotkin observed that Stalin "generally gravitated to people like himself: parvenu intelligentsia of humble background". He gave nicknames to his favourites, for instance referring to Yezhov as "my blackberry". Stalin was sociable and enjoyed a joke. According to Montefiore, Stalin's friendships "meandered between love, admiration, and venomous jealousy". While head of the Soviet Union he remained in contact with many of his old friends in Georgia, sending them letters and gifts of money. According to Montefiore, in his early life Stalin "rarely seems to have been without a girlfriend". Stalin was sexually promiscuous, although he rarely talked about his sex life. Montefiore noted that Stalin's favoured types were "young, malleable teenagers or buxom peasant women", who would be supportive and unchallenging toward him. According to Service, Stalin "regarded women as a resource for sexual gratification and domestic comfort". Stalin married twice and had several offspring. Stalin married his first wife, Ekaterina Svanidze, in 1906. According to Montefiore, theirs was "a true love match"; Volkogonov suggested that she was "probably the one human being he had really loved". When she died, Stalin said: "This creature softened my heart of stone." They had a son, Yakov, who often frustrated and annoyed Stalin. Yakov had a daughter, Galina, before fighting for the Red Army in the Second World War. He was captured by the German Army and then committed suicide. Stalin's second wife was Nadezhda Alliluyeva; theirs was not an easy relationship, and they often fought. They had two biological children—a son, Vasily, and a daughter, Svetlana—and adopted another son, Artyom Sergeev, in 1921. During his marriage to Nadezhda, Stalin had affairs with many other women, most of whom were fellow revolutionaries or their wives. Nadezdha suspected that this was the case, and committed suicide in 1932. Stalin regarded Vasily as spoiled and often chastised his behaviour; as Stalin's son, Vasily nevertheless was swiftly promoted through the ranks of the Red Army and allowed a lavish lifestyle. Conversely, Stalin had an affectionate relationship with Svetlana during her childhood, and was also very fond of Artyom. In later life, he disapproved of Svetlana's various suitors and husbands, putting a strain on his relationship with her. After the Second World War, he made little time for his children and his family played a decreasingly important role in his life. After Stalin's death, Svetlana changed her surname from Stalin to Allilueva, and defected to the U.S. After Nadezdha's death, Stalin became increasingly close to his sister-in-law Zhenya Alliluyeva; Montefiore believed that they were probably lovers. There are unproven rumours that from 1934 onward he had a relationship with his housekeeper Valentina Istomina. Stalin had at least two illegitimate children, although he never recognised them as being his. One of them, Konstantin Kuzakov, later taught philosophy at the Leningrad Military Mechanical Institute, but never met his father. The other, Alexander, was the son of Lidia Pereprygia; he was raised as the son of a peasant fisherman and the Soviet authorities made him swear never to reveal that Stalin was his biological father. Legacy The historian Robert Conquest stated that Stalin perhaps "determined the course of the twentieth century" more than any other individual. Biographers like Service and Volkogonov have considered him an outstanding and exceptional politician; Montefiore labelled Stalin as "that rare combination: both 'intellectual' and killer", a man who was "the ultimate politician" and "the most elusive and fascinating of the twentieth-century titans". According to historian Kevin McDermott, interpretations of Stalin range from "the sycophantic and adulatory to the vitriolic and condemnatory." For most Westerners and anti-communist Russians, he is viewed overwhelmingly negatively as a mass murderer; for significant numbers of Russians and Georgians, he is regarded as a great statesman and state-builder. Stalin strengthened and stabilised the Soviet Union. Service suggested that the country might have collapsed long before 1991 without Stalin. In under three decades, Stalin transformed the Soviet Union into a major industrial world power, one which could "claim impressive achievements" in terms of urbanisation, military strength, education and Soviet pride. Under his rule, the average Soviet life expectancy grew due to improved living conditions, nutrition and medical care as mortality rates also declined. Although millions of Soviet citizens despised him, support for Stalin was nevertheless widespread throughout Soviet society. Stalin's necessity for Soviet Union's economic development has been questioned, with it being argued that Stalin's policies from 1928 on may have only been a limiting factor. Stalin's Soviet Union has been characterised as a totalitarian state, with Stalin its authoritarian leader. Various biographers have described him as a dictator, an autocrat, or accused him of practising Caesarism. Montefiore argued that while Stalin initially ruled as part of a Communist Party oligarchy, the Soviet government transformed from this oligarchy into a personal dictatorship in 1934, with Stalin only becoming "absolute dictator" between March and June 1937, when senior military and NKVD figures were eliminated. According to Kotkin, Stalin "built a personal dictatorship within the Bolshevik dictatorship." In both the Soviet Union and elsewhere he came to be portrayed as an "Oriental despot". Dmitri Volkogonov characterised him as "one of the most powerful figures in human history." McDermott stated that Stalin had "concentrated unprecedented political authority in his hands." Service stated that Stalin "had come closer to personal despotism than almost any monarch in history" by the late 1930s. McDermott nevertheless cautioned against "over-simplistic stereotypes"—promoted in the fiction of writers like Aleksandr Solzhenitsyn, Vasily Grossman, and Anatoly Rybakov—that portrayed Stalin as an omnipotent and omnipresent tyrant who controlled every aspect of Soviet life through repression and totalitarianism. Service similarly warned of the portrayal of Stalin as an "unimpeded despot", noting that "powerful though he was, his powers were not limitless", and his rule depended on his willingness to conserve the Soviet structure he had inherited. Kotkin observed that Stalin's ability to remain in power relied on him having a majority in the Politburo at all times. Khlevniuk noted that at various points, particularly when Stalin was old and frail, there were "periodic manifestations" in which the party oligarchy threatened his autocratic control. Stalin denied to foreign visitors that he was a dictator, stating that those who labelled him such did not understand the Soviet governance structure. A vast literature devoted to Stalin has been produced. During Stalin's lifetime, his approved biographies were largely hagiographic in content. Stalin ensured that these works gave very little attention to his early life, particularly because he did not wish to emphasise his Georgian origins in a state numerically dominated by Russians. Since his death many more biographies have been written, although until the 1980s these relied largely on the same sources of information. Under Mikhail Gorbachev's Soviet administration various previously classified files on Stalin's life were made available to historians, at which point Stalin became "one of the most urgent and vital issues on the public agenda" in the Soviet Union. After the dissolution of the Union in 1991, the rest of the archives were opened to historians, resulting in much new information about Stalin coming to light, and producing a flood of new research. Leninists remain divided in their views on Stalin; some view him as Lenin's authentic successor, while others believe he betrayed Lenin's ideas by deviating from them. The socio-economic nature of Stalin's Soviet Union has also been much debated, varyingly being labelled a form of state socialism, state capitalism, bureaucratic collectivism, or a totally unique mode of production. Socialist writers like Volkogonov have acknowledged that Stalin's actions damaged "the enormous appeal of socialism generated by the October Revolution". Death toll and accusations of genocide With a high number of excess deaths occurring under his rule, Stalin has been labelled "one of the most notorious figures in history." These deaths occurred as a result of collectivisation, famine, terror campaigns, disease, war and mortality rates in the Gulag. As the majority of excess deaths under Stalin were not direct killings, the exact number of victims of Stalinism is difficult to calculate due to lack of consensus among scholars on which deaths can be attributed to the regime. Official records reveal 799,455 documented executions in the Soviet Union between 1921 and 1953; 681,692 of these were carried out between 1937 and 1938, the years of the Great Purge. According to Michael Ellman, the best modern estimate for the number of repression deaths during the Great Purge is 950,000–1.2 million, which includes executions, deaths in detention, or soon after their release. In addition, while archival data shows that 1,053,829 perished in the Gulag from 1934 to 1953, the current historical consensus is that of the 18 million people who passed through the Gulag system from 1930 to 1953, between 1.5 and 1.7 million died as a result of their incarceration. Historian and archival researcher Stephen G. Wheatcroft and Michael Ellman attribute roughly 3 million deaths to the Stalinist regime, including executions and deaths from criminal negligence. Wheatcroft and historian R. W. Davies estimate famine deaths at 5.5–6.5 million while scholar Steven Rosefielde gives a number of 8.7 million. In 2011, historian Timothy D. Snyder in 2011 summarised modern data made after the opening of the Soviet archives in the 1990s and states that Stalin's regime was responsible for 9 million deaths, with 6 million of these being deliberate killings. He further states the estimate is far lower than the estimates of 20 million or above which were made before access to the archives. Historians continue to debate whether or not the 1932–33 Ukrainian famine, known in Ukraine as the Holodomor, should be called a genocide. Twenty six countries officially recognise it under the legal definition of genocide. In 2006, the Ukrainian Parliament declared it to be such, and in 2010 a Ukrainian court posthumously convicted Stalin, Lazar Kaganovich, Stanislav Kosior, and other Soviet leaders of genocide. Popular among some Ukrainian nationalists is the idea that Stalin
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Germany and Italy backed the Nationalist faction, which was ultimately victorious in March 1939. With the outbreak of the Second Sino-Japanese War in July 1937, the Soviet Union and China signed a non-aggression pact the following August. Stalin aided the Chinese as the KMT and the Communists had suspended their civil war and formed the desired United Front. The Great Terror Stalin often gave conflicting signals regarding state repression. In May 1933, he released from prison many convicted of minor offences, ordering the security services not to enact further mass arrests and deportations. In September 1934, he launched a commission to investigate false imprisonments; that same month he called for the execution of workers at the Stalin Metallurgical Factory accused of spying for Japan. This mixed approach began to change in December 1934, after prominent party member Sergey Kirov was murdered. After the murder, Stalin became increasingly concerned by the threat of assassination, improved his personal security, and rarely went out in public. State repression intensified after Kirov's death; Stalin instigated this, reflecting his prioritisation of security above other considerations. Stalin issued a decree establishing NKVD troikas which could mete out rulings without involving the courts. In 1935, he ordered the NKVD to expel suspected counter-revolutionaries from urban areas; in early 1935, over 11,000 were expelled from Leningrad. In 1936, Nikolai Yezhov became head of the NKVD. Stalin orchestrated the arrest of many former opponents in the Communist Party as well as sitting members of the Central Committee: denounced as Western-backed mercenaries, many were imprisoned or exiled internally. The first Moscow Trial took place in August 1936; Kamenev and Zinoviev were among those accused of plotting assassinations, found guilty in a show trial, and executed. The second Moscow Show Trial took place in January 1937, and the third in March 1938, in which Bukharin and Rykov were accused of involvement in the alleged Trotskyite-Zinovievite terrorist plot and sentenced to death. By late 1937, all remnants of collective leadership were gone from the Politburo, which was controlled entirely by Stalin. There were mass expulsions from the party, with Stalin commanding foreign communist parties to also purge anti-Stalinist elements. Repressions further intensified in December 1936 and remained at a high level until November 1938, a period known as the Great Purge. By the latter part of 1937, the purges had moved beyond the party and were affecting the wider population. In July 1937, the Politburo ordered a purge of "anti-Soviet elements" in society, targeting anti-Stalin Bolsheviks, former Mensheviks and Socialist Revolutionaries, priests, ex-White Army soldiers, and common criminals. That month, Stalin and Yezhov signed Order No. 00447, listing 268,950 people for arrest, of whom 75,950 were executed. He also initiated "national operations", the ethnic cleansing of non-Soviet ethnic groups—among them Poles, Germans, Latvians, Finns, Greeks, Koreans, and Chinese—through internal or external exile. During these years, approximately 1.6 million people were arrested, 700,000 were shot, and an unknown number died under NKVD torture. During the 1930s and 1940s, NKVD groups assassinated defectors and opponents abroad; in August 1940, Trotsky was assassinated in Mexico, eliminating the last of Stalin's opponents among the former Party leadership. In May, this was followed by the arrest of most members of the military Supreme Command and mass arrests throughout the military, often on fabricated charges. These purges replaced most of the party's old guard with younger officials who did not remember a time before Stalin's leadership and who were regarded as more personally loyal to him. Party functionaries readily carried out their commands and sought to ingratiate themselves with Stalin to avoid becoming the victim of the purge. Such functionaries often carried out a greater number of arrests and executions than their quotas set by Stalin's central government. Stalin initiated all key decisions during the Terror, personally directing many of its operations and taking an interest in their implementation. His motives in doing so have been much debated by historians. His personal writings from the period were — according to Khlevniuk — "unusually convoluted and incoherent", filled with claims about enemies encircling him. He was particularly concerned at the success that right-wing forces had in overthrowing the leftist Spanish government, fearing a domestic fifth column in the event of future war with Japan and Germany. The Great Terror ended when Yezhov was removed as the head of the NKVD, to be replaced by Lavrentiy Beria, a man totally devoted to Stalin. Yezhov was arrested in April 1939 and executed in 1940. The Terror damaged the Soviet Union's reputation abroad, particularly among sympathetic leftists. As it wound down, Stalin sought to deflect responsibility from himself, blaming its "excesses" and "violations of law" on Yezhov. According to historian James Harris, contemporary archival research shows that the motivation behind the purges was not Stalin attempting to establish his own personal dictatorship; evidence suggests he was committed to building the socialist state envisioned by Lenin. The real motivation for the terror, according to Harris, was an excessive fear of counterrevolution. World War II Pact with Nazi Germany: 1939–1941 As a Marxist–Leninist, Stalin expected an inevitable conflict between competing capitalist powers; after Nazi Germany annexed Austria and then part of Czechoslovakia in 1938, Stalin recognised a war was looming. He sought to maintain Soviet neutrality, hoping that a German war against France and Britain would lead to Soviet dominance in Europe. Militarily, the Soviets also faced a threat from the east, with Soviet troops clashing with the expansionist Japanese in the latter part of the 1930s. Stalin initiated a military build-up, with the Red Army more than doubling between January 1939 and June 1941, although in its haste to expand many of its officers were poorly trained. Between 1940 and 1941 he also purged the military, leaving it with a severe shortage of trained officers when war broke out. As Britain and France seemed unwilling to commit to an alliance with the Soviet Union, Stalin saw a better deal with the Germans. On 3 May 1939, Stalin replaced his western-oriented foreign minister Maxim Litvinov with Vyacheslav Molotov. In May 1939, Germany began negotiations with the Soviets, proposing that Eastern Europe be divided between the two powers. Stalin saw this as an opportunity both for territorial expansion and temporary peace with Germany. In August 1939, the Soviet Union signed the Molotov-Ribbentrop pact with Germany, a non-aggression pact negotiated by Molotov and German foreign minister Joachim von Ribbentrop. A week later, Germany invaded Poland, sparking the UK and France to declare war on Germany. On 17 September, the Red Army entered eastern Poland, officially to restore order amid the collapse of the Polish state. On 28 September, Germany and the Soviet Union exchanged some of their newly conquered territories; Germany gained the linguistically Polish-dominated areas of Lublin Province and part of Warsaw Province while the Soviets gained Lithuania. A German–Soviet Frontier Treaty was signed shortly after, in Stalin's presence. The two states continued trading, undermining the British blockade of Germany. The Soviets further demanded parts of eastern Finland, but the Finnish government refused. The Soviets invaded Finland in November 1939, yet despite numerical inferiority, the Finns kept the Red Army at bay. International opinion backed Finland, with the Soviets being expelled from the League of Nations. Embarrassed by their inability to defeat the Finns, the Soviets signed an interim peace treaty, in which they received territorial concessions from Finland. In June 1940, the Red Army occupied the Baltic states, which were forcibly merged into the Soviet Union in August; they also invaded and annexed Bessarabia and northern Bukovina, parts of Romania. The Soviets sought to forestall dissent in these new East European territories with mass repressions. One of the most noted instances was the Katyn massacre of April and May 1940, in which around 22,000 members of the Polish armed forces, police, and intelligentsia were executed. The speed of the German victory over and occupation of France in mid-1940 took Stalin by surprise. He increasingly focused on appeasement with the Germans to delay any conflict with them. After the Tripartite Pact was signed by Axis Powers Germany, Japan, and Italy in October 1940, Stalin proposed that the USSR also join the Axis alliance. To demonstrate peaceful intentions toward Germany, in April 1941 the Soviets signed a neutrality pact with Japan. Although de facto head of government for a decade and a half, Stalin concluded that relations with Germany had deteriorated to such an extent that he needed to deal with the problem as de jure head of government as well: on 6 May, Stalin replaced Molotov as Premier of the Soviet Union. German invasion: 1941–1942 In June 1941, Germany invaded the Soviet Union, initiating the war on the Eastern Front. Despite intelligence agencies repeatedly warning him of Germany's intentions, Stalin was taken by surprise. He formed a State Defense Committee, which he headed as Supreme Commander, as well as a military Supreme Command (Stavka), with Georgy Zhukov as its Chief of Staff. The German tactic of blitzkrieg was initially highly effective; the Soviet air force in the western borderlands was destroyed within two days. The German Wehrmacht pushed deep into Soviet territory; soon, Ukraine, Byelorussia, and the Baltic states were under German occupation, and Leningrad was under siege; and Soviet refugees were flooding into Moscow and surrounding cities. By July, Germany's Luftwaffe was bombing Moscow, and by October the Wehrmacht was amassing for a full assault on the capital. Plans were made for the Soviet government to evacuate to Kuibyshev, although Stalin decided to remain in Moscow, believing his flight would damage troop morale. The German advance on Moscow was halted after two months of battle in increasingly harsh weather conditions. Going against the advice of Zhukov and other generals, Stalin emphasised attack over defence. In June 1941, he ordered a scorched earth policy of destroying infrastructure and food supplies before the Germans could seize them, also commanding the NKVD to kill around 100,000 political prisoners in areas the Wehrmacht approached. He purged the military command; several high-ranking figures were demoted or reassigned and others were arrested and executed. With Order No. 270, Stalin commanded soldiers risking capture to fight to the death describing the captured as traitors; among those taken as a prisoner of war by the Germans was Stalin's son Yakov, who died in their custody. Stalin issued Order No. 227 in July 1942, which directed that those retreating unauthorised would be placed in "penal battalions" used as cannon fodder on the front lines. Amid the fighting, both the German and Soviet armies disregarded the law of war set forth in the Geneva Conventions; the Soviets heavily publicised Nazi massacres of communists, Jews, and Romani. Stalin exploited Nazi anti-Semitism, and in April 1942 he sponsored the Jewish Anti-Fascist Committee (JAC) to garner Jewish and foreign support for the Soviet war effort. The Soviets allied with the United Kingdom and United States; although the U.S. joined the war against Germany in 1941, little direct American assistance reached the Soviets until late 1942. Responding to the invasion, the Soviets intensified their industrial enterprises in central Russia, focusing almost entirely on production for the military. They achieved high levels of industrial productivity, outstripping that of Germany. During the war, Stalin was more tolerant of the Russian Orthodox Church, allowing it to resume some of its activities and meeting with Patriarch Sergius in September 1943. He also permitted a wider range of cultural expression, notably permitting formerly suppressed writers and artists like Anna Akhmatova and Dmitri Shostakovich to disperse their work more widely. The Internationale was dropped as the country's national anthem, to be replaced with a more patriotic song. The government increasingly promoted Pan-Slavist sentiment, while encouraging increased criticism of cosmopolitanism, particularly the idea of "rootless cosmopolitanism", an approach with particular repercussions for Soviet Jews. Comintern was dissolved in 1943, and Stalin encouraged foreign Marxist–Leninist parties to emphasise nationalism over internationalism to broaden their domestic appeal. In April 1942, Stalin overrode Stavka by ordering the Soviets' first serious counter-attack, an attempt to seize German-held Kharkov in eastern Ukraine. This attack proved unsuccessful. That year, Hitler shifted his primary goal from an overall victory on the Eastern Front, to the goal of securing the oil fields in the southern Soviet Union crucial to a long-term German war effort. While Red Army generals saw evidence that Hitler would shift efforts south, Stalin considered this to be a flanking move in a renewed effort to take Moscow. In June 1942, the German Army began a major offensive in Southern Russia, threatening Stalingrad; Stalin ordered the Red Army to hold the city at all costs. This resulted in the protracted Battle of Stalingrad. In December 1942, he placed Konstantin Rokossovski in charge of holding the city. In February 1943, the German troops attacking Stalingrad surrendered. The Soviet victory there marked a major turning point in the war; in commemoration, Stalin declared himself Marshal of the Soviet Union. Soviet counter-attack: 1942–1945 By November 1942, the Soviets had begun to repulse the important German strategic southern campaign and, although there were 2.5 million Soviet casualties in that effort, it permitted the Soviets to take the offensive for most of the rest of the war on the Eastern Front. Germany attempted an encirclement attack at Kursk, which was successfully repulsed by the Soviets. By the end of 1943, the Soviets occupied half of the territory taken by the Germans from 1941 to 1942. Soviet military industrial output also had increased substantially from late 1941 to early 1943 after Stalin had moved factories well to the east of the front, safe from German invasion and aerial assault. In Allied countries, Stalin was increasingly depicted in a positive light over the course of the war. In 1941, the London Philharmonic Orchestra performed a concert to celebrate his birthday, and in 1942, Time magazine named him "Man of the Year". When Stalin learned that people in Western countries affectionately called him "Uncle Joe" he was initially offended, regarding it as undignified. There remained mutual suspicions between Stalin, British Prime Minister Winston Churchill, and U.S. President Franklin D. Roosevelt, who were together known as the "Big Three". Churchill flew to Moscow to visit Stalin in August 1942 and again in October 1944. Stalin scarcely left Moscow throughout the war, with Roosevelt and Churchill frustrated with his reluctance to travel to meet them. In November 1943, Stalin met with Churchill and Roosevelt in Tehran, a location of Stalin's choosing. There, Stalin and Roosevelt got on well, with both desiring the post-war dismantling of the British Empire. At Tehran, the trio agreed that to prevent Germany rising to military prowess yet again, the German state should be broken up. Roosevelt and Churchill also agreed to Stalin's demand that the German city of Königsberg be declared Soviet territory. Stalin was impatient for the UK and U.S. to open up a Western Front to take the pressure off of the East; they eventually did so in mid-1944. Stalin insisted that, after the war, the Soviet Union should incorporate the portions of Poland it occupied pursuant to the Molotov–Ribbentrop Pact with Germany, which Churchill opposed. Discussing the fate of the Balkans, later in 1944 Churchill agreed to Stalin's suggestion that after the war, Bulgaria, Romania, Hungary, and Yugoslavia would come under the Soviet sphere of influence while Greece would come under that of the West. In 1944, the Soviet Union made significant advances across Eastern Europe toward Germany, including Operation Bagration, a massive offensive in the Byelorussian SSR against the German Army Group Centre. In 1944 the German armies were pushed out of the Baltic states (with the exception of the Ostland), which were then re-annexed into the Soviet Union. As the Red Army reconquered the Caucasus and Crimea, various ethnic groups living in the region—the Kalmyks, Chechens, Ingushi, Karachai, Balkars, and Crimean Tatars—were accused of having collaborated with the Germans. Using the idea of collective responsibility as a basis, Stalin's government abolished their autonomous republics and between late 1943 and 1944 deported the majority of their populations to Central Asia and Siberia. Over one million people were deported as a result of the policy. In February 1945, the three leaders met at the Yalta Conference. Roosevelt and Churchill conceded to Stalin's demand that Germany pay the Soviet Union 20 billion dollars in reparations, and that his country be permitted to annexe Sakhalin and the Kuril Islands in exchange for entering the war against Japan. An agreement was also made that a post-war Polish government should be a coalition consisting of both communist and conservative elements. Privately, Stalin sought to ensure that Poland would come fully under Soviet influence. The Red Army withheld assistance to Polish resistance fighters battling the Germans in the Warsaw Uprising, with Stalin believing that any victorious Polish militants could interfere with his aspirations to dominate Poland through a future Marxist government. Although concealing his desires from the other Allied leaders, Stalin placed great emphasis on capturing Berlin first, believing that this would enable him to bring more of Europe under long-term Soviet control. Churchill was concerned that this was the case and unsuccessfully tried to convince the U.S. that the Western Allies should pursue the same goal. Victory: 1945 In April 1945, the Red Army seized Berlin, Hitler committed suicide, and Germany surrendered in May. Stalin had wanted Hitler captured alive; he had his remains brought to Moscow to prevent them becoming a relic for Nazi sympathisers. As the Red Army had conquered German territory, they discovered the extermination camps that the Nazi administration had run. Many Soviet soldiers engaged in looting, pillaging, and rape, both in Germany and parts of Eastern Europe. Stalin refused to punish the offenders. After receiving a complaint about this from Yugoslav communist Milovan Djilas, Stalin asked how after experiencing the traumas of war a soldier could "react normally? And what is so awful in his having fun with a woman, after such horrors?" With Germany defeated, Stalin switched focus to the war with Japan, transferring half a million troops to the Far East. Stalin was pressed by his allies to enter the war and wanted to cement the Soviet Union's strategic position in Asia. On 8 August, in between the U.S. atomic bombings of Hiroshima and Nagasaki, the Soviet army invaded Japanese-occupied Manchuria and defeated the Kwantung Army. These events led to the Japanese surrender and the war's end. Soviet forces continued to expand until they occupied all their territorial concessions, but the U.S. rebuffed Stalin's desire for the Red Army to take a role in the Allied occupation of Japan. Stalin attended the Potsdam Conference in July–August 1945, alongside his new British and U.S. counterparts, Prime Minister Clement Attlee and President Harry Truman. At the conference, Stalin repeated previous promises to Churchill that he would refrain from a "Sovietization" of Eastern Europe. Stalin pushed for reparations from Germany without regard to the base minimum supply for German citizens' survival, which worried Truman and Churchill who thought that Germany would become a financial burden for Western powers. He also pushed for "war booty", which would permit the Soviet Union to directly seize property from conquered nations without quantitative or qualitative limitation, and a clause was added permitting this to occur with some limitations. Germany was divided into four zones: Soviet, U.S., British, and French, with Berlin itself—located within the Soviet area—also subdivided thusly. Post-war era Post-war reconstruction and famine: 1945–1947 After the war, Stalin was—according to Service—at the "apex of his career". Within the Soviet Union he was widely regarded as the embodiment of victory and patriotism. His armies controlled Central and Eastern Europe up to the River Elbe. In June 1945, Stalin adopted the title of Generalissimus, and stood atop Lenin's Mausoleum to watch a celebratory parade led by Zhukov through Red Square. At a banquet held for army commanders, he described the Russian people as "the outstanding nation" and "leading force" within the Soviet Union, the first time that he had unequivocally endorsed the Russians over other Soviet nationalities. In 1946, the state published Stalin's Collected Works. In 1947, it brought out a second edition of his official biography, which eulogised him to a greater extent than its predecessor. He was quoted in Pravda on a daily basis and pictures of him remained pervasive on the walls of workplaces and homes. Despite his strengthened international position, Stalin was cautious about internal dissent and desire for change among the population. He was also concerned about his returning armies, who had been exposed to a wide range of consumer goods in Germany, much of which they had looted and brought back with them. In this he recalled the 1825 Decembrist Revolt by Russian soldiers returning from having defeated France in the Napoleonic Wars. He ensured that returning Soviet prisoners of war went through "filtration" camps as they arrived in the Soviet Union, in which 2,775,700 were interrogated to determine if they were traitors. About half were then imprisoned in labour camps. In the Baltic states, where there was much opposition to Soviet rule, de-kulakisation and de-clericalisation programs were initiated, resulting in 142,000 deportations between 1945 and 1949. The Gulag system of labour camps was expanded further. By January 1953, three per cent of the Soviet population was imprisoned or in internal exile, with 2.8 million in "special settlements" in isolated areas and another 2.5 million in camps, penal colonies, and prisons. The NKVD were ordered to catalogue the scale of destruction during the war. It was established that 1,710 Soviet towns and 70,000 villages had been destroyed. The NKVD recorded that between 26 and 27 million Soviet citizens had been killed, with millions more being wounded, malnourished, or orphaned. In the war's aftermath, some of Stalin's associates suggested modifications to government policy. Post-war Soviet society was more tolerant than its pre-war phase in various respects. Stalin allowed the Russian Orthodox Church to retain the churches it had opened during the war. Academia and the arts were also allowed greater freedom than they had prior to 1941. Recognising the need for drastic steps to be taken to combat inflation and promote economic regeneration, in December 1947 Stalin's government devalued the ruble and abolished the ration-book system. Capital punishment was abolished in 1947 but reinstalled in 1950. Stalin's health was deteriorating, and heart problems forced a two-month vacation in the latter part of 1945. He grew increasingly concerned that senior political and military figures might try to oust him; he prevented any of them from becoming powerful enough to rival him and had their apartments bugged with listening devices. He demoted Molotov, and increasingly favoured Beria and Malenkov for key positions. In 1949, he brought Nikita Khrushchev from Ukraine to Moscow, appointing him a Central Committee secretary and the head of the city's party branch. In the Leningrad Affair, the city's leadership was purged amid accusations of treachery; executions of many of the accused took place in 1950. In the post-war period there were often food shortages in Soviet cities, and the USSR experienced a major famine from 1946 to 1947. Sparked by a drought and ensuing bad harvest in 1946, it was exacerbated by government policy towards food procurement, including the state's decision to build up stocks and export food internationally rather than distributing it to famine hit areas. Current estimates indicate that between one million and 1.5 million people died from malnutrition or disease as a result. While agricultural production stagnated, Stalin focused on a series of major infrastructure projects, including the construction of hydroelectric plants, canals, and railway lines running to the polar north. Much of this was constructed by prison labour. Cold War policy: 1947–1950 In the aftermath of the Second World War, the British Empire declined, leaving the U.S. and USSR as the dominant world powers. Tensions among these former Allies grew, resulting in the Cold War. Although Stalin publicly described the British and U.S. governments as aggressive, he thought it unlikely that a war with them would be imminent, believing that several decades of peace was likely. He nevertheless secretly intensified Soviet research into nuclear weaponry, intent on creating an atom bomb. Still, Stalin foresaw the undesirability of a nuclear conflict, saying in 1949 that "atomic weapons can hardly be used without spelling the end of the world." He personally took a keen interest in the development of the weapon. In August 1949, the bomb was successfully tested in the deserts outside Semipalatinsk in Kazakhstan. Stalin also initiated a new military build-up; the Soviet army was expanded from 2.9 million soldiers, as it stood in 1949, to 5.8 million by 1953. The US began pushing its interests on every continent, acquiring air force bases in Africa and Asia and ensuring pro-U.S. regimes took power across Latin America. It launched the Marshall Plan in June 1947, with which it sought to undermine Soviet hegemony in eastern Europe. The US also offered financial assistance as part of the Marshall Plan on the condition that they opened their markets to trade, aware that the Soviets would never agree. The Allies demanded that Stalin withdraw the Red Army from northern Iran. He initially refused, leading to an international crisis in 1946, but one year later Stalin finally relented and moved the Soviet troops out. Stalin also tried to maximise Soviet influence on the world stage, unsuccessfully pushing for Libya—recently liberated from Italian occupation—to become a Soviet protectorate. He sent Molotov as his representative to San Francisco to take part in negotiations to form the United Nations, insisting that the Soviets have a place on the Security Council. In April 1949, the Western powers established the North Atlantic Treaty Organisation (NATO), an international military alliance of capitalist countries. Within Western countries, Stalin was increasingly portrayed as the "most evil dictator alive" and compared to Hitler. In 1948, Stalin edited and rewrote sections of Falsifiers of History, published as a series of Pravda articles in February 1948 and then in book form. Written in response to public revelations of the 1939 Soviet alliance with Germany, it focused on blaming Western powers for the war. He erroneously claimed that the initial German advance in the early part of the war was not a result of Soviet military weakness, but rather a deliberate Soviet strategic retreat. In 1949, celebrations took place to mark Stalin's seventieth birthday (although he was 71 at the time,) at which Stalin attended an event in the Bolshoi Theatre alongside Marxist–Leninist leaders from across Europe and Asia. Eastern Bloc After the war, Stalin sought to retain Soviet dominance across Eastern Europe while expanding its influence in Asia. Cautiously regarding the responses from the Western Allies, Stalin avoided immediately installing Communist Party governments across Eastern Europe, instead initially ensuring that Marxist-Leninists were placed in coalition ministries. In contrast to his approach to the Baltic states, he rejected the proposal of merging the new communist states into the Soviet Union, rather recognising them as independent nation-states. He was faced with the problem that there were few Marxists left in Eastern Europe, with most having been killed by the Nazis. He demanded that war reparations be paid by Germany and its Axis allies Hungary, Romania, and the Slovak Republic. Aware that these countries had been pushed toward socialism through invasion rather than by proletarian revolution, Stalin referred to them not as "dictatorships of the proletariat" but as "people's democracies", suggesting that in these countries there was a pro-socialist alliance combining the proletariat, peasantry, and lower middle-class. Churchill observed that an "Iron Curtain" had been drawn across Europe, separating the east from the west. In September 1947, a meeting of East European communist leaders was held in Szklarska Poręba, Poland, from which was formed Cominform to co-ordinate the Communist Parties across Eastern Europe and also in France and Italy. Stalin did not personally attend the meeting, sending Zhdanov in his place. Various East European communists also visited Stalin in Moscow. There, he offered advice on their ideas; for instance he cautioned against the Yugoslav idea for a Balkan federation incorporating Bulgaria and Albania. Stalin had a particularly strained relationship with Yugoslav leader Josip Broz Tito due to the latter's continued calls for Balkan federation and for Soviet aid for the communist forces in the ongoing Greek Civil War. In March 1948, Stalin launched an anti-Tito campaign, accusing the Yugoslav communists of adventurism and deviating from Marxist–Leninist doctrine. At the second Cominform conference, held in Bucharest in June 1948, East European communist leaders all denounced Tito's government, accusing them of being fascists and agents of Western capitalism. Stalin ordered several assassination attempts on Tito's life and contemplated invading Yugoslavia. Stalin suggested that a unified, but demilitarised, German state be established, hoping that it would either come under Soviet influence or remain neutral. When the US and UK remained opposed to this, Stalin sought to force their hand by blockading Berlin in June 1948. He gambled that the others would not risk war, but they airlifted supplies into West Berlin until May 1949, when Stalin relented and ended the blockade. In September 1949 the Western powers transformed Western Germany into an independent Federal Republic of Germany; in response the Soviets formed East Germany into the German Democratic Republic in October. In accordance with their earlier agreements, the Western powers expected Poland to become an independent state with free democratic elections. In Poland, the Soviets merged various socialist parties into the Polish United Workers' Party, and vote rigging was used to ensure that it secured office. The 1947 Hungarian elections were also rigged, with the Hungarian Working People's Party taking control. In Czechoslovakia, where the communists did have a level of popular support, they were elected the largest party in 1946. Monarchy was abolished in Bulgaria and Romania. Across Eastern Europe, the Soviet model was enforced, with a termination of political pluralism, agricultural collectivisation, and investment in heavy industry. It was aimed for economic autarky within the Eastern Bloc. Asia In October 1949, Chinese Communist leader Mao Zedong took power in China. With this accomplished, Marxist governments now controlled a third of the world's land mass. Privately, Stalin revealed that he had underestimated the Chinese Communists and their ability to win the civil war, instead encouraging them to make another peace with the KMT. In December 1949, Mao visited Stalin. Initially Stalin refused to repeal the Sino-Soviet Treaty of 1945, which significantly benefited the Soviet Union over China, although in January 1950 he relented and agreed to sign a new treaty between the two countries. Stalin was concerned that Mao might follow Tito's example by pursuing a course independent of Soviet influence, and made it known that if displeased he would withdraw assistance from China; the Chinese desperately needed said assistance after decades of civil war. At the end of the Second World War, the Soviet Union and the United States divided up the Korean Peninsula, formerly a Japanese colonial possession, along the 38th parallel, setting up a communist government in the north and a pro-Western government in the south. North Korean leader Kim Il-sung visited Stalin in March 1949 and again in March 1950; he wanted to invade the south and although Stalin was initially reluctant to provide support, he eventually agreed by May 1950. The North Korean Army launched the Korean War by invading the south in June 1950, making swift gains and capturing Seoul. Both Stalin and Mao believed that a swift victory would ensue. The U.S. went to the UN Security Council—which the Soviets were boycotting over its refusal to recognise Mao's government—and secured military support for the South Koreans. U.S. led forces pushed the North Koreans back. Stalin wanted to avoid direct Soviet conflict with the U.S., convincing the Chinese to aid the North. The Soviet Union was one of the first nations to extend diplomatic recognition to the newly created state of Israel in 1948, in hopes of obtaining an ally in the Middle East. When the Israeli ambassador Golda Meir arrived in the USSR, Stalin was angered by the Jewish crowds who gathered to greet her. He was further angered by Israel's growing alliance with the U.S. After Stalin fell out with Israel, he launched an anti-Jewish campaign within the Soviet Union and the Eastern Bloc. In November 1948, he abolished the JAC, and show trials took place for some of its members. The Soviet press engaged in attacks on Zionism, Jewish culture, and "rootless cosmopolitanism", with growing levels of anti-Semitism being expressed across Soviet society. Stalin's increasing tolerance of anti-Semitism may have stemmed from his increasing Russian nationalism or from the recognition that anti-Semitism had proved a useful mobilising tool for Hitler and that he could do the same; he may have increasingly viewed the Jewish people as a "counter-revolutionary" nation whose members were loyal to the U.S. There were rumours, although they have never been substantiated, that Stalin was planning on deporting all Soviet Jews to the Jewish Autonomous Region in Birobidzhan, eastern Siberia. Final years: 1950–1953 In his later years, Stalin was in poor health. He took increasingly long holidays; in 1950 and again in 1951 he spent almost five months vacationing at his Abkhazian dacha. Stalin nevertheless mistrusted his doctors; in January 1952 he had one imprisoned after they suggested that he should retire to improve his health. In September 1952, several Kremlin doctors were arrested for allegedly plotting to kill senior politicians in what came to be known as the Doctors' Plot; the majority of the accused were Jewish. He instructed the arrested doctors to be tortured to ensure confession. In November, the Slánský trial took place in Czechoslovakia as 13 senior Communist Party figures, 11 of them Jewish, were accused and convicted of being part of a vast Zionist-American conspiracy to subvert Eastern Bloc governments. That same month, a much publicised trial of accused Jewish industrial wreckers took place in Ukraine. In 1951, he initiated the Mingrelian affair, a purge of the Georgian branch of the Communist Party which resulted in over 11,000 deportations. From 1946 until his death, Stalin only gave three public speeches, two of which lasted only a few minutes. The amount of written material that he produced also declined. In 1950, Stalin issued the article "Marxism and Problems of Linguistics", which reflected his interest in questions of Russian nationhood. In 1952, Stalin's last book, Economic Problems of Socialism in the USSR, was published. It sought to provide a guide to leading the country after his death. In October 1952, Stalin gave an hour and a half speech at the Central Committee plenum. There, he emphasised what he regarded as leadership qualities necessary in the future and highlighted the weaknesses of various potential successors, particularly Molotov and Mikoyan. In 1952, he also eliminated the Politburo and replaced it with a larger version which he called the Presidium. Death, funeral and aftermath On 1 March 1953, Stalin's staff found him semi-conscious on the bedroom floor of his Kuntsevo Dacha. He had suffered a cerebral haemorrhage. He was moved onto a couch and remained there for three days. He was hand-fed using a spoon, given various medicines and injections, and leeches were applied to him. Svetlana and Vasily were called to the dacha on 2 March; the latter was drunk and angrily shouted at the doctors, resulting in him being sent home. Stalin died on 5 March 1953. According to Svetlana, it had been "a difficult and terrible death". An autopsy revealed that he had died of a cerebral haemorrhage and that he also suffered from severe damage to his cerebral arteries due to atherosclerosis. It is conjectured that Stalin was murdered; Beria has been suspected of murder, although no firm evidence has ever appeared. Stalin's death was announced on 6 March. The body was embalmed, and then placed on display in Moscow's House of Unions for three days. Crowds were such that a crush killed about 100 people. The funeral involved the body being laid to rest in Lenin's Mausoleum in Red Square on 9 March; hundreds of thousands attended. That month featured a surge in arrests for "anti-Soviet agitation" as those celebrating Stalin's death came to police attention. The Chinese government instituted a period of official mourning for Stalin's death. Stalin left no anointed successor nor a framework within which a transfer of power could take place. The Central Committee met on the day of his death, with Malenkov, Beria, and Khrushchev emerging as the party's key figures. The system of collective leadership was restored, and measures introduced to prevent any one member attaining autocratic domination again. The collective leadership included the following eight senior members of the Presidium of the Central Committee of the Communist Party of the Soviet Union listed according to the order of precedence presented formally on 5 March 1953: Georgy Malenkov, Lavrentiy Beria, Vyacheslav Molotov, Kliment Voroshilov, Nikita Khrushchev, Nikolai Bulganin, Lazar Kaganovich and Anastas Mikoyan. Reforms to the Soviet system were immediately implemented. Economic reform scaled back the mass construction projects, placed a new emphasis on house building, and eased the levels of taxation on the peasantry to stimulate production. The new leaders sought rapprochement with Yugoslavia and a less hostile relationship with the U.S., pursuing a negotiated end to the Korean War in July 1953. The doctors who had been imprisoned were released and the anti-Semitic purges ceased. A mass amnesty for those imprisoned for non-political crimes was issued, halving the country's inmate population, while the state security and Gulag systems were reformed, with torture being banned in April 1953. Political ideology Stalin claimed to have embraced Marxism at the age of fifteen, and it served as the guiding philosophy throughout his adult life; according to Kotkin, Stalin held "zealous Marxist convictions", while Montefiore suggested that Marxism held a "quasi-religious" value for Stalin. Although he never became a Georgian nationalist, during his early life elements from Georgian nationalist thought blended with Marxism in his outlook. The historian Alfred J. Rieber noted that he had been raised in "a society where rebellion was deeply rooted in folklore and popular rituals". Stalin believed in the need to adapt Marxism to changing circumstances; in 1917, he declared that "there is dogmatic Marxism and there is creative Marxism. I stand on the ground of the latter". Volkogonov believed that Stalin's Marxism was shaped by his "dogmatic turn of mind", suggesting that this had been instilled in the Soviet leader during his education in religious institutions. According to scholar Robert Service, Stalin's "few innovations in ideology were crude, dubious developments of Marxism". Some of these derived from political expediency rather than any sincere intellectual commitment; Stalin would often turn to ideology post hoc to justify his decisions. Stalin referred to himself as a praktik, meaning that he was more of a practical revolutionary than a theoretician. As a Marxist and an extreme anti-capitalist, Stalin believed in an inevitable "class war" between the world's proletariat and bourgeoise. He believed that the working classes would prove successful in this struggle and would establish a dictatorship of the proletariat, regarding the Soviet Union as an example of such a state. He also believed that this proletarian state would need to introduce repressive measures against foreign and domestic "enemies" to ensure the full crushing of the propertied classes, and thus the class war would intensify with the advance of socialism. As a propaganda tool, the shaming of "enemies" explained all inadequate economic and political outcomes, the hardships endured by the populace, and military failures. The new state would then be able to ensure that all citizens had access to work, food, shelter, healthcare, and education, with the wastefulness of capitalism eliminated by a new, standardised economic system. According to Sandle, Stalin was "committed to the creation of a society that was industrialised, collectivised, centrally planned and technologically advanced." Stalin adhered to the Leninist variant of Marxism. In his book, Foundations of Leninism, he stated that "Leninism is the Marxism of the epoch of imperialism and of the proletarian revolution". He claimed to be a loyal Leninist, although was—according to Service—"not a blindly obedient Leninist". Stalin respected Lenin, but not uncritically, and spoke out when he believed that Lenin was wrong. During the period of his revolutionary activity, Stalin regarded some of Lenin's views and actions as being the self-indulgent activities of a spoiled émigré, deeming them counterproductive for those Bolshevik activists based within the Russian Empire itself. After the October Revolution, they continued to have differences. Whereas Lenin believed that all countries across Europe and Asia would readily unite as a single state following proletariat revolution, Stalin argued that national pride would prevent this, and that different socialist states would have to be formed; in his view, a country like Germany would not readily submit to being part of a Russian-dominated federal state. Stalin biographer Oleg Khlevniuk nevertheless believed that the pair developed a "strong bond" over the years, while Kotkin suggested that Stalin's friendship with Lenin was "the single most important relationship in Stalin's life". After Lenin's death, Stalin relied heavily on Lenin's writings—far more so than those of Marx and Engels—to guide him in the affairs of state. Stalin adopted the Leninist view on the need for a revolutionary vanguard who could lead the proletariat rather than being led by them. Leading this vanguard, he believed that the Soviet peoples needed a strong, central figure—akin to a Tsar—whom they could rally around. In his words, "the people need a Tsar, whom they can worship and for whom they can live and work". He read about, and admired, two Tsars in particular: Ivan the Terrible and Peter the Great. In the personality cult constructed around him, he was known as the vozhd, an equivalent to the Italian duce and German führer. Stalinism was a development of Leninism, and while Stalin avoided using the term "Marxism-Leninism-Stalinism", he allowed others to do so. Following Lenin's death, Stalin contributed to the theoretical debates within the Communist Party, namely by developing the idea of "Socialism in One Country". This concept was intricately linked to factional struggles within the party, particularly against Trotsky. He first developed the idea in December 1924 and elaborated upon in his writings of 1925–26. Stalin's doctrine held that socialism could be completed in Russia but that its final victory there could not be guaranteed because of the threat from capitalist intervention. For this reason, he retained the Leninist view that world revolution was still a necessity to ensure the ultimate victory of socialism. Although retaining the Marxist belief that the state would wither away as socialism transformed into pure communism, he believed that the Soviet state would remain until the final defeat of international capitalism. This concept synthesised Marxist and Leninist ideas with nationalist ideals, and served to discredit Trotsky—who promoted the idea of "permanent revolution"—by presenting the latter as a defeatist with little faith in Russian workers' abilities to construct socialism. Stalin viewed nations as contingent entities which were formed by capitalism and could merge into others. Ultimately he believed that all nations would merge into a single, global human community, and regarded all nations as inherently equal. In his work, he stated that "the right of secession" should be offered to the ethnic-minorities of the Russian Empire, but that they should not be encouraged to take that option. He was of the view that if they became fully autonomous, then they would end up being controlled by the most reactionary elements of their community; as an example he cited the largely illiterate Tatars, whom he claimed would end up dominated by their mullahs. Stalin argued that the Jews possessed a "national character" but were not a "nation" and were thus unassimilable. He argued that Jewish nationalism, particularly Zionism, was hostile to socialism. According to Khlevniuk, Stalin reconciled Marxism with great-power imperialism and therefore expansion of the empire makes him a worthy to the Russian tsars. Service argued that Stalin's Marxism was imbued with a great deal of Russian nationalism. According to Montefiore, Stalin's embrace of the Russian nation was pragmatic, as the Russians were the core of the population of the USSR; it was not a rejection of his Georgian origins. Stalin's push for Soviet westward expansion into eastern Europe resulted in accusations of Russian imperialism. Personal life and characteristics Ethnically Georgian, Stalin grew up speaking the Georgian language, and did not begin learning Russian until the age of eight or nine. It has been argued that his ancestry was Ossetian, because his genetic haplotype (G2a-Z6653) is considered typical of the Ossetians, but he never acknowledged an Ossetian identity. He remained proud of his Georgian identity, and throughout his life retained a heavy Georgian accent when speaking Russian. According to Montefiore, despite Stalin's affinity for Russia and Russians, he remained profoundly Georgian in his lifestyle and personality. Stalin's colleagues described him as "Asiatic", and he once told a Japanese journalist that "I am not a European man, but an Asian, a Russified Georgian". Service also noted that Stalin "would never be Russian", could not credibly pass as one, and never tried to pretend that he was. Montefiore was of the view that "after 1917, [Stalin] became quadri-national: Georgian by nationality, Russian by loyalty, internationalist by ideology, Soviet by citizenship." Stalin had a soft voice, and when speaking Russian did so slowly, carefully choosing his phrasing. In private he often used coarse language and profanity, although avoided doing so in public. Described as a poor orator, according to Volkogonov, Stalin's speaking style was "simple and clear, without flights of fancy, catchy phrases or platform histrionics". He rarely spoke before large audiences, and preferred to express himself in written form. His writing style was similar, being characterised by its simplicity, clarity, and conciseness. Throughout his life, he used various nicknames and pseudonyms, including "Koba", "Soselo", and "Ivanov", adopting "Stalin" in 1912; it was based on the Russian word for "steel" and has often been translated as "Man of Steel". In adulthood, Stalin measured five feet seven inches (1.7 meters). His mustached face was pock-marked from smallpox during childhood; this was airbrushed from published photographs. He was born with a webbed left foot, and his left arm had been permanently injured in childhood which left it shorter than his right and lacking in flexibility, which was probably the result of being hit, at the age of 12, by a horse-drawn carriage. During his youth, Stalin cultivated a scruffy appearance in rejection of middle-class aesthetic values. By 1907, he grew his hair long and often wore a beard; for clothing, he often wore a traditional Georgian chokha or a red satin shirt with a grey coat and black fedora. From mid-1918 until his death he favoured military-style clothing, in particular long black boots, light-coloured collarless tunics, and a gun. He was a lifelong smoker, who smoked both a pipe and cigarettes. He had few material demands and lived plainly, with simple and inexpensive clothing and furniture; his interest was in power rather than wealth. As leader of the Soviet Union, Stalin typically awoke around 11am, with lunch being served between 3 and 5pm and dinner no earlier than 9pm; he then worked late into the evening. He often dined with other Politburo members and their families. As leader, he rarely left Moscow unless to go to one of his dachas for holiday; he disliked travel, and refused to travel by plane. His choice of favoured holiday house changed over the years, although he holidayed in southern parts of the USSR every year from 1925 to 1936 and again from 1945 to 1951. Along with other senior figures, he had a dacha at Zubalova, 35 km outside Moscow, although ceased using it after Nadezhda's 1932 suicide. After 1932, he favoured holidays in Abkhazia, being a friend of its leader, Nestor Lakoba. In 1934, his new Kuntsevo Dacha was built; 9 km from the Kremlin, it became his primary residence. In 1935 he began using a new dacha provided for him by Lakoba at Novy Afon; in 1936, he had the Kholodnaya Rechka dacha built on the Abkhazian coast, designed by Miron Merzhanov. Personality Trotsky and several other Soviet figures promoted the idea that Stalin was a mediocrity. This gained widespread acceptance outside the Soviet Union during his lifetime but was misleading. According to biographer Montefiore, "it is clear from hostile and friendly witnesses alike that Stalin was always exceptional, even from childhood". Stalin had a complex mind, great self-control, and an excellent memory. He was a hard worker, and displayed a keen desire to learn; when in power, he scrutinised many details of Soviet life, from film scripts to architectural plans and military hardware. According to Volkogonov, "Stalin's private life and working life were one and the same"; he did not take days off from political activities. Stalin could play different roles to different audiences, and was adept at deception, often deceiving others as to his true motives and aims. Several historians have seen it as appropriate to follow Lazar Kaganovich's description of there being "several Stalins" as a means of understanding his multi-faceted personality. He was a good organiser, with a strategic mind, and judged others according to their inner strength, practicality, and cleverness. He acknowledged that he could be rude and insulting, but he rarely raised his voice in anger; as his health deteriorated in later life he became increasingly unpredictable and bad tempered. Despite his tough-talking attitude, he could be very charming; when relaxed, he cracked jokes and mimicked others. Montefiore suggested that this charm was "the foundation of Stalin's power in the Party". Stalin was ruthless, temperamentally cruel, and had a propensity for violence high even among the Bolsheviks. He lacked compassion, something Volkogonov suggested might have been accentuated by his many years in prison and exile, although he was capable of acts of kindness to strangers, even amid the Great Terror. He was capable of self-righteous indignation, and was resentful, and vindictive, holding on to grudges for many years. By the 1920s, he was also suspicious and conspiratorial, prone to believing that people were plotting against him and that there were vast international conspiracies behind acts of dissent. He never attended torture sessions or executions, although Service thought Stalin "derived deep satisfaction" from degrading and humiliating people and enjoyed keeping even close associates in a state of "unrelieved fear". Montefiore thought Stalin's brutality marked him out as a "natural extremist"; Service suggested he had tendencies toward a paranoid and sociopathic personality disorder. According to historian Geoffrey Roberts, Stalin wasn't a psychopath. He was instead an emotionally intelligent and feeling intellectual. Other historians linked his brutality not to any personality trait, but to his unwavering commitment to the survival of the Soviet Union and the international Marxist–Leninist cause. Keenly interested in the arts, Stalin admired artistic talent. He protected several Soviet writers from arrest and prosecution, such as Mikhail Bulgakov, even when their work was labelled harmful to his regime. He enjoyed listening to classical music, owning around 2,700 records, and frequently attending the Bolshoi Theatre during the 1930s and 1940s. His taste in music and theatre was conservative, favouring classical drama, opera, and ballet over what he dismissed as experimental "formalism". He also favoured classical forms in the visual arts, disliking avant-garde styles like cubism and futurism. He was a voracious reader, with having a personal library of over 20,000 books. Little of this was fiction, although he could cite passages from Alexander Pushkin, Nikolay Nekrasov, and Walt Whitman by heart. Stalin's favourite subject was history, closely followed by Marxist theory and then fiction. He favoured historical studies, keeping up with debates in the study of Russian, Mesopotamian, ancient Roman, and Byzantine history. He was very interested in the reigns of Ivan the Terrible, Peter the Great and Catherine the Great. An autodidact, he claimed to read as many as 500 pages a day, with Montefiore regarding him as an intellectual. Lenin was his favourite author but he also read, and sometimes appreciated, a great deal of writing by Leon Trotsky and other arch-enemies. Like all Bolshevik leaders, Stalin believed that reading could help transform not just people's ideas and consciousness, but human nature itself. Stalin also enjoyed watching films late at night at cinemas installed in the Kremlin and his dachas. He favoured the Western genre; his favourite film was the 1938 picture Volga Volga. Stalin was a keen and accomplished billiards player, and collected watches. He also enjoyed practical jokes; for instance, he would place a tomato on the seat of Politburo members and wait for them to sit on it. When at social events, he encouraged singing, as well as alcohol consumption; he hoped that others would drunkenly reveal their secrets to him. As an infant, Stalin displayed a love of flowers, and later in life he became a keen gardener. His Volynskoe suburb had a park, with Stalin devoting much attention to its agricultural activities. Stalin publicly condemned anti-Semitism, although he was repeatedly accused of it. People who knew him, such as Khrushchev, suggested he long harboured negative sentiments toward Jews, and anti-Semitic trends in his policies were further fuelled by Stalin's struggle against Trotsky. After Stalin's death, Khrushchev claimed that Stalin encouraged him to incite anti-Semitism in Ukraine, allegedly telling him that "the good workers at the factory should be given clubs so they can beat the hell out of those Jews." In 1946, Stalin allegedly said privately that "every Jew is a potential spy." Conquest stated that although Stalin had Jewish associates, he promoted anti-Semitism. Service cautioned that there was "no irrefutable evidence" of anti-Semitism in Stalin's published work, although his private statements and public actions were "undeniably reminiscent of crude antagonism towards Jews"; he added that throughout Stalin's lifetime, the Georgian "would be the friend, associate or leader of countless individual Jews". According to Beria, Stalin had affairs with several Jewish women. Relationships and family Friendship was important to Stalin, and he used it to gain and maintain power. Kotkin observed that Stalin "generally gravitated to people like himself: parvenu intelligentsia of humble background". He gave nicknames to his favourites, for instance referring to Yezhov as "my blackberry". Stalin was sociable and enjoyed a joke. According to Montefiore, Stalin's friendships "meandered between love, admiration, and venomous jealousy". While head of the Soviet Union he remained in contact with many of his old friends in Georgia, sending them letters and gifts of money. According to Montefiore, in his early life Stalin "rarely seems to have been without a girlfriend". Stalin was sexually promiscuous, although he rarely talked about his sex life. Montefiore noted that Stalin's favoured types were "young, malleable teenagers or buxom peasant women", who would be supportive and unchallenging toward him. According
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the oak tree is the heart of the grand forest with many valuable trees as opposed to the typical Arctic forests, which are typically pine and spruce. The photograph of a large tree covered with ice against a blue sky is a familiar scene during Finland's winter. The zodiac signs for the month of January were Capricorn (until January 19, 2020) and Aquarius (January 20, 2020 onwards). For 2021 the dates will shift to 18–19, due to the leap day in 2020. The name of the full moon occurring in January is the wolf moon. January observances This list does not necessarily imply either official status or general observance. Month-long observances Alzheimer's Awareness Month (Canada) Dry January (United Kingdom) National Codependency Awareness Month (United States) National Mentoring Month (United States) National Healthy Weight Awareness Month (United States) Slavery and Human Trafficking Prevention Month (United States) Stalking Awareness Month (United States) Veganuary Food months in the United States This list does not necessarily imply either official status or general observance. Be Kind to Food Servers Month (by proclamation, State of Tennessee) California Dried Plum Digestive Health Month Hot Tea Month National Soup Month Oatmeal Month Non-Gregorian observances, 2021 dates All Baha'i, Islamic, and Jewish observances begin at sundown prior to the date listed, and end at sundown on the date in question. List of observances set by the Bahá'í calendar List of observances set by the Chinese calendar List of observances set by the Hebrew calendar List of observances set by the Islamic calendar List of observances set by the Solar Hijri calendar Moveable observances This list does not necessarily imply either official status or general observance. See: List of movable Western Christian observances See: List of movable Eastern Christian observances January 2 unless that day is a Sunday, in which case January 3: January 2 New Year Holiday (Scotland) First Friday Children's Day (Bahamas) Second Saturday Children's Day (Thailand) Second Monday Birthday of Eugenio María de Hostos (Puerto Rico, United States) Coming of Age Day (Japan) Friday before third Monday Lee–Jackson Day (Virginia, United States) Third Friday International Fetish Day Sunday closest to January 22 National Sanctity of Human Life Day (United States) Third full week of January Hunt for Happiness Week (International observance) National Non-Smoking Week (Canada) Last full week of January National School Choice Week (United States) Third Monday Martin Luther King, Jr. Day (United States) Idaho Human Rights Day (Idaho, United States) Wednesday of the third full week of January Weedless Wednesday (Canada) Friday between January 19–25 Husband's Day (Iceland) Last Saturday National Seed Swap Day (United States) Last Sunday Liberation of Auschwitz Memorial Day (Netherlands) January 30 or the nearest Sunday World Leprosy Day Last Monday in January Bubble Wrap Appreciation Day Fourth Monday Community Manager Appreciation Day (International observance) National Heroes' Day (Cayman Islands) Monday Closest to January 29 Auckland Anniversary Day Fixed observances December 25 – January 5: Twelve Days of Christmas (Western Christianity) December 26 – January 1: Kwanzaa (African Americans) December 31 – January 1, in some cases until January 2: Hogmanay (Scotland) January 1 (J-01) Feast of the Circumcision of Christ Feast of the Holy Name of Jesus (Anglican Communion, Lutheran Church) Feast of Fools (Medieval Europe) Constitution Day (Italy) Dissolution of Czechoslovakia-related observances: Day of the Establishment of the Slovak Republic (Slovakia) Restoration Day of the Independent Czech State (Czech Republic) Euro Day (European Union) Flag Day (Lithuania) Founding Day (Taiwan) Global Family Day Independence Day (Brunei, Cameroon, Haiti, Sudan) International Nepali Dhoti and Nepali Topi Day Jump-up Day (Montserrat, British Overseas Territories) Kalpataru Day (Ramakrishna Movement) National Bloody Mary Day (United States) National Tree Planting Day (Tanzania) New Year's Day Japanese New Year Novy God Day (Russia) Sjoogwachi (Okinawa Islands) Polar Bear Swim Day (Canada and United States) Public Domain Day (multiple countries) Solemnity of Mary, Mother of God (Catholic Church) World Day of Peace Triumph of the Revolution (Cuba) January 2 (J-02) Ancestry Day (Haiti) Berchtold's Day (Liechtenstein, Switzerland, and the Alsace) Carnival Day (Saint Kitts and Nevis) Happy Mew Year For Cats Day (Thomas Roy) Kakizome (Japan) National Creampuff Day (United States) National Science Fiction Day (United States) The second day of New Year (a holiday in Armenia, Kazakhstan, North Macedonia, Mauritius, Montenegro, New Zealand, Romania, Russia, Switzerland, and Ukraine) Nyinlong (Bhutan) Victory of Armed Forces Day (Cuba) January 3 (J-03) Anniversary of the 1966 Coup d’état (Burkina Faso) Memento Mori (Thomas Roy) Nakhatsenendyan toner (Armenia): January 3–5 Ministry of Religious Affairs Day (Indonesia) National Chocolate Covered Cherry Day (United States) Tamaseseri Festival (Hakozaki Shrine, Fukuoka, Japan) January 4 (J-04) Day of the Fallen against the Colonial Repression (Angola) Day of the Martyrs (Democratic Republic of the Congo) Dimpled Chad Day (Thomas Roy) Hwinukan mukee (Okinawa Islands, Japan) Independence Day (Myanmar) Ogoni Day (Movement for the Survival of the Ogoni People) World Braille Day January 5 (J-05) National Bird Day (United States) National Whipped Cream Day (United States) Sausage Day (United Kingdom) Strawberry day (Japan) Take Our Daughters and Sons to Work Day (Sydney, Melbourne, and Brisbane, Australia) Tucindan (Serbia, Montenegro) January 6 (J-06) Armed Forces
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galanthus. The Japanese floral emblem of January is the camellia (Camellia sinensis). In Finnish, the month of tammikuu means the heart of the winter and because the name literally means "oak moon", it can be inferred that the oak tree is the heart of the grand forest with many valuable trees as opposed to the typical Arctic forests, which are typically pine and spruce. The photograph of a large tree covered with ice against a blue sky is a familiar scene during Finland's winter. The zodiac signs for the month of January were Capricorn (until January 19, 2020) and Aquarius (January 20, 2020 onwards). For 2021 the dates will shift to 18–19, due to the leap day in 2020. The name of the full moon occurring in January is the wolf moon. January observances This list does not necessarily imply either official status or general observance. Month-long observances Alzheimer's Awareness Month (Canada) Dry January (United Kingdom) National Codependency Awareness Month (United States) National Mentoring Month (United States) National Healthy Weight Awareness Month (United States) Slavery and Human Trafficking Prevention Month (United States) Stalking Awareness Month (United States) Veganuary Food months in the United States This list does not necessarily imply either official status or general observance. Be Kind to Food Servers Month (by proclamation, State of Tennessee) California Dried Plum Digestive Health Month Hot Tea Month National Soup Month Oatmeal Month Non-Gregorian observances, 2021 dates All Baha'i, Islamic, and Jewish observances begin at sundown prior to the date listed, and end at sundown on the date in question. List of observances set by the Bahá'í calendar List of observances set by the Chinese calendar List of observances set by the Hebrew calendar List of observances set by the Islamic calendar List of observances set by the Solar Hijri calendar Moveable observances This list does not necessarily imply either official status or general observance. See: List of movable Western Christian observances See: List of movable Eastern Christian observances January 2 unless that day is a Sunday, in which case January 3: January 2 New Year Holiday (Scotland) First Friday Children's Day (Bahamas) Second Saturday Children's Day (Thailand) Second Monday Birthday of Eugenio María de Hostos (Puerto Rico, United States) Coming of Age Day (Japan) Friday before third Monday Lee–Jackson Day (Virginia, United States) Third Friday International Fetish Day Sunday closest to January 22 National Sanctity of Human Life Day (United States) Third full week of January Hunt for Happiness Week (International observance) National Non-Smoking Week (Canada) Last full week of January National School Choice Week (United States) Third Monday Martin Luther King, Jr. Day (United States) Idaho Human Rights Day (Idaho, United States) Wednesday of the third full week of January Weedless Wednesday (Canada) Friday between January 19–25 Husband's Day (Iceland) Last Saturday National Seed Swap Day (United States) Last Sunday Liberation of Auschwitz Memorial Day (Netherlands) January 30 or the nearest Sunday World Leprosy Day Last Monday in January Bubble Wrap Appreciation Day Fourth Monday Community Manager Appreciation Day (International observance) National Heroes' Day (Cayman Islands) Monday Closest to January 29 Auckland Anniversary Day Fixed observances December 25 – January 5: Twelve Days of Christmas (Western Christianity) December 26 – January 1: Kwanzaa (African Americans) December 31 – January 1, in some cases until January 2: Hogmanay (Scotland) January 1 (J-01) Feast of the Circumcision of Christ Feast of the Holy Name of Jesus (Anglican Communion, Lutheran Church) Feast of Fools (Medieval Europe) Constitution Day (Italy) Dissolution of Czechoslovakia-related observances: Day of the Establishment of the Slovak Republic (Slovakia) Restoration Day of the Independent Czech State (Czech Republic) Euro Day (European Union) Flag Day (Lithuania) Founding Day (Taiwan) Global Family Day Independence Day (Brunei, Cameroon, Haiti, Sudan) International Nepali Dhoti and Nepali Topi Day Jump-up Day (Montserrat, British Overseas Territories) Kalpataru Day (Ramakrishna Movement) National Bloody Mary Day (United States) National Tree Planting Day (Tanzania) New Year's Day Japanese New Year Novy God Day (Russia) Sjoogwachi (Okinawa Islands) Polar Bear Swim Day (Canada and United States) Public Domain Day (multiple countries) Solemnity of Mary, Mother of God (Catholic Church) World Day of Peace Triumph
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a phonetic transliteration of a common Lithuanian last name Jonaitis. Attending St. Justin's High School in Pittsburgh, Unitas played halfback and quarterback. College career In his younger years, Unitas dreamed about being part of the Notre Dame Fighting Irish football team, but when he tried out for the team, coach Frank Leahy said that he was just too skinny and he would "get murdered" if he was put on the field. Instead, he attended the University of Louisville. In his four-year career as a Louisville Cardinal, Unitas completed 245 passes for 3,139 yards and 27 touchdowns. Reportedly, the Unitas weighed on his first day of practice. His first start was in the fifth game of the 1951 season against St. Bonaventure, where he threw 11 consecutive passes and three touchdowns to give the Cardinals a 21–19 lead. Louisville ended up losing the game 22–21 on a disputed field goal, but found a new starting quarterback. Unitas completed 12 of 19 passes for 240 yards and four touchdowns in a 35–28 victory over Houston. The team finished the season 5–5 overall and 4–1 with Unitas starting. He completed 46 of 99 passes for 602 yards and nine touchdowns (44). By the 1952 season, the university decided to de-emphasize sports. The new president at Louisville, Dr. Philip Grant Davidson, reduced the amount of athletic aid, and tightened academic standards for athletes. As a result, 15 returning players could not meet the new standards and lost their scholarships. Unitas maintained his by taking on a new elective: square dancing. In 1952, coach Frank Camp switched the team to two-way football. Unitas not only played safety or linebacker on defense and quarterback on offense, but also returned kicks and punts on special teams. The Cardinals won their first game against Wayne State, and then Florida State in the second game. Unitas completed 16 of 21 passes for 198 yards and three touchdowns. It was said that Unitas put on such a show at the Florida State game that he threw a pass under his legs for 15 yards. The rest of the season was a struggle for the Cardinals, who finished 3–5. Unitas completed 106 of 198 passes for 1,540 yards and 12 touchdowns. The team won their first game in 1953, against Murray State, and lost the rest for a record of 1–7. One of the most memorable games of the season came in a 59–6 loss against Tennessee. Unitas completed 9 out of 19 passes for 73 yards, rushed 9 times for 52 yards, returned six kickoffs for 85 yards, one punt for three yards, and had 86 percent of the team's tackles. The only touchdown the team scored was in the fourth quarter when Unitas made a fake pitch to the running back and ran the ball 23 yards for a touchdown. Unitas was hurt later in the fourth quarter while trying to run the ball. On his way off the field, he received a standing ovation. When he got to the locker room he was so tired that his jersey and shoulder pads had to be cut off because he could not lift his arms. Louisville ended the season with a 20–13 loss to Eastern Kentucky. Unitas completed 49 of 95 passes for 470 yards and three touchdowns. Unitas was elected captain for the 1954 season, but due to an early injury did not see much playing time. His first start was the third game of the season, against Florida State. Of the 34-man team, 21 were freshmen. The 1954 Cardinals went 3–6, with their last win at home against Morehead State. Unitas was slowed by so many injuries his senior year his 527 passing yards ended second to Jim Houser's 560. Professional career Pittsburgh Steelers After his collegiate career, the Pittsburgh Steelers of the NFL drafted Unitas in the ninth round. However, he was released before the season began as the odd man out among four quarterbacks trying to fill three spots. Steelers' head coach Walt Kiesling had made up his mind about Unitas; he thought he was not smart enough to quarterback an NFL team, and he was not given any snaps in practice with the Steelers. Among those edging out Unitas was Ted Marchibroda, future longtime NFL head coach. Out of pro football, Unitas—by this time married—worked in construction in Pittsburgh to support his family. On the weekends, he played quarterback, safety and punter on a local semi-professional team called the Bloomfield Rams for $6 a game. Baltimore Colts In 1956, Unitas joined the Baltimore Colts of the NFL under legendary coach Weeb Ewbank, after being asked at the last minute to join Bloomfield Rams lineman Jim Deglau, a Croatian steelworker with a life much like Unitas, at the latter's scheduled Colts tryout. The pair borrowed money from friends to pay for the gas to make the trip. Deglau later told a reporter after Unitas's death, "[His] uncle told him not to come. [He] was worried that if he came down and the Colts passed on him, it would look bad (to other NFL teams)." The Colts signed Unitas, much to the chagrin of the Cleveland Browns, who had hoped to claim the former Steeler quarterback. Unitas made his NFL debut with an inauspicious "mop-up" appearance against Detroit, going 0–2 with one interception. Two weeks later, starting quarterback George Shaw suffered a broken leg against the Chicago Bears. In his first serious action, Unitas's initial pass was intercepted and returned for a touchdown. Then he botched a hand-off on his next play, a fumble recovered by the Bears. Unitas rebounded quickly from that 58–27 loss, leading the Colts to an upset of Green Bay and their first win over Cleveland. He threw nine touchdown passes that year, including one in the season finale that started his record 47-game streak. His 55.6-percent completion mark was a rookie record. In 1957, his first season as the Colts full-time starter at quarterback, Unitas finished first in the NFL in passing yards (2,550) and touchdown passes (24) as he helped lead the Colts to a 7–5 record, the first winning record in franchise history. At season's end, Unitas received the Jim Thorpe Trophy as the NFL's Most Valuable Player by the Newspaper Enterprise Association (NEA). 1958: "The Greatest Game Ever Played" Unitas continued his prowess in 1958 passing for 2,007 yards and 19 touchdowns as the Colts won the Western Conference title. The Colts won the NFL championship under his leadership on December 28, 1958, by defeating the New York Giants 23–17 in sudden death overtime on a touchdown by fullback Alan Ameche. It was the first overtime game in NFL history, and is often referred to as the "greatest game ever played". The game, nationally televised by NBC, has been credited for sparking the rise in popularity of professional football during the 1960s. 1959 MVP season In 1959, Unitas was named the NFL's MVP by the Associated Press (AP) for the first time, as well as United Press International's player of the year, after leading the NFL in passing yards (2,899), touchdown passes (32), and completions (193). He then led the Colts to a repeat championship, beating the Giants again 31–16 in the title game. Beginning of the 1960s As the 1960s began, the Colts' fortunes (and win totals) declined. Injuries to key players such as Alan Ameche, Raymond Berry, and Lenny Moore were a contributing factor. Unitas's streak of 47 straight games with at least one touchdown pass ended against the Los Angeles Rams in week 11 of the 1960 season. In spite of this, he topped the 3,000-yard passing mark for the first time and led the league in touchdown passes for the fourth consecutive season. After three middle-of-the-pack seasons, Colts owner Carroll Rosenbloom fired Weeb Ewbank and replaced him with Don Shula, who at the time was the youngest head coach in NFL history (33 years of age when he was hired). The Colts finished 8–6 in Shula's first season at the helm, good enough for only third place in the NFL's Western Conference, but they did end the season on a strong note by winning their final three games. The season was very successful for Unitas personally, as he led the NFL in passing yards with a career-best total of 3,481 and also led in completions with 237. 1964 MVP season In the 1964 season the Colts returned to the top of the Western Conference. After dropping their season opener to the Minnesota Vikings, the Colts ran off 10 straight victories to finish with a 12–2 record. The season was one of Unitas's best as he finished with 2,824 yards passing, a league-best 9.26 yards per pass attempt, 19 touchdown passes and only 6 interceptions. He was named the NFL's Most Valuable Player by the AP and UPI for a second time. However, the season ended on a
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he finished with 2,824 yards passing, a league-best 9.26 yards per pass attempt, 19 touchdown passes and only 6 interceptions. He was named the NFL's Most Valuable Player by the AP and UPI for a second time. However, the season ended on a disappointing note for the Colts as they were upset by the Cleveland Browns in the 1964 NFL Championship Game, losing 27–0. Unitas resumed his torrid passing in 1965, throwing for 2,530 yards, 23 touchdowns and finishing with a league-high and career-best 97.1 passer rating. But he was lost for the balance of the season due to a knee injury in a week 12 loss to the Bears. Backup quarterback Gary Cuozzo also suffered a season-ending injury the following week, and running back Tom Matte filled in as the emergency quarterback for the regular season finale and in a playoff loss to the Packers. The Colts and Packers finished in a tie for first place in the Western Conference and a one-game playoff was played in Green Bay to decide who would be the conference representative in the 1965 NFL Championship Game. The Colts lost in overtime 13–10 due in large part to a game-tying field goal by Don Chandler that many say was incorrectly ruled good. Unitas, healthy once more, threw for 2,748 yards and 22 touchdowns in 1966 in a return to Pro Bowl form. However, he posted a league-high 24 interceptions. 1967 MVP season After once again finishing second in the Western Conference in 1966, the Colts rebounded to finish 11–1–2 in 1967 tying the Los Angeles Rams for the NFL's best record. In winning his third MVP award from the AP and UPI in 1967 (and his second from the NEA), Unitas had a league-high 58.5 completion percentage and passed for 3,428 yards and 20 touchdowns. He openly complained about having tennis elbow and he threw eight interceptions and only three touchdown passes in the final five games. Once again, the season ended in loss for the Colts, as they were shut out of the newly instituted four-team NFL playoff after losing the divisional tiebreaker to the Rams, a 34–10 rout in the regular season finale. Super Bowls and final Colt years In the final game of the 1968 preseason, the muscles in Unitas's arm were torn when he was hit by a member of the Dallas Cowboys defense. Unitas wrote in his autobiography that he felt his arm was initially injured by the use of the "night ball" that the NFL was testing for better TV visibility during night games. In a post-game interview the previous year, he noted having constant pain in his elbow for several years prior. He would spend most of the season sitting on the bench. The Colts still marched to a league-best 13–1 record behind backup quarterback and ultimate 1968 NFL MVP Earl Morrall. Although he was injured through most of the season, Unitas came off the bench to play in Super Bowl III, the famous game where Joe Namath guaranteed a New York Jets win despite conventional wisdom. Unitas's insertion was a desperation move in an attempt to retrieve dominance of the NFL over the upstart AFL. Although the Colts won an NFL Championship in 1968, they lost the Super Bowl to the AFL Champion New York Jets, thus becoming the first-ever NFL champions that were not also deemed world champions. Unitas helped put together the Colts' only score, a touchdown late in the game. Unitas also drove the Colts into scoring position following the touchdown and successful onside kick, but head coach Don Shula eschewed a field goal attempt, which (if successful) would have cut the Jets' lead to 16–10. Despite not playing until late in the third quarter, he still finished the game with more passing yards than the team's starter, Earl Morrall. After an off-season of rehabilitation on his elbow, Unitas rebounded in 1969, passing for 2,342 yards and 12 touchdowns with 20 interceptions. But the Colts finished with a disappointing 8–5–1 record, and missed the playoffs. In 1970, the NFL and AFL had merged into one league, and the Colts moved to the new American Football Conference, along with the Cleveland Browns and the Pittsburgh Steelers. He threw for 2,213 yards and 14 touchdowns while leading the Colts to an 11–2–1 season. In their first rematch with the Jets, Unitas and Namath threw a combined nine interceptions in a 29–22 Colts win. Namath threw 62 passes and broke his hand on the final play of the game, ending his season. Unitas threw for 390 yards, three touchdowns, and no interceptions in AFC playoff victories over the Cincinnati Bengals and the Oakland Raiders. In Super Bowl V against the Dallas Cowboys, he was knocked out of the game with a rib injury in the second quarter, soon after throwing a 75-yard touchdown pass (setting a then-Super Bowl record) to John Mackey. However, he had also tossed two interceptions before his departure from the game. Earl Morrall came in to lead the team to a last-second, 16–13 victory. In 1971, Unitas split playing time with Morrall, throwing only three touchdown passes. He started both playoff games, a win over the Cleveland Browns that sent the Colts to the AFC Championship game against the Miami Dolphins, which they lost by a score of 21–0. Unitas threw three interceptions in the game, one of which was returned for a touchdown by safety Dick Anderson. The 1972 season saw the Colts declining. After losing the season opener, Unitas was involved in the second and final regular season head-to-head meeting with "Broadway" Joe Namath. The first was in 1970 (won by the Colts, 29–22). The last meeting took place on September 24, 1972 at Memorial Stadium. He threw for 376 yards and three touchdowns, but Namath upstaged him again, bombing the Colts for 496 yards and six touchdowns in a 44–34 Jets victory – their first over Baltimore since the 1970 merger. After losing four of their first five games, the Colts fired head coach Don McCafferty, and benched Unitas. One of the more memorable moments in football history came on Unitas's last game in a Colts uniform at Memorial Stadium, in a game against the Buffalo Bills. He was not the starter for this game, but the Colts were blowing the Bills out by a score of 28–0 behind Marty Domres; Unitas entered the game due to the fans chanting, "We want Unitas!!!", and a plan devised by head coach John Sandusky to convince Unitas that the starting quarterback was injured. Unitas came onto the field, and threw two passes, one of which was a long touchdown to wide receiver Eddie Hinton which would be his last pass as a Colt. The Colts won the game by the score of 35–7. San Diego, retirement, and records Unitas was traded from the Colts to the San Diego Chargers on January 20, 1973, in a transaction that originally had future considerations returning to Baltimore. The deal's only obstacle was the personal services contract he had signed with the Colts in 1970 which would've kept him employed within the organization on an annual salary of $30,000 over ten years once his career as an active player ended. The pact had been signed when the ballclub was owned by Carroll Rosenbloom who subsequently acquired the Los Angeles Rams on July 13, 1972, in a franchise swap with Robert Irsay. The deal was completed when the Chargers purchased that contract. Eager to sever all ties with the Colts, Unitas signed a new two-year contract with the Chargers on June 8, 1973. He succeeded John Hadl who had requested and was granted a trade to the Rams. Unitas started the season with a 38–0 loss to the Washington Redskins. He threw for just 55 yards and 3 interceptions, and was sacked 8 times. His final victory as a starter came against the Buffalo Bills in week two. Unitas was 10–18 for 175 yards, two touchdown passes, and no interceptions in a 34–7 Chargers rout. Many were questioning his role as a starter after a loss to the Bengals in week three. Two weeks later, he threw two first-half interceptions, passed for only 19 yards, and went 2-for-9 against the Pittsburgh Steelers. He was then replaced by rookie quarterback, future Hall of Famer Dan Fouts. After having posted a 1–3 record as a starter, Unitas retired in the preseason of 1974. Unitas finished his 18 NFL seasons with 2,830 completions in 5,186 attempts for 40,239 yards and 290 touchdowns, with 253 interceptions. He also rushed for 1,777 yards and 13 touchdowns. Plagued by arm trouble in his later seasons, he threw more interceptions (64) than touchdowns (38) in 1968–1973. After averaging 215.8 yards per game in his first 12 seasons, his production fell to 124.4 in his final six. His passer rating plummeted from 82.9 to 60.4 for the same periods. Even so, Unitas set many passing records during his career. He was the first quarterback to throw for more than 40,000 yards, despite playing during an era when NFL teams played shorter seasons of 12 or 14 games (as opposed to today's 17-game seasons) and prior to modern passing-friendly rules implemented in 1978. His 32 touchdown passes in 1959 were a record at the time, making Unitas the first quarterback to hit the 30 touchdown mark in a season. His 47-game consecutive touchdown streak between 1956 and 1960 was a record considered by many to be unbreakable. The streak stood for 52 years before being broken by New Orleans Saints quarterback Drew Brees in a game against the San Diego Chargers on October 7, 2012. Post-playing days After his playing days were finished, Unitas settled in Baltimore where he raised his family while also pursuing a career in broadcasting, doing color commentary for NFL games on CBS in the 1970s. He was elected to the Pro Football Hall of Fame in 1979. After Robert Irsay moved the Colts franchise to Indianapolis in 1984, a move known to this day in Baltimore as "Bob Irsay's Midnight Ride," he was so outraged that he cut all ties to the relocated team (though his No. 19 jersey is still retired by the Colts), declaring himself strictly a Baltimore Colt for the remainder of his life. Some other prominent old-time Colts followed his lead, although many attended the 1975 team's reunion at Lucas Oil Stadium in Indianapolis in 2009. A total of 39 Colts players from that 1975 team attended said reunion in Indianapolis, including Bert Jones and Lydell Mitchell. Unitas asked the Pro Football Hall of Fame on numerous occasions (including on Roy Firestone's Up Close) to remove his display unless it was listed as belonging to the Baltimore Colts. The Hall of Fame has never complied with the request. Unitas donated his Colts memorabilia to the Babe Ruth Museum in Baltimore; they are now on display in the Sports Legends Museum at Camden Yards. Unitas was inducted into the American Football Association's Semi Pro Football Hall of Fame in 1987. Unitas actively lobbied for another NFL team to come to Baltimore. After the Cleveland Browns moved to Baltimore in 1996 and changed their name to the Ravens, he and some of the other old-time Colts attended the Ravens' first game ever against the Raiders on Opening Day at Memorial Stadium. He was frequently seen on the Ravens' sidelines at home games (most prominently in 1998 when the now-Indianapolis Colts played the Ravens in Baltimore) and received a thunderous ovation every time he was pictured on each of the huge widescreens at M&T Bank Stadium. He was often seen on the 30-yard line on the Ravens side. When the NFL celebrated its first 50 years, Unitas was voted the league's best player. Retired Bears quarterback Sid Luckman said of Unitas, "He was better than me, better than Sammy Baugh, better than anyone." Unitas lived most of the final years of his life severely hobbled. Due to an elbow injury suffered during his playing career, he had only very limited use of his right hand, and could not perform any physical activity more strenuous than golf due to his artificial knees. NFL career statistics Source: In 1957, Unitas was named MVP by the Newspaper Enterprise Association. Personal life At the age of 21 on November 20, 1954, Unitas married his high school sweetheart Dorothy Hoelle; they lived in Towson and had five children before divorcing. Unitas's second wife was Sandra Lemon, whom he married on June 26, 1972; they had three children, lived in Baldwin, and remained married until his death. Towson University, where Unitas was a major fund-raiser and which his children attended, named its football and lacrosse complex Johnny Unitas Stadium in recognition of both his football career and service to the university. Toward the end of his life, Unitas brought media attention to the many permanent
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the North West Company, which from Montreal rivaled the trade interests of the Hudson's Bay Company, then based in London. Astor imported furs from Montreal to New York and shipped them to Europe. By 1800, he had amassed almost a quarter of a million dollars (the equivalent of six million dollars in 2020) and had become one of the leading figures in the fur trade. His agents worked throughout the western areas and were ruthless in competition. In 1800, following the example of the Empress of China, the first American trading vessel to China, Astor traded furs, teas, and sandalwood with Canton in China, and greatly benefited from it. The U.S. Embargo Act in 1807, however, disrupted Astor's import/export business because it closed off trade with Canada. With the permission of President Thomas Jefferson, Astor established the American Fur Company on April 6, 1808. He later formed subsidiaries: the Pacific Fur Company, and the Southwest Fur Company (in which Canadians had a part), in order to control fur trading in the Great Lakes areas and Columbia River region. His Columbia River trading post at Fort Astoria (established in April 1811) was the first United States community on the Pacific coast. He financed the overland Astor Expedition in 1810–12 to reach the outpost. Members of the expedition were to discover South Pass, through which hundreds of thousands of settlers on the Oregon, Mormon, and California trails used to later pass through the Rocky Mountains. Astor's fur trading ventures were disrupted during the War of 1812, when the British captured his trading posts. In 1816, he joined the opium-smuggling trade. His American Fur Company purchased ten tons of Ottoman-produced opium, and shipped the contraband to Canton onboard the packet ship Macedonian. Astor later left the Chinese opium trade and sold opium solely in Britain. Astor's business rebounded in 1817 after the U.S. Congress passed a protectionist law that barred foreign fur traders from U.S. territories. The American Fur Company came to dominate trading in the area around the Great Lakes, absorbing competitors in a monopoly. John Jacob Astor had a townhouse at 233 Broadway in Manhattan and a country estate, Hellgate, in Northern New York City. In 1822, Astor established the Robert Stuart House on Mackinac Island in Michigan as headquarters for the reorganized American Fur Company, making the island a metropolis of the fur trade. Washington Irving described this at length, based on contemporary documents, diaries, etc., in his travelogue Astoria. Astor's commercial connections extended over the entire globe, and his ships were found in every sea. He and Sarah moved to a townhouse on Prince Street in Manhattan, New York. Real estate and retirement Astor began buying land in New York City in 1799 and acquired sizable holdings along the waterfront. After the start of the 19th century, flush with China trade profits, he became more systematic, ambitious, and calculating by investing in New York real estate. In 1803, he bought a 70-acre farm on which he built the Astor Mansion at Hellgate. The property ran west of Broadway to the Hudson River between 42nd and 46th streets. That same year, and the following year, he bought considerable holdings from the disgraced Aaron Burr. In the 1830s, Astor foresaw that the next big boom would be the build-up of New York, which would soon emerge as one of the world's greatest cities. Astor sold his interests in the American Fur Company, as well as all his other ventures, and used the money to buy and develop large tracts of Manhattan real estate. Astor correctly predicted the city's rapid growth northward on Manhattan Island, and he purchased more and more land beyond the then-existing city limits. Astor rarely built on his land, but leased it to others for rent and their use. After retiring from his business, Astor spent the rest of his life as a patron of culture. He supported the ornithologist John James Audubon in his studies, art work, and travels, and the presidential campaign of Henry Clay, Kentucky statesman. Marriage and family On September 19, 1785, Astor married Sarah Cox Todd (April 9, 1762 – August 3, 1842). Her parents were Scottish immigrants Adam Todd and Sarah Cox. Although she brought him a dowry of only $300, she possessed a frugal mind and a business judgment that he declared better than that of most merchants. She assisted him in the practical details of his business, and managed Astor's affairs when he was away from New York. They had eight children: Magdalena Astor (1788–1832), who married first Adrian Benjamin Bentzon in 1807, secondly John Bristed in 1820. She was the mother of Charles Astor Bristed. Sarah Todd Astor (1790–1790), who was stillborn. John Jacob Astor Jr. (1791–1869), sickly and mentally unstable. William Backhouse Astor Sr. (1792–1875), who married Margaret Alida Rebecca Armstrong, daughter of Senator John Armstrong Jr., in 1818. Dorothea Astor (1795–1874), who married Walter Langdon. They owned the Langdon Estate Gatehouse. Henry Astor II (1797–1799), who died young. Eliza Astor (1801–1838), married Vincent Rumpff Unnamed son (1802–1802), who died within a few days of his birth. Fraternal organizations Astor belonged to the Freemasons, a fraternal order, and served as Master of Holland Lodge #8, New York City in 1788. Later he served as Grand Treasurer for the Grand Lodge of New York. He was president of the German Society of the City of New York from 1837 to 1841. Legacy At the time of his death in 1848, Astor was the wealthiest person in the United States, leaving an estate estimated to be worth at least $20 million, or 0.9% of estimated US GDP at the time, which is equivalent to US$655 million dollars in 2020. By comparison, the fortune of Jeff Bezos was worth approximately $200 billion in 2020, similar to Astor at approximately 0.9% of US GDP. In his will, Astor bequeathed $400,000 to build the Astor Library for the New York public, which was later consolidated with other libraries to form the New York Public Library. He also left $50,000 for a poorhouse and orphanage in his German hometown of Walldorf. The Astorhaus is now operated as a museum honoring Astor. It is a renowned and
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inspired him to join the North American fur trade as well. After working at his brother's shop for a time, Astor began to purchase raw hides from Native Americans, prepare them himself, and resell them in London and elsewhere at great profit. He opened his own fur goods shop in New York in the late 1780s and also served as the New York agent of his uncle's musical instrument business. After gold was discovered, Astor looked for business throughout the United States. Fortune from fur trade Astor took advantage of the 1794 Jay Treaty between Great Britain and the United States, which opened new markets in Canada and the Great Lakes region. In London, Astor at once made a contract with the North West Company, which from Montreal rivaled the trade interests of the Hudson's Bay Company, then based in London. Astor imported furs from Montreal to New York and shipped them to Europe. By 1800, he had amassed almost a quarter of a million dollars (the equivalent of six million dollars in 2020) and had become one of the leading figures in the fur trade. His agents worked throughout the western areas and were ruthless in competition. In 1800, following the example of the Empress of China, the first American trading vessel to China, Astor traded furs, teas, and sandalwood with Canton in China, and greatly benefited from it. The U.S. Embargo Act in 1807, however, disrupted Astor's import/export business because it closed off trade with Canada. With the permission of President Thomas Jefferson, Astor established the American Fur Company on April 6, 1808. He later formed subsidiaries: the Pacific Fur Company, and the Southwest Fur Company (in which Canadians had a part), in order to control fur trading in the Great Lakes areas and Columbia River region. His Columbia River trading post at Fort Astoria (established in April 1811) was the first United States community on the Pacific coast. He financed the overland Astor Expedition in 1810–12 to reach the outpost. Members of the expedition were to discover South Pass, through which hundreds of thousands of settlers on the Oregon, Mormon, and California trails used to later pass through the Rocky Mountains. Astor's fur trading ventures were disrupted during the War of 1812, when the British captured his trading posts. In 1816, he joined the opium-smuggling trade. His American Fur Company purchased ten tons of Ottoman-produced opium, and shipped the contraband to Canton onboard the packet ship Macedonian. Astor later left the Chinese opium trade and sold opium solely in Britain. Astor's business rebounded in 1817 after the U.S. Congress passed a protectionist law that barred foreign fur traders from U.S. territories. The American Fur Company came to dominate trading in the area around the Great Lakes, absorbing competitors in a monopoly. John Jacob Astor had a townhouse at 233 Broadway in Manhattan and a country estate, Hellgate, in Northern New York City. In 1822, Astor established the Robert Stuart House on Mackinac Island in Michigan as headquarters for the reorganized American Fur Company, making the island a metropolis of the fur trade. Washington Irving described this at length, based on contemporary documents, diaries, etc., in his travelogue Astoria. Astor's commercial connections extended over the entire globe, and his ships were found in every sea. He and Sarah moved to a townhouse on Prince Street in Manhattan, New York. Real estate and retirement Astor began buying land in New York City in 1799 and acquired sizable holdings along the waterfront. After the start of the 19th century, flush with China trade profits, he became more systematic, ambitious, and calculating by investing in New York real estate. In 1803, he bought a 70-acre farm on which he built the Astor Mansion at Hellgate. The property ran west of Broadway to the Hudson River between 42nd and 46th streets. That same year, and the following year, he bought considerable holdings from the disgraced Aaron Burr. In the 1830s, Astor foresaw that the next big boom would be the build-up of New York, which would soon emerge as one of the world's greatest cities. Astor sold his interests in the American Fur Company, as well as all his other ventures, and used the money to buy and develop large tracts of Manhattan real estate. Astor correctly predicted the city's rapid growth northward on Manhattan Island, and he purchased more and more land beyond the then-existing city limits. Astor rarely built on his land, but leased it to others for rent and their use. After retiring from his business, Astor spent the rest of his life as a patron of culture. He supported the ornithologist John James Audubon in his studies, art work, and travels, and the presidential campaign of Henry Clay, Kentucky statesman. Marriage and family On September 19, 1785, Astor married Sarah Cox Todd (April 9, 1762 – August 3, 1842). Her parents were Scottish immigrants Adam Todd and Sarah Cox. Although she brought him a dowry of only $300, she possessed a frugal mind and a business judgment that he declared better than that of most merchants. She assisted him in the practical details of his business, and managed Astor's affairs when he was away from New York. They had eight children: Magdalena Astor (1788–1832), who married first Adrian Benjamin Bentzon in 1807, secondly John Bristed in 1820. She was the mother of Charles Astor Bristed. Sarah Todd Astor (1790–1790), who was stillborn. John Jacob Astor Jr. (1791–1869), sickly and mentally unstable. William Backhouse Astor Sr. (1792–1875), who married Margaret Alida Rebecca Armstrong, daughter of Senator John Armstrong Jr., in 1818. Dorothea Astor (1795–1874), who married Walter Langdon. They owned the Langdon Estate Gatehouse. Henry Astor II (1797–1799), who died young. Eliza Astor (1801–1838), married Vincent Rumpff Unnamed son (1802–1802), who died within a few days of his birth. Fraternal organizations Astor belonged to the Freemasons, a fraternal order, and served as Master of Holland Lodge #8, New York City in 1788. Later he served as Grand Treasurer for the Grand Lodge of New York. He was president of the German Society of the City of New York from 1837 to 1841. Legacy At the time of his death in 1848, Astor was the wealthiest person in the United States, leaving an estate estimated to be worth at least $20 million, or 0.9% of estimated US GDP at the time, which is equivalent to US$655 million dollars in 2020. By comparison, the fortune of
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which caused the character of the associated dates to be changed to NP. However, this practice was discontinued around the reign of Claudius, and the practice of characterising days fell into disuse around the end of the first century AD: the Antonine jurist Gaius speaks of dies nefasti as a thing of the past. Intercalation The old intercalary month was abolished. The new leap day was dated as ante diem bis sextum Kalendas Martias ('the sixth doubled day before the Kalends of March'), usually abbreviated as a.d. bis VI Kal. Mart.; hence it is called in English the bissextile day. The year in which it occurred was termed annus bissextus, in English the bissextile year. There is debate about the exact position of the bissextile day in the early Julian calendar. The earliest direct evidence is a statement of the 2nd century jurist Celsus, who states that there were two-halves of a 48-hour day, and that the intercalated day was the "posterior" half. An inscription from AD 168 states that a.d. V Kal. Mart. was the day after the bissextile day. The 19th century chronologist Ideler argued that Celsus used the term "posterior" in a technical fashion to refer to the earlier of the two days, which requires the inscription to refer to the whole 48-hour day as the bissextile. Some later historians share this view. Others, following Mommsen, take the view that Celsus was using the ordinary Latin (and English) meaning of "posterior". A third view is that neither half of the 48-hour "bis sextum" was originally formally designated as intercalated, but that the need to do so arose as the concept of a 48-hour day became obsolete. There is no doubt that the bissextile day eventually became the earlier of the two days for most purposes. In 238 Censorinus stated that it was inserted after the Terminalia (23 February) and was followed by the last five days of February, i.e., a.d. VI, V, IV, III and prid. Kal. Mart. (which would be 24 to 28 February in a common year and the 25th to 29th in a leap year). Hence he regarded the bissextum as the first half of the doubled day. All later writers, including Macrobius about 430, Bede in 725, and other medieval computists (calculators of Easter) followed this rule, as does the liturgical calendar of the Roman Catholic Church. However, Celsus' definition continued to be used for legal purposes. It was incorporated into Justinian's Digest, and in the English statute De anno et die bissextili of 1236, which was not formally repealed until 1879. The effect of the bissextile day on the nundinal cycle is not discussed in the sources. According to Dio Cassius, a leap day was inserted in 41 BC to ensure that the first market day of 40 BC did not fall on 1 January, which implies that the old 8-day cycle was not immediately affected by the Julian reform. However, he also reports that in AD 44, and on some previous occasions, the market day was changed to avoid a conflict with a religious festival. This may indicate that a single nundinal letter was assigned to both halves of the 48-hour bissextile day by this time, so that the Regifugium and the market day might fall on the same date but on different days. In any case, the 8-day nundinal cycle began to be displaced by the 7-day week in the first century AD, and dominical letters began to appear alongside nundinal letters in the fasti. During the late Middle Ages days in the month came to be numbered in consecutive day order. Consequently, the leap day was considered to be the last day in February in leap years, i.e., 29 February, which is its current position. Sacrobosco's incorrect theory on month lengths The Julian reform set the lengths of the months to their modern values. However, a different explanation for the lengths of Julian months, usually alleged to the 13th century scholar Sacrobosco, but also attested in 12th century works, is still widely repeated, but is certainly wrong. Allegedly according to Sacrobosco, the month lengths for ordinary years in the Roman Republican calendar were a standard lunar calendar, similar the Greek city calendars. From Ianuarius to December, the month lengths were: Sacrobosco then thought that Julius Caesar added one day to every month except Februarius, a total of 11 more days to regular months, giving the ordinary Julian year of 365 days. A single leap day could now be added to this extra-short Februarius: He then said Augustus changed this, by taking one day from Februarius to add it to Sextilis, and then modifying the alternation of the following months, to: so that the length of Augustus (August) would not be shorter than (and therefore inferior to) the length of Iulius (July), giving us the irregular month lengths which are still in use. Although plausible and filled with ingenious arithmetical organization, there is abundant evidence disproving this theory. First, the Fasti Antiates Maiores, a wall painting of a pre-Julian Roman calendar has survived. That pre-Julian calendar confirms the literary accounts that the months were already irregular before Julius Caesar reformed them, with an ordinary year of 355 days (not evenly divisible into Roman weeks), not 354, with month lengths arranged as: Also, the Julian reform did not change the dates of the Nones and Ides. In particular, the Ides were late (on the 15th rather than 13th) in March, May, July, and October, showing that these months always had 31 days in the Roman calendar, whereas Sacrobosco's theory requires that March, May, and July were originally 30 days long and that the length of October was changed from 29 to 30 days by Caesar and to 31 days by Augustus. Further, Sacrobosco's theory is explicitly contradicted by the 3rd and 5th century authors Censorinus and Macrobius, and it is inconsistent with seasonal lengths given by Varro, writing in 37 BCE, before Sextilis was renamed for Augustus in 8 BCE, with the 31 day Sextilis given by an Egyptian papyrus from 24 BCE, and with the 28 day Februarius shown in the Fasti Caeretani, which is dated before 12 BCE. Year length; leap years The Julian calendar has two types of year: "normal" years of 365 days and "leap" years of 366 days. There is a simple cycle of three "normal" years followed by a leap year and this pattern repeats forever without exception. The Julian year is, therefore, on average 365.25 days long. Consequently, the Julian year drifts over time with respect to the tropical (solar) year (365.24217 days). Although Greek astronomers had known, at least since Hipparchus, a century before the Julian reform, that the tropical year was slightly shorter than 365.25 days, the calendar did not compensate for this difference. As a result, the calendar year gains about three days every four centuries compared to observed equinox times and the seasons. This discrepancy was largely corrected by the Gregorian reform of 1582. The Gregorian calendar has the same months and month lengths as the Julian calendar, but, in the Gregorian calendar, year numbers evenly divisible by 100 are not leap years, except that those evenly divisible by 400 remain leap years. (Even then, the Gregorian calendar diverges from astronomical observations by one day in 3,030 years.) The difference in the average length of the year between Julian (365.25 days) and Gregorian (365.2425 days) is 0.002%, making the Julian 10.8 minutes longer. The accumulated effect of this difference over some 1600 years since the basis for calculation of the date of Easter was determined at the First Council of Nicea means for example that, from 29 February Julian (13 March Gregorian) 1900 and until 28 February Julian (13 March Gregorian) 2100, the Julian calendar is 13 days behind the Gregorian calendar; one day after (i.e. on 29 February Julian or 14 March Gregorian), the difference will be 14 days. Leap year error Although the new calendar was much simpler than the pre-Julian calendar, the pontifices initially added a leap day every three years, instead of every four. There are accounts of this in Solinus, Pliny, Ammianus, Suetonius, and Censorinus. Macrobius gives the following account of the introduction of the Julian calendar: So, according to Macrobius, the year was considered to begin after the Terminalia (23 February), the calendar was operated correctly from its introduction on 1 January 45 BC until the beginning of the fourth year (February 42 BC) at which point the priests inserted the first intercalation, Caesar's intention was to make the first intercalation at the beginning of the fifth year (February 41 BC), the priests made a further eleven intercalations after 42 BC at three-year intervals so that the twelfth intercalation fell in 9 BC, had Caesar's intention been followed there would have been intercalations every four years after 41 BC, so that the ninth intercalation would have been in 9 BC, after 9 BC, there were twelve years without leap years, so that the leap days Caesar would have had in 5 BC, 1 BC and AD 4 were omitted and after AD 4 the calendar was operated as Caesar intended, so that the next leap year was AD 8 and then leap years followed every fourth year thereafter. Some people have had different ideas as to how the leap years went. The above scheme is that of Scaliger (1583) in the table below. He established that the Augustan reform was instituted in AUC 746 (8 BC). The table below shows for each reconstruction the implied proleptic Julian date for the first day of Caesar's reformed calendar (Kal. Ian. AUC 709) and the first Julian date on which the Roman calendar date matches the Julian calendar after the completion of Augustus' reform. By the systems of Scaliger, Ideler and Bünting, the leap years prior to the suspension happen to be BC years that are divisible by 3, just as, after leap year resumption, they are the AD years divisible by 4. Pierre Brind'Amour argued that "only one day was intercalated between 1/1/45 and 1/1/40 (disregarding a momentary 'fiddling' in December of 41) to avoid the nundinum falling on Kal. Ian." Alexander Jones says that the correct Julian calendar was in use in Egypt in 24 BC, implying that the first day of the reform in both Egypt and Rome, , was the Julian date 1 January if 45 BC was a leap year and 2 January if it was not. This necessitates fourteen leap days up to and including AD 8 if 45 BC was a leap year and thirteen if it was not. In 1999, a papyrus was discovered which gives the dates of astronomical phenomena in 24 BC in both the Egyptian and Roman calendars. From , Egypt had two calendars: the old Egyptian in which every year had 365 days and the new Alexandrian in which every fourth year had 366 days. Up to the date in both calendars was the same. The dates in the Alexandrian and Julian calendars are in one-to-one correspondence except for the period from 29 August in the year preceding a Julian leap year to the following 24 February. From a comparison of the astronomical data with the Egyptian and Roman dates, Alexander Jones concluded that the Egyptian astronomers (as opposed to travellers from Rome) used the correct Julian calendar. Due to the confusion about this period, we cannot be sure exactly what day (e.g. Julian day number) any particular Roman date refers to before March of 8 BC, except for those used in Egypt in 24BC which are secured by astronomy. An inscription has been discovered which orders a new calendar to be used in the Province of Asia to replace the previous Greek lunar calendar. According to one translation This is historically correct. It was decreed by the proconsul that the first day of the year in the new calendar shall be Augustus' birthday, a.d. IX Kal. Oct. Every month begins on the ninth day before the kalends. The date of introduction, the day after 14 Peritius, was 1 Dystrus, the next month. The month after that was Xanthicus. Thus Xanthicus began on a.d. IX Kal. Mart., and normally contained 31 days. In leap year, however, it contained an extra "Sebaste day", the Roman leap day, and thus had 32 days. From the lunar nature of the old calendar we can fix the starting date of the new one as 24 January, in the Julian calendar, which was a leap year. Thus from inception the dates of the reformed Asian calendar are in one-to-one correspondence with the Julian. Another translation of this inscription is This would move the starting date back three years to 8 BC, and from the lunar synchronism back to 26 January (Julian). But since the corresponding Roman date in the inscription is 24 January, this must be according to the incorrect calendar which in 8 BC Augustus had ordered to be corrected by the omission of leap days. As the authors of the previous paper point out, with the correct four-year cycle being used in Egypt and the three-year cycle abolished in Rome, it is unlikely that Augustus would have ordered the three-year cycle to be introduced in Asia. Month names The Julian reform did not immediately cause the names of any months to be changed. The old intercalary month was abolished and replaced with a single intercalary day at the same point (i.e., five days before the end of February). January continued to be the first month of the year. The Romans later renamed months after Julius Caesar and Augustus, renaming Quintilis as "Iulius" (July) in 44 BC and Sextilis as "Augustus" (August) in 8 BC. Quintilis was renamed to honour Caesar because it was the month of his birth. According to a senatus consultum quoted by Macrobius, Sextilis was renamed to honour Augustus because several of the most significant events in his rise to power, culminating in the fall of Alexandria, occurred in that month. Other months were renamed by other emperors, but apparently none of the later changes survived their deaths. In AD 37, Caligula renamed September as "Germanicus" after his father; in AD 65, Nero renamed April as "Neroneus", May as "Claudius" and June as "Germanicus"; and in AD 84 Domitian renamed September as "Germanicus" and October as "Domitianus". Commodus was unique in renaming all twelve months after his own adopted names (January to December): "Amazonius", "Invictus", "Felix", "Pius", "Lucius", "Aelius", "Aurelius", "Commodus", "Augustus", "Herculeus", "Romanus", and "Exsuperatorius". The emperor Tacitus is said to have ordered that September, the month of his birth and accession, be renamed after him, but the story is doubtful since he did not become emperor before November 275. Similar honorific month names were implemented in many of the provincial calendars that were aligned to the Julian calendar. Other name changes were proposed but were never implemented. Tiberius rejected a senatorial proposal to rename September as "Tiberius" and October as "Livius", after his mother Livia. Antoninus Pius rejected a senatorial decree renaming September as "Antoninus" and November as "Faustina", after his empress. Much more lasting than the ephemeral month names of the post-Augustan Roman emperors were the Old High German names introduced by Charlemagne. According to his biographer, Charlemagne renamed all of the months agriculturally into German. These names were used until the 15th century, over 700 years after his rule, and continued, with some modifications, to see some use as "traditional" month names until the late 18th century. The names (January to December) were: Wintarmanoth ("winter month"), Hornung, Lentzinmanoth ("spring month", "Lent month"), Ostarmanoth ("Easter month"), Wonnemanoth ("joy-month", a corruption of Winnimanoth "pasture-month"), Brachmanoth ("fallow-month"), Heuuimanoth ("hay month"), Aranmanoth ("reaping month"), Witumanoth ("wood month"), Windumemanoth ("vintage month"), Herbistmanoth ("harvest month"), and Heilagmanoth ("holy month"). The calendar month names used in western and northern Europe, in Byzantium, and by the Berbers, were derived from the Latin names. However, in eastern Europe older seasonal month names continued to be used into the 19th century, and in some cases are still in use, in many languages, including: Belarusian, Bulgarian, Croatian, Czech, Finnish, Georgian, Lithuanian, Macedonian, Polish, Romanian, Slovene, Ukrainian. When the Ottoman Empire adopted the Julian calendar, in the form of the Rumi calendar, the month names reflected Ottoman tradition. Year numbering The principal method used by the Romans to identify a year for dating purposes was to name it after the two consuls who took office in it, the eponymous period in question being the consular year. Beginning in 153 BC, consuls began to take office on 1 January, thus synchronizing the commencement of the consular and calendar years. The calendar year has begun in January and ended in December since about 450 BC according to Ovid or since about 713 BC according to Macrobius and Plutarch (see Roman calendar). Julius Caesar did not change the beginning of either the consular year or the calendar year. In addition to consular years, the Romans sometimes used the regnal year of the emperor, and by the late 4th century documents were also being dated according to the 15-year cycle of the indiction. In 537, Justinian required that henceforth the date must include the name of the emperor and his regnal year, in addition to the indiction and the consul, while also allowing the use of local eras. In 309 and 310, and from time to time thereafter, no consuls were appointed. When this happened, the consular date was given a count of years since the last consul (called "post-consular" dating). After 541, only the reigning emperor held the consulate, typically for only one year in his reign, and so post-consular dating became the norm. Similar post-consular dates were also known in the west in the early 6th century. The system of consular dating, long obsolete, was formally abolished in the law code of Leo VI, issued in 888. Only rarely did the Romans number the year from the founding of the city (of Rome), ab urbe condita (AUC). This method was used by Roman historians to determine the number of years from one event to another, not to date a year. Different historians had several different dates for the founding. The Fasti Capitolini, an inscription containing an official list of the consuls which was published by Augustus, used an epoch of 752 BC. The epoch used by Varro, 753 BC, has been adopted by modern historians. Indeed, Renaissance editors often added it to the manuscripts that they published, giving the false impression that the Romans numbered their years. Most modern historians tacitly assume that it began on the day the consuls took office, and ancient documents such as the Fasti Capitolini which use other AUC systems do so in the same way. However, Censorinus, writing in the 3rd century AD, states that, in his time, the AUC year began with the Parilia, celebrated on 21 April, which was regarded as the actual anniversary of the foundation of Rome. Many local eras, such as the Era of Actium and the Spanish Era, were adopted for the Julian calendar or its local equivalent in the provinces and cities of the Roman Empire. Some of these were used for a considerable time. Perhaps the best known is the Era of Martyrs, sometimes also called Anno Diocletiani (after Diocletian), which was associated with the Alexandrian calendar and often used by the Alexandrian Christians to number their Easters during the 4th and 5th centuries, and continues to be used by the Coptic and Ethiopian churches. In the eastern Mediterranean, the efforts of Christian chronographers such as Annianus of Alexandria to date the Biblical creation of the world led to the introduction of Anno Mundi eras based on this event. The most important of these was the Etos Kosmou, used throughout the Byzantine world from the 10th century and in Russia until 1700. In the west, the kingdoms succeeding the empire initially used indictions and regnal years, alone or in combination. The chronicler Prosper of Aquitaine, in the fifth century, used an era dated from the Passion of Christ, but this era was not widely adopted. Dionysius Exiguus proposed the system of Anno Domini in 525. This era gradually spread through the western Christian world, once the system was adopted by Bede in the eighth century. The Julian calendar was also used in some Muslim countries. The Rumi calendar, the Julian calendar used in the later years of the Ottoman Empire, adopted an era derived from the lunar AH year equivalent to AD 1840, i.e., the effective Rumi epoch was AD 585. In recent years, some users of the Berber calendar have adopted an era starting in 950 BC, the approximate date that the Libyan pharaoh came to power in Egypt. New Year's Day The Roman calendar began the year on 1 January, and this remained the start of the year after the Julian reform. However, even after local calendars were aligned to the Julian calendar, they started the new year on different dates. The Alexandrian calendar in Egypt started on 29 August (30 August after an Alexandrian leap year). Several local provincial calendars were aligned to start on the birthday of Augustus, 23 September. The indiction caused the Byzantine year, which used the Julian calendar, to begin on 1 September; this date is still used in the Eastern Orthodox Church for the beginning of the liturgical year. When the Julian calendar was adopted in AD 988 by Vladimir I of Kiev, the year was numbered Anno Mundi 6496, beginning on 1 March, six months after the start of the Byzantine Anno Mundi year with the same number. In 1492 (AM 7000), Ivan III, according to church tradition, realigned the start of the year to 1 September, so that AM 7000 only lasted for six months in Russia, from 1 March to 31 August 1492. During the Middle Ages 1 January retained the name New Year's Day (or an equivalent name) in all western European countries (affiliated with the Roman Catholic Church), since the medieval calendar continued to display the months from January to December (in twelve columns containing 28 to 31 days each), just as the Romans had. However, most of those countries began their numbered year on 25 December (the Nativity of Jesus), 25 March (the Incarnation of Jesus), or even Easter, as in France (see the Liturgical year article for more details). In Anglo-Saxon England, the year most commonly began on 25 December, which, as (approximately) the winter solstice, had marked the start of the year in pagan times, though 25 March (the equinox) is occasionally documented in the 11th century. Sometimes the start of the year was reckoned as 24 September, the start of the so-called "western indiction" introduced by Bede. These practices changed after the Norman conquest. From 1087 to 1155 the English year began on 1 January, and from 1155 to 1751 it began on 25 March. In 1752 it was moved back to 1 January. (See Calendar (New Style) Act 1750).
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years and one leap year, giving an average year that is 365.25 days long. That is more than the actual solar year value of 365.24219 days (the current value, which varies) which means the Julian calendar gains a day every 128 years. For any given event during the years from 1901 to 2099 inclusive, its date according to the Julian calendar is 13 days behind its corresponding Gregorian date. Table of months History Motivation The ordinary year in the previous Roman calendar consisted of 12 months, for a total of 355 days. In addition, a 27- or 28-day intercalary month, the Mensis Intercalaris, was sometimes inserted between February and March. This intercalary month was formed by inserting 22 or 23 days after the first 23 days of February; the last five days of February, which counted down toward the start of March, became the last five days of Intercalaris. The net effect was to add 22 or 23 days to the year, forming an intercalary year of 377 or 378 days. Some say the mensis intercalaris always had 27 days and began on either the first or the second day after the Terminalia (23 February). According to the later writers Censorinus and Macrobius, the ideal intercalary cycle consisted of ordinary years of 355 days alternating with intercalary years, alternately 377 and 378 days long. In this system, the average Roman year would have had days over four years, giving it an average drift of one day per year relative to any solstice or equinox. Macrobius describes a further refinement whereby, in one 8-year period within a 24-year cycle, there were only three intercalary years, each of 377 days (thus 11 intercalary years out of 24). This refinement averages the length of the year to 365.25 days over 24 years. In practice, intercalations did not occur systematically according to any of these ideal systems, but were determined by the pontifices. So far as can be determined from the historical evidence, they were much less regular than these ideal schemes suggest. They usually occurred every second or third year, but were sometimes omitted for much longer, and occasionally occurred in two consecutive years. If managed correctly this system could have allowed the Roman year to stay roughly aligned to a tropical year. However, since the pontifices were often politicians, and because a Roman magistrate's term of office corresponded with a calendar year, this power was prone to abuse: a pontifex could lengthen a year in which he or one of his political allies was in office, or refuse to lengthen one in which his opponents were in power. If too many intercalations were omitted, as happened after the Second Punic War and during the Civil Wars, the calendar would drift out of alignment with the tropical year. Moreover, because intercalations were often determined quite late, the average Roman citizen often did not know the date, particularly if he were some distance from the city. For these reasons, the last years of the pre-Julian calendar were later known as "years of confusion". The problems became particularly acute during the years of Julius Caesar's pontificate before the reform, 63–46 BC, when there were only five intercalary months (instead of eight), none of which were during the five Roman years before 46 BC. Caesar's reform was intended to solve this problem permanently, by creating a calendar that remained aligned to the sun without any human intervention. This proved useful very soon after the new calendar came into effect. Varro used it in 37 BC to fix calendar dates for the start of the four seasons, which would have been impossible only 8 years earlier. A century later, when Pliny dated the winter solstice to 25 December because the sun entered the 8th degree of Capricorn on that date, this stability had become an ordinary fact of life. Context of the reform Although the approximation of days for the tropical year had been known for a long time, ancient solar calendars had used less precise periods, resulting in gradual misalignment of the calendar with the seasons. The octaeteris, a cycle of eight lunar years popularised by Cleostratus (and also commonly attributed to Eudoxus) which was used in some early Greek calendars, notably in Athens, is 1.53 days longer than eight mean Julian years. The length of nineteen years in the cycle of Meton was 6,940 days, six hours longer than the mean Julian year. The mean Julian year was the basis of the 76-year cycle devised by Callippus (a student under Eudoxus) to improve the Metonic cycle. In Persia (Iran) after the reform in the Persian calendar by introduction of the Persian Zoroastrian (i. e. Young Avestan) calendar in 503 BC and afterwards, the first day of the year (1 Farvardin=Nowruz) slipped against the vernal equinox at the rate of approximately one day every four years. Likewise in the Egyptian calendar, a fixed year of 365 days was in use, drifting by one day against the sun in four years. An unsuccessful attempt to add an extra day every fourth year was made in 238 BC (Decree of Canopus). Caesar probably experienced this "wandering" or "vague" calendar in that country. He landed in the Nile delta in October 48 BC and soon became embroiled in the Ptolemaic dynastic war, especially after Cleopatra managed to be "introduced" to him in Alexandria. Caesar imposed a peace, and a banquet was held to celebrate the event. Lucan depicted Caesar talking to a wise man called Acoreus during the feast, stating his intention to create a calendar more perfect than that of Eudoxus (Eudoxus was popularly credited with having determined the length of the year to be days). But the war soon resumed and Caesar was attacked by the Egyptian army for several months until he achieved victory. He then enjoyed a long cruise on the Nile with Cleopatra before leaving the country in June 47 BC. Caesar returned to Rome in 46 BC and, according to Plutarch, called in the best philosophers and mathematicians of his time to solve the problem of the calendar. Pliny says that Caesar was aided in his reform by the astronomer Sosigenes of Alexandria who is generally considered the principal designer of the reform. Sosigenes may also have been the author of the astronomical almanac published by Caesar to facilitate the reform. Eventually, it was decided to establish a calendar that would be a combination between the old Roman months, the fixed length of the Egyptian calendar, and the days of Greek astronomy. According to Macrobius, Caesar was assisted in this by a certain Marcus Flavius. Adoption of the Julian calendar Caesar's reform only applied to the Roman calendar. However, in the following decades many of the local civic and provincial calendars of the empire and neighbouring client kingdoms were aligned to the Julian calendar by transforming them into calendars with years of 365 days with an extra day intercalated every four years. The reformed calendars typically retained many features of the unreformed calendars. In many cases, the New Year was not on 1 January, the leap day was not on the traditional bissextile day, the old month names were retained, the lengths of the reformed months did not match the lengths of Julian months, and, even if they did, their first days did not match the first day of the corresponding Julian month. Nevertheless, since the reformed calendars had fixed relationships to each other and to the Julian calendar, the process of converting dates between them became quite straightforward, through the use of conversion tables known as hemerologia. Several of the reformed calendars are only known through surviving hemerologia. The three most important of these calendars are the Alexandrian calendar and the Ancient Macedonian calendar─which had two forms: the Syro-Macedonian and the 'Asian' calendars. Other reformed calendars are known from Cappadocia, Cyprus and the cities of (Roman) Syria and Palestine. Most reformed calendars were adopted under Augustus, though the calendar of Nabatea was reformed after the kingdom became the Roman province of Arabia in AD106. There is no evidence that local calendars were aligned to the Julian calendar in the western empire. Unreformed calendars continued to be used in Gaul (the Coligny calendar), Greece, Macedon, the Balkans and parts of Palestine, most notably in Judea. The Alexandrian calendar adapted the Egyptian calendar by adding a 6th epagomenal day as the last day of the year in every fourth year, falling on 29 August preceding a Julian bissextile day. It was otherwise identical to the Egyptian calendar. The first leap day was in 22 BC, and they occurred every four years from the beginning, even though Roman leap days occurred every three years at this time (see Leap year error). This calendar influenced the structure of several other reformed calendars, such as those of the cities of Gaza and Ascalon in Palestine, Salamis in Cyprus, and the province of Arabia. It was adopted by the Coptic Orthodox Church and remains in use both as the liturgical calendar of the Coptic church and as the civil calendar of Ethiopia. The Asian calendar was an adaptation of the Ancient Macedonian calendar used in the Roman province of Asia and, with minor variations, in nearby cities and provinces. It is known in detail through the survival of decrees promulgating it issued in 8BC by the proconsul Paullus Fabius Maximus. It renamed the first month Dios as , and arranged the months such that each month started on the ninth day before the kalends of the corresponding Roman month; thus the year began on 23 September, Augustus's birthday. Since Greek months typically had 29 or 30 days, the extra day of 31-day months was named —the emperor's day—and was the first day of these months. The leap day was a second Sebaste day in the month of Xandikos, i.e., 24 February. This calendar remained in use at least until the middle of the fifth century AD. The Syro-Macedonian calendar was an adaptation of the Macedonian calendar used in Antioch and other parts of Roman Syria. The months were exactly aligned to the Julian calendar, but they retained their Macedonian names and the year began in Dios (November) until the fifth century, when the start of the year was moved to Gorpiaios (September). These reformed calendars generally remained in use until the fifth or sixth century. Around that time most of them were replaced as civil calendars by the Julian calendar, but with a year starting in September to reflect the year of the indiction cycle. The Julian calendar spread beyond the borders of the Roman Empire through its use as the Christian liturgical calendar. When a people or a country converted to Christianity, they generally also adopted the Christian calendar of the church responsible for conversion. Thus, Christian Nubia and Ethiopia adopted the Alexandrian calendar, while Christian Europe adopted the Julian calendar, in either the Catholic or Orthodox variant. Starting in the 16th century, European settlements in the Americas and elsewhere likewise inherited the Julian calendar of the mother country, until they adopted the Gregorian reform. The last country to adopt the Julian calendar was the Ottoman Empire, which used it for financial purposes for some time under the name Rumi calendar and dropped the "escape years" which tied it to Muslim chronology in 1840. Julian reform Realignment of the year The first step of the reform was to realign the start of the calendar year (1 January) to the tropical year by making 445 days long, compensating for the intercalations which had been missed during Caesar's pontificate. This year had already been extended from 355 to 378 days by the insertion of a regular intercalary month in February. When Caesar decreed the reform, probably shortly after his return from the African campaign in late Quintilis (July), he added 67 more days by inserting two extraordinary intercalary months between November and December. These months are called Intercalaris Prior and Intercalaris Posterior in letters of Cicero written at the time; there is no basis for the statement sometimes seen that they were called "Undecimber" and "Duodecimber", terms that arose in the 18th century over a millennium after the Roman Empire's collapse. Their individual lengths are unknown, as is the position of the Nones and Ides within them. Because 46 BC was the last of a series of irregular years, this extra-long year was, and is, referred to as the "last year of confusion". The new calendar began operation after the realignment had been completed, in 45 BC. Months The Julian months were formed by adding ten days to a regular pre-Julian Roman year of 355 days, creating a regular Julian year of 365 days. Two extra days were added to January, Sextilis (August) and December, and one extra day was added to April, June, September, and November. February was not changed in ordinary years, and so continued to be the traditional 28 days. Thus, the ordinary (i.e., non-leap year) lengths of all of the months were set by the Julian calendar to the same values they still hold today. (See Sacrobosco's incorrect theory on month lengths (below) for stories purporting otherwise.) The Julian reform did not change the method used to account days of the month in the pre-Julian calendar, based on the Kalends, Nones and Ides, nor did it change the positions of these three dates within the months. Macrobius states that the extra days were added immediately before the last day of each month to avoid disturbing the position of the established religious ceremonies relative to the Nones and Ides of the month. However, since Roman dates after the Ides of the month counted down toward the start of the next month, the extra days had the effect of raising the initial value of the count of the day following the Ides in the lengthened months. Thus, in January, Sextilis and December the 14th day of the month became a.d. XIX Kal. instead of a.d. XVII Kal., while in April, June, September and November it became a.d. XVIII Kal. Romans of the time born after the Ides of a month responded differently to the effect of this change on their birthdays. Mark Antony kept his birthday on 14 January, which changed its date from a.d. XVII Kal. Feb to a.d. XIX Kal. Feb, a date that had previously not existed. Livia kept the date of her birthday unchanged at a.d. III Kal. Feb., which moved it from 28 to 30 January, a day that had previously not existed. Augustus kept his on 23 September, but both the old date (a.d. VIII Kal. Oct.) and the new (a.d. IX Kal. Oct.) were celebrated in some places. The inserted days were all initially characterised as dies fasti (F – see Roman calendar). The character of a few festival days was changed. In the early Julio-Claudian period a large number of festivals were decreed to celebrate events of dynastic importance, which caused the character of the associated dates to be changed to NP. However, this practice was discontinued around the reign of Claudius, and the practice of characterising days fell into disuse around the end of the first century AD:
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Mountains, while the territory to the west of the mountains, known as Oregon Country, would be jointly occupied. The agreement marked a watershed moment in United Kingdom–United States relations, as the United States focused on its southern and western borders and British concerns about American expansionism subsided. Adams–Onís Treaty When Adams took office, Spanish possessions bordered the United States to the south and west. To the south, Spain retained control of Florida, which the U.S. had long sought to purchase. Spain struggled to control the Indian tribes active in Florida, and some of those tribes raided United States territory. To the west, New Spain bordered the territory acquired by the United States in the Louisiana Purchase, but no clear boundary had been established between United States and Spanish territory. After taking office, Adams began negotiations with Luis de Onís, the Spanish minister to the United States, for the purchase of Florida and the settlement of a border between the United States and New Spain. The negotiations were interrupted by an escalation of the Seminole War, and in December 1818, Monroe ordered General Andrew Jackson to enter Florida and retaliate against Seminoles that had raided Georgia. Exceeding his orders, Jackson captured the Spanish outposts of St. Marks and Pensacola and executed two Englishmen. While Jackson's actions outraged the rest of the cabinet, Adams defended them as necessary to the country's self-defense, and he eventually convinced Monroe and most of the cabinet to support Jackson. Adams informed Spain that its failure to police its own territory had compelled Jackson to act, and he advised Spain to either secure the region or sell it to the United States. The British, meanwhile, declined to risk their recent rapprochement with the United States, and did not make a major diplomatic issue out of Jackson's execution of two British nationals. Negotiations between Spain and the United States continued, and Spain agreed to cede Florida. The determination of the western boundary of the United States proved more difficult. American expansionists favored setting the border at the Rio Grande, but Spain, intent on protecting its colony of Mexico from American encroachment, insisted on setting the boundary at the Sabine River. At Monroe's direction, Adams agreed to the Sabine River boundary, but he insisted that Spain cede its claims on Oregon Country. Adams was deeply interested in establishing American control over the Oregon Country, partly because he believed that control of that region would spur trade with Asia. The acquisition of Spanish claims to the Pacific Northwest also allowed the Monroe administration to pair the acquisition of Florida, which was chiefly sought by Southerners, with territorial gains favored primarily by those in the North. After extended negotiations, Spain and the United States agreed to the Adams–Onís Treaty, which was ratified in February 1821. Adams was deeply proud of the treaty, though he privately was concerned by the potential expansion of slavery into the newly acquired territories. In 1824, the Monroe administration would strengthen US claims to Oregon by ratifying the Russo-American Treaty of 1824, which established Russian Alaska's southern border at 54°40′ north. Monroe Doctrine As the Spanish Empire continued to fracture during Monroe's second term, Adams, Monroe and Clay became increasingly concerned that the "Holy Alliance" of Prussia, Austria, and Russia would seek to bring Spain's erstwhile colonies under their control, to the point of even contemplating a Holy Alliance of their own to defend democracy. In his 1821 Fourth of July address, Adams addressed this issue, noting a shared "chain of sympathy" between the U.S. and Latin America, but arguing for neutrality rather than a Holy Alliance. In 1822, following the conclusion of the Adams–Onís Treaty, the Monroe administration recognized the independence of several Latin American countries, including Argentina and Mexico. In 1823, British Foreign Secretary George Canning suggested that the United States and Britain should work together to preserve the independence of these fledgling republics. The cabinet debated whether to accept the offer, but Adams opposed it. Instead, Adams urged Monroe to publicly declare the United States' opposition to any European attempt to colonize or re-take control of territory in the Americas, while also committing the United States to neutrality in European affairs. In his December 1823 annual message to Congress, Monroe laid out the Monroe Doctrine, which was largely built upon Adams's ideas. In issuing the Monroe Doctrine, the United States displayed a new level of assertiveness in international relations, as the doctrine represented the country's first claim to a sphere of influence. It also marked the country's shift in psychological orientation away from Europe and towards the Americas. Debates over foreign policy would no longer center on relations with Britain and France, but instead focus on western expansion and relations with Native Americans. The doctrine became one of the foundational principles of U.S. foreign policy. 1824 presidential election Immediately upon becoming Secretary of State, Adams emerged as one of Monroe's most likely successors, as the last three presidents had all served in the role before taking office. As the 1824 election approached, Henry Clay, John C. Calhoun (who later dropped out of the race), and William H. Crawford appeared to be Adams's primary competition to succeed Monroe. Crawford favored state sovereignty and a strict constructionist view of the Constitution, while Clay, Calhoun, and Adams embraced federally funded internal improvements, high tariffs, and the Second Bank of the United States, which was also known as the national bank. Because the Federalist Party had all but collapsed after the War of 1812, all the major presidential candidates were members of the Democratic-Republican Party. Adams felt that his own election as president would vindicate his father, while also allowing him to pursue an ambitious domestic policy. Though he lacked the charisma of his competitors, Adams was widely respected and benefited from the lack of other prominent Northern political leaders. Adams's top choice for the role of vice president was General Andrew Jackson; Adams noted that "the Vice-Presidency was a station in which [Jackson] could hang no one, and in which he would need to quarrel with no one". However, as the 1824 election approached, Jackson jumped into the race for president, and Calhoun ended up receiving the Vice-presidential support of Adams supporters. While the other candidates based their candidacies on their long tenure as congressmen, ambassadors, or members of the cabinet, Jackson's appeal rested on his military service, especially in the Battle of New Orleans. The congressional nominating caucus had decided upon previous Democratic-Republican presidential nominees, but it had become largely discredited by 1824. Candidates were instead nominated by state legislatures or nominating conventions, and Adams received the endorsement of the New England legislatures. The regional strength of each candidate played an important role in the election; Adams was popular in New England, Clay and Jackson were strong in the West, and Jackson and Crawford competed for the South. In the 1824 presidential election, Jackson won a plurality in the Electoral College, taking 99 of the 261 electoral votes, while Adams won 84, Crawford won 41, and Clay took 37. Calhoun, meanwhile, won a majority of the electoral votes for vice president. Adams nearly swept the electoral votes of New England and won a majority of the electoral votes in New York, but he won just six electoral votes from the slave states. Most of Jackson's support came from slave-holding states, but he also won New Jersey, Pennsylvania, and some electoral votes from the Northwest. As no candidate won a majority of the electoral votes, the House was required to hold a contingent election under the terms of the Twelfth Amendment. The House would decide among the top three electoral vote winners, with each state's delegation having one vote; thus, unlike his three rivals, Clay was not eligible to be elected by the House. Adams knew that his own victory in the contingent election would require the support of Clay, who wielded immense influence in the House of Representatives. Though they were quite different in temperament and had clashed in the past, Adams and Clay shared similar views on national issues. By contrast, Clay viewed Jackson as a dangerous demagogue, and he was unwilling to support Crawford due to the latter's health issues. Adams and Clay met before the contingent election, and Clay agreed to support Adams in the election. Adams also met with Federalists such as Daniel Webster, promising that he would not deny governmental positions to members of their party. On February 9, 1825, Adams won the contingent election on the first ballot, taking 13 of the 24 state delegations. Adams won the House delegations of all the states in which he or Clay had won a majority of the electoral votes, as well as the delegations of Illinois, Louisiana, and Maryland. Adams's victory made him the first child of a president to serve as president himself. After the election, many of Jackson's supporters claimed that Adams and Clay had reached a "Corrupt Bargain" whereby Adams promised Clay the position of Secretary of State in return for Clay's support. Presidency (1825–1829) Inauguration Adams was inaugurated on March 4, 1825, becoming the first son of a former United States president to himself become president, a feat only repeated 176 years later by George W. Bush, son of George H. W. Bush. He took the oath of office on a book of constitutional law, instead of the more traditional Bible. In his inaugural address, he adopted a post-partisan tone, promising that he would avoid party-building and politically motivated appointments. He also proposed an elaborate program of "internal improvements": roads, ports, and canals. Though some were worried about the constitutionality of such federal projects, Adams argued that the General Welfare Clause provided for broad constitutional authority. He promised that he would ask Congress to authorize many such projects. Administration Adams presided over a harmonious and productive cabinet that he met with on a weekly basis. Like Monroe, Adams sought a geographically balanced cabinet that would represent the various party factions, and he asked the members of the Monroe cabinet to remain in place for his own administration. Samuel L. Southard of New Jersey stayed on as Secretary of the Navy, William Wirt kept his post of Attorney General, and John McLean of Ohio continued to serve as the Postmaster General, an important position that was not part of the cabinet. Adams's first choices for Secretary of War and Secretary of the Treasury were Andrew Jackson and William Crawford, but each declined to serve in the administration. Adams instead selected James Barbour of Virginia, a prominent supporter of Crawford, to lead the War Department. Leadership of the Treasury Department went to Richard Rush of Pennsylvania, who would become a prominent advocate of internal improvements and protective tariffs within the administration. Adams chose Henry Clay as Secretary of State, angering those who believed that Clay had offered his support in the 1824 election for the most prestigious position in the cabinet. Though Clay would later regret accepting the position since it reinforced the "Corrupt Bargain" accusation, Clay's strength in the West and interest in foreign policy made him a natural choice for the top cabinet position. Domestic affairs Ambitious agenda In his 1825 annual message to Congress, Adams presented a comprehensive and ambitious agenda. He called for major investments in internal improvements as well as the creation of a national university, a naval academy, and a national astronomical observatory. Noting the healthy status of the treasury and the possibility for more revenue via land sales, Adams argued for the completion of several projects that were in various stages of construction or planning, including a road from Washington, D.C. to New Orleans. He also proposed the establishment of a Department of the Interior as a new cabinet-level department that would preside over these internal improvements. Adams hoped to fund these measures primarily through Western land sales, rather than increased taxes or public debt. The domestic agenda of Adams and Clay, which would come to be known as the American System, was designed to unite disparate regional interests in the promotion of a thriving national economy. Adams's programs faced opposition from various quarters. Many disagreed with his broad interpretation of the constitution and preferred that power be concentrated in state governments rather than the federal government. Others disliked interference from any level of government and were opposed to central planning. Some in the South feared that Adams was secretly an abolitionist and that he sought to subordinate the states to the federal government. Most of the president's proposals were defeated in Congress. Adams's ideas for a national university, a national observatory, and the establishment of a uniform system of weights and measures never received congressional votes. His proposal for the creation of a naval academy won the approval of the Senate but was defeated in the House; opponents objected to the naval academy's cost and worried that the establishment of such an institution would "produce degeneracy and corruption of the public morality". Adams's proposal to establish a national bankruptcy law was also defeated. Unlike other aspects of his domestic agenda, Adams won congressional approval for several ambitious infrastructure projects. Between 1824 and 1828, the United States Army Corps of Engineers conducted surveys for a bevy of potential roads, canals, railroads, and improvements in river navigation. Adams presided over major repairs and further construction on the National Road, and shortly after he left office the National Road extended from Cumberland, Maryland, to Zanesville, Ohio. The Adams administration also saw the beginning of the Chesapeake and Ohio Canal; the construction of the Chesapeake & Delaware Canal and the Louisville and Portland Canal around the Falls of the Ohio; the connection of the Great Lakes to the Ohio River system in Ohio and Indiana; and the enlargement and rebuilding of the Dismal Swamp Canal in North Carolina. Additionally, the first passenger railroad in the United States, the Baltimore and Ohio Railroad, was constructed during Adams's presidency. Though many of these projects were undertaken by private actors, the government often provided money or land to aid the completion of such projects. Formation of political parties In the immediate aftermath of the 1825 contingent election, Jackson was gracious to Adams. Nevertheless, Adams's appointment of Clay rankled Jackson, who received a flood of letters encouraging him to run. In 1825, Jackson accepted the presidential nomination of the Tennessee legislature for the 1828 election. Though he had been close to Adams during Monroe's presidency, Vice President Calhoun was also politically alienated from the president by the appointment of Clay, since that appointment established Clay as the natural heir to Adams. Adams's ambitious December 1825 annual message to Congress further galvanized the opposition, with important figures such as Francis Preston Blair of Kentucky and Thomas Hart Benton of Missouri breaking with the Adams administration. By the end of the first session of the 19th United States Congress, an anti-Adams congressional coalition consisting of Jacksonians (led by Benton and Hugh Lawson White), Crawfordites (led by Martin Van Buren and Nathaniel Macon), and Calhounites (led by Robert Y. Hayne and George McDuffie) had emerged. Aside from Clay, Adams lacked strong supporters outside of the North, and Edward Everett, John Taylor, and Daniel Webster served as his strongest advocates in Congress. Supporters of Adams began calling themselves National Republicans, while supporters of Jackson began calling themselves Democrats. In the press, they were often described as "Adams Men" and "Jackson Men". In the 1826 elections, Adams's opponents picked up seats throughout the country, as allies of Adams failed to coordinate among themselves. Andrew Stevenson, a Jackson supporter, replaced John Taylor, an Adams supporter, as Speaker of the House. As Adams himself noted, the United States had never seen a Congress that was firmly under the control of political opponents of the president. After the elections, Van Buren and Calhoun agreed to throw their support behind Jackson in 1828, with Van Buren bringing along many of Crawford's supporters. Though Jackson did not articulate a detailed political platform in the same way that Adams did, his coalition united in opposition to Adams's reliance on government planning. Adams, meanwhile, clung to the hope of a non-partisan nation, and he refused to make full use of the power of patronage to build up his own party structure. Tariff of 1828 During the first half of his administration, Adams avoided taking a strong stand on tariffs, partly because he wanted to avoid alienating his allies in the South and New England. After Jacksonians took power in 1827, they devised a tariff bill designed to appeal to Western states while instituting high rates on imported materials important to the economy of New England. It is unclear whether Van Buren, who shepherded the bill through Congress, meant for the bill to pass, or if he had deliberately designed it to force Adams and his allies to oppose it. Regardless, Adams signed the Tariff of 1828, which became known as the "Tariff of Abominations" by opponents. Adams was denounced in the South, and he received little credit for the tariff in the North. Indian policy Adams sought the gradual assimilation of Native Americans via consensual agreements, a priority shared by few whites in the 1820s. Yet Adams was also deeply committed to the westward expansion of the United States. Settlers on the frontier, constantly seeking to move westward, cried for a more expansionist policy that disregarded the concerns of Native Americans. Early in his term, Adams suspended the Treaty of Indian Springs after learning that the Governor of Georgia, George Troup, had forced the treaty on the Muscogee. Adams signed a new treaty with the Muscogee in January 1826 that allowed the Muscogee to stay but ceded most of their land to Georgia. Troup refused to accept its terms and authorized all Georgian citizens to evict the Muscogee. A showdown between Georgia and the federal government was only averted after the Muscogee agreed to a third treaty. Though many saw Troup as unreasonable in his dealings with the federal government and the Native Americans, the administration's handling of the incident alienated those in the Deep South who favored immediate Indian removal. Foreign affairs Trade and claims One of the major foreign policy goals of the Adams administration was the expansion of American trade. His administration reached reciprocity treaties with a number of nations, including Denmark, the Hanseatic League, the Scandinavian countries, Prussia, and the Federal Republic of Central America. The administration also reached commercial agreements with the Kingdom of Hawaii and the Kingdom of Tahiti. Agreements with Denmark and Sweden opened their colonies to American trade, but Adams was especially focused on opening trade with the British West Indies. The United States had reached a commercial agreement with Britain in 1815, but that agreement excluded British possessions in the Western Hemisphere. In response to United States pressure, the British had begun to allow a limited amount of American imports to the West Indies in 1823, but United States leaders continued to seek an end to Britain's protective Imperial Preference system. In 1825, Britain banned United States trade with the British West Indies, dealing a blow to Adams's prestige. The Adams administration negotiated extensively with the British to lift this ban, but the two sides could not reach an agreement. Despite the loss of trade with the British West Indies, the other commercial agreements secured by Adams helped expand the overall volume of United States exports. Latin America Aside from an unsuccessful attempt to purchase Texas from Mexico, President Adams did not seek to expand into Latin America or North America. Adams and Clay instead sought engagement with Latin America to prevent it from falling under the British Empire's economic influence. As part of this goal, the administration favored sending a United States delegation to the Congress of Panama, an 1826 conference of New World republics organized by Simón Bolívar. Clay and Adams hoped that the conference would inaugurate a "Good Neighborhood Policy" among the independent states of the Americas. However, the funding for a delegation and the confirmation of delegation nominees became entangled in a political battle over Adams's domestic policies, with opponents such as Van Buren impeding the confirmation of a delegation. While Van Buren saw the Panama Congress as an unwelcome deviation from the more isolationist foreign policy established by President Washington, many Southerners opposed involvement with any conference attended by delegates from Haiti, a republic that had been established through a slave revolt. Though the United States delegation finally won confirmation from the Senate, it never reached the Congress of Panama due to the Senate's delay. 1828 presidential election The Jacksonians formed an effective party apparatus that adopted many modern campaign techniques. Rather than focusing on issues, they emphasized Jackson's popularity and the supposed corruption of Adams and the federal government. Jackson himself described the campaign as a "struggle between the virtue of the people and executive patronage". Adams, meanwhile, refused to adapt to the new reality of political campaigns, and he avoided public functions and refused to invest in pro-administration tools such as newspapers. In early 1827, Jackson was publicly accused of having encouraged his wife, Rachel, to desert her first husband. In response, followers of Jackson attacked Adams's personal life, and the campaign turned increasingly nasty. The Jacksonian press portrayed Adams as an out-of-touch elitist, while pro-Adams newspapers attacked Jackson's past involvement in various duels and scuffles, portraying him as too emotional and impetuous for the presidency. Though Adams and Clay had hoped that the campaign would focus on the American System, it was instead dominated by the personalities of Jackson and Adams. Vice President Calhoun joined Jackson's ticket, while Adams turned to Secretary of the Treasury Richard Rush as his running mate. The 1828 election thus marked the first time in United States history that a presidential ticket composed of two Northerners faced off against a presidential ticket composed of two Southerners. In the election, Jackson won 178 of the 261 electoral votes and just under 56% of the popular vote. Jackson won 50.3% of the popular vote in the free states, but 72.6% of the vote in the slave states. No future presidential candidate would match Jackson's proportion of the popular vote until Theodore Roosevelt's 1904 campaign, while Adams's loss made him the second one-term president, after his own father. By 1828, only two states did not hold a popular vote for president, and the number of votes in the 1828 election was triple that in the 1824 election. This increase in votes was due not only to the recent wave of democratization, but also because of increased interest in elections and the growing ability of the parties to mobilize voters. Adams did not attend Jackson's inauguration, making him one of only four presidents who finished their terms but skipped the event. Later congressional career (1830–1848) Jackson administration, 1830–1836 Adams considered permanently retiring from public life after his 1828 defeat, and he was deeply hurt by the suicide of his son, George Washington Adams, in 1829. He was appalled by many of the Jackson administration's actions, including its embrace of the spoils system and the prosecution of his close friend, Treasury Auditor Tobias Watkins, for embezzlement. Though they had once maintained a cordial relationship, Adams and Jackson each came to loathe the other in the decades after the 1828 election. Adams grew bored with his retirement and still felt that his career was unfinished, so he ran for and won a seat in the United States House of Representatives in the 1830 elections. His election went against the generally held opinion, shared by his own wife and youngest son, that former presidents should not run for public office. Nonetheless, he would win election to nine terms, serving from 1831 until his death in 1848. Adams and Andrew Johnson are the only former presidents to serve in Congress. After winning election, Adams became affiliated with the Anti-Masonic Party, partly because the National Republican Party's leadership in Massachusetts included many of the former Federalists that Adams had clashed with earlier in his career. The Anti-Masonic Party originated as a movement against Freemasonry, but it developed into the country's first third party and embraced a general program of anti-elitism. Adams expected a light workload when he returned to Washington at 64 years old, but Speaker Andrew Stevenson selected Adams chair of the Committee on Commerce and Manufactures. Though he identified as a member of the Anti-Masonic Party, Congress was broadly polarized into allies of Jackson and opponents of Jackson, and Adams generally aligned with the latter camp. Stevenson, an ally of Jackson, expected that the committee chairmanship would keep Adams busy defending the tariff even while the Jacksonian majority on the committee would prevent Adams from accruing any real power. As chair of the committee charged with writing tariff laws, Adams became an important player in the Nullification crisis, which stemmed largely from Southern objections to the high rates imposed by the Tariff of 1828. South Carolina leaders argued that states could nullify federal laws, and they announced that the they would bar the federal government from enforcing the tariff in their state. Adams helped pass the Tariff of 1832, which lowered rates, but not enough to mollify the South Carolina nullifiers. The crisis ended when Clay and Calhoun agreed to another tariff bill, the Tariff of 1833, that furthered lower tariff rates. Adams was appalled by the Nullification Crisis's outcome, as he felt that the Southern states had unfairly benefited from challenging federal law. After the crisis, Adams was convinced that Southerners exercised undue influence over the federal governmen through their control of Jackson's Democratic Party. In the 1833 Massachusetts gubernatorial election, the Anti-Masonic Party nominated Adams in a four-way race between Adams, the National Republican candidate, the Democratic candidate, and a candidate of the Working Men's Party. The National Republican candidate, John Davis, won 40% of the vote, while Adams finished in second place with 29%. Because no candidate won a majority of the vote, the state legislature decided the election. Rather than seek election by the legislature, Adams withdrew his name from contention, and the legislature selected Davis. Adams was nearly elected to the Senate in 1835 by a coalition of Anti-Masons and National Republicans, but his support for Jackson in a minor foreign policy matter annoyed National Republican leaders enough that they dropped their support for his candidacy. After 1835, Adams never again sought higher office, focusing instead on his service in the House of Representatives. Van Buren, Harrison and Tyler administrations, 1837–1843 In the mid-1830s, the Anti-Masonic Party, the National Republicans, and other groups opposed to Jackson coalesced into the Whig Party. In the 1836 presidential election Democrats put forward Martin Van Buren, while the Whigs fielded multiple presidential candidates. Because he disdained all the major party contenders for president, Adams did not take part in the campaign; Van Buren won the election. Nonetheless, Adams became aligned with the Whig Party in Congress. Adams generally opposed the initiatives of President Van Buren, long a political adversary, though they maintained a cordial public
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appointed him as the U.S. ambassador to Britain. With the aid of Clay and Gallatin, Adams negotiated a limited trade agreement with Britain. Following the conclusion of the trade agreement, much of Adams's time as ambassador was spent helping stranded American sailors and prisoners of war. In pursuit of national unity, newly elected president James Monroe decided a Northerner would be optimal for the position of Secretary of State, and he chose the respected and experienced Adams for the role. Having spent several years in Europe, Adams returned to the United States in August 1817. Secretary of State (1817–1825) Adams served as Secretary of State during Monroe's eight-year presidency, from 1817 to 1825. Many of his successes as secretary, such as the convention of 1818 with the United Kingdom, the Transcontinental Treaty with Spain, and the Monroe Doctrine, were not preplanned strategies but responses to unexpected events. Adams wanted to delay American recognition of the newly independent republics of Latin America to avoid the risk of war with Spain and its European allies. However, Andrew Jackson's military campaign in Florida and Henry Clay's threats in Congress forced Spain to cut a deal, which Adams negotiated successfully. Biographer James Lewis says, "He managed to play the cards that he had been dealt – cards that he very clearly had not wanted – in ways that forced the Spanish cabinet to recognize the weakness of its own hand". Apart from the Monroe doctrine, his last four years as Secretary of State were less successful because he was preoccupied with his presidential campaign and refused to make compromises with other countries that might have weakened his candidacy; the result was a small-scale trade war but a successful election to the White House. Taking office in the aftermath of the War of 1812, Adams thought that the country had been fortunate in avoiding territorial losses, and he prioritized avoiding another war with a European power, particularly Britain. He also sought to avoid exacerbating sectional tensions, which had been a major issue for the country during the War of 1812. One of the major challenges confronting Adams was how to respond to the power vacuum in Latin America that arose from Spain's weakness following the Peninsular War. In addition to his foreign policy role, Adams held several domestic duties, including overseeing the 1820 Census and writing an extensive report on weights and measures. The weights and measures report, a particular passion of Adams', provided an extensive historical perspective on the topic and advocated for adoption of the metric system. Monroe and Adams agreed on most major foreign policy issues: both favored neutrality in Latin American independence wars, peace with the United Kingdom, rejection of a trade agreement with the French, and peaceful expansion into the Spanish Empire's North American territories. The president and his secretary of state developed a strong working relationship, and while Adams often influenced Monroe's policies, he respected that Monroe made the final decisions on major issues. Monroe met regularly with his five-person cabinet, which initially consisted of Adams, Secretary of the Treasury William H. Crawford, Secretary of War John C. Calhoun, Secretary of the Navy Benjamin Crowninshield, and Attorney General William Wirt. Adams developed a strong respect for Calhoun but believed that Crawford was unduly focused on succeeding Monroe in 1824. During his time as ambassador to Britain, Adams had begun negotiations over several contentious issues that had not been solved by the War of 1812 or the Treaty of Ghent. In 1817, the two countries agreed to the Rush–Bagot Treaty, which limited naval armaments on the Great Lakes. Negotiations between the two powers continued, resulting in the Treaty of 1818, which defined the Canada–United States border west of the Great Lakes. The boundary was set at the 49th parallel to the Rocky Mountains, while the territory to the west of the mountains, known as Oregon Country, would be jointly occupied. The agreement marked a watershed moment in United Kingdom–United States relations, as the United States focused on its southern and western borders and British concerns about American expansionism subsided. Adams–Onís Treaty When Adams took office, Spanish possessions bordered the United States to the south and west. To the south, Spain retained control of Florida, which the U.S. had long sought to purchase. Spain struggled to control the Indian tribes active in Florida, and some of those tribes raided United States territory. To the west, New Spain bordered the territory acquired by the United States in the Louisiana Purchase, but no clear boundary had been established between United States and Spanish territory. After taking office, Adams began negotiations with Luis de Onís, the Spanish minister to the United States, for the purchase of Florida and the settlement of a border between the United States and New Spain. The negotiations were interrupted by an escalation of the Seminole War, and in December 1818, Monroe ordered General Andrew Jackson to enter Florida and retaliate against Seminoles that had raided Georgia. Exceeding his orders, Jackson captured the Spanish outposts of St. Marks and Pensacola and executed two Englishmen. While Jackson's actions outraged the rest of the cabinet, Adams defended them as necessary to the country's self-defense, and he eventually convinced Monroe and most of the cabinet to support Jackson. Adams informed Spain that its failure to police its own territory had compelled Jackson to act, and he advised Spain to either secure the region or sell it to the United States. The British, meanwhile, declined to risk their recent rapprochement with the United States, and did not make a major diplomatic issue out of Jackson's execution of two British nationals. Negotiations between Spain and the United States continued, and Spain agreed to cede Florida. The determination of the western boundary of the United States proved more difficult. American expansionists favored setting the border at the Rio Grande, but Spain, intent on protecting its colony of Mexico from American encroachment, insisted on setting the boundary at the Sabine River. At Monroe's direction, Adams agreed to the Sabine River boundary, but he insisted that Spain cede its claims on Oregon Country. Adams was deeply interested in establishing American control over the Oregon Country, partly because he believed that control of that region would spur trade with Asia. The acquisition of Spanish claims to the Pacific Northwest also allowed the Monroe administration to pair the acquisition of Florida, which was chiefly sought by Southerners, with territorial gains favored primarily by those in the North. After extended negotiations, Spain and the United States agreed to the Adams–Onís Treaty, which was ratified in February 1821. Adams was deeply proud of the treaty, though he privately was concerned by the potential expansion of slavery into the newly acquired territories. In 1824, the Monroe administration would strengthen US claims to Oregon by ratifying the Russo-American Treaty of 1824, which established Russian Alaska's southern border at 54°40′ north. Monroe Doctrine As the Spanish Empire continued to fracture during Monroe's second term, Adams, Monroe and Clay became increasingly concerned that the "Holy Alliance" of Prussia, Austria, and Russia would seek to bring Spain's erstwhile colonies under their control, to the point of even contemplating a Holy Alliance of their own to defend democracy. In his 1821 Fourth of July address, Adams addressed this issue, noting a shared "chain of sympathy" between the U.S. and Latin America, but arguing for neutrality rather than a Holy Alliance. In 1822, following the conclusion of the Adams–Onís Treaty, the Monroe administration recognized the independence of several Latin American countries, including Argentina and Mexico. In 1823, British Foreign Secretary George Canning suggested that the United States and Britain should work together to preserve the independence of these fledgling republics. The cabinet debated whether to accept the offer, but Adams opposed it. Instead, Adams urged Monroe to publicly declare the United States' opposition to any European attempt to colonize or re-take control of territory in the Americas, while also committing the United States to neutrality in European affairs. In his December 1823 annual message to Congress, Monroe laid out the Monroe Doctrine, which was largely built upon Adams's ideas. In issuing the Monroe Doctrine, the United States displayed a new level of assertiveness in international relations, as the doctrine represented the country's first claim to a sphere of influence. It also marked the country's shift in psychological orientation away from Europe and towards the Americas. Debates over foreign policy would no longer center on relations with Britain and France, but instead focus on western expansion and relations with Native Americans. The doctrine became one of the foundational principles of U.S. foreign policy. 1824 presidential election Immediately upon becoming Secretary of State, Adams emerged as one of Monroe's most likely successors, as the last three presidents had all served in the role before taking office. As the 1824 election approached, Henry Clay, John C. Calhoun (who later dropped out of the race), and William H. Crawford appeared to be Adams's primary competition to succeed Monroe. Crawford favored state sovereignty and a strict constructionist view of the Constitution, while Clay, Calhoun, and Adams embraced federally funded internal improvements, high tariffs, and the Second Bank of the United States, which was also known as the national bank. Because the Federalist Party had all but collapsed after the War of 1812, all the major presidential candidates were members of the Democratic-Republican Party. Adams felt that his own election as president would vindicate his father, while also allowing him to pursue an ambitious domestic policy. Though he lacked the charisma of his competitors, Adams was widely respected and benefited from the lack of other prominent Northern political leaders. Adams's top choice for the role of vice president was General Andrew Jackson; Adams noted that "the Vice-Presidency was a station in which [Jackson] could hang no one, and in which he would need to quarrel with no one". However, as the 1824 election approached, Jackson jumped into the race for president, and Calhoun ended up receiving the Vice-presidential support of Adams supporters. While the other candidates based their candidacies on their long tenure as congressmen, ambassadors, or members of the cabinet, Jackson's appeal rested on his military service, especially in the Battle of New Orleans. The congressional nominating caucus had decided upon previous Democratic-Republican presidential nominees, but it had become largely discredited by 1824. Candidates were instead nominated by state legislatures or nominating conventions, and Adams received the endorsement of the New England legislatures. The regional strength of each candidate played an important role in the election; Adams was popular in New England, Clay and Jackson were strong in the West, and Jackson and Crawford competed for the South. In the 1824 presidential election, Jackson won a plurality in the Electoral College, taking 99 of the 261 electoral votes, while Adams won 84, Crawford won 41, and Clay took 37. Calhoun, meanwhile, won a majority of the electoral votes for vice president. Adams nearly swept the electoral votes of New England and won a majority of the electoral votes in New York, but he won just six electoral votes from the slave states. Most of Jackson's support came from slave-holding states, but he also won New Jersey, Pennsylvania, and some electoral votes from the Northwest. As no candidate won a majority of the electoral votes, the House was required to hold a contingent election under the terms of the Twelfth Amendment. The House would decide among the top three electoral vote winners, with each state's delegation having one vote; thus, unlike his three rivals, Clay was not eligible to be elected by the House. Adams knew that his own victory in the contingent election would require the support of Clay, who wielded immense influence in the House of Representatives. Though they were quite different in temperament and had clashed in the past, Adams and Clay shared similar views on national issues. By contrast, Clay viewed Jackson as a dangerous demagogue, and he was unwilling to support Crawford due to the latter's health issues. Adams and Clay met before the contingent election, and Clay agreed to support Adams in the election. Adams also met with Federalists such as Daniel Webster, promising that he would not deny governmental positions to members of their party. On February 9, 1825, Adams won the contingent election on the first ballot, taking 13 of the 24 state delegations. Adams won the House delegations of all the states in which he or Clay had won a majority of the electoral votes, as well as the delegations of Illinois, Louisiana, and Maryland. Adams's victory made him the first child of a president to serve as president himself. After the election, many of Jackson's supporters claimed that Adams and Clay had reached a "Corrupt Bargain" whereby Adams promised Clay the position of Secretary of State in return for Clay's support. Presidency (1825–1829) Inauguration Adams was inaugurated on March 4, 1825, becoming the first son of a former United States president to himself become president, a feat only repeated 176 years later by George W. Bush, son of George H. W. Bush. He took the oath of office on a book of constitutional law, instead of the more traditional Bible. In his inaugural address, he adopted a post-partisan tone, promising that he would avoid party-building and politically motivated appointments. He also proposed an elaborate program of "internal improvements": roads, ports, and canals. Though some were worried about the constitutionality of such federal projects, Adams argued that the General Welfare Clause provided for broad constitutional authority. He promised that he would ask Congress to authorize many such projects. Administration Adams presided over a harmonious and productive cabinet that he met with on a weekly basis. Like Monroe, Adams sought a geographically balanced cabinet that would represent the various party factions, and he asked the members of the Monroe cabinet to remain in place for his own administration. Samuel L. Southard of New Jersey stayed on as Secretary of the Navy, William Wirt kept his post of Attorney General, and John McLean of Ohio continued to serve as the Postmaster General, an important position that was not part of the cabinet. Adams's first choices for Secretary of War and Secretary of the Treasury were Andrew Jackson and William Crawford, but each declined to serve in the administration. Adams instead selected James Barbour of Virginia, a prominent supporter of Crawford, to lead the War Department. Leadership of the Treasury Department went to Richard Rush of Pennsylvania, who would become a prominent advocate of internal improvements and protective tariffs within the administration. Adams chose Henry Clay as Secretary of State, angering those who believed that Clay had offered his support in the 1824 election for the most prestigious position in the cabinet. Though Clay would later regret accepting the position since it reinforced the "Corrupt Bargain" accusation, Clay's strength in the West and interest in foreign policy made him a natural choice for the top cabinet position. Domestic affairs Ambitious agenda In his 1825 annual message to Congress, Adams presented a comprehensive and ambitious agenda. He called for major investments in internal improvements as well as the creation of a national university, a naval academy, and a national astronomical observatory. Noting the healthy status of the treasury and the possibility for more revenue via land sales, Adams argued for the completion of several projects that were in various stages of construction or planning, including a road from Washington, D.C. to New Orleans. He also proposed the establishment of a Department of the Interior as a new cabinet-level department that would preside over these internal improvements. Adams hoped to fund these measures primarily through Western land sales, rather than increased taxes or public debt. The domestic agenda of Adams and Clay, which would come to be known as the American System, was designed to unite disparate regional interests in the promotion of a thriving national economy. Adams's programs faced opposition from various quarters. Many disagreed with his broad interpretation of the constitution and preferred that power be concentrated in state governments rather than the federal government. Others disliked interference from any level of government and were opposed to central planning. Some in the South feared that Adams was secretly an abolitionist and that he sought to subordinate the states to the federal government. Most of the president's proposals were defeated in Congress. Adams's ideas for a national university, a national observatory, and the establishment of a uniform system of weights and measures never received congressional votes. His proposal for the creation of a naval academy won the approval of the Senate but was defeated in the House; opponents objected to the naval academy's cost and worried that the establishment of such an institution would "produce degeneracy and corruption of the public morality". Adams's proposal to establish a national bankruptcy law was also defeated. Unlike other aspects of his domestic agenda, Adams won congressional approval for several ambitious infrastructure projects. Between 1824 and 1828, the United States Army Corps of Engineers conducted surveys for a bevy of potential roads, canals, railroads, and improvements in river navigation. Adams presided over major repairs and further construction on the National Road, and shortly after he left office the National Road extended from Cumberland, Maryland, to Zanesville, Ohio. The Adams administration also saw the beginning of the Chesapeake and Ohio Canal; the construction of the Chesapeake & Delaware Canal and the Louisville and Portland Canal around the Falls of the Ohio; the connection of the Great Lakes to the Ohio River system in Ohio and Indiana; and the enlargement and rebuilding of the Dismal Swamp Canal in North Carolina. Additionally, the first passenger railroad in the United States, the Baltimore and Ohio Railroad, was constructed during Adams's presidency. Though many of these projects were undertaken by private actors, the government often provided money or land to aid the completion of such projects. Formation of political parties In the immediate aftermath of the 1825 contingent election, Jackson was gracious to Adams. Nevertheless, Adams's appointment of Clay rankled Jackson, who received a flood of letters encouraging him to run. In 1825, Jackson accepted the presidential nomination of the Tennessee legislature for the 1828 election. Though he had been close to Adams during Monroe's presidency, Vice President Calhoun was also politically alienated from the president by the appointment of Clay, since that appointment established Clay as the natural heir to Adams. Adams's ambitious December 1825 annual message to Congress further galvanized the opposition, with important figures such as Francis Preston Blair of Kentucky and Thomas Hart Benton of Missouri breaking with the Adams administration. By the end of the first session of the 19th United States Congress, an anti-Adams congressional coalition consisting of Jacksonians (led by Benton and Hugh Lawson White), Crawfordites (led by Martin Van Buren and Nathaniel Macon), and Calhounites (led by Robert Y. Hayne and George McDuffie) had emerged. Aside from Clay, Adams lacked strong supporters outside of the North, and Edward Everett, John Taylor, and Daniel Webster served as his strongest advocates in Congress. Supporters of Adams began calling themselves National Republicans, while supporters of Jackson began calling themselves Democrats. In the press, they were often described as "Adams Men" and "Jackson Men". In the 1826 elections, Adams's opponents picked up seats throughout the country, as allies of Adams failed to coordinate among themselves. Andrew Stevenson, a Jackson supporter, replaced John Taylor, an Adams supporter, as Speaker of the House. As Adams himself noted, the United States had never seen a Congress that was firmly under the control of political opponents of the president. After the elections, Van Buren and Calhoun agreed to throw their support behind Jackson in 1828, with Van Buren bringing along many of Crawford's supporters. Though Jackson did not articulate a detailed political platform in the same way that Adams did, his coalition united in opposition to Adams's reliance on government planning. Adams, meanwhile, clung to the hope of a non-partisan nation, and he refused to make full use of the power of patronage to build up his own party structure. Tariff of 1828 During the first half of his administration, Adams avoided taking a strong stand on tariffs, partly because he wanted to avoid alienating his allies in the South and New England. After Jacksonians took power in 1827, they devised a tariff bill designed to appeal to Western states while instituting high rates on imported materials important to the economy of New England. It is unclear whether Van Buren, who shepherded the bill through Congress, meant for the bill to pass, or if he had deliberately designed it to force Adams and his allies to oppose it. Regardless, Adams signed the Tariff of 1828, which became known as the "Tariff of Abominations" by opponents. Adams was denounced in the South, and he received little credit for the tariff in the North. Indian policy Adams sought the gradual assimilation of Native Americans via consensual agreements, a priority shared by few whites in the 1820s. Yet Adams was also deeply committed to the westward expansion of the United States. Settlers on the frontier, constantly seeking to move westward, cried for a more expansionist policy that disregarded the concerns of Native Americans. Early in his term, Adams suspended the Treaty of Indian Springs after learning that the Governor of Georgia, George Troup, had forced the treaty on the Muscogee. Adams signed a new treaty with the Muscogee in January 1826 that allowed the Muscogee to stay but ceded most of their land to Georgia. Troup refused to accept its terms and authorized all Georgian citizens to evict the Muscogee. A showdown between Georgia and the federal government was only averted after the Muscogee agreed to a third treaty. Though many saw Troup as unreasonable in his dealings with the federal government and the Native Americans, the administration's handling of the incident alienated those in the Deep South who favored immediate Indian removal. Foreign affairs Trade and claims One of the major foreign policy goals of the Adams administration was the expansion of American trade. His administration reached reciprocity treaties with a number of nations, including Denmark, the Hanseatic League, the Scandinavian countries, Prussia, and the Federal Republic of Central America. The administration also reached commercial agreements with the Kingdom of Hawaii and the Kingdom of Tahiti. Agreements with Denmark and Sweden opened their colonies to American trade, but Adams was especially focused on opening trade with the British West Indies. The United States had reached a commercial agreement with Britain in 1815, but that agreement excluded British possessions in the Western Hemisphere. In response to United States pressure, the British had begun to allow a limited amount of American imports to the West Indies in 1823, but United States leaders continued to seek an end to Britain's protective Imperial Preference system. In 1825, Britain banned United States trade with the British West Indies, dealing a blow to Adams's prestige. The Adams administration negotiated extensively with the British to lift this ban, but the two sides could not reach an agreement. Despite the loss of trade with the British West Indies, the other commercial agreements secured by Adams helped expand the overall volume of United States exports. Latin America Aside from an unsuccessful attempt to purchase Texas from Mexico, President Adams did not seek to expand into Latin America or North America. Adams and Clay instead sought engagement with Latin America to prevent it from falling under the British Empire's economic influence. As part of this goal, the administration favored sending a United States delegation to the Congress of Panama, an 1826 conference of New World republics organized by Simón Bolívar. Clay and Adams hoped that the conference would inaugurate a "Good Neighborhood Policy" among the independent states of the Americas. However, the funding for a delegation and the confirmation of delegation nominees became entangled in a political battle over Adams's domestic policies, with opponents such as Van Buren impeding the confirmation of a delegation. While Van Buren saw the Panama Congress as an unwelcome deviation from the more isolationist foreign policy established by President Washington, many Southerners opposed involvement with any conference attended by delegates from Haiti, a republic that had been established through a slave revolt. Though the United States delegation finally won confirmation from the Senate, it never reached the Congress of Panama due to the Senate's delay. 1828 presidential election The Jacksonians formed an effective party apparatus that adopted many modern campaign techniques. Rather than focusing on issues, they emphasized Jackson's popularity and the supposed corruption of Adams and the federal government. Jackson himself described the campaign as a "struggle between the virtue of the people and executive patronage". Adams, meanwhile, refused to adapt to the new reality of political campaigns, and he avoided public functions and refused to invest in pro-administration tools such as newspapers. In early 1827, Jackson was publicly accused of having encouraged his wife, Rachel, to desert her first husband. In response, followers of Jackson attacked Adams's personal life, and the campaign turned increasingly nasty. The Jacksonian press portrayed Adams as an out-of-touch elitist, while pro-Adams newspapers attacked Jackson's past involvement in various duels and scuffles, portraying him as too emotional and impetuous for the presidency. Though Adams and Clay had hoped that the campaign would focus on the American System, it was instead dominated by the personalities of Jackson and Adams. Vice President Calhoun joined Jackson's ticket, while Adams turned to Secretary of the Treasury Richard Rush as his running mate. The 1828 election thus marked the first time in United States history that a presidential ticket composed of two Northerners faced off against a presidential ticket composed of two Southerners. In the election, Jackson won 178 of the 261 electoral votes and just under 56% of the popular vote. Jackson won 50.3% of the popular vote in the free states, but 72.6% of the vote in the slave states. No future presidential candidate would match Jackson's proportion of the popular vote until Theodore Roosevelt's 1904 campaign, while Adams's loss made him the second one-term president, after his own father. By 1828, only two states did not hold a popular vote for president, and the number of votes in the 1828 election was triple that in the 1824 election. This increase in votes was due not only to the recent wave of democratization, but also because of increased interest in elections and the growing ability of the parties to mobilize voters. Adams did not attend Jackson's inauguration, making him one of only four presidents who finished their terms but skipped the event. Later congressional career (1830–1848) Jackson administration, 1830–1836 Adams considered permanently retiring from public life after his 1828 defeat, and he was deeply hurt by the suicide of his son, George Washington Adams, in 1829. He was appalled by many of the Jackson administration's actions, including its embrace of the spoils system and the prosecution of his close friend, Treasury Auditor Tobias Watkins, for embezzlement. Though they had once maintained a cordial relationship, Adams and Jackson each came to loathe the other in the decades after the 1828 election. Adams grew bored with his retirement and still felt that his career was unfinished, so he ran for and won a seat in the United States House of Representatives in the 1830 elections. His election went against the generally held opinion, shared by his own wife and youngest son, that former presidents should not run for public office. Nonetheless, he would win election to nine terms, serving from 1831 until his death in 1848. Adams and Andrew Johnson are the only former presidents to serve in Congress. After winning election, Adams became affiliated with the Anti-Masonic Party, partly because the National Republican Party's leadership in Massachusetts included many of the former Federalists that Adams had clashed with earlier in his career. The Anti-Masonic Party originated as a movement against Freemasonry, but it developed into the country's first third party and embraced a general program of anti-elitism. Adams expected a light workload when he returned to Washington at 64 years old, but Speaker Andrew Stevenson selected Adams chair of the Committee on Commerce and Manufactures. Though he identified as a member of the Anti-Masonic Party, Congress was broadly polarized into allies of Jackson and opponents of Jackson, and Adams generally aligned with the latter camp. Stevenson, an ally of Jackson, expected that the committee chairmanship would keep Adams busy defending the tariff even while the Jacksonian majority on the committee would prevent Adams from accruing any real power. As chair of the committee charged with writing tariff laws, Adams became an important player in the Nullification crisis, which stemmed largely from Southern objections to the high rates imposed by the Tariff of 1828. South Carolina leaders argued that states could nullify federal laws, and they announced that the they would bar the federal government from enforcing the tariff in their state. Adams helped pass the Tariff of 1832, which lowered rates, but not enough to mollify the South Carolina nullifiers. The crisis ended
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than has been found in the fossil record. During the Early Jurassic, the flora of the mid-latitudes of Eastern Asia were dominated by the extinct deciduous broad leafed conifer Podozamites, which appears to not be closely related to any living family of conifer. Its range extended northwards into polar latitudes of Siberia and then contracted northward in the Middle to Late Jurassic, corresponding to the increasing aridity of the region. The earliest record of the yew family (Taxaceae) is Palaeotaxus rediviva, from the Hettangian of Sweden, suggested to be closely related to the living Austrotaxus, while Marskea jurassica from the Middle Jurassic of Yorkshire, England and material from the Callovian–Oxfordian Daohugou Bed in China are thought to be closely related to Amentotaxus, with the latter material assigned to the modern genus, indicating that Taxaceae had substantially diversified by the end of the Jurassic. Podocarpaceae, today largely confined to the Southern Hemisphere, occurred in the Northern Hemisphere during the Jurassic, Examples include Podocarpophyllum from the Early to Middle Jurassic of Central Asia and Siberia, Scarburgia from the Middle Jurassic of Yorkshire, and Harrisiocarpus from the Jurassic of Poland. Ginkgoales Ginkgoales, of which the sole living species is Ginkgo biloba, were more diverse during the Jurassic: they were among the most important components of Eurasian Jurassic floras and were adapted to a wide variety of climatic conditions. The earliest representatives of the genus Ginkgo, represented by ovulate and pollen organs similar to those of the modern species, are known from the Middle Jurassic in the Northern Hemisphere. Several other lineages of ginkgoaleans are known from Jurassic rocks, including Yimaia, Grenana, Nagrenia and Karkenia. These lineages are associated with Ginkgo-like leaves, but are distinguished from living and fossil representatives of Ginkgo by having differently arranged reproductive structures. Umaltolepis, historically thought to be ginkgoalean, and Vladimaria from the Jurassic of Asia have strap-shaped ginkgo-like leaves (Pseudotorrelia) with highly distinct reproductive structures with similarities to those of peltasperm and corystosperm seed ferns; these have been placed in the separate order Vladimariales, which may be related to Ginkgoales. Bennettitales Bennettitales, having first become widespread during the preceding Triassic, were diverse and abundant members of Jurassic floras across both hemispheres. The foliage of Bennettitales bears strong similarities to those of cycads, to such a degree that they cannot be reliably distinguished on the basis of morphology alone. Leaves of Bennettitales can be distinguished from those of cycads their different arrangement of stomata, and the two groups are not thought to be closely related. Most Bennettitales belong to the grouping Williamsoniaceae, which grew as shrubs and small trees. The Williamsoniaceae are thought to have had a divaricate branching habit, similar to that of living Banksia, and adapted to growing in open habitats with poor soil nutrient conditions. Bennettitales exhibit complex, flower-like reproductive structures that are thought to have been pollinated by insects. Several groups of insects that bear long proboscis, including extinct families such as kalligrammatid lacewings and extant ones such as acrocerid flies, are suggested to have been pollinators of bennettitales, feeding on nectar produced by bennettitalean cones. Cycads Cycads reached their apex of diversity during the Jurassic and Cretaceous Periods. Despite the Mesozoic sometimes being called the "Age of Cycads", cycads are thought to have been a relatively minor component of mid-Mesozoic floras, their foliage being confused with that of Bennettitales and other "cycadophytes". The Nilssoniales have leaves morphologically similar to those of cycads, and often been considered cycads or cycad relatives, but have been found to be distinct on chemical grounds, and perhaps more closely allied with Bennettitales. Cycads are thought to have been mostly confined to tropical and subtropical latitudes throughout their evolutionary history. The relationships of most Mesozoic cycads to living groups are ambiguous. Seeds from Jurassic of England and Haida Gwaii, Canada, are early members of the Cycadaceae, one of two modern groups of cycads, indicating that the diversification of modern cycads had begun by this time. Modern cycads are pollinated by beetles, and such an association is thought to have formed by the Early Jurassic. Other seed plants Although there have been several claimed records, there are no widely accepted Jurassic records of flowering plants, which make up 90% of living plant species, and fossil evidence suggests that the group diversified during the following Cretaceous. The gnetophyte Protognetum from the Middle Jurassic of China exhibits characteristics of both Gnetum and Ephedra, and is placed in the monotypic family Protognetaceae. "Seed ferns" (Pteridospermatophyta) is a collective term to refer to disparate lineages of fern like plants that produce seeds but have uncertain affinities to living seed plant groups. A prominent group of Jurassic seed ferns is the Caytoniales, which reached their zenith during the Jurassic, with widespread records in the Northern Hemisphere, though records in the Southern Hemisphere remain rare. Due to their berry-like seed-bearing capsules, they have often been suggested to have been closely related or perhaps ancestral to flowering plants, but the evidence for this is inconclusive. Records of the corystosperms, a seed fern group primarily known from the Triassic of Gondwana, become rare after the Triassic and the decline of Dicroidium, though there appear to be Jurassic records of the group from the Northern Hemisphere. Czekanowskiales, also known as Leptostrobales, are a group of seed plants uncertain affinities with persistent heavily dissected leaves borne on deciduous short shoots, subtended by scale-like leaves, known from the Late Triassic (possibly Late Permian) to Cretaceous. They are thought to have had a tree- or shrub-like habit and formed a conspicuous component of Northern Hemisphere Mesozoic temperate and warm-temperate floras. The genus Phoenicopsis was widespread in Early-Middle Jurassic floras of Eastern Asia and Siberia. The Pentoxylales, a small but clearly distinct group of seed plants of obscure affinities, first appeared during the Jurassic. Their distribution appears to have been confined to Gondwana. Ferns and allies Living families of ferns widespread during the Jurassic include Dipteridaceae, Matoniaceae, Gleicheniaceae, Osmundaceae and Marattiaceae. Polypodiales, which make up 80% of living fern diversity, have no record from the Jurassic and are thought to have diversified in the Cretaceous, though the widespread Jurassic herbaceous fern genus Coniopteris, historically interpreted as a close relative of tree ferns of the family Dicksoniaceae, has recently been reinterpreted as an early relative of the group. The Cyatheales, the group containing most modern tree ferns, appeared during the Late Jurassic, represented by members of the genus Cyathocaulis, which are suggested to be early members of Cyatheaceae on the basis of cladistic analysis. Only a handful of possible records exist of the Hymenophyllaceae from the Jurassic, including Hymenophyllites macrosporangiatus from the Russian Jurassic. The oldest remains of modern horsetails of the genus Equisetum first appear in the Early Jurassic, represented by Equisetum dimorphum from the Early Jurassic of Patagonia and Equisetum laterale from the Early to Middle Jurassic of Australia. Silicified remains of Equisetum thermale from the Late Jurassic of Argentina exhibit all the morphological characters of modern members of the genus. The estimated split between Equisetum bogotense and all other living Equisetum is estimated to have occurred no later than the Early Jurassic. Lower plants Quillworts virtually identical to modern species are known from the Jurassic onwards. Isoetites rolandii from the Middle Jurassic of Oregon is the earliest known species to represent all major morphological features of modern Isoetes. More primitive forms such as Nathorstiana, which retain an elongated stem, persisted into the Early Cretaceous. The moss Kulindobryum from the Middle Jurassic of Russia, which was found associated with dinosaur bones, is thought to be related to the Splachnaceae, which grow on animal caracasses. Bryokhutuliinia from the same region is thought to be related to Dicranales. Heinrichsiella from the Jurassic of Patagonia is thought to belong to either Polytrichaceae or Timmiellaceae. The liverwort Pellites hamiensis from the Middle Jurassic Xishanyao Formation of China is the oldest record of the family Pelliaceae. Pallaviciniites sandaolingensis from the same deposit is thought to belong to the subclass Pallaviciniineae within the Pallaviciniales. Ricciopsis sandaolingensis, also from the same deposit, is the only Jurassic record of Ricciaceae. Fauna Reptiles Crocodylomorphs The Triassic–Jurassic extinction decimated pseudosuchian diversity, with crocodylomorphs, which originated during the early Late Triassic, being the only group of pseudosuchians to survive, with all others, including the herbivorous aetosaurs and carnivorous "rauisuchians" becoming extinct. The morphological diversity of crocodylomorphs during the Early Jurassic was around the same as those of Late Triassic pseudosuchians, but they occupied different areas of morphospace, suggesting that they occupied different ecological niches to their Triassic counterparts and that there was an extensive and rapid radiation of crocodylomorphs during this interval. While living crocodilians are confined to an aquatic ambush predator lifestyle, Jurassic crocodylomorphs exhibited a wide variety of life habits. An unnamed protosuchid known from teeth from the Early Jurassic of Arizona represents the earliest known herbivorous crocodylomorph, an adaptation that appeared several times during the Mesozoic. The Thalattosuchia, a clade of predominantly marine crocodylomorphs, first appeared during the Early Jurassic and became a prominent part of marine ecosystems. Within Thalattosuchia, the Metriorhynchidae became highly adapted for life in the open ocean, including the transformation of limbs into flippers, the development of a tail fluke, and smooth, scaleless skin. The morphological diversity of crocodylomorphs during the Early and Middle Jurassic was relatively low compared to that in later time periods and was dominated by terrestrial small-bodied, long-legged sphenosuchians, early crocodyliforms and thalattosuchians. The Neosuchia, a major group of crocodylomorphs, first appeared during the Early to Middle Jurassic. The Neosuchia represents the transition from an ancestrally terrestrial lifestyle to a freshwater aquatic ecology similar to that occupied by modern crocodilians. The timing of the origin of Neosuchia is disputed. The oldest record of Neosuchians has been suggested to be Calsoyasuchus, from the Early Jurassic of Arizona, which in many analyses has been recovered as the earliest branching member of the neosuchian family Goniopholididae, which radically alters times of diversification for crocodylomorphs. However, this placement has been disputed, with some analyses finding it outside Neosuchia, which would place the oldest records of Neosuchia in the Middle Jurassic. Razanandrongobe from the Middle Jurassic of Madagascar has been suggested the represent the oldest record of Notosuchia, a primarily Gondwanan clade of mostly terrestrial crocodylomorphs, otherwise known from the Cretaceous and Cenozoic. Turtles Stem-group turtles (Testudinata) diversified during the Jurassic. Jurassic stem-turtles belong to two progressively more advanced clades, the Mesochelydia and Perichelydia. It is thought that the ancestral condition for mesochelydians is aquatic, as opposed to terrestrial for testudinates. The two modern groups of turtles (Testudines), Pleurodira and Cryptodira, diverged by the beginning of the Late Jurassic. The oldest known pleurodires, the Platychelyidae, are known from the Late Jurassic of Europe and the Americas, while the oldest unambiguous cryptodire, Sinaspideretes, an early relative of softshell turtles, is known from the Late Jurassic of China. The Thalassochelydia, a diverse lineage of sea turtles, is known from the Late Jurassic of Europe and South America. Lepidosaurs Rhynchocephalians (the sole living representative being the tuatara) had achieved a global distribution by the beginning of the Jurassic. Rhynchocephalians reached their highest morphological diversity in their evolutionary history during the Jurassic, occupying a wide range of lifestyles, including the aquatic pleurosaurs with long snake-like bodies and reduced limbs, the specialized herbivorous eilenodontines, as well as Oenosaurus, which had broad tooth plates indicative of durophagy. Rhynchocephalians disappeared from Asia after the Early Jurassic. The last common ancestor of living squamates (which includes lizards and snakes) is estimated to have lived around 190 million years ago during the Early Jurassic, with the major divergences between modern squamate lineages estimated to have occurred during the Early to Middle Jurassic. Squamates first appear in the fossil record during the Middle Jurassic and included early members of the snake lineage (Ophidia) and Scincomorpha, though many Jurassic squamates have unclear relationships to living groups. Eichstaettisaurus from the Late Jurassic of Germany has been suggested to be an early relative of geckos and displays adaptations for climbing. Dorsetisaurus from the Late Jurassic of North America and Europe represents the oldest widely accepted record of Anguimorpha. Marmoretta from the Middle Jurassic of Britain represents a late surviving lepidosauromorph outside both Rhynchocephalia and Squamata. Choristoderes The earliest known remains of Choristodera, a group of freshwater aquatic reptiles with uncertain affinities to other reptile groups, are found in the Middle Jurassic. Only two genera of choristodere are known from the Jurassic. One is the small lizard-like Cteniogenys, thought to be the most basal known choristodere; it is known from the Middle to Late Jurassic of Europe and Late Jurassic of North America, with similar remains also known from the upper Middle Jurassic of Kyrgyzstan and western Siberia. The other is Coeruleodraco from the Late Jurassic of China, which is a more advanced choristodere, though still small and lizard-like in morphology. Ichthyosaurs Ichthyosaurs suffered an evolutionary bottleneck during the end-Triassic extinction, with all non-neoichthyosaurians becoming extinct. Ichthyosaurs reached their apex of species diversity during the Early Jurassic, with an array of morphologies including the huge apex predator Temnodontosaurus and swordfish-like Eurhinosaurus, though Early Jurassic ichthyosaurs were significantly less morphologically diverse than their Triassic counterparts. At the Early–Middle Jurassic boundary, between the end of the Toarcian and the beginning of the Bajocian, most lineages of ichythosaur appear to have become extinct, with the first appearance of the Ophthalmosauridae, the clade that would encompass almost all ichthyosaurs from then on, during the early Bajocian. Ophthalmosaurids were diverse by the Late Jurassic, but failed to fill many of the niches that had been occupied by ichthyosaurs during the Early Jurassic. Plesiosaurs Plesiosaurs originated at the end of the Triassic (Rhaetian). By the end of the Triassic, all other sauropterygians, including placodonts and nothosaurs, had become extinct. At least six lineages of plesiosaur crossed the Triassic–Jurassic boundary. Plesiosaurs were already diverse in the earliest Jurassic, with the majority of plesiosaurs in the Hettangian-aged Blue Lias belonging to the Rhomaleosauridae. Early plesiosaurs were generally small-bodied, with body size increasing into the Toarcian. There appears to have been a strong turnover around the Early–Middle Jurassic boundary, with the extinction of the previously widespread rhomaleosaurids and microcleidids after the end of the Toarcian and the first appearance of the dominant clade of plesiosaurs of the latter half of the Jurassic, the Cryptoclididae, during the Bajocian. The Middle Jurassic saw the evolution of short-necked and large-headed thalassophonean pliosaurs from ancestrally small-headed, long-necked forms. Some thalassophonean pliosaurs, such as some species of Pliosaurus, had skulls up to two metres in length with body lengths estimated around 10–12 metres, making them the apex predators of Late Jurassic oceans. Plesiosaurs invaded freshwater environments during the Jurassic, with indeterminate remains of small-bodied pleisosaurs known from freshwater sediments from the Jurassic of China and Australia. Pterosaurs Pterosaurs first appeared in the Late Triassic. A major radiation of Jurassic pterosaurs is the Rhamphorhynchidae, which first appeared in the late Early Jurassic (Toarcian); they are thought to been piscivorous. Anurognathids, which first appeared in the Middle Jurassic, possessed short heads and densely furred bodies, and are thought to have been insectivores. Derived monofenestratan pterosaurs such as wukongopterids appeared in the late Middle Jurassic. Advanced short-tailed pterodactyloids first appeared at the Middle–Late Jurassic boundary. Jurassic pterodactyloids include the ctenochasmatids, like Ctenochasma, which have closely spaced needle-like teeth that were presumably used for filter feeding. The bizarre Late Jurassic ctenochasmatoid Cycnorhamphus had a jaw with teeth only at the tips, with bent jaws like those of living openbill storks that may have been used to hold and crush hard invertebrates. Dinosaurs Dinosaurs, which had morphologically diversified in the Late Triassic, experienced a major increase in diversity and abundance during the Early Jurassic in the aftermath of the end-Triassic extinction and the extinction of other reptile groups, becoming the dominant vertebrates in terrestrial ecosystems. Chilesaurus, a morphologically aberrant herbivorous dinosaur from the Late Jurassic of South America, has uncertain relationships to the three main groups of dinosaurs, having been recovered as a member of all three in different analyses. Theropods Advanced theropods belonging to Neotheropoda first appeared in the Late Triassic. Basal neotheropods, such as coelophysoids and dilophosaurs, persisted into the Early Jurassic, but became extinct by the Middle Jurassic. The earliest averostrans appear during the Early Jurassic, with the earliest known member of Ceratosauria being Saltriovenator from the early Sinemurian (199.3–197.5 million years ago) of Italy. The unusual ceratosaur Limusaurus from the Late Jurassic of China had a herbivorous diet, with adults having edentulous beaked jaws, making it the earliest known theropod to have converted from an ancestrally carnivorous diet. The earliest members of the Tetanurae appeared during the late Early Jurassic or early Middle Jurassic. The Megalosauridae represent the oldest radiation of the Tetanurae, first appearing in Europe during the Bajocian. The oldest member of Allosauroidea has been suggested to be Asfaltovenator from the Middle Jurassic of South America. Coelurosaurs first appeared during the Middle Jurassic, including early tyrannosaurs such as Proceratosaurus from the Bathonian of Britain. Some coelurosaurs from the Late Jurassic of China including Shishugounykus and Haplocheirus are suggested to represent early alvarezsaurs, however, this has been questioned. Scansoriopterygids, a group of small feathered coelurosaurs with membraneous, bat-like wings for gliding, are known from the Middle to Late Jurassic of China. The oldest record of troodontids is suggested to be Hesperornithoides from the Late Jurassic of North America. Tooth remains suggested to represent those of dromaeosaurs are known from the Jurassic, but no body remains are known until the Cretaceous. Birds The earliest avialans, which include birds and their ancestors, appear during the Middle to Late Jurassic, definitively represented by Archaeopteryx from the Late Jurassic of Germany. Avialans belong to the clade Paraves within Coelurosauria, which also includes dromaeosaurs and troodontids. The Anchiornithidae from the Middle-Late Jurassic of Eurasia have frequently suggested to be avialans, but have also alternatively found as a separate lineage of paravians. Ornithischians The earliest definitive ornithischians appear during the Early Jurassic, represented by basal ornithischians like Lesothosaurus, heterodontosaurids, and early members of Thyreophora. The earliest members of Ankylosauria and Stegosauria appear during the Middle Jurassic. The basal neornithischian Kulindadromeus from the Middle Jurassic of Russia indicates that at least some ornithischians were covered in protofeathers. The earliest members of Ankylopollexia, which become prominent in the Cretaceous, appeared during the Late Jurassic, represented by bipedal forms such as Camptosaurus. Ceratopsians first appeared in the Late Jurassic of China, represented by members of Chaoyangsauridae. Sauropodomorphs Sauropods became the dominant large herbivores in terrestrial ecosystems during the Jurassic. Some Jurassic sauropods reached gigantic sizes, becoming the largest organisms to have ever lived on land. Basal bipedal sauropodomorphs, such as massospondylids, continued to exist into the Early Jurassic, but became extinct by the beginning of the Middle Jurassic. Quadrupedal sauropomorphs appeared during the Late Triassic. The quadrupedal Ledumahadi from the earliest Jurassic of South Africa reached an estimated weight of 12 tons, far in excess of other known basal sauropodomorphs. Gravisaurian sauropods first appeared during the Early Jurassic, with the oldest definitive record being Vulcanodon from Zimbabwe, likely of Sinemurian age. Eusauropods first appeared during the late Early Jurassic (Toarcian) and diversified during the Middle Jurassic; these included cetiosaurids, turiasaurs, and mamenchisaurs. The earliest known member of Neosauropoda is Lingwulong, a dicraeosaurid diplodocoid from the Early to Middle Jurassic of China. Neosauropods dispersed worldwide during the Late Jurassic. The Middle-Late Jurassic saw the first appearance of derived neosauropod groups, including Brachiosauridae and Diplodocidae. Amphibians The diversity of temnospondyls had progressively declined through the Late Triassic, with only brachyopoids surviving into the Jurassic and beyond. Members of the family Brachyopidae are known from Jurassic deposits in Asia, while the chigutisaurid Siderops is known from the Early Jurassic of Australia. Modern lissamphibians began to diversify during the Jurassic. The Early Jurassic Prosalirus thought to represent the first frog relative with a morphology capable of hopping like living frogs. Morphologically recognisable stem-frogs like the South American Notobatrachus are known from the Middle Jurassic. While the earliest salamander-line amphibians are known from the Triassic, crown group salamanders first appear during the Middle to Late Jurassic in Eurasia, alongside stem-group relatives. Many Jurassic stem-group salamanders, such as Marmorerpeton and Kokartus, are thought to have been neotenic. Early representatives of crown group salamanders include Chunerpeton, Pangerpeton and Linglongtriton from the Middle to Late Jurassic Yanliao Biota of China. These belong to the Cryptobranchoidea, which contains living Asiatic and giant salamanders. Beiyanerpeton, and Qinglongtriton from the same biota are thought to be early members of Salamandroidea, the group which contains all other living salamanders. Salamanders dispersed into North America by the end of the Jurassic, as evidenced by Iridotriton, found in the Late Jurassic Morrison Formation. The oldest undisputed stem-caecilian is the Early Jurassic Eocaecilia from Arizona. The fourth group of lissamphibians, the extinct albanerpetontids, first appeared in the Middle Jurassic, represented by Anoualerpeton priscus from the Bathonian of Britain, as well as indeterminate remains from equivalently aged sediments in France and the Anoual Formation of Morocco. Mammals Mammals, having originated from cynodonts at the end of the Triassic, diversified extensively during the Jurassic. Important groups of Jurassic mammals include Morganucodonta, Docodonta, Eutriconodonta, Dryolestida, Haramiyida and Multituberculata. While most Jurassic mammals are solely known from isolated teeth and jaw fragments, exceptionally preserved remains have revealed a variety of lifestyles. The docodontan Castorocauda was adapted to aquatic life, similarly to the platypus and otters. Some members of Haramiyida and the eutriconodontan tribe Volaticotherini had a patagium akin to those of flying squirrels, allowing them to glide through the air. The aardvark-like mammal Fruitafossor, of uncertain taxonomy, was likely a specialist on colonial insects, similarly to living anteaters. Australosphenida, the group which contains modern monotremes, first appeared in the Middle Jurassic of Gondwana. Therian mammals, represented today by living placentals and marsupials, appear during the early Late Jurassic, represented by Juramaia, a eutherian mammal closer to the ancestry of placentals than marsupials. Juramaia is much more advanced than expected for its age, as other therian mammals are not known until the Early Cretaceous. Two groups of non-mammalian cynodonts persisted beyond the end of the Triassic. The insectiviorous Tritheledontidae has a few records from the Early Jurassic. The Tritylodontidae, a herbiviorous group of cynodonts that first appeared during the Rhaetian, has abundant records from the Jurassic, overwhelmingly from the Northern Hemisphere. Fish Conodonts The last known species of conodont, a class of jawless fish whose hard tooth-like elements are key index fossils, finally became extinct during the earliest Jurassic after over 300 million years of evolutionary history, with an asynchronous extinction occurring first in the Tethys and eastern Panthalassa and survivors persisting into the earliest Hettangian of Hungary and central Panthalassa. End-Triassic conodonts were represented by only a handful of species and had been progressively declining through the Middle and Late Triassic. Sarcopterygii Lungfish (Dipnoi) were present in freshwater environments of both hemispheres during the Jurassic. Genera include Ceratodus and Ptychoceratodus, which are more closely related to living South American and African lungfish than Queensland lungfish, and Ferganoceratodus from the Jurassic of Asia, which is not closely related to either group of living lungfish. Mawsoniids, a marine and freshwater/brackish group of coelacanths, which first appeared in North America during the Triassic, expanded into Europe and South America by the end of the Jurassic. The marine Latimeriidae, which contains the living coelacanths of the genus Latimeria, were also present in the Jurassic, having originated in the Triassic. Actinopterygii Bony fish (Actinopterygii) were major components of Jurassic freshwater and marine ecosystems. Archaic "palaeoniscoid" fish, such as coccolepidids, which were common in both marine and freshwater habitats during the preceding Triassic declined during the Jurassic, being largely replaced by modern actinopterygian lineages. The oldest known Acipenseriformes, the group that contains living sturgeon and paddlefish, are from the Early Jurassic. Amiiform fish (which today only includes the bowfin) first appeared during the Early Jurassic, represented by Caturus from the Pliensbachian of Britain; after their appearance in the western Tethys, they expanded to Africa, North America and Southeast and East Asia by the end of the Jurassic. Pycnodontiformes, which first appeared in the western Tethys during the Late Triassic, expanded to South America and Southeast Asia by the end of the Jurassic, having a high diversity in Europe during the Late Jurassic. During the Jurassic, the Ginglymodi, the only living representatives being gars (Lepisosteidae) were diverse in both freshwater and marine environments. The oldest known representatives of anatomically modern gars appeared during the Upper Jurassic. Teleosts, which make up over 99% of living Actinopterygii, had first appeared during the Triassic in the western Tethys; they underwent a major diversification beginning in the Late Jurassic, with early representatives of modern teleost clades such as Elopomorpha and Osteoglossoidei appearing during this time. The Pachycormiformes, a group of fish closely allied to teleosts, first appeared in the Early Jurassic and included both tuna-like predatory and filter-feeding forms. The latter included the largest bony fish known to have existed: Leedsichthys, with an estimated maximum length of over 15 metres, known from the late Middle to Late Jurassic. Chondrichthyes During the Early Jurassic, the shark-like hybodonts, which has represented the dominant group of chondrichthyians during the preceding Triassic, were common in both marine and freshwater settings; however, by the Late Jurassic, hybodonts had become minor components of most marine communities, having been largely replaced by modern neoselachians, but remained common in freshwater and restricted marine environments. The Neoselachii, which contains all living sharks and rays, radiated beginning in the Early Jurassic. The oldest known Hexanchiformes are from the Early Jurassic (Pliensbachian) of Europe. The oldest known ray (Batoidea) is Antiquaobatis from the Pliensbachian of Germany. Jurassic batoids known from complete remains retain a conservative, guitarfish-like morphology. The oldest known relatives of the bullhead shark (Heterodontus) in the order Heterodontiformes first appeared in the Early Jurassic, with representatives of the living genus appearing during the Late Jurassic. Carpet sharks (Orectolobiformes) first appeared during the Toarcian, represented by Folipistrix and Annea from Europe. The oldest known mackerel sharks (Lamniformes) are from the Middle Jurassic, represented by the genus Palaeocarcharias, which has an orectolobiform-like body but shares key similarities in tooth histology with lamniformes, including the absence of orthodentine. The oldest record of angelsharks (Squatiniformes) is Pseudorhina from the Oxfordian–Tithonian of Europe. The oldest known remains of Carcharhiniformes, the largest order of living sharks, first appear in the late Middle Jurassic (Bathonian) of the western Tethys (England and Morocco). Known dental and exceptionally preserved body remains of Jurassic Carchariniformes are similar to those of living catsharks. Synechodontiformes, an extinct group of sharks closely related to Neoselachii, were also widespread during the Jurassic. The oldest remains of chimaeras are from the Early Jurassic of Europe, with members of the living family Callorhinchidae appearing during the Middle Jurassic. Unlike living chimaeras, these were found in shallow water settings. The closely related Squaloraja and myriacanthoids are also known from the Jurassic of Europe. Insects and arachnids There appears to have been no major extinction of insects at the Triassic–Jurassic boundary. Many important insect fossil localities are known from the Jurassic of Eurasia, the most important being the Karabastau Formation of Kazakhstan and the various Yanliao Biota deposits in Inner Mongolia, China, such as the Daohugou Bed, dating to the Callovian–Oxfordian. The diversity of insects stagnated throughout the Early and Middle Jurassic, but during the latter third of the Jurassic origination rates increased substantially while extinction rates remained flat. The increasing diversity of insects in the Middle–Late Jurassic corresponds with a substantial increase in the diversity of insect mouthparts. The Middle to Late Jurassic was a time of major diversification for beetles. Weevils first appear in the fossil record during the Middle to Late Jurassic, but are suspected to have originated during the Late Triassic to Early Jurassic. The oldest known lepidopterans (the group containing butterflies and moths) are known from the Triassic–Jurassic boundary, with wing scales belonging to the suborder Glossata and Micropterigidae-grade moths from the deposits of this age in Germany. Modern representatives of both dragonflies and damselflies also first appeared during the Jurassic. Although modern representatives are not known until the Cenozoic, ectoparasitic insects thought to represent primitive fleas, belonging to the family Pseudopulicidae, are known from the Middle Jurassic of Asia. These insects are substantially different from modern fleas, lacking the specialised morphology of the latter and being larger. Parasitic wasps (Apocrita) first appeared during the Early Jurassic and subsequently became widespread, reshaping terrestrial food webs. The Jurassic saw also saw the first appearances of several other groups of insects, including Phasmatodea (stick insects), Mantophasmatidae, and Embioptera (webspinners). Only a handful of records of mites are known from the Jurassic, including Jureremus, an oribatid mite belonging to the family Cymbaeremaeidae known from the Late Jurassic of Britain and Russia, and a member of the still living orbatid genus Hydrozetes from the Early Jurassic of Sweden. Spiders diversified through the Jurassic. The Early Jurassic Seppo koponeni may represent a stem group to Palpimanoidea. Eoplectreurys from the Middle Jurassic of China is considered a stem lineage of Synspermiata. The oldest member of the family Archaeidae, Patarchaea, is known from the Middle Jurassic of China. Mongolarachne from the Middle Jurassic of China is among the largest known fossil spiders, with legs over 5 centimetres long. The only scorpion known from the Jurassic is Liassoscorpionides from the Early Jurassic of Germany, of uncertain placement. Eupnoi harvestmen
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analyses has been recovered as the earliest branching member of the neosuchian family Goniopholididae, which radically alters times of diversification for crocodylomorphs. However, this placement has been disputed, with some analyses finding it outside Neosuchia, which would place the oldest records of Neosuchia in the Middle Jurassic. Razanandrongobe from the Middle Jurassic of Madagascar has been suggested the represent the oldest record of Notosuchia, a primarily Gondwanan clade of mostly terrestrial crocodylomorphs, otherwise known from the Cretaceous and Cenozoic. Turtles Stem-group turtles (Testudinata) diversified during the Jurassic. Jurassic stem-turtles belong to two progressively more advanced clades, the Mesochelydia and Perichelydia. It is thought that the ancestral condition for mesochelydians is aquatic, as opposed to terrestrial for testudinates. The two modern groups of turtles (Testudines), Pleurodira and Cryptodira, diverged by the beginning of the Late Jurassic. The oldest known pleurodires, the Platychelyidae, are known from the Late Jurassic of Europe and the Americas, while the oldest unambiguous cryptodire, Sinaspideretes, an early relative of softshell turtles, is known from the Late Jurassic of China. The Thalassochelydia, a diverse lineage of sea turtles, is known from the Late Jurassic of Europe and South America. Lepidosaurs Rhynchocephalians (the sole living representative being the tuatara) had achieved a global distribution by the beginning of the Jurassic. Rhynchocephalians reached their highest morphological diversity in their evolutionary history during the Jurassic, occupying a wide range of lifestyles, including the aquatic pleurosaurs with long snake-like bodies and reduced limbs, the specialized herbivorous eilenodontines, as well as Oenosaurus, which had broad tooth plates indicative of durophagy. Rhynchocephalians disappeared from Asia after the Early Jurassic. The last common ancestor of living squamates (which includes lizards and snakes) is estimated to have lived around 190 million years ago during the Early Jurassic, with the major divergences between modern squamate lineages estimated to have occurred during the Early to Middle Jurassic. Squamates first appear in the fossil record during the Middle Jurassic and included early members of the snake lineage (Ophidia) and Scincomorpha, though many Jurassic squamates have unclear relationships to living groups. Eichstaettisaurus from the Late Jurassic of Germany has been suggested to be an early relative of geckos and displays adaptations for climbing. Dorsetisaurus from the Late Jurassic of North America and Europe represents the oldest widely accepted record of Anguimorpha. Marmoretta from the Middle Jurassic of Britain represents a late surviving lepidosauromorph outside both Rhynchocephalia and Squamata. Choristoderes The earliest known remains of Choristodera, a group of freshwater aquatic reptiles with uncertain affinities to other reptile groups, are found in the Middle Jurassic. Only two genera of choristodere are known from the Jurassic. One is the small lizard-like Cteniogenys, thought to be the most basal known choristodere; it is known from the Middle to Late Jurassic of Europe and Late Jurassic of North America, with similar remains also known from the upper Middle Jurassic of Kyrgyzstan and western Siberia. The other is Coeruleodraco from the Late Jurassic of China, which is a more advanced choristodere, though still small and lizard-like in morphology. Ichthyosaurs Ichthyosaurs suffered an evolutionary bottleneck during the end-Triassic extinction, with all non-neoichthyosaurians becoming extinct. Ichthyosaurs reached their apex of species diversity during the Early Jurassic, with an array of morphologies including the huge apex predator Temnodontosaurus and swordfish-like Eurhinosaurus, though Early Jurassic ichthyosaurs were significantly less morphologically diverse than their Triassic counterparts. At the Early–Middle Jurassic boundary, between the end of the Toarcian and the beginning of the Bajocian, most lineages of ichythosaur appear to have become extinct, with the first appearance of the Ophthalmosauridae, the clade that would encompass almost all ichthyosaurs from then on, during the early Bajocian. Ophthalmosaurids were diverse by the Late Jurassic, but failed to fill many of the niches that had been occupied by ichthyosaurs during the Early Jurassic. Plesiosaurs Plesiosaurs originated at the end of the Triassic (Rhaetian). By the end of the Triassic, all other sauropterygians, including placodonts and nothosaurs, had become extinct. At least six lineages of plesiosaur crossed the Triassic–Jurassic boundary. Plesiosaurs were already diverse in the earliest Jurassic, with the majority of plesiosaurs in the Hettangian-aged Blue Lias belonging to the Rhomaleosauridae. Early plesiosaurs were generally small-bodied, with body size increasing into the Toarcian. There appears to have been a strong turnover around the Early–Middle Jurassic boundary, with the extinction of the previously widespread rhomaleosaurids and microcleidids after the end of the Toarcian and the first appearance of the dominant clade of plesiosaurs of the latter half of the Jurassic, the Cryptoclididae, during the Bajocian. The Middle Jurassic saw the evolution of short-necked and large-headed thalassophonean pliosaurs from ancestrally small-headed, long-necked forms. Some thalassophonean pliosaurs, such as some species of Pliosaurus, had skulls up to two metres in length with body lengths estimated around 10–12 metres, making them the apex predators of Late Jurassic oceans. Plesiosaurs invaded freshwater environments during the Jurassic, with indeterminate remains of small-bodied pleisosaurs known from freshwater sediments from the Jurassic of China and Australia. Pterosaurs Pterosaurs first appeared in the Late Triassic. A major radiation of Jurassic pterosaurs is the Rhamphorhynchidae, which first appeared in the late Early Jurassic (Toarcian); they are thought to been piscivorous. Anurognathids, which first appeared in the Middle Jurassic, possessed short heads and densely furred bodies, and are thought to have been insectivores. Derived monofenestratan pterosaurs such as wukongopterids appeared in the late Middle Jurassic. Advanced short-tailed pterodactyloids first appeared at the Middle–Late Jurassic boundary. Jurassic pterodactyloids include the ctenochasmatids, like Ctenochasma, which have closely spaced needle-like teeth that were presumably used for filter feeding. The bizarre Late Jurassic ctenochasmatoid Cycnorhamphus had a jaw with teeth only at the tips, with bent jaws like those of living openbill storks that may have been used to hold and crush hard invertebrates. Dinosaurs Dinosaurs, which had morphologically diversified in the Late Triassic, experienced a major increase in diversity and abundance during the Early Jurassic in the aftermath of the end-Triassic extinction and the extinction of other reptile groups, becoming the dominant vertebrates in terrestrial ecosystems. Chilesaurus, a morphologically aberrant herbivorous dinosaur from the Late Jurassic of South America, has uncertain relationships to the three main groups of dinosaurs, having been recovered as a member of all three in different analyses. Theropods Advanced theropods belonging to Neotheropoda first appeared in the Late Triassic. Basal neotheropods, such as coelophysoids and dilophosaurs, persisted into the Early Jurassic, but became extinct by the Middle Jurassic. The earliest averostrans appear during the Early Jurassic, with the earliest known member of Ceratosauria being Saltriovenator from the early Sinemurian (199.3–197.5 million years ago) of Italy. The unusual ceratosaur Limusaurus from the Late Jurassic of China had a herbivorous diet, with adults having edentulous beaked jaws, making it the earliest known theropod to have converted from an ancestrally carnivorous diet. The earliest members of the Tetanurae appeared during the late Early Jurassic or early Middle Jurassic. The Megalosauridae represent the oldest radiation of the Tetanurae, first appearing in Europe during the Bajocian. The oldest member of Allosauroidea has been suggested to be Asfaltovenator from the Middle Jurassic of South America. Coelurosaurs first appeared during the Middle Jurassic, including early tyrannosaurs such as Proceratosaurus from the Bathonian of Britain. Some coelurosaurs from the Late Jurassic of China including Shishugounykus and Haplocheirus are suggested to represent early alvarezsaurs, however, this has been questioned. Scansoriopterygids, a group of small feathered coelurosaurs with membraneous, bat-like wings for gliding, are known from the Middle to Late Jurassic of China. The oldest record of troodontids is suggested to be Hesperornithoides from the Late Jurassic of North America. Tooth remains suggested to represent those of dromaeosaurs are known from the Jurassic, but no body remains are known until the Cretaceous. Birds The earliest avialans, which include birds and their ancestors, appear during the Middle to Late Jurassic, definitively represented by Archaeopteryx from the Late Jurassic of Germany. Avialans belong to the clade Paraves within Coelurosauria, which also includes dromaeosaurs and troodontids. The Anchiornithidae from the Middle-Late Jurassic of Eurasia have frequently suggested to be avialans, but have also alternatively found as a separate lineage of paravians. Ornithischians The earliest definitive ornithischians appear during the Early Jurassic, represented by basal ornithischians like Lesothosaurus, heterodontosaurids, and early members of Thyreophora. The earliest members of Ankylosauria and Stegosauria appear during the Middle Jurassic. The basal neornithischian Kulindadromeus from the Middle Jurassic of Russia indicates that at least some ornithischians were covered in protofeathers. The earliest members of Ankylopollexia, which become prominent in the Cretaceous, appeared during the Late Jurassic, represented by bipedal forms such as Camptosaurus. Ceratopsians first appeared in the Late Jurassic of China, represented by members of Chaoyangsauridae. Sauropodomorphs Sauropods became the dominant large herbivores in terrestrial ecosystems during the Jurassic. Some Jurassic sauropods reached gigantic sizes, becoming the largest organisms to have ever lived on land. Basal bipedal sauropodomorphs, such as massospondylids, continued to exist into the Early Jurassic, but became extinct by the beginning of the Middle Jurassic. Quadrupedal sauropomorphs appeared during the Late Triassic. The quadrupedal Ledumahadi from the earliest Jurassic of South Africa reached an estimated weight of 12 tons, far in excess of other known basal sauropodomorphs. Gravisaurian sauropods first appeared during the Early Jurassic, with the oldest definitive record being Vulcanodon from Zimbabwe, likely of Sinemurian age. Eusauropods first appeared during the late Early Jurassic (Toarcian) and diversified during the Middle Jurassic; these included cetiosaurids, turiasaurs, and mamenchisaurs. The earliest known member of Neosauropoda is Lingwulong, a dicraeosaurid diplodocoid from the Early to Middle Jurassic of China. Neosauropods dispersed worldwide during the Late Jurassic. The Middle-Late Jurassic saw the first appearance of derived neosauropod groups, including Brachiosauridae and Diplodocidae. Amphibians The diversity of temnospondyls had progressively declined through the Late Triassic, with only brachyopoids surviving into the Jurassic and beyond. Members of the family Brachyopidae are known from Jurassic deposits in Asia, while the chigutisaurid Siderops is known from the Early Jurassic of Australia. Modern lissamphibians began to diversify during the Jurassic. The Early Jurassic Prosalirus thought to represent the first frog relative with a morphology capable of hopping like living frogs. Morphologically recognisable stem-frogs like the South American Notobatrachus are known from the Middle Jurassic. While the earliest salamander-line amphibians are known from the Triassic, crown group salamanders first appear during the Middle to Late Jurassic in Eurasia, alongside stem-group relatives. Many Jurassic stem-group salamanders, such as Marmorerpeton and Kokartus, are thought to have been neotenic. Early representatives of crown group salamanders include Chunerpeton, Pangerpeton and Linglongtriton from the Middle to Late Jurassic Yanliao Biota of China. These belong to the Cryptobranchoidea, which contains living Asiatic and giant salamanders. Beiyanerpeton, and Qinglongtriton from the same biota are thought to be early members of Salamandroidea, the group which contains all other living salamanders. Salamanders dispersed into North America by the end of the Jurassic, as evidenced by Iridotriton, found in the Late Jurassic Morrison Formation. The oldest undisputed stem-caecilian is the Early Jurassic Eocaecilia from Arizona. The fourth group of lissamphibians, the extinct albanerpetontids, first appeared in the Middle Jurassic, represented by Anoualerpeton priscus from the Bathonian of Britain, as well as indeterminate remains from equivalently aged sediments in France and the Anoual Formation of Morocco. Mammals Mammals, having originated from cynodonts at the end of the Triassic, diversified extensively during the Jurassic. Important groups of Jurassic mammals include Morganucodonta, Docodonta, Eutriconodonta, Dryolestida, Haramiyida and Multituberculata. While most Jurassic mammals are solely known from isolated teeth and jaw fragments, exceptionally preserved remains have revealed a variety of lifestyles. The docodontan Castorocauda was adapted to aquatic life, similarly to the platypus and otters. Some members of Haramiyida and the eutriconodontan tribe Volaticotherini had a patagium akin to those of flying squirrels, allowing them to glide through the air. The aardvark-like mammal Fruitafossor, of uncertain taxonomy, was likely a specialist on colonial insects, similarly to living anteaters. Australosphenida, the group which contains modern monotremes, first appeared in the Middle Jurassic of Gondwana. Therian mammals, represented today by living placentals and marsupials, appear during the early Late Jurassic, represented by Juramaia, a eutherian mammal closer to the ancestry of placentals than marsupials. Juramaia is much more advanced than expected for its age, as other therian mammals are not known until the Early Cretaceous. Two groups of non-mammalian cynodonts persisted beyond the end of the Triassic. The insectiviorous Tritheledontidae has a few records from the Early Jurassic. The Tritylodontidae, a herbiviorous group of cynodonts that first appeared during the Rhaetian, has abundant records from the Jurassic, overwhelmingly from the Northern Hemisphere. Fish Conodonts The last known species of conodont, a class of jawless fish whose hard tooth-like elements are key index fossils, finally became extinct during the earliest Jurassic after over 300 million years of evolutionary history, with an asynchronous extinction occurring first in the Tethys and eastern Panthalassa and survivors persisting into the earliest Hettangian of Hungary and central Panthalassa. End-Triassic conodonts were represented by only a handful of species and had been progressively declining through the Middle and Late Triassic. Sarcopterygii Lungfish (Dipnoi) were present in freshwater environments of both hemispheres during the Jurassic. Genera include Ceratodus and Ptychoceratodus, which are more closely related to living South American and African lungfish than Queensland lungfish, and Ferganoceratodus from the Jurassic of Asia, which is not closely related to either group of living lungfish. Mawsoniids, a marine and freshwater/brackish group of coelacanths, which first appeared in North America during the Triassic, expanded into Europe and South America by the end of the Jurassic. The marine Latimeriidae, which contains the living coelacanths of the genus Latimeria, were also present in the Jurassic, having originated in the Triassic. Actinopterygii Bony fish (Actinopterygii) were major components of Jurassic freshwater and marine ecosystems. Archaic "palaeoniscoid" fish, such as coccolepidids, which were common in both marine and freshwater habitats during the preceding Triassic declined during the Jurassic, being largely replaced by modern actinopterygian lineages. The oldest known Acipenseriformes, the group that contains living sturgeon and paddlefish, are from the Early Jurassic. Amiiform fish (which today only includes the bowfin) first appeared during the Early Jurassic, represented by Caturus from the Pliensbachian of Britain; after their appearance in the western Tethys, they expanded to Africa, North America and Southeast and East Asia by the end of the Jurassic. Pycnodontiformes, which first appeared in the western Tethys during the Late Triassic, expanded to South America and Southeast Asia by the end of the Jurassic, having a high diversity in Europe during the Late Jurassic. During the Jurassic, the Ginglymodi, the only living representatives being gars (Lepisosteidae) were diverse in both freshwater and marine environments. The oldest known representatives of anatomically modern gars appeared during the Upper Jurassic. Teleosts, which make up over 99% of living Actinopterygii, had first appeared during the Triassic in the western Tethys; they underwent a major diversification beginning in the Late Jurassic, with early representatives of modern teleost clades such as Elopomorpha and Osteoglossoidei appearing during this time. The Pachycormiformes, a group of fish closely allied to teleosts, first appeared in the Early Jurassic and included both tuna-like predatory and filter-feeding forms. The latter included the largest bony fish known to have existed: Leedsichthys, with an estimated maximum length of over 15 metres, known from the late Middle to Late Jurassic. Chondrichthyes During the Early Jurassic, the shark-like hybodonts, which has represented the dominant group of chondrichthyians during the preceding Triassic, were common in both marine and freshwater settings; however, by the Late Jurassic, hybodonts had become minor components of most marine communities, having been largely replaced by modern neoselachians, but remained common in freshwater and restricted marine environments. The Neoselachii, which contains all living sharks and rays, radiated beginning in the Early Jurassic. The oldest known Hexanchiformes are from the Early Jurassic (Pliensbachian) of Europe. The oldest known ray (Batoidea) is Antiquaobatis from the Pliensbachian of Germany. Jurassic batoids known from complete remains retain a conservative, guitarfish-like morphology. The oldest known relatives of the bullhead shark (Heterodontus) in the order Heterodontiformes first appeared in the Early Jurassic, with representatives of the living genus appearing during the Late Jurassic. Carpet sharks (Orectolobiformes) first appeared during the Toarcian, represented by Folipistrix and Annea from Europe. The oldest known mackerel sharks (Lamniformes) are from the Middle Jurassic, represented by the genus Palaeocarcharias, which has an orectolobiform-like body but shares key similarities in tooth histology with lamniformes, including the absence of orthodentine. The oldest record of angelsharks (Squatiniformes) is Pseudorhina from the Oxfordian–Tithonian of Europe. The oldest known remains of Carcharhiniformes, the largest order of living sharks, first appear in the late Middle Jurassic (Bathonian) of the western Tethys (England and Morocco). Known dental and exceptionally preserved body remains of Jurassic Carchariniformes are similar to those of living catsharks. Synechodontiformes, an extinct group of sharks closely related to Neoselachii, were also widespread during the Jurassic. The oldest remains of chimaeras are from the Early Jurassic of Europe, with members of the living family Callorhinchidae appearing during the Middle Jurassic. Unlike living chimaeras, these were found in shallow water settings. The closely related Squaloraja and myriacanthoids are also known from the Jurassic of Europe. Insects and arachnids There appears to have been no major extinction of insects at the Triassic–Jurassic boundary. Many important insect fossil localities are known from the Jurassic of Eurasia, the most important being the Karabastau Formation of Kazakhstan and the various Yanliao Biota deposits in Inner Mongolia, China, such as the Daohugou Bed, dating to the Callovian–Oxfordian. The diversity of insects stagnated throughout the Early and Middle Jurassic, but during the latter third of the Jurassic origination rates increased substantially while extinction rates remained flat. The increasing diversity of insects in the Middle–Late Jurassic corresponds with a substantial increase in the diversity of insect mouthparts. The Middle to Late Jurassic was a time of major diversification for beetles. Weevils first appear in the fossil record during the Middle to Late Jurassic, but are suspected to have originated during the Late Triassic to Early Jurassic. The oldest known lepidopterans (the group containing butterflies and moths) are known from the Triassic–Jurassic boundary, with wing scales belonging to the suborder Glossata and Micropterigidae-grade moths from the deposits of this age in Germany. Modern representatives of both dragonflies and damselflies also first appeared during the Jurassic. Although modern representatives are not known until the Cenozoic, ectoparasitic insects thought to represent primitive fleas, belonging to the family Pseudopulicidae, are known from the Middle Jurassic of Asia. These insects are substantially different from modern fleas, lacking the specialised morphology of the latter and being larger. Parasitic wasps (Apocrita) first appeared during the Early Jurassic and subsequently became widespread, reshaping terrestrial food webs. The Jurassic saw also saw the first appearances of several other groups of insects, including Phasmatodea (stick insects), Mantophasmatidae, and Embioptera (webspinners). Only a handful of records of mites are known from the Jurassic, including Jureremus, an oribatid mite belonging to the family Cymbaeremaeidae known from the Late Jurassic of Britain and Russia, and a member of the still living orbatid genus Hydrozetes from the Early Jurassic of Sweden. Spiders diversified through the Jurassic. The Early Jurassic Seppo koponeni may represent a stem group to Palpimanoidea. Eoplectreurys from the Middle Jurassic of China is considered a stem lineage of Synspermiata. The oldest member of the family Archaeidae, Patarchaea, is known from the Middle Jurassic of China. Mongolarachne from the Middle Jurassic of China is among the largest known fossil spiders, with legs over 5 centimetres long. The only scorpion known from the Jurassic is Liassoscorpionides from the Early Jurassic of Germany, of uncertain placement. Eupnoi harvestmen (Opiliones) are known from the Middle Jurassic of China, including members of the family Sclerosomatidae. Marine invertebrates End-Triassic extinction During the end-Triassic extinction, 46%–72% of all marine genera became extinct. The effects of the end Triassic extinction were greatest at tropical latitudes and were more severe in Panthalassa than the Tethys or Boreal oceans. Tropical reef ecosystems collapsed during the event, and would not fully recover until much later in the Jurassic. Sessile filter feeders and photosymbiotic organisms were among most severely affected. Marine ecosystems Having declined at the Triassic–Jurassic boundary, reefs substantially expanded during the Late Jurassic, including both sponge reefs and scleractinian coral reefs. Late Jurassic reefs were similar in form to modern reefs but had more microbial carbonates and hypercalcified sponges, and had weak biogenic binding. Reefs sharply declined at the close of the Jurassic, which caused an associated drop in diversity in decapod crustaceans. The earliest planktonic foraminifera, which constitute the suborder Globigerinina, are known from the late Early Jurassic (mid-Toarcian) of the western Tethys, expanding across the whole Tethys by the Middle Jurassic and becoming globally distributed in tropical latitudes by the Late Jurassic. Coccolithophores and dinoflagellates, which had first appeared during the Triassic, radiated during the Early to Middle Jurassic, becoming prominent members of the phytoplankton. Microconchid tube worms, the last remaining order of Tentaculita, a group of animals of uncertain affinities that were convergent on Spirorbis tube worms, were rare after the Triassic and had become reduced to the single genus Punctaconchus, which became extinct in the late Bathonian. The oldest known diatom is from Late Jurassic–aged amber from Thailand, assigned to the living genus Hemiaulus. Echinoderms Crinoids diversified throughout the Jurassic, reaching their peak Mesozoic diversity during the Late Jurassic, primarily due to the radiation of sessile forms belonging to the orders Cyrtocrinida and Millericrinida. Echinoids (sea urchins) underwent substantial diversification beginning in the Early Jurassic, primarily driven by the radiation of irregular (asymmetrical) forms, which were adapting to deposit feeding. Rates of diversification sharply dropped during the Late Jurassic. Crustaceans The Jurassic was a significant time for the evolution of decapods. The first true crabs (Brachyura) are known from the Early Jurassic, with the earliest being Eocarcinus praecursor from the early Pliensbachian of England, which lacked the crab-like morphology (carcinisation) of modern crabs, and Eoprosopon klugi from the late Pliensbachian of Germany, which may belong to the living family Homolodromiidae. Most Jurassic crabs are known only from carapace pieces, which makes it difficult to determine their relationships. While rare in the Early and Middle Jurassic, crabs became abundant during the Late Jurassic as they expanded from their ancestral silty sea floor habitat into hard substrate habitats like reefs, with crevices in reefs providing refuge from predators. Hermit crabs also first appeared during the Jurassic, with the earliest known being Schobertella hoelderi from the late Hettangian of Germany. Early hermit crabs are associated with ammonite shells rather than those of gastropods. Glypheids, which today are only known from two species, reached their peak diversity during the Jurassic, with around 150 species out of a total fossil record of 250 known from the period. Jurassic barnacles were of low diversity compared to present, but several important evolutionary innovations are known, including the first appearances of calcite shelled forms and species with an epiplanktonic mode of life. Brachiopods Brachiopod diversity declined during the Triassic–Jurassic extinction. Spire-bearing groups (Spiriferinida and Athyridida) declined at the Triassic–Jurassic boundary and did not recover their biodiversity, becoming extinct in the TOAE. Rhynchonellida and Terebratulida also declined during the Triassic–Jurassic extinction but rebounded during the Early Jurassic; neither clade underwent much morphological variation. Brachiopods substantially declined in the Late Jurassic; the causes are poorly understood. Proposed reasons include increased predation, competition with bivalves, enhanced bioturbation or increased grazing pressure. Bryozoans Like the preceding Triassic, bryozoan diversity was relatively low compared to the Paleozoic. The vast majority of Jurassic bryozoans are members of Cyclostomatida, which experienced a radiation during the Middle Jurassic, with all Jurassic representatives belonging to the suborders Tubuliporina and Cerioporina. Cheilostomata, the dominant group of modern bryozoans, first appeared during the Late Jurassic. Molluscs Ammonites Ammonites were devastated by the end-Triassic extinction, with only a handful of genera belonging to the family Psiloceratidae of the suborder Phylloceratina surviving and becoming ancestral to all later Jurassic and Cretaceous ammonites. Ammonites explosively diversified during the Early Jurassic, with the orders Psiloceratina, Ammonitina, Lytoceratina, Haploceratina, Perisphinctina and Ancyloceratina all appearing during the Jurassic. Ammonite faunas during the Jurassic were regional, being divided into around 20 distinguishable provinces and subprovinces in two realms, the northern high latitude Pan-Boreal realm, consisting of the Arctic, northern Panthalassa and northern Atlantic regions, and the equatorial–southern Pan-Tethyan realm, which included the Tethys and most of Panthalassa. Bivalves The end-Triassic extinction had a severe impact on bivalve diversity, though it had little impact on bivalve ecological diversity. The extinction was selective, having less of an impact on deep burrowers, but there is no evidence of a differential impact between surface-living (epifaunal) and burrowing (infaunal) bivalves. Bivalve family level diversity after the Early Jurassic was static, though genus diversity experienced a gradual increase throughout the period. Rudists, the dominant reef-building organisms of the Cretaceous, first appeared in the Late Jurassic (mid-Oxfordian) in the northern margin of the western Tethys, expanding to the eastern Tethys by the end of the Jurassic. Belemnites The oldest definitive records of the squid-like belemnites are from the earliest Jurassic (Hettangian–Sinemurian) of Europe and Japan; they expanded worldwide during the Jurassic. Belemnites were shallow-water dwellers, inhabiting the upper 200 metres of the water column on the continental shelves and in the littoral zone. They were key
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with a science doctorate." The ideas in The Chrysalids are echoed in The Handmaid's Tale, whose author, Margaret Atwood, has acknowledged Wyndham's work as an influence. She wrote an introduction to a new edition of Chocky in which she states that the intelligent alien babies in The Midwich Cuckoos entered her dreams. Wyndham also wrote several short stories, ranging from hard science fiction to whimsical fantasy. Several have been filmed: "Consider Her Ways", "Random Quest", "Dumb Martian", "A Long Spoon", "Jizzle" (filmed as "Maria") and "Time to Rest" (filmed as No Place Like Earth). There is also a radio version of "Survival". Brian Aldiss, another British science fiction writer, disparagingly labelled some of Wyndham's novels as "cosy catastrophes", especially The Day of the Triffids. This became a cliche about his work, but it has been rebutted by many more recent critics. L.J. Hurst commented that in Triffids the main character witnesses several murders, suicides and misadventures, and is frequently in mortal danger himself. Margaret Atwood wrote: "one might as well call World War II—of which Wyndham was a veteran—a 'cozy' war because not everyone died in it." Many other writers have acknowledged Wyndham's work as an influence on theirs, including Alex Garland, whose screenplay for 28 Days Later draws heavily on The Day of the Triffids. Personal life In 1963, he married Grace Isobel Wilson, whom he had known for more than 20 years. They lived near Petersfield, Hampshire, just outside the grounds of Bedales School. The couple remained married until he died. Death and posthumous events He died in 1969, aged 65, at his home in Petersfield. He was outlived by his wife and his brother. Subsequently, some of his unsold work was published and his earlier work was republished. His archive was acquired by the University of Liverpool. On 24 May 2015, an alley in Hampstead that appears in The Day of the Triffids was formally named Triffid Alley as a memorial to him. Works Early novels published under other pen names The Curse of the Burdens (1927), as by John B. Harris: Aldine Mystery Novels No. 17 (London: Aldine Publishing Co. Ltd) The Secret People (1935), as by John Beynon Foul Play Suspected (1935), as by John Beynon Planet Plane (1936), as by John Beynon; republished as The Space Machine and as Stowaway to Mars Love in Time (1946), as by Johnson Harris Novels published in his lifetime as by John Wyndham The Day of the Triffids (1951), also known as Revolt of the Triffids The Kraken Wakes (1953), published in the U.S. as Out of the Deeps The Chrysalids (1955), published in the U.S. as Re-Birth The Midwich Cuckoos (1957), filmed twice as Village of the Damned The Outward Urge (1959), as by John Wyndham and Lucas Parkes Trouble with Lichen (1960) Chocky (1968) Posthumously published novels Web (1979) Plan for Chaos (2009) Short story collections published in his lifetime Jizzle (1954) ("Jizzle", "Technical Slip", "A Present from Brunswick", "Chinese Puzzle", "Esmeralda", "How Do I Do?", "Una", "Affair of the Heart", "Confidence Trick", "The Wheel", "Look Natural, Please!", "Perforce to Dream", "Reservation Deferred", "Heaven Scent", "More Spinned Against") The Seeds of Time (1956) ("Chronoclasm", "Time to Rest", "Meteor", "Survival", "Pawley's Peepholes", "Opposite Number", "Pillar to Post", "Dumb Martian", "Compassion Circuit", "Wild Flower") Tales of Gooseflesh and Laughter (1956), U.S. edition featuring stories from the two earlier collections Consider Her Ways and Others (1961) ("Consider Her Ways", "Odd", "Oh, Where, Now, is Peggy MacRaffery?", "Stitch in Time", "Random Quest", "A Long Spoon") The Infinite Moment (1961), U.S. edition of Consider Her Ways and Others, with two stories dropped, two others added Posthumously published collections Sleepers of Mars (1973), a collection of five stories originally published in magazines in the 1930s: "Sleepers of Mars", "Worlds to Barter", "Invisible Monster", "The Man from Earth" and "The Third Vibrator" The Best of John Wyndham (1973) Wanderers of Time (1973), a collection of five stories originally published in magazines in the 1930s: "Wanderers of Time", "Derelict of Space", "Child of Power", "The Last Lunarians" and "The Puff-ball Menace" (aka "Spheres of Hell") The Man from Beyond and Other Stories (1975) Exiles on Asperus (1979) No Place Like Earth (2003) Short stories John Wyndham's many short stories have also appeared with later variant titles or pen names. The stories include: "Worlds to Barter" (1931) "The Lost Machine" (1932) "The Stare" (1932) "The Venus Adventure" (1932) "Exiles on Asperus" (1933) "Invisible Monster" (1933) "Spheres of Hell" (1933) [as by John Beynon] "The Third Vibrator" (1933) "Wanderers of Time" (1933) [as by John Beynon] "The Man from Earth" (1934) "The Last Lunarians" (1934) [as by John Beynon] "The Moon Devils" (1934) [as by John Beynon Harris] "The Cathedral Crypt" (1935) [as by John Beynon Harris] "The Perfect Creature" (1937) "Judson's Annihilator" (1938) [as by John Beynon] "Child of Power" (1939) [as by John Beynon] "Derelict of Space" (1939) [as by John Beynon] "The Trojan Beam" (1939) "Vengeance by Proxy" (1940) [as by John Beynon] "Meteor" (1941) [as by John Beynon] "Living Lies" (1946) [as by John Beynon] "Technical Slip" (1949) [as by John Beynon] "Jizzle" (1949) "Adaptation" (1949) [as by John Beynon] "The Eternal Eye" (1950) "Pawley's Peepholes" (1951) "The Red Stuff" (1951) "Tyrant and Slave-Girl on Planet Venus" (1951) [as by John Beynon] "And the Walls Came Tumbling Down" (1951) "A Present from Brunswick" (1951) "Bargain from Brunswick" (1951) "Pillar to Post" (1951) "The Wheel" (1952) "Survival" (1952) "Dumb Martian" (1952) "Time Out" (1953) "Close Behind Him" (1953) "Time Stops Today" (1953) "Chinese Puzzle" (1953) "Chronoclasm' (1953) "Reservation Deferred' (1953) "More Spinned Against" (1953) "Confidence Trick' (1953) "How Do I Do?" (1953) "Esmeralda" (1954) "Heaven Scent" (1954) "Look Natural, Please!" (1954) "Never on Mars" (1954) "Perforce to Dream" (1954) "Opposite Numbers" (1954) "Compassion Circuit" (1954) "Wild Flower" (1955) "Consider Her Ways" (1956)
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left at the age of 18. Early career After leaving school, Wyndham tried several careers, including farming, law, commercial art and advertising; however, he mostly relied on an allowance from his family to survive. He eventually turned to writing for money in 1925. In 1927 he published a detective novel, The Curse of the Burdens, as by John B. Harris, and by 1931 he was selling short stories and serial fiction to American science fiction magazines. His debut short story, "Worlds to Barter", appeared under the pen name John B. Harris in 1931. Subsequent stories were credited to 'John Beynon Harris until mid-1935, when he began to use the pen name John Beynon. Three novels as by Beynon were published in 1935/36, two of them works of science fiction, the other a detective story. He also used the pen name Wyndham Parkes for one short story in the British Fantasy Magazine in 1939, as John Beynon had already been credited for another story in the same issue. During these years he lived at the Penn Club, London, which had been opened in 1920 by the remaining members of the Friends Ambulance Unit, and which had been partly funded by the Quakers. The intellectual and political mixture of pacifists, socialists and communists continued to inform his views on social engineering and feminism. At the Penn Club he met his future wife, Grace Wilson, a teacher. They embarked on a long-lasting love affair, and obtained adjacent rooms in the club, but for many years did not marry, partly because of the marriage bar under which Wilson would have lost her position. Second World War During the Second World War, Wyndham first served as a censor in the Ministry of Information. He drew on his experiences as a firewatcher during the London Blitz and as a member of the Home Guard in The Day of the Triffids. He then joined the British Army, serving as a corporal cipher operator in the Royal Corps of Signals. He participated in the Normandy landings, landing a few days after D-Day. He was attached to XXX Corps, which took part in some of the heaviest fighting, including surrounding the trapped German army in the Falaise Pocket. His wartime letters to his long-time partner, Grace Wilson, are now held in the Archives of the University of Liverpool. He wrote at length of his struggles with his conscience, his doubts about humanity and his fears of the inevitability of further war. He also wrote passionately about his love for her and his fears that he would be so tainted she would not be able to love him when he returned. Postwar After the war Wyndham returned to writing, still using the pen name John Beynon. Inspired by the success of his younger brother Vivian Beynon Harris, who had four novels published starting in 1948, he altered his writing style and, by 1951, using the John Wyndham pen name for the first time, he wrote the novel The Day of the Triffids. His pre-war writing career was not mentioned in the book's publicity and people were allowed to assume that this was a first novel from a previously unknown writer. The book had an enormous success and established Wyndham as an important exponent of science fiction. He wrote and published six more novels under the name John Wyndham, the name he used professionally from 1951 onwards. His novel The Outward Urge (1959) was credited to John Wyndham and Lucas Parkes, but Lucas Parkes was another pseudonym for Wyndham himself. Two story collections, Jizzle and The Seeds of Time, were published in the 1950s under Wyndham's name, but included several stories originally published as by John Beynon before 1951. Critical reception John Wyndham's reputation rests mainly on the first four of the novels published in his lifetime under that name. The Day of the Triffids remains his best-known work, but some readers consider that The Chrysalids was really his best. This is set in the far future of a post-nuclear dystopia where women's fertility is compromised and they are severely oppressed if they give birth to "mutants". David Mitchell, author of Cloud Atlas, wrote of it: "One of the most thoughtful post-apocalypse novels ever written. Wyndham was a true English visionary, a William Blake with a science doctorate." The ideas in The Chrysalids are echoed in The Handmaid's Tale, whose author, Margaret Atwood, has acknowledged Wyndham's work as an influence. She wrote an introduction to a new edition of Chocky in which she states that the intelligent alien babies in The Midwich Cuckoos entered her dreams. Wyndham also wrote several short stories, ranging from hard science fiction to whimsical fantasy. Several have been filmed: "Consider Her Ways", "Random Quest", "Dumb Martian", "A Long Spoon", "Jizzle" (filmed as "Maria") and "Time to Rest" (filmed as No Place Like Earth). There is also a radio version of "Survival". Brian Aldiss, another British science fiction writer, disparagingly labelled some of Wyndham's novels as "cosy catastrophes", especially The Day of the Triffids. This became a cliche about his work, but it has been rebutted by many more recent critics. L.J. Hurst commented that in Triffids the main character witnesses several murders, suicides and misadventures, and is frequently in mortal danger himself. Margaret Atwood wrote: "one might as well call World War II—of which Wyndham was a veteran—a 'cozy' war because not everyone died in it." Many other writers have acknowledged Wyndham's work as an influence on theirs, including Alex Garland, whose screenplay for 28 Days Later draws heavily on The Day of the Triffids. Personal life In 1963, he married Grace Isobel Wilson, whom he had known for more than 20 years. They lived near Petersfield, Hampshire, just outside the grounds of Bedales School. The couple remained married until he died. Death and posthumous events He died in 1969, aged 65, at his home in Petersfield. He was outlived by his wife and his brother. Subsequently, some of his unsold work was published and his earlier work was republished. His archive was acquired by the University of Liverpool. On 24 May 2015, an alley in Hampstead that appears in The Day of the Triffids was formally named Triffid Alley as a memorial to him. Works Early novels published under other pen names The Curse of the Burdens (1927), as by John B. Harris: Aldine Mystery Novels No. 17 (London: Aldine Publishing Co. Ltd) The Secret People (1935), as by John Beynon Foul Play Suspected (1935), as by John Beynon Planet Plane (1936), as by John Beynon; republished as The Space Machine and as Stowaway to Mars Love in Time (1946), as by Johnson Harris Novels published in his lifetime as by John Wyndham The Day of the Triffids (1951), also known as Revolt of the Triffids The Kraken Wakes (1953), published in the U.S. as Out of the Deeps The Chrysalids (1955), published in the U.S. as Re-Birth The Midwich Cuckoos (1957), filmed twice as Village of the
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Kosiński. The article found a more realistic picture of Kosiński's life during the Holocaust – a view which was supported by biographers Joanna Siedlecka and Sloan. The article asserted that The Painted Bird, assumed to be semi-autobiographical, was largely a work of fiction. The information showed that rather than wandering the Polish countryside, as his fictional character did, Kosiński spent the war years in hiding with Polish Catholics. Terence Blacker, a profitable English publisher (who helped publish Kosiński's books) and author of children's books and mysteries for adults, wrote an article published in The Independent in 2002: The significant point about Jerzy Kosiński was that...his books...had a vision and a voice consistent with one another and with the man himself. The problem was perhaps that he was a successful, worldly author who played polo, moved in fashionable circles and even appeared as an actor in Warren Beatty's Reds. He seemed to have had an adventurous and rather kinky sexuality which, to many, made him all the more suspect. All in all, he was a perfect candidate for the snarling pack of literary hangers-on to turn on. There is something about a storyteller becoming rich and having a reasonably full private life that has a powerful potential to irritate so that, when things go wrong, it causes a very special kind of joy. Journalist John Corry wrote a 6,000-word feature article in The New York Times in November 1982, responding and defending Kosiński, which appeared on the front page of the Arts and Leisure section. Among other things, Corry alleged that reports claiming that "Kosinski was a plagiarist in the pay of the C.I.A. were the product of a Polish Communist disinformation campaign." In 1988, he wrote The Hermit of 69th Street, in which he sought to demonstrate the absurdity of investigating prior work by inserting footnotes for practically every term in the book. "Ironically," wrote theatre critic Lucy Komisar, "possibly his only true book ... about a successful author who is shown to be a fraud." Despite repudiation of the Village Voice allegations in detailed articles in The New York Times, The Los Angeles Times, and other publications, Kosiński remained tainted. "I think it contributed to his death," said Zbigniew Brzezinski, a friend and fellow Polish emigrant. Television, radio, film, and newspaper appearances Kosiński appeared 12 times on The Tonight Show Starring Johnny Carson during 1971–1973, and The Dick Cavett Show in 1974, was a guest on the talk radio show of Long John Nebel, posed half-naked for a cover photograph by Annie Leibovitz for The New York Times Magazine in 1982, and presented the Oscar for screenwriting in 1982. He also played the role of Bolshevik revolutionary and Politburo member Grigory Zinoviev in Warren Beatty's film Reds. The Time magazine critic wrote: "As Reed's Soviet nemesis, novelist Jerzy Kosinski acquits himself nicely–a tundra of ice against Reed's all-American fire." Newsweek complimented Kosiński's "delightfully abrasive" performance. Friendships Kosiński was friends with Roman Polanski, with whom he attended the National Film School in Łódź, and said he narrowly missed being at Polanski and Sharon Tate's house on the night Tate was murdered by Charles Manson's followers in 1969, due to lost luggage. His novel Blind Date portrayed the Manson murders. In 1984, Polanski denied Kosiński's story in his autobiography. Journalist John Taylor of New York Magazine believes Polanski was mistaken. "Although it was a single sentence in a 461-page book, reviewers focused on it. But the accusation was untrue: Jerzy and Kiki had been invited to stay with Tate the night of the Manson murders, and they missed being killed as well only because they stopped in New York en route from Paris because their luggage had been misdirected." The reason why Taylor believes this is that "a friend of Kosiński wrote a letter to the Times, which was published in the Book Review, describing the detailed plans he and Jerzy had made to meet that weekend at Polanski's house on Cielo Drive." The letter referenced was written by Clement Biddle Wood. Kosiński was also friends with Wojciech Frykowski and Abigail Folger. He introduced the couple to each other. Svetlana Alliluyeva, who had a friendship with Kosiński, is introduced as a character in his novel Blind Date. Kosiński wrote his novel Pinball (1982) for his friend George Harrison, having conceived of the idea for the book at least 10 years before writing it. Interests Kosiński practiced the photographic arts, with one-man exhibitions to his credit in Warsaw's Crooked Circle Gallery (1957) and in the Andre Zarre Gallery in New York (1988). He watched surgeries and read to terminally ill patients. Kosiński was interested in polo and compared himself to a character from his novel Passion Play: "The character, Fabian, is at the mercy of his aging and his sexual obsession. It's my calling card. I'm 46. I'm like Fabian." Bibliography The Future Is Ours, Comrade: Conversations with the Russians (1960), published under the pseudonym "Joseph Novak" No Third Path (1962), published under the pseudonym "Joseph Novak" The Painted Bird (1965, revised 1976) The Art of the Self: Essays à propos Steps (1968) Steps (1968) Being There (1970) By Jerzy Kosinski: Packaged Passion. (1973) The Devil Tree (1973, revised & expanded 1982) Cockpit (1975) Blind Date (1977) Passion Play (1979) Pinball (1982) The Hermit of 69th Street (1988, revised 1991) Passing By: Selected Essays, 1962–1991 (1992) Oral Pleasure: Kosinski as Storyteller (2012) Filmography Being There (novel and screenplay, 1979) Reds (actor, 1981) – Grigory Zinoviev The Statue of Liberty (1985) – Himself Łódź Ghetto (1989) – Mordechai Chaim Rumkowski (voice) Religion, Inc. (actor, 1989) – Beggar (final film role) Nabarvené ptáče (film) (2019, orig. The Painted Bird) Awards and honors 1966 – Prix du Meilleur Livre Étranger (essay category) for The Painted Bird 1969 – National Book Award for Steps. 1970 – Award in Literature, National Institute of Arts and Letters and American Academy of Arts and Letters 1973–75 – President of the American Chapter of P.E.N. Re-elected 1974, serving the maximum permitted two terms 1974 – B'rith Shalom Humanitarian Freedom Award 1977 – American Civil Liberties Union First Amendment Award 1979 – Writers Guild of America, East Best Screenplay Award for Being There (shared with screenwriter Robert C. Jones) 1980 – Polonia Media Perspectives Achievement Award 1981 – British Academy of Film and Television Arts (BAFTA) Best Screenplay of the Year Award for Being There International House Harry Edmonds Life Achievement Award Received PhD Honoris Causa in Hebrew Letters from Spertus College of Judaica 1988 – Received PhD Honoris Causa in Humane Letters from Albion College, Michigan 1989 – Received PhD Honoris Causa in Humane Letters from State University of New York at Potsdam Further reading Books Eliot Weinberger Genuine Fakes in his collection Karmic Traces; New Directions, 2000, ; . Sepp L. Tiefenthaler, Jerzy Kosinski: Eine Einfuhrung in Sein Werk, 1980, Norman Lavers, Jerzy Kosinski, 1982, Byron L. Sherwin, Jerzy Kosinski: Literary Alarm Clock, 1982, Barbara Ozieblo Rajkowska, Protagonista De Jerzy Kosinski: Personaje unico, 1986, Paul R. Lilly, Jr., Words in Search of Victims: The Achievement of Jerzy Kosinski, Kent, Ohio, Kent State University Press, 1988, Welch D. Everman, Jerzy Kosinski: the Literature of Violation, Borgo Press, 1991, . Tom Teicholz, ed. Conversations with Jerzy Kosinski, Jackson: University Press of Mississippi, 1993, Joanna Siedlecka, Czarny ptasior (The Black Bird), CIS, 1994, Joanna Siedlecka, The Ugly Black Bird, Leopolis Press, 2018 James Park Sloan, Jerzy Kosinski: a Biography, Diane Pub. Co., 1996, . Agnieszka Salska, Marek Jedlinski, Jerzy Kosinski : Man and Work at the Crossroads of Cultures, 1997, Barbara Tepa Lupack, ed. Critical Essays on Jerzy Kosinski, New York:
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as a "collection of unbelievably creepy little allegorical tableaux done in a terse elegant voice that's like nothing else anywhere ever". Wallace continued in praise: "Only Kafka's fragments get anywhere close to where Kosiński goes in this book, which is better than everything else he ever did combined." Samuel Coale, in a 1974 discussion of Kosiński's fiction, wrote that "the narrator of Steps for instance, seems to be nothing more than a disembodied voice howling in some surrealistic wilderness." Being There One of Kosiński's more significant works is Being There (1970), a satirical view of the absurd reality of America's media culture. It is the story of Chance the gardener, a man with few distinctive qualities who emerges from nowhere and suddenly becomes the heir to the throne of a Wall Street tycoon and a presidential policy adviser. His simple and straightforward responses to popular concerns are praised as visionary despite the fact that no one actually understands what he is really saying. Many questions surround his mysterious origins, and filling in the blanks in his background proves impossible. The novel was made into a 1979 movie directed by Hal Ashby, and starring Peter Sellers, who was nominated for an Academy Award for the role, and Melvyn Douglas, who won the award for Best Supporting Actor. The screenplay was co-written by award-winning screenwriter Robert C. Jones and Kosiński. The film won the 1981 British Academy of Film and Television Arts (Film) Best Screenplay Award, as well as the 1980 Writers Guild of America Award (Screen) for Best Comedy Adapted from Another Medium. It was nominated for the 1980 Golden Globe Best Screenplay Award (Motion Picture). Criticism According to Eliot Weinberger, an American writer, essayist, editor and translator, Kosiński was not the author of The Painted Bird. Weinberger alleged in his 2000 book Karmic Traces that Kosiński was not fluent in English at the time of its writing. In a review of Jerzy Kosiński: A Biography by James Park Sloan, D.G. Myers, associate professor of English at Texas A&M University wrote "For years Kosinski passed off The Painted Bird as the true story of his own experience during the Holocaust. Long before writing it he regaled friends and dinner parties with macabre tales of a childhood spent in hiding among the Polish peasantry. Among those who were fascinated was Dorothy de Santillana, a senior editor at Houghton Mifflin, to whom Kosiński confided that he had a manuscript based on his experiences. Upon accepting the book for publication, Santillana said 'It is my understanding that, fictional as the material may sound, it is straight autobiography'. Although he backed away from this claim, Kosiński never wholly disavowed it." M.A. Orthofer addressed Weinberger's assertion: "Kosinski was, in many respects, a fake – possibly near as genuine a one as Weinberger could want. (One aspect of the best fakes is the lingering doubt that, possibly, there is some authenticity behind them – as is the case with Kosinski.) Kosinski famously liked to pretend he was someone he wasn't (as do many of the characters in his books), he occasionally published under a pseudonym, and, apparently, he plagiarized and forged left and right." Kosiński addressed these claims in the introduction to the 1976 reissue of The Painted Bird, saying that "Well-intentioned writers, critics, and readers sought facts to back up their claims that the novel was autobiographical. They wanted to cast me in the role of spokesman for my generation, especially for those who had survived the war; but for me, survival was an individual action that earned the survivor the right to speak only for himself. Facts about my life and my origins, I felt, should not be used to test the book's authenticity, any more than they should be used to encourage readers to read The Painted Bird. Furthermore, I felt then, as I do now, that fiction and autobiography are very different modes." Plagiarism allegations In June 1982, a Village Voice report by Geoffrey Stokes and Eliot Fremont-Smith accused Kosiński of plagiarism, claiming that much of his work was derivative of prewar books unfamiliar to English-speaking readers, and that Being There was a plagiarism of Kariera Nikodema Dyzmy — The Career of Nicodemus Dyzma — a 1932 Polish bestseller by Tadeusz Dołęga-Mostowicz. They also alleged Kosiński wrote The Painted Bird in Polish, and had it secretly translated into English. The report claimed that Kosiński's books had been ghost-written by "assistant editors", finding stylistic differences among Kosiński's novels. Kosiński, according to them, had depended upon his freelance editors for "the sort of composition that we usually call writing." American biographer James Sloan notes that New York poet, publisher and translator George Reavey claimed to have written The Painted Bird for Kosiński. The article found a more realistic picture of Kosiński's life during the Holocaust – a view which was supported by biographers Joanna Siedlecka and Sloan. The article asserted that The Painted Bird, assumed to be semi-autobiographical, was largely a work of fiction. The information showed that rather than wandering the Polish countryside, as his fictional character did, Kosiński spent the war years in hiding with Polish Catholics. Terence Blacker, a profitable English publisher (who helped publish Kosiński's books) and author of children's books and mysteries for adults, wrote an article published in The Independent in 2002: The significant point about Jerzy Kosiński was that...his books...had a vision and a voice consistent with one another and with the man himself. The problem was perhaps that he was a successful, worldly author who played polo, moved in fashionable circles and even appeared as an actor in Warren Beatty's Reds. He seemed to have had an adventurous and rather kinky sexuality which, to many, made him all the more suspect. All in all, he was a perfect candidate for the snarling pack of literary hangers-on to turn on. There is something about a storyteller becoming rich and having a reasonably full private life that has a powerful potential to irritate so that, when things go wrong, it causes a very special kind of joy. Journalist John Corry wrote a 6,000-word feature article in The New York Times in November 1982, responding and defending Kosiński, which appeared on the front page of the Arts and Leisure section. Among other things, Corry alleged that reports claiming that "Kosinski was a plagiarist in the pay of the C.I.A. were the product of a Polish Communist disinformation campaign." In 1988, he wrote The Hermit of 69th Street, in which he sought to demonstrate the absurdity of investigating prior work by inserting footnotes for practically every term in the book. "Ironically," wrote theatre critic Lucy Komisar, "possibly his only true book ... about a successful author who is shown to be a fraud." Despite repudiation of the Village Voice allegations in detailed articles in The New York Times, The Los Angeles Times, and other publications, Kosiński remained tainted. "I think it contributed to his death," said Zbigniew Brzezinski, a friend and fellow Polish emigrant. Television, radio, film, and newspaper appearances Kosiński appeared 12 times on The Tonight Show Starring Johnny Carson during 1971–1973, and The Dick Cavett Show in 1974, was a guest on the talk radio show of Long John Nebel, posed half-naked for a cover photograph by Annie Leibovitz for The New York Times Magazine in 1982, and presented the Oscar for screenwriting in 1982. He also played the role of Bolshevik revolutionary and Politburo member Grigory Zinoviev in Warren Beatty's film Reds. The Time magazine critic wrote: "As Reed's Soviet nemesis, novelist Jerzy Kosinski acquits himself nicely–a tundra of ice against Reed's all-American fire." Newsweek complimented Kosiński's "delightfully abrasive" performance. Friendships Kosiński was friends with Roman Polanski, with whom he attended the National Film School in Łódź, and said he narrowly missed being at Polanski and Sharon Tate's house on the night Tate was murdered by Charles Manson's followers in 1969, due to lost luggage. His novel Blind Date portrayed the Manson murders. In 1984, Polanski denied Kosiński's story in his autobiography. Journalist John Taylor of New York Magazine believes Polanski was mistaken. "Although it was a single sentence in a 461-page book, reviewers focused on it. But the accusation was untrue: Jerzy and Kiki had been invited to stay with Tate the night of the Manson murders, and they missed being killed as well only because they stopped in New York en route from Paris because their luggage had been misdirected." The reason why Taylor believes this is that "a friend of Kosiński wrote a letter to the Times, which was published in the Book Review, describing the detailed plans he and Jerzy had made to meet that weekend at Polanski's house on Cielo Drive." The letter referenced was written by Clement Biddle Wood. Kosiński was also friends with Wojciech Frykowski and Abigail Folger. He introduced the couple to each other. Svetlana Alliluyeva, who had a friendship with Kosiński, is introduced as a character
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at their plant in Toledo, Ohio. The familiar pressed-metal Jeep grille was a Ford design feature and incorporated in the final design by the Army. Because the US War Department required a large number of vehicles in a short time, Willys-Overland granted the US Government a non-exclusive license to allow another company to manufacture vehicles using Willys' specifications. The Army chose Ford as a second supplier, building Jeeps to the Willys' design. Willys supplied Ford with a complete set of plans and specifications. American Bantam, the creators of the first Jeep, built approximately 2,700 of them to the BRC-40 design, but spent the rest of the war building heavy-duty trailers for the Army. Full production – Willys MB and Ford GPW Final production version jeeps built by Willys-Overland were the Model MB, while those built by Ford were the Model GPW (G = government vehicle, P = 80" wheelbase, W = Willys engine design). There were subtle differences between the two. The versions produced by Ford had every component (including bolt heads) marked with an "F", and early on Ford also stamped their name in large letters in their trademark script, embossed in the rear panel of their jeeps. Willys followed the Ford pattern by stamping 'Willys' into several body parts, but the U.S. government objected to this practice, and both parties stopped this in 1942. In spite of persistent advertising by both car and component manufacturers of contributions to the production of successful jeeps during the war, no "Jeep"-branded vehicles were built until the 1945 Willys CJ-2A. The cost per vehicle trended upwards as the war continued from the price under the first contract from Willys at US$648.74 (Ford's was $782.59 per unit). Willys-Overland and Ford, under the direction of Charles E. Sorensen (vice-president of Ford during World War II), produced about 640,000 Jeeps towards the war effort, which accounted for approximately 18% of all the wheeled military vehicles built in the U.S. during the war. Jeeps were used by every service of the U.S. military. An average of 145 were supplied to every Army infantry regiment. Jeeps were used for many purposes, including cable laying, Sawmilling, as firefighting pumpers, field ambulances, tractors, and, with suitable wheels, would run on railway tracks. An amphibious jeep, the model GPA, or "seep" (Sea Jeep) was built for Ford in modest numbers, but it could not be considered a success as it was neither a good off-road vehicle nor a good boat. As part of the war effort, nearly 30% of all Jeep production was supplied to Great Britain and to the Soviet Red Army. Post-war military Jeeps The Jeep has been widely imitated around the world, including in France by Delahaye and by Hotchkiss et Cie (after 1954, Hotchkiss manufactured Jeeps under license from Willys), and in Japan by Mitsubishi Motors and Toyota. The Land Rover was inspired by the Jeep. The utilitarian good looks of the original Jeep have been hailed by industrial designers and museum curators alike. The Museum of Modern Art described the Jeep as a masterpiece of functionalist design and has periodically exhibited the Jeep as part of its collection. Pulitzer Prize-winning war correspondent Ernie Pyle called the jeep, along with the Coleman G.I. Pocket Stove, "the two most important pieces of noncombat equipment ever developed." Jeeps became even more famous following the war, as they became available on the surplus market. Some ads claimed to offer "Jeeps still in the factory crate." This legend persisted for decades, despite the fact that Jeeps were never shipped from the factory in crates (although Ford did "knock down" Jeeps for easier shipping, which may have perpetuated the myth). The Jeepney is a unique type of taxi or bus created in the Philippines. The first Jeepneys were military-surplus MBs and GPWs, left behind in the war-ravaged country following World War II and Filipino independence. Jeepneys were built from Jeeps by lengthening and widening the rear "tub" of the vehicle, allowing them to carry more passengers. Over the years, Jeepneys have become the most ubiquitous symbol of the modern Philippines, even as they have been decorated in more elaborate and flamboyant styles by their owners. Most Jeepneys today are scratch-built by local manufacturers, using different powertrains. Aside from Jeepneys, backyard assemblers in the Philippines construct replica Jeeps with stainless steel bodies and surplus parts, and are called "owner-type jeeps" (as jeepneys are also called "passenger-type jeeps"). In the United States military, the Jeep has been supplanted by a number of vehicles (e.g. Ford's M151) of which the latest is the Humvee. CJ-V35/U After World War II, Jeep began to experiment with new designs, including a model that could drive underwater. On February 1, 1950, contract N8ss-2660 was approved for 1,000 units "especially adapted for general reconnaissance or command communications" and "constructed for short period underwater operation such as encountered in landing and fording operations." The engine was modified with a snorkel system so that the engine could properly breathe underwater. M715 In 1965, Jeep developed the M715 army truck, a militarized version of the civilian J-series Jeep truck, which served extensively in the Vietnam War. It had heavier full-floating axles and a foldable, vertical, flat windshield. Today, it serves other countries and is still being produced by Kia under license. Jeep etymology Many explanations of the origin of the word jeep have proven difficult to verify. The most widely held theory is that the military designation GP (for Government Purposes or General Purpose) was slurred into the word Jeep in the same way that the contemporary HMMWV (for High-Mobility Multi-purpose Wheeled Vehicle) has become known as the Humvee. Joe Frazer, Willys-Overland President from 1939 to 1944, claimed to have coined the word jeep by slurring the initials G.P. There are no contemporaneous uses of "GP" before later attempts to create a "backronym." A more detailed view, popularized by R. Lee Ermey on his television series Mail Call, disputes this "slurred GP" origin, saying that the vehicle was designed for specific duties, and was never referred to as "General Purpose" and it is highly unlikely that the average jeep-driving GI would have been familiar with this designation. The Ford GPW abbreviation actually meant G for government use, P to designate its wheelbase and W to indicate its Willys-Overland designed engine. Ermey suggests that soldiers at the time were so impressed with the new vehicles that they informally named it after Eugene the Jeep, a character in the Thimble Theatre comic strip and cartoons created by E. C. Segar, as early as mid-March 1936. Eugene the Jeep was Popeye's "jungle pet" and was "small, able to move between dimensions and could solve seemingly impossible problems." The word "jeep" however, was used as early as World War I, as U.S. Army slang for new uninitiated recruits, or by mechanics to refer to new unproven vehicles. In 1937, tractors which were supplied by Minneapolis Moline to the US Army were called jeeps. A precursor of the Boeing B-17 Flying Fortress was also referred to as the jeep. Words of the Fighting Forces by Clinton A. Sanders, a dictionary of military slang, published in 1942, in the library at The Pentagon gives this definition: Jeep: A four-wheel drive vehicle of one-half- [] to one-and-one-half-ton [] capacity for reconnaissance or other army duty. A term applied to the bantam-cars, and occasionally to other motor vehicles (U.S.A.) in the Air Corps, the Link Trainer; in the armored forces, the -ton [] command vehicle. Also referred to as "any small plane, helicopter, or gadget." This definition is supported by the use of the term "jeep carrier" to refer to the Navy's small escort carriers. Early in 1941, Willys-Overland demonstrated the vehicle's off-road capability by having it drive up the steps of the United States Capitol, driven by Willys test driver Irving "Red" Hausmann, who had recently heard soldiers at Fort Holabird calling it a "jeep." When asked by syndicated columnist Katharine Hillyer for the Washington Daily News (or by a bystander, according to another account) what it was called, Hausmann answered, "It's a jeep." Katharine Hillyer's article was published nationally on February 19, 1941, and included a picture of the vehicle with the caption: LAWMAKERS TAKE A RIDE- With Senator Meade, of New York, at the wheel, and Representative Thomas, of New Jersey, sitting beside him, one of the Army's new scout cars, known as "jeeps" or "quads", climbs up the Capitol steps in a demonstration yesterday. Soldiers in the rear seat for gunners were unperturbed. Although the term was also military slang for vehicles that were untried or untested, this exposure caused all other jeep references to fade, leaving the 4x4 with the name. Brand, trademarks and image The "Jeep" brand has gone through many owners, starting with Willys-Overland, which filed the original trademark application for the "Jeep" brand-name in February 1943. To help establish the term as a Willys brand, the firm campaigned with advertisements emphasizing Willys' prominent contribution to the Jeep that helped win the war. Willys' application initially met with years of opposition, primarily from Bantam, but also from Minneapolis-Moline. The Federal Trade Commission initially ruled in favor of Bantam in May 1943, largely ignoring Minneapolis-Moline's claim, and continued to scold Willys-Overland after the war for its advertising. The FTC even slapped the company with a formal complaint, to cease and desist any claims that it "created or designed" the Jeep — Willys was only allowed to advertise its contribution to the Jeep's development. Willys however proceeded to produce the first Civilian Jeep (CJ) branded vehicles in 1945, and simply copyrighted the Jeep name in 1946. Being the only company that continually produced "Jeep" vehicles after the war, Willys-Overland was eventually granted the name "Jeep" as a registered trademark in June 1950. Aside from Willys, King Features Syndicate has held a trademark on the name "Jeep" for their comics since August 1936. Willys had also seriously considered the brand name AGRIJEEP, and was granted the trademark for it in December 1944, but instead the civilian production models as of 1945 were marketed as the "Universal Jeep," which reflected a wider range of uses outside of farming. FCA US LLC, the most recent successor company to the Jeep brand, now holds trademark status on the name "Jeep" and the distinctive 7-slot front grille design. The original 9-slot grille associated with all World War II jeeps was designed by Ford for their GPW, and because it weighed less than the original "Slat Grille" of Willys (an arrangement of flat bars), was incorporated into the "standardized jeep" design. The history of the HMMWV (Humvee) has ties with Jeep. In 1971, Jeep's Defense and Government Products Division was turned into AM General, a wholly owned subsidiary of American Motors Corporation, which also owned Jeep. In 1979, while still owned by American Motors, AM General began the first steps toward designing the Humvee. AM General also continued manufacturing the two-wheel-drive DJ, which Jeep created in 1953. The General Motors Hummer and Chrysler Jeep have been waging battle in U.S. courts over the right to use seven slots in their respective radiator grilles. Chrysler Jeep claims it has the exclusive rights to use the seven vertical slits since it is the sole remaining assignee of the various companies since Willys gave their postwar jeeps seven slots instead of Ford's nine-slot design for the Jeep. Off-road abilities Jeep advertising has always emphasized the brand's vehicles' off-road capabilities. Today, the Wrangler is one of the few remaining four-wheel-drive vehicles with solid front and rear axles. These axles are known for their durability, strength, and articulation. New Wranglers come with a Dana 44 rear differential and a Dana 30 front differential. The upgraded Rubicon model of the JK Wrangler is equipped with electronically activated locking differentials, Dana 44 axles front and rear with 4.10 gears, a 4:1 transfer case, electronic sway bar disconnect, and heavy-duty suspension. Another benefit of solid axle vehicles is they tend to be easier and cheaper to "lift" with aftermarket suspension systems. This increases the distance between the axle and chassis of the vehicle. By increasing this distance, larger tires can be installed, which will increase the ground clearance, allowing it to traverse even larger and more
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with 4.10 gears, a 4:1 transfer case, electronic sway bar disconnect, and heavy-duty suspension. Another benefit of solid axle vehicles is they tend to be easier and cheaper to "lift" with aftermarket suspension systems. This increases the distance between the axle and chassis of the vehicle. By increasing this distance, larger tires can be installed, which will increase the ground clearance, allowing it to traverse even larger and more difficult obstacles. In addition to higher ground clearance, many owners aim to increase suspension articulation or "flex" to give their Jeeps greatly improved off-road capabilities. Good suspension articulation keeps all four wheels in contact with the ground and maintains traction. Useful features of the smaller Jeeps are their short wheelbases, narrow frames, and ample approach, breakover, and departure angles, allowing them to fit into places where full-size four-wheel drives have difficulty. Company history and ownership After the war, Willys did not resume production of its passenger-car models, choosing instead to concentrate on Jeeps and Jeep-branded vehicles, launching the Jeep Station Wagon in 1946, the Jeep Truck in 1947, and the Jeepster in 1948. An attempt to re-enter the passenger-car market in 1952 with the Willys Aero sedan proved unsuccessful, and ended with the company's acquisition by Kaiser Motors in 1953, for $60 million. Kaiser initially called the merged company "Willys Motors", but renamed itself Kaiser-Jeep in 1963. By the end of 1955, Kaiser-Frazer had dropped the Willys Aero, as well as its own passenger cars to sell Jeeps exclusively. American Motors Corporation (AMC) in turn purchased Kaiser's money-losing Jeep operations in 1970. This time $70 million changed hands. The utility vehicles complemented AMC's passenger car business by sharing components, achieving volume efficiencies, as well as capitalizing on Jeep's international and government markets. In 1971, AMC spun off Jeep's commercial, postal, and military vehicle lines into a separate subsidiary, AM General – the company that later developed the M998 Humvee. In 1976 Jeep introduced the CJ-7, replacing the CJ-6 in North America, as well as crossing 100,000 civilian units in annual global sales for the first time. The French automaker Renault began investing in AMC in 1979. Renault began selling Jeeps through their European dealerships soon thereafter, beginning in Belgium and France, gradually supplanting a number of independent importers. During this period Jeep introduced the XJ Cherokee, its first unibody SUV; and global sales topped 200,000 for the first time in 1985. However, the replacement of the CJ Jeeps by the new Wrangler line in 1986 marked the start of a different era. By 1987, the automobile markets had changed and Renault itself was experiencing financial troubles. At the same time, Chrysler Corporation wanted to capture the Jeep brand, as well as other assets of AMC. So Chrysler bought out AMC in 1987, shortly after the Jeep CJ-7 had been replaced with the AMC-designed Wrangler YJ. After more than 40 years, the four-wheel drive utility vehicles brand that had been a profitable niche for smaller automakers fell into the hands of one of the Big Three; and Jeep was the only AMC brand continued by Chrysler after the acquisition. But Chrysler subsequently merged with Daimler-Benz in 1998 and folded into DaimlerChrysler. DaimlerChrysler eventually sold most of their interest in Chrysler to a private equity company in 2007. Chrysler and the Jeep division operated under Chrysler Group LLC, until December 15, 2014, when Chrysler folded into Fiat Chrysler Automobiles, with the stateside subsidiary operating under 'FCA US LLC'. Jeeps have been built under licence by various manufacturers around the world, including Mahindra in India, EBRO in Spain, and several in South America. Mitsubishi built more than 30 models in Japan between 1953 and 1998; Most were based on the CJ-3B model of the original Willys-Kaiser design. Toledo, Ohio has been the headquarters of the Jeep brand since its inception, and the city has always been proud of this heritage. Although no longer produced in the same Toledo Complex as the World War II originals, two streets in the vicinity of the old plant are named Willys Parkway and Jeep Parkway. The Jeep Wrangler and Jeep Cherokee are built in the city currently, in separate facilities, not far from the site of the original Willys-Overland plant. American Motors set up the first automobile-manufacturing joint venture in the People's Republic of China on January 15, 1984. The result was Beijing Jeep Corporation, Ltd., in partnership with Beijing Automobile Industry Corporation, to produce the Jeep Cherokee (XJ) in Beijing. Manufacture continued after Chrysler's buyout of AMC. This joint venture is now part of DaimlerChrysler and DaimlerChrysler China Invest Corporation. The original 1984 XJ model was updated and called the "Jeep 2500" toward the end of its production that ended after 2005. While Jeeps have been built in India under license by Mahindra & Mahindra since the 1960s, Jeep has entered the Indian market directly in 2016, starting with the release of the Wrangler and Grand Cherokee in the country. Ownership chronology 1944–1953: Willys-Overland 1953–1964: Kaiser Jeep (calling themselves "Willys Motors") 1964–1970: Kaiser Jeep 1970–1987: AMC (w/ Renault controlling production in 1986) 1987–1998: Chrysler Corporation 1998–2007: DaimlerChrysler AG 2007–2009: Chrysler LLC 2009–2013: Chrysler Group LLC - Fiat Group Automobiles 2014–2021: Fiat Chrysler Automobiles 2021–present: Stellantis Military Jeeps model list 1940 Willys Quad — Willys' first prototype, competing for the U.S. Army contract for a reconnaissance vehicle 1941 Willys MA — Willys' low-volume preproduction model, preceding the standardized World War II jeep 1941–1944 Willys MT "Super Jeep" — 6x6, prototype — a small number were built in various configurations 1942 Willys MB – slat grille 1942–1945 Willys MB – stamped grille 1943 Willys WAC (for 'Willys Air Cooled') "Jeeplet" — prototype for a super light-weight, full-time 4WD with front and rear independent suspension 1944 Willys MLW-1 (for 'Military Long Wheelbase') — prototype (never finished) 1944 Willys MLW-2 (for 'Military Long Wheelbase') or "Jungle Jeep" — prototype for a half-ton, jungle-suited jeep 1948 Willys Jungle Burden Carrier — a medical litter, personnel and cargo carrier, built in small numbers for testing in jungle warfare and with airborne forces. 1949–1952 Willys MC / M38 1950 CJ V-35(/U) – deep water fording CJ-3A; 1000 units built for the USMC 1952–1971 Willys / Kaiser MD / M38A1 1952–1957 Willys M38A1C – fitted with 105/106mm anti-tank recoilless rifle 1950s/1960s Willys M38A1D – a small number of M38A1s carried the M28 or M29 "Davy Crockett Weapon System", the US' smallest tactical nuclear weapon, fired from a 120mm or 155mm recoilless rifle M170 Ambulance 1953 Willys BC Bobcat aka "Aero Jeep" — prototype for a very small, lightweight () jeep, for easier lifting by helicopters of the day. 1958–1960 Willys XM443 / M443E1 "Super Mule" – prototypes for , underfloor mid-engined platform-trucks, comparable to, but larger than the M274 "Mechanical Mule" 1959–1982 M151 jeep — Although the M151 was developed and initially produced by Ford, production contracts for the M151A2 were later also awarded to Kaiser Jeep and AM General Corp, a Jeep sister company, once Jeep had become part of AMC. 1970–1982 M151A2 M718A1 Ambulance M825 Weapons Platform 1960–1968 Jeep M606 1964 US Navy and USMC variants of the Forward Control FC-170, labeled "Truck, Diesel engine, GVW, 4x4": M676 Truck, Cargo Pickup M677 Truck, Cargo Pickup w/4 Dr. Cab M678 Truck, Carry All M679 Truck, Ambulance 1967–1969 Kaiser Jeep M715 truck — based on the civilian Jeep Gladiator Civilian Jeeps model list Jeep CJ The CJ (for "Civilian Jeep") series were literally the first "Jeep" branded vehicles sold commercially to the civilian public, beginning in 1945 with the CJ-2A, followed by the CJ-3A in 1949 and the CJ-3B in 1953. These early Jeeps are frequently referred to as "flat-fenders" because their front fenders were completely flat and straight, just as on the original WW II model (the Willys MB and identical Ford GPW). The CJ-4 exists only as a single 1951 prototype and constitutes the "missing link" between the flat-fendered CJ-2A and CJ-3A/B, and the subsequent Jeeps with new bodies, featuring rounded fenders and hoods, beginning with the 1955 CJ-5, first introduced as the military Willys MD (or M38A1). The restyled body was mostly prompted to clear the taller new overhead-valve Hurricane engine. 1944–1945 CJ-2 – pre-production units 1945–1949 CJ-2A 1949–1953 CJ-3A 1953–1968 CJ-3B 1954–1983 CJ-5 1955–1975 CJ-6 1964–1967 CJ-5A/CJ-6A Tuxedo Park 1976–1986 CJ-7 1981–1985 CJ-8 Scrambler 1981–1985 CJ-10 Willys Jeep Station Wagon and Truck The 1946–1965 Willys Jeep Station Wagon and the 1947–1965 Willys Jeep Truck shared much in terms of styling and engineering. With over 300,000 wagons and its variants built in the U.S., it was one of Willys' most successful post-World War II models. Its production coincided with consumers moving to the suburbs. Willys / Jeep Jeepster & (Jeepster) Commando The Jeepster introduced in 1948 was directly based on the rear-wheel-drive Jeep Station Wagon chassis, and shared many of the same parts. 1948–1950 Willys VJ Jeepster 1948–1949 VJ2 Jeepster 1949–1951 VJ3 Jeepster (Jeepster) Commando 1966–1971 C101—Jeepster Commando Hurst Jeepster (only 100 produced) Hurst Half Cab Revival Jeepster Commando convertible open body roadster 1972–1973 C104—Jeep Commando Commando Half Cab Jeep Forward Control The 1956–1965 Jeep Forward Control was built in both civilian and military models. The civilian versions were: FC-150 FC-160—Spain, India FC-170 Jeep DJ and Fleetvan From 1955 onwards Willys offered two-wheel drive versions of their CJ Jeeps for commercial use, called DJ models (for 'Dispatcher Jeep'), in both open and closed body styles. A well-known version was the right-hand drive model with sliding side-doors, used by the US Postal service. In 1961 the range was expanded with the 'Fleetvan' delivery van, based on DJ Jeeps. 1955 USAF DJ 1955–1964 DJ-3A 1965–1975 DJ-5 1965–1973 DJ-6
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the 2001 census, the country's largest Protestant denominations are the Church of God (24%), Seventh-day Adventist Church (11%), Pentecostal (10%), Baptist (7%), Anglican (4%), United Church (2%), Methodist (2%), Moravian (1%) and Plymouth Brethren (1%). Bedwardism is a form of Christianity native to the island, sometime view as a separate faith. The Christian faith gained acceptance as British Christian abolitionists and Baptist missionaries joined educated former slaves in the struggle against slavery. The Rastafari movement has 29,026 adherents, according to the 2011 census, with 25,325 Rastafarian males and 3,701 Rastafarian females. The faith originated in Jamaica in the 1930s and though rooted in Christianity it is heavily Afrocentric in its focus, revering figures such as the Jamaican black nationalist Marcus Garvey and Haile Selassie, the former Emperor of Ethiopia. Rastafari has since spread across the globe, especially to areas with large black or African diasporas. Various faiths and traditional religious practices derived from Africa are practised on the island, notably Kumina, Convince, Myal and Obeah. Other religions in Jamaica include Jehovah's Witnesses (2% population), the Bahá'í faith, which counts perhaps 8,000 adherents and 21 Local Spiritual Assemblies, Mormonism, Buddhism, and Hinduism. The Hindu Diwali festival is celebrated yearly among the Indo-Jamaican community. There is also a small population of about 200 Jews, who describe themselves as Liberal-Conservative. The first Jews in Jamaica trace their roots back to early 15th-century Spain and Portugal. Kahal Kadosh Shaare Shalom, also known as the United Congregation of Israelites, is a historic synagogue located in the city of Kingston. Originally built in 1912, it is the official and only Jewish place of worship left on the island. The once abundant Jewish population has voluntarily converted to Christianity over time. Shaare Shalom is one of the few synagogues in the world that contains sand covered floors and is a popular tourist destination. Other small groups include Muslims, who claim 5,000 adherents. The Muslim holidays of Ashura (known locally as Hussay or Hosay) and Eid have been celebrated throughout the island for hundreds of years. In the past, every plantation in each parish celebrated Hosay. Today it has been called an Indian carnival and is perhaps most well known in Clarendon where it is celebrated each August. People of all religions attend the event, showing mutual respect. Culture Music Though a small nation, Jamaican culture has a strong global presence. The musical genres reggae, ska, mento, rocksteady, dub, and, more recently, dancehall and ragga all originated in the island's vibrant, popular urban recording industry. These have themselves gone on to influence numerous other genres, such as punk rock (through reggae and ska), dub poetry, New Wave, two-tone, lovers rock, reggaeton, jungle, drum and bass, dubstep, grime and American rap music. Some rappers, such as The Notorious B.I.G., Busta Rhymes, and Heavy D, are of Jamaican descent. Bob Marley is probably the best known Jamaican musician; with his band The Wailers he had a string of hits in 1960s–70s, popularising reggae internationally and going on to sell millions of records. Many other internationally known artists were born in Jamaica, including Toots Hibbert, Millie Small, Burning Spear, Alton Ellis, Lee "Scratch" Perry, Gregory Isaacs, Half Pint, Protoje, Peter Tosh, Bunny Wailer, Big Youth, Jimmy Cliff, Dennis Brown, Desmond Dekker, Beres Hammond, Beenie Man, Shaggy, Grace Jones, Shabba Ranks, Super Cat, Buju Banton, Sean Paul, I Wayne, Bounty Killer and many others. Bands that came from Jamaica include Black Uhuru, Third World Band, Inner Circle, Chalice Reggae Band, Culture, Fab Five and Morgan Heritage. Literature The journalist and author H. G. de Lisser (1878–1944) used his native country as the setting for his many novels. Born in Falmouth, Jamaica, de Lisser worked as a reporter for the Jamaica Times at a young age and in 1920 began publishing the magazine Planters' Punch. The White Witch of Rosehall is one of his better-known novels. He was named Honorary President of the Jamaican Press Association; he worked throughout his professional career to promote the Jamaican sugar industry. Roger Mais (1905 – 1955), a journalist, poet, and playwright wrote many short stories, plays, and novels, including The Hills Were Joyful Together (1953), Brother Man (1954), and Black Lightning (1955). Ian Fleming (1908 – 1964), who had a home in Jamaica where he spent considerable time, repeatedly used the island as a setting in his James Bond novels, including Live and Let Die, Doctor No, "For Your Eyes Only", The Man with the Golden Gun, and Octopussy and The Living Daylights. In addition, James Bond uses a Jamaica-based cover in Casino Royale. So far, the only James Bond film adaptation to have been set in Jamaica is Doctor No. Filming for the fictional island of San Monique in Live and Let Die took place in Jamaica. Marlon James (1970), novelist has published three novels: John Crow's Devil (2005), The Book of Night Women (2009) and A Brief History of Seven Killings (2014), winner of the 2015 Man Booker Prize. Film Jamaica has a history in the film industry dating from the early 1960s. A look at delinquent youth in Jamaica is presented in the 1970s musical crime film The Harder They Come, starring Jimmy Cliff as a frustrated (and psychopathic) reggae musician who descends into a murderous crime spree. Other notable Jamaican films include Countryman, Rockers, Dancehall Queen, One Love, Shottas, Out the Gate, Third World Cop and Kingston Paradise. Jamaica is also often used as a filming location, such as the James Bond film Dr. No (1962), Papillon (1973) starring Steve McQueen, Cocktail (1988) starring Tom Cruise, and the 1993 Disney comedy Cool Runnings, which is loosely based on the true story of Jamaica's first bobsled team trying to make it in the Winter Olympics. Cuisine The island is famous for its Jamaican jerk spice, curries, and rice and peas, which is integral to Jamaican cuisine. Jamaica is also home of Red Stripe beer and Jamaican Blue Mountain Coffee. National symbols (From the Jamaica Information Service) National bird: red-billed streamertail (also called doctor bird) (a hummingbird, Trochilus polytmus) National flower – lignum vitae (Guiacum officinale) National tree: blue mahoe (Hibiscus talipariti elatum) National fruit: ackee (Blighia sapida) National motto: "Out of Many, One People." Sport Sport is an integral part of national life in Jamaica and the island's athletes tend to perform to a standard well above what might ordinarily be expected of such a small country. While the most popular local sport is cricket, on the international stage Jamaicans have tended to do particularly well at track and field athletics. Jamaica has produced some of the world's most famous cricketers, including George Headley, Courtney Walsh, Chris Gayle and Michael Holding. The country was one of the venues of 2007 Cricket World Cup and the West Indies cricket team is one of 12 ICC full member teams that participate in international Test cricket. The Jamaica national cricket team competes regionally, and also provides players for the West Indies team. Sabina Park is the only Test venue in the island, but the Greenfield Stadium is also used for cricket. Chris Gayle is the most renowned batsman from Jamaica, currently representing the West Indies cricket team. Since independence Jamaica has consistently produced world class athletes in track and field. In Jamaica involvement in athletics begins at a very young age and most high schools maintain rigorous athletics programs with their top athletes competing in national competitions (most notably the VMBS Girls and Boys Athletics Championships) and international meets (most notably the Penn Relays). In Jamaica it is not uncommon for young athletes to attain press coverage and national fame long before they arrive on the international athletics stage. Over the past six decades Jamaica has produced dozens of world class sprinters including Olympic and World Champion Usain Bolt, world record holder in the 100m for men at 9.58s, and 200m for men at 19.19s. Other noteworthy Jamaican sprinters include Arthur Wint, the first Jamaican Olympic gold medalist; Donald Quarrie, Elaine Thompson double Olympic champion from Rio 2016 in the 100m and 200m, Olympic Champion and former 200m world record holder; Roy Anthony Bridge, part of the International Olympic Committee; Merlene Ottey; Delloreen Ennis-London; Shelly-Ann Fraser-Pryce, the former World and two time Olympic 100m Champion; Kerron Stewart; Aleen Bailey; Juliet Cuthbert; three-time Olympic gold medalist; Veronica Campbell-Brown; Sherone Simpson; Brigitte Foster-Hylton; Yohan Blake; Herb McKenley; George Rhoden, Olympic gold medalist; Deon Hemmings, Olympic gold medalist; as well as Asafa Powell, former 100m world record holder and two-time 100m Olympic finalist and gold medal winner in the men's 2008 Olympic . American Olympic winner Sanya Richards-Ross was also born in Jamaica. Jamaica has also produced several world class amateur and professional boxers including Trevor Berbick and Mike McCallum. First-generation Jamaican athletes have continued to make a significant impact on the sport internationally, especially in the United Kingdom where the list of top British boxers born in Jamaica or of Jamaican parents includes Lloyd Honeyghan, Chris Eubank, Audley Harrison, David Haye, Lennox Lewis and Frank Bruno, Donovan "Razor" Ruddock, Mike Tyson, and Floyd Mayweather Jr., whose maternal grandfather is Jamaican. Association football and horse-racing are other popular sports in Jamaica. The national football team qualified for the 1998 FIFA World Cup. Horse racing was Jamaica's first sport. It was brought in the 1700s by British immigrants to satisfy their longing for their favorite pastime back at home. During slavery, the Afro-Jamaican slaves were considered the best horse jockeys. Today, horse racing provides jobs for about 20,000 people including horse breeders, groomers, and trainers. Also, several Jamaicans are known internationally for their success in horse racing including Richard DePass, who once held the Guinness Book of World Records for the most wins in a day, Canadian awards winner George HoSang, and American award winners Charlie Hussey, Andrew Ramgeet, and Barrington Harvey. Also, there are hundreds of Jamaicans who are employed in the United States, Canada, and the United Kingdom as exercise riders and groomers. Race car driving is also a popular sport in Jamaica with several car racing tracks and racing associations across the country. The Jamaica national bobsled team was once a serious contender in the Winter Olympics, beating many well-established teams. Chess and basketball are widely played in Jamaica and are supported by the Jamaica Chess Federation (JCF) and the Jamaica Basketball Federation (JBF), respectively. Netball is also very popular on the island, with the Jamaica national netball team called The Sunshine Girls consistently ranking in the top five in the world. Rugby league has been played in Jamaica since 2006. The Jamaica national rugby league team is made up of players who play in Jamaica and from UK based professional and semi professional clubs (notably in the Super League and Championship). In November 2018 for the first time ever, the Jamaican rugby league team qualified for the Rugby League World Cup after defeating the USA & Canada. Jamaica will play in the 2021 Rugby League World Cup in England. According to ESPN, the highest paid Jamaican professional athlete in 2011 was Justin Masterson, starting pitcher for the baseball team Cleveland Indians in the United States. Education The emancipation of the slaves heralded the establishment of an education system for the masses. Prior to emancipation there were few schools for educating locals and many sent their children off to England to access quality education. After emancipation the West Indian Commission granted a sum of money to establish Elementary Schools, now known as All Age Schools. Most of these schools were established by the churches. This was the genesis of the modern Jamaican school system. Presently the following categories of schools exist: Early childhood – Basic, infant and privately operated pre-school. Age cohort: 2 – 5 years. Primary – Publicly and privately owned (privately owned being called preparatory schools). Ages 3 – 12 years. Secondary – Publicly and privately owned. Ages 10 – 19 years. The high schools in Jamaica may be either single-sex or co-educational institutions, and many schools follow the traditional English grammar school model used throughout the British West Indies. Tertiary – Community colleges; teachers' colleges, with the Mico Teachers' College (now The MICO University College) being the oldest, founded in 1836; the Shortwood Teachers' College (which was once an all-female teacher training institution); vocational training centres, colleges and universities, publicly and privately owned. There are five local universities: the University of the West Indies (Mona Campus); the University of Technology, Jamaica, formerly The College of Art Science and Technology (CAST); the Northern Caribbean University, formerly West Indies College; the University of the Commonwealth Caribbean, formerly the University College of The Caribbean; and the International University of the Caribbean. Additionally, there are many community and teacher training colleges. Education is free from the early childhood to secondary levels. There are also opportunities for those who cannot afford further education in the vocational arena, through the Human Employment and Resource Training-National Training Agency (HEART Trust-NTA) programme, which is opened to all working age national population and through an extensive scholarship network for the various universities. Students are taught Spanish in school from the primary level upwards; about 40–45% of educated people in Jamaica knows some form of Spanish. Economy Jamaica is a mixed economy with both state enterprises and private sector businesses. Major sectors of the Jamaican economy include agriculture, mining, manufacturing, tourism, petroleum refining, financial and insurance services. Tourism and mining are the leading earners of foreign exchange. Half the Jamaican economy relies on services, with half of its income coming from services such as tourism. An estimated 4.3 million foreign tourists visit Jamaica every year. According to the World Bank, Jamaica is an upper-middle income country that, like its Caribbean neighbours, is vulnerable to the effects of climate change, flooding, and hurricanes. In 2018, Jamaica represented the CARICOM Caribbean Community at the G20 and the G7 annual meetings. In 2019 Jamaica reported its lowest unemployment rate in 50 years. Supported by multilateral financial institutions, Jamaica has, since the early 1980s, sought to implement structural reforms aimed at fostering private sector activity and increasing the role of market forces in resource allocation Since 1991, the government has followed a programme of economic liberalisation and stabilisation by removing exchange controls, floating the exchange rate, cutting tariffs, stabilising the Jamaican dollar, reducing inflation and removing restrictions on foreign investment. Emphasis has been placed on maintaining strict fiscal discipline, greater openness to trade and financial flows, market liberalisation and reduction in the size of government. During this period, a large share of the economy was returned to private sector ownership through divestment and privatisation programmes. The free-trade zones at Kingston, Montego Bay and Spanish Town allow duty-free importation, tax-free profits, and free repatriation of export earnings. Jamaica's economy grew strongly after the years of independence, but then stagnated in the 1980s, due to the heavy falls in price of bauxite and fluctuations in the price of agriculture. The financial sector was troubled in 1994, with many banks and insurance companies suffering heavy losses and liquidity problems. According to the Commonwealth Secretariat, "The government set up the Financial Sector Adjustment Company (Finsac) in January 1997 to assist these banks and companies, providing funds in return for equity, and acquired substantial holdings in banks and insurance companies and related companies..." but it only exasperated the problem, and brought the country into large external debt. From 2001, once it had restored these banks and companies to financial health, Finsac divested them." The Government of Jamaica remains committed to lowering inflation, with a long-term objective of bringing it in line with that of its major trading partners. In 1996 and 1997 there was a decrease in GDP largely due to significant problems in the financial sector and, in 1997, a severe island-wide drought (the worst in 70 years) and hurricane that drastically reduced agricultural production. In 1997 and 1998, nominal GDP was approximately a high of about 8 percent of GDP and then lowered to 4½ percent of GDP in 1999 and 2000. The economy in 1997 was marked by low levels of import growth, high levels of private capital inflows and relative stability in the foreign exchange market. Recent economic performance shows the Jamaican economy is recovering. Agricultural production, an important engine of growth increased to 5.5% in 2001 compared to the corresponding period in 2000, signalling the first positive growth rate in the sector since January 1997. In 2018, Jamaica reported a 7.9% increase in corn, 6.1% increase in plantains, 10.4% increase in bananas, 2.2% increase in pineapples, 13.3% increase in dasheen, 24.9% increase in coconuts, and a 10.6% increase in whole milk production. Bauxite and alumina production increased 5.5% from January to December 1998, compared to the corresponding period in 1997. January's bauxite production recorded a 7.1% increase relative to January 1998 and continued expansion of alumina production through 2009 is planned by Alcoa. Jamaica is the fifth-largest exporter of bauxite in the world, after Australia, China, Brazil and Guinea. The country also exports limestone, of which it holds large deposits. The government is currently implementing plans to increase its extraction. A Canadian company, Carube Copper Corp, has found and confirmed, "...the existence of at least seven significant Cu/Au porphyry systems (in St. Catherine)." They have estimated that, "The porphyry distribution found at Bellas Gate is similar to that found in the Northparkes mining district of New South Wales, Australia (which was) sold to China in 2013 for US$820 million." Carube noted that Jamaica's geology, "... is similar to that of Chile, Argentina and the Dominican Republic – all productive mining jurisdictions." Mining on the sites began in 2017. Tourism, which is the largest foreign exchange earner, showed improvement as well. In 1999 the total visitor arrivals was 2 million, an increase of 100,000 from the previous year. Since 2017, Jamaica's tourism has risen exponentially, rising to 4.3 million average tourists per year. Jamaica's largest tourist markets are from North America, South America, and Europe. In 2017, Jamaica recorded a 91.3% increase in stopover visitors from Southern and Western Europe (and a 41% increase in stopover arrivals from January to September 2017 over the same period from the previous year) with Germany, Portugal and Spain registering the highest percentage gains. In 2018, Jamaica won several World Travel Awards in Portugal winning the "Chairman's Award for Global Tourism Innovation", "Best Tourist Board in the Caribbean" "Best Honeymoon Destination", "Best Culinary Destination", "World's Leading Beach Destination" and "World's Leading Cruise Destination". Two months later, the Travvy Tourism Awards held in New York City, awarded Jamaica's Tourism Minister Edmund Bartlett, with the inaugural Chairman's Award for, "Global Tourism Innovation for the Development of the Global Tourism Resilience and Crisis Management Centre (GTRCM)". Bartlett has also won the Pacific Travel Writer's Association's award in Germany for the, "2018 Best Tourism Minister of the Year". Petrojam, Jamaica's national and only petroleum refinery, is co-owned by the Government of Venezuela. Petrojam, "..operates a 35,000 barrel per day hydro-skimming refinery, to produce Automotive Diesel Oil; Heavy Fuel Oil; Kerosene/Jet Fuel, Liquid Petroleum Gas (LPG), Asphalt and Gasoline." Customers include the Power industry, Aircraft refuellers, and Local Marketing companies. On 20 February 2019, the Jamaican Government voted to retake ownership of Venezuela's 49% share. Jamaica's agricultural exports are sugar, bananas, cocoa, coconut, molasses oranges, limes, grapefruit, rum, yams, allspice (of which it is the world's largest and "most exceptional quality" exporter), and Blue Mountain Coffee which is considered a world renowned gourmet brand. Jamaica has a wide variety of industrial and commercial activities. The aviation industry is able to perform most routine aircraft maintenance, except for heavy structural repairs. There is a considerable amount of technical support for transport and agricultural aviation. Jamaica has a considerable amount of industrial engineering, light manufacturing, including metal fabrication, metal roofing, and furniture manufacturing. Food and beverage processing, glassware manufacturing, software and data processing, printing and publishing, insurance underwriting, music and recording, and advanced education activities can be found in the larger urban areas. The Jamaican construction industry is entirely self-sufficient, with professional technical standards and guidance. Since the first quarter of 2006, the economy of Jamaica has undergone a period of staunch growth. With inflation for the 2006 calendar year down to 6.0% and unemployment down to 8.9%, the nominal GDP grew by an unprecedented 2.9%. An investment programme in island transportation and utility infrastructure and gains in the tourism, mining, and service sectors all contributed this figure. All projections for 2007 show an even higher potential for economic growth with all estimates over 3.0% and hampered only by urban crime and public policies. Jamaica was ranked 72nd in the Global Innovation Index in 2020, up from 81st in 2019. In 2006, Jamaica became part of the CARICOM Single Market and Economy (CSME) as one of the pioneering members. The global economic downturn had a significant impact on the Jamaican economy for the years 2007 to 2009, resulting in negative economic growth. The government implemented a new Debt Management Initiative, the Jamaica Debt Exchange (JDX) on 14 January 2010. The initiative would see holders of Government of Jamaica (GOJ) bonds returning the high interest earning instruments for bonds with lower yields and longer maturities. The offer was taken up by over 95% of local financial institutions and was deemed a success by the government. Owing to the success of the JDX program, the Bruce Golding-led government was successful in entering into a borrowing arrangement with the IMF on 4 February 2010 for the amount of US$1.27b. The loan agreement is for a period of three years. In April 2014, the Governments of Jamaica and China signed the preliminary agreements for the first phase of the Jamaican Logistics Hub (JLH) – the initiative that aims to position Kingston as the fourth node in the global logistics chain, joining Rotterdam, Dubai and Singapore, and serving the Americas. The Project, when completed, is expected to provide many jobs for Jamaicans, Economic Zones for multinational companies and much needed economic growth to alleviate the country's heavy debt-to-GDP ratio. Strict adherence to the IMF's refinancing programme and preparations for the JLH has favourably affected Jamaica's credit rating and outlook from the three biggest rating agencies. In 2018, both Moody's and Standard and Poor Credit ratings upgraded Jamaica's ratings to both "stable and positive" respectively. Science and technology Main articles: Science and technology in Jamaica and List of Jamaican inventions and discoveries The Science, Technology and Innovation (STI) sector is guided by the National Commission on Science and Technology (NCST) and the Scientific Research Council (SRC). Both are under the direction of the Ministry of Science, Energy, and Technology. Since the 1990s, the government has set an agenda to push the development of science and technology in Jamaica. Despite some successes, such as the growth of the nutraceutical industry, it has been difficult to translate the results into domestic technologies, products and services - largely because of national budgetary constraints. However, with Jamaica's improved fiscal position, coming out of its recent IMF programme, the government has pledged to increase expenditure on research and development. Jamaicans have made some noteworthy scientific and medical contributions. Amongst these include the discovery of kwashiorkor, the pioneer of treatments for pediatric sickle cell anemia and the invention of various spacecraft support systems. Infrastructure Transport The transport infrastructure in Jamaica consists of roadways, railways and air transport, with roadways forming the backbone of the island's internal transport system. Roadways The Jamaican road network consists of almost of roads, of which over is paved. The Jamaican Government has, since the late 1990s and in cooperation with private investors, embarked on a campaign of infrastructural improvement projects, one of which includes the creation of a system of freeways, the first such access-controlled roadways of their kind on the island, connecting the main population centres of the island. This project has so far seen the completion of of freeway. Railways Railways in Jamaica no longer enjoy the prominent position they once did, having been largely replaced by roadways as the primary means of transport. Of the of railway found in Jamaica, only remain in operation, currently used to transport bauxite. On 16 April 2011 however, a limited passenger service was resumed between May Pen, Spanish Town, and Linstead and was expected to be fully operational in the following month. Air transport There are three international airports in Jamaica with modern terminals, long runways, and the navigational equipment required to accommodate the large jet aircraft used in modern and air travel: Norman Manley International Airport in Kingston; Ian Fleming International Airport in Boscobel, Saint Mary Parish; and the island's largest and busiest airport, Sir Donald Sangster International Airport in the resort city of Montego Bay. Manley and Sangster International airports are home to the country's national airline, Air Jamaica. In addition there are local commuter airports at Tinson Pen (Kingston), Port Antonio, and Negril, which cater to internal flights only. Many other small, rural centres are served by private airstrips on sugar estates or bauxite mines. Ports, shipping and lighthouses Owing to its location in the Caribbean Sea in the shipping lane to the Panama Canal and relative proximity to large markets in North America and emerging markets in Latin America, Jamaica receives much traffic of shipping containers. The container terminal at the Port of Kingston has undergone large expansion in capacity in recent years to handle growth both already realised as well as that which is projected in coming years. Montego Freeport in Montego Bay also handles a variety of cargo like (though more limited than) the Port of Kingston, mainly agricultural products. There are several other ports positioned around the island, including Port Esquivel in St. Catherine (WINDALCO), Rocky Point in Clarendon, Port Kaiser in St. Elizabeth, Port Rhoades in Discovery Bay, Reynolds Pier in Ocho Rios, and Boundbrook Port in Port Antonio. To aid the navigation of shipping, Jamaica operates nine lighthouses. They are maintained by the Port Authority of Jamaica, an agency of the Ministry of Transport and Works. Energy Jamaica depends on petroleum imports to satisfy its national energy needs. Many test sites have been explored for oil, but no commercially viable quantities have been found. The most convenient sources of imported oil and motor fuels (diesel, gasoline, and jet fuel) are from Mexico and Venezuela. Jamaica's electrical power is produced by diesel (bunker oil) generators located in Old Harbour. This facility has been further equipped with liquid natural gas capability and storage. Other smaller power stations (most owned by the Jamaica Public Service Company, the island's electricity provider) support the island's electrical grid including the Hunts Bay Power Station, the Bogue Power Station Saint James, the Rockfort Power Station Saint Andrew and small hydroelectric plants on the White River, Rio Bueno, Morant River, Black River (Maggotty) and Roaring River. A wind farm, owned by the Petroleum Corporation of Jamaica, was established at Wigton, Manchester. Jamaica has successfully operated a SLOWPOKE-2 nuclear reactor of 20 kW capacity since the early 1980s, but there are no plans to expand nuclear power at present. Jamaica imports approximately of oil energy products per day, including asphalt and lubrication products. Just 20% of imported fuels are used for road transportation, the rest being used by the bauxite industry, electricity generation, and aviation. 30,000 barrels/day of crude imports are processed into various motor fuels and asphalt by the Petrojam Refinery in Kingston. Jamaica produces enormous quantities of drinking alcohol (at least 5% water content), most of which appears to be consumed as beverages, and none used as motor fuel. Facilities exist to refine hydrous ethanol feedstock into anhydrous ethanol (0% water content), but as of 2007, the process appeared to be uneconomic and the production plant was idle. The facility has since been purchased by West Indies Petroleum Ltd. and repurposed for petroleum distillates. Communication Jamaica has a fully digital telephone communication system with a mobile penetration of over 95%. The country's two mobile operators – FLOW Jamaica (formerly LIME, bMobile and Cable and Wireless Jamaica) and Digicel Jamaica have spent millions in network upgrades and expansion. The newest operator, Digicel was granted a licence in 2001 to operate mobile services in the newly liberalised telecom market that had once been the sole domain of the incumbent FLOW (then Cable and Wireless Jamaica) monopoly. Digicel opted for the more widely used GSM wireless system, while a past operator, Oceanic (which became Claro Jamaica and later merged with Digicel Jamaica in 2011) opted for the CDMA standard. FLOW (formerly "LIME" – pre-Columbus Communications merger) which had begun with TDMA standard, subsequently upgraded to GSM in 2002, decommissioned TDMA in 2006 and only utilised that standard until 2009 when LIME launched its 3G network. Both operators currently provide islandwide coverage with HSPA+ (3G) technology. Currently, only Digicel offers LTE to its customers whereas FLOW Jamaica has committed to launching LTE in the cities of Kingston and Montego Bay, places where Digicel's LTE network is currently only found in, in short order. A new entrant to the Jamaican communications market, Flow Jamaica, laid a new submarine cable connecting Jamaica to the United States. This new cable increases the total number of submarine cables connecting Jamaica to the rest of the world to four. Cable and Wireless Communications (parent company of LIME) acquired the company in late 2014 and replaced their brand LIME with FLOW. FLOW Jamaica currently has the most broadband and cable subscribers on the island and also has 1 million mobile subscribers, second to Digicel (which had, at its peak, over 2 million mobile subscriptions on its network). Digicel entered the broadband market in 2010 by offering WiMAX broadband, capable of up to 6 Mbit/s per subscriber. To further their broadband share post-LIME/FLOW merger in 2014, the company introduced a new broadband service called Digicel Play, which is Jamaica's second FTTH offering (after LIME's deployment in selected communities in 2011). It is currently only available in the parishes of Kingston, Portmore and St. Andrew. It offers speeds of up to 200 Mbit/s down, 100 Mbit/s up via a pure fibre optic network. Digicel's competitor, FLOW Jamaica, has a network consisting of ADSL, Coaxial and Fibre to the Home (inherited from LIME) and only offers speeds up to 100 Mbit/s. FLOW has committed to expanding its Fibre offering to more areas in order to combat Digicel's entrance into the market. It was announced that the Office and Utilities Regulations (OUR), Ministry of Science, Technology, Energy and Mining (MSTEM) and the Spectrum Management Authority (SMA) have given approval for another mobile operator licence in January 2016. The identity of this entrant was ascertained on 20 May 2016, when the Jamaican Government named the new carrier as Symbiote Investments Limited operating under the name Caricel. The company will focus on 4G LTE data offerings and will first go live in Kingston, St. Andrew and Portmore and will expand to the rest of Jamaica thereafter. See also Index of Jamaica-related articles List of Jamaicans Outline of Jamaica References Further reading (pp. 45–83) Ammar, N. "From Whence they came". Jamaica Journal. Bahadur, Gaiutra. Coolie Woman: The Odyssey of Indenture. The University of Chicago (2014), Hall, D. "Bounties European Immigration with Special Reference of the German Settlement at Seaford Town, Parts 1 and 2". Jamaica Journal, 8, (4), 48–54 and 9 (1), 2–9. Jacobs, H. P. (2003). Germany in Jamaica. Indian heritage in Jamaica. Jamaica Journal, 10, (2,3,4), 10–19, The Gleaner. Seaford Town Advertising Feature. 14 August 2003, D7 -D8 . External links Governmental details Government of Jamaica Jamaica at the Royal Family website Official website of the Jamaica Information Service The Cabinet Office of the Government of Jamaica Chief of State and Cabinet Members General information Jamaica. The World Factbook. Central Intelligence Agency. Jamaica from UCB Libraries GovPubs Jamaica from the BBC News National Library of Jamaica materials in the Digital Library of the Caribbean JAMAICA VIRTUAL TOUR IN
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Britain and the United States whilst also developing links with Communist states such as Cuba. The optimism of the first decade was accompanied by a growing sense of inequality among many Afro-Jamaicans, and a concern that the benefits of growth were not being shared by the urban poor, many of whom ended up living in crime-ridden shanty towns in Kingston. This, combined with the effects of a slowdown in the global economy in 1970, led to the voters electing the PNP under Michael Manley in 1972. The PNP won 37 seats to the JLP's 16. Manley's government enacted various social reforms, such as a higher minimum wage, land reform, legislation for women's equality, greater housing construction and an increase in educational provision. Internationally he improved ties with the Communist bloc and vigorously opposed the apartheid regime in South Africa. In 1976, the PNP won another landslide, winning 47 seats to the JLP's 13. The turnout was a very high 85 percent. However, the economy faltered in this period due to a combination of internal and external factors (such as the oil shocks). The rivalry between the JLP and PNP became intense, and political and gang-related violence grew significantly in this period. By 1980, Jamaica's gross national product had declined to some 25% below its 1972 level. Seeking change, Jamaicans voted the JLP back in in 1980 under Edward Seaga, the JLP winning 51 seats to the PNP's nine seats. Firmly anti-Communist, Seaga cut ties with Cuba and sent troops to support the US invasion of Grenada in 1983. The economic deterioration, however, continued into the mid-1980s, exacerbated by a number of factors. The largest and third-largest alumina producers, Alpart and Alcoa, closed; and there was a significant reduction in production by the second-largest producer, Alcan. Reynolds Jamaica Mines, Ltd. left the Jamaican industry. There was also a decline in tourism, which was important to the economy. Owing to rising foreign and local debt, accompanied by large fiscal deficits, the government sought International Monetary Fund (IMF) financing, which was dependent on implementing various austerity measures. These resulted in strikes in 1985 and a decline in support for the Seaga government, exacerbated by criticism of the government's response to the devastation caused by Hurricane Gilbert in 1988. Having now de-emphasised socialism and adopting a more centrist position, Michael Manley and the PNP were re-elected in 1989, winning 45 seats to the JLP's 15. The PNP went on to win a string of elections, under Prime Ministers Michael Manley (1989–1992), P. J. Patterson (1992–2005) and Portia Simpson-Miller (2005–2007). In the 1993 Jamaican general election, Patterson led the PNP to victory, winning 52 seats to the JLP's eight seats. Patterson also won the 1997 Jamaican general election, by another landslide margin of 50 seats to the JLP's 10 seats. Patterson's third consecutive victory came in the 2002 Jamaican general election, when the PNP retained power, but with a reduced seat majority of 34 seats to 26. Patterson stepped down on 26 February 2006, and was replaced by Portia Simpson-Miller, Jamaica's first female Prime Minister. The turnout slowly declined during this period of time, from 67.4% in 1993 to 59.1% in 2002. During this period various economic reforms were introduced, such as deregulating the finance sector and floating the Jamaican dollar, as well as greater investment in infrastructure, whilst also retaining a strong social safety net. Political violence, so prevalent in the previous two decades, declined significantly. In 2007 the PNP was defeated by the JLP by a narrow margin of 32 seats to 28, with a turnout of 61.46%. This election ended 18 years of PNP rule, and Bruce Golding became the new prime minister. Golding's tenure (2007–2010) was dominated by the effects of the global recession, as well as the fallout from an attempt by Jamaican police and military to arrest drug lord Christopher Coke in 2010 which erupted in violence, resulting in over 70 deaths. As a result of this incident Golding resigned and was replaced by Andrew Holness in 2011. Independence, however widely celebrated in Jamaica, has been questioned in the early 21st century. In 2011, a survey showed that approximately 60% of Jamaicans believe that the country would have been better off had it remained a British colony, with only 17% believing it would have been worse off, citing as problems years of social and fiscal mismanagement in the country. However, this poll reflected a greater discontent with the JLP handling of crime and the economy, and as a result, Holness and the JLP were defeated in the 2011 Jamaican general election, which saw Portia Simpson-Miller and the PNP return to power. The number of seats had been increased to 63, and the PNP swept to power with a landslide 42 seats to the JLP's 21. The voter turnout was 53.17%. Holness's JLP won the 2016 general election narrowly, defeating Simpson-Miller's PNP, on 25 February. The PNP won 31 seats to the JLP's 32. As a result, Simpson-Miller became Opposition Leader for a second time. The voter turnout dipped below 50% for the first time, registering just 48.37%. In the 2020 general election, Andrew Holness made history for the JLP by accomplishing a second consecutive win for the Jamaica Labour Party, winning 49 seats to 14 won by the PNP, led this time by Peter Phillips. The last time a consecutive win occurred for the JLP was in 1988. However, the turnout at this election was just 37%. Government and politics Jamaica is a parliamentary democracy and constitutional monarchy. The head of state is the Queen of Jamaica (currently Queen Elizabeth II), represented locally by the Governor-General of Jamaica. The governor-general is nominated by the Prime Minister of Jamaica and the entire Cabinet and then formally appointed by the monarch. All the members of the Cabinet are appointed by the governor-general on the advice of the prime minister. The monarch and the governor-general serve largely ceremonial roles, apart from their reserve powers for use in certain constitutional crisis situations. The position of the monarch has been a matter of continuing debate in Jamaica for many years; currently both major political parties are committed to transitioning to a republic with a president. Jamaica's current constitution was drafted in 1962 by a bipartisan joint committee of the Jamaican legislature. It came into force with the Jamaica Independence Act, 1962, which was passed by the Parliament of the United Kingdom, which gave Jamaica independence. The Parliament of Jamaica is bicameral, consisting of the House of Representatives (Lower House) and the Senate (Upper House). Members of the House (known as Members of Parliament or MPs) are directly elected, and the member of the House of Representatives who, in the governor-general's best judgement, is best able to command the confidence of a majority of the members of that House, is appointed by the governor-general to be the prime minister. Senators are nominated jointly by the prime minister and the parliamentary Leader of the Opposition and are then appointed by the governor-general. The Judiciary of Jamaica operates on a common law system derived from English law and Commonwealth of Nations precedents. The court of final appeal is the Judicial Committee of the Privy Council, though during the 2000s Parliament attempted to replace it with the Caribbean Court of Justice. Political parties and elections Jamaica has traditionally had a two-party system, with power often alternating between the People's National Party (PNP) and Jamaica Labour Party (JLP). The party with current administrative and legislative power is the Jamaica Labour Party, after its 2020 victory. There are also several minor parties who have yet to gain a seat in parliament; the largest of these is the National Democratic Movement (NDM). Military The Jamaica Defence Force (JDF) is the small but professional military force of Jamaica. The JDF is based on the British military model with similar organisation, training, weapons and traditions. Once chosen, officer candidates are sent to one of several British or Canadian basic officer courses depending on the arm of service. Enlisted soldiers are given basic training at Up Park Camp or JDF Training Depot, Newcastle, both in St. Andrew. As with the British model, NCOs are given several levels of professional training as they rise up the ranks. Additional military schools are available for speciality training in Canada, the United States and the United Kingdom. The JDF is directly descended from the British Army's West India Regiment, which was formed during the colonial era. The West India Regiment was used extensively throughout the British Empire in policing the empire from 1795 to 1926. Other units in the JDF heritage include the early colonial Jamaica Militia, the Kingston Infantry Volunteers of WWI and reorganised into the Jamaican Infantry Volunteers in World War II. The West Indies Regiment was reformed in 1958 as part of the West Indies Federation, after dissolution of the Federation the JDF was established. The Jamaica Defence Force (JDF) comprises an infantry Regiment and Reserve Corps, an Air Wing, a Coast Guard fleet and a supporting Engineering Unit. The infantry regiment contains the 1st, 2nd and 3rd (National Reserve) battalions. The JDF Air Wing is divided into three flight units, a training unit, a support unit and the JDF Air Wing (National Reserve). The Coast Guard is divided between seagoing crews and support crews who conduct maritime safety and maritime law enforcement as well as defence-related operations. The role of the support battalion is to provide support to boost numbers in combat and issue competency training in order to allow for the readiness of the force. The 1st Engineer Regiment was formed due to an increased demand for military engineers and their role is to provide engineering services whenever and wherever they are needed. The Headquarters JDF contains the JDF Commander, Command Staff as well as Intelligence, Judge Advocate office, Administrative and Procurement sections. In recent years the JDF has been called on to assist the nation's police, the Jamaica Constabulary Force (JCF), in fighting drug smuggling and a rising crime rate which includes one of the highest murder rates in the world. JDF units actively conduct armed patrols with the JCF in high-crime areas and known gang neighbourhoods. There has been vocal controversy as well as support of this JDF role. In early 2005, an Opposition leader, Edward Seaga, called for the merger of the JDF and JCF. This has not garnered support in either organisation nor among the majority of citizens. In 2017, Jamaica signed the UN treaty on the Prohibition of Nuclear Weapons. Administrative divisions Jamaica is divided into 14 parishes, which are grouped into three historic counties that have no administrative relevance. In the context of local government the parishes are designated "Local Authorities". These local authorities are further styled as "Municipal Corporations", which are either city municipalities or town municipalities. Any new city municipality must have a population of at least 50,000, and a town municipality a number set by the Minister of Local Government. There are currently no town municipalities. The local governments of the parishes of Kingston and St. Andrews are consolidated as the city municipality of Kingston & St. Andrew Municipal Corporation. The newest city municipality created is the Municipality of Portmore in 2003. While it is geographically located within the parish of St. Catherine, it is governed independently. Geography and environment Jamaica is the third largest island in the Caribbean. It lies between latitudes 17° and 19°N, and longitudes 76° and 79°W. Mountains dominate the interior: the Don Figuerero, Santa Cruz, and May Day mountains in the west, the Dry Harbour Mountains in the centre, and the John Crow Mountains and Blue Mountains in the east, the latter containing Blue Mountain Peak, Jamaica's tallest mountain at 2,256 m. They are surrounded by a narrow coastal plain. Jamaica only has two cities, the first being Kingston, the capital city and centre of business, located on the south coast and the second being Montego Bay, one of the best known cities in the Caribbean for tourism, located on the north coast. Kingston Harbour is the seventh-largest natural harbour in the world, which contributed to the city being designated as the capital in 1872. Other towns of note include Portmore, Spanish Town, Savanna la Mar, Mandeville and the resort towns of Ocho Ríos, Port Antonio and Negril. Tourist attractions include Dunn's River Falls in St. Ann, YS Falls in St. Elizabeth, the Blue Lagoon in Portland, believed to be the crater of an extinct volcano, and Port Royal, site of a major earthquake in 1692 that helped form the island's Palisadoes tombolo. Among the variety of terrestrial, aquatic and marine ecosystems are dry and wet limestone forests, rainforest, riparian woodland, wetlands, caves, rivers, seagrass beds and coral reefs. The authorities have recognised the tremendous significance and potential of the environment and have designated some of the more "fertile" areas as "protected". Among the island's protected areas are the Cockpit Country, Hellshire Hills, and Litchfield forest reserves. In 1992, Jamaica's first marine park, covering nearly , was established in Montego Bay. Portland Bight Protected Area was designated in 1999. The following year Blue and John Crow Mountains National Park was created, covering roughly of a wilderness area which supports thousands of tree and fern species and rare animals. There are several small islands off Jamaica's coast, most notably those in Portland Bight such as Pigeon Island, Salt Island, Dolphin Island, Long Island, Great Goat Island and Little Goat Island, and also Lime Cay located further east. Much further out – some 50–80 km off the south coast – lie the very small Morant Cays and Pedro Cays. Climate The climate in Jamaica is tropical, with hot and humid weather, although higher inland regions are more temperate. Some regions on the south coast, such as the Liguanea Plain and the Pedro Plains, are relatively dry rain-shadow areas. Jamaica lies in the hurricane belt of the Atlantic Ocean and because of this, the island sometimes suffers significant storm damage. Hurricanes Charlie and Gilbert hit Jamaica directly in 1951 and 1988, respectively, causing major damage and many deaths. In the 2000s (decade), hurricanes Ivan, Dean, and Gustav also brought severe weather to the island. Flora and fauna Jamaica's climate is tropical, supporting diverse ecosystems with a wealth of plants and animals. Its plant life has changed considerably over the centuries; when the Spanish arrived in 1494, except for small agricultural clearings, the country was deeply forested. The European settlers cut down the great timber trees for building and ships' supplies, and cleared the plains, savannas, and mountain slopes for intense agricultural cultivation. Many new plants were introduced including sugarcane, bananas, and citrus trees. Jamaica is home to about 3,000 species of native flowering plants (of which over 1,000 are endemic and 200 are species of orchid), thousands of species of non-flowering flora, and about 20 botanical gardens, some of which are several hundred years old. Areas of heavy rainfall also contain stands of bamboo, ferns, ebony, mahogany, and rosewood. Cactus and similar dry-area plants are found along the south and southwest coastal area. Parts of the west and southwest consist of large grasslands, with scattered stands of trees. Jamaica is home to three terrestrial ecoregions, the Jamaican moist forests, Jamaican dry forests, and Greater Antilles mangroves. It had a 2019 Forest Landscape Integrity Index mean score of 5.01/10, ranking it 110th globally out of 172 countries. Jamaica's fauna, typical of the Caribbean, includes highly diversified wildlife with many endemic species. As with other oceanic islands, land mammals are mostly several species of bats of which at least three endemic species are found only in Cockpit Country, one of which is at-risk. Other species of bat include the fig-eating and hairy-tailed bats. The only non-bat native mammal extant in Jamaica is the Jamaican hutia, locally known as the coney. Introduced mammals such as wild boar and the small Asian mongoose are also common. Jamaica is also home to about 50 species of reptiles, the largest of which is the American crocodile; however, it is only present within the Black River and a few other areas. Lizards such as anoles, iguanas and snakes such as racers and the Jamaican boa (the largest snake on the island), are common in areas such as the Cockpit Country. None of Jamaica's eight species of native snakes is venomous. Jamaica is home to about 289 species of birds of which 27 are endemic including the endangered black-Billed parrots and the Jamaican blackbird, both of which are only found in Cockpit Country. It is also the indigenous home to four species of hummingbirds (three of which are found nowhere else in the world): the black-billed streamertail, the Jamaican mango, the Vervain hummingbird, and red-billed streamertails. The red-billed streamertail, known locally as the "doctor bird", is Jamaica's National Symbol. Other notable species include the Jamaican tody and the Greater flamingo, One species of freshwater turtle is native to Jamaica, the Jamaican slider. It is found only on Jamaica and on a few islands in the Bahamas. In addition, many types of frogs are common on the island, especially treefrogs. Jamaican waters contain considerable resources of fresh and saltwater fish. The chief varieties of saltwater fish are kingfish, jack, mackerel, whiting, bonito, and tuna. Fish that occasionally enter freshwater and estuarine environments include snook, jewfish, mangrove snapper, and mullets. Fish that spend the majority of their lives in Jamaica's fresh waters include many species of livebearers, killifish, freshwater gobies, the mountain mullet, and the American eel. Tilapia have been introduced from Africa for aquaculture, and are very common. Also visible in the waters surrounding Jamaica are dolphins, parrotfish, and the endangered manatee. Insects and other invertebrates are abundant, including the world's largest centipede, the Amazonian giant centipede. Jamaica is the home to about 150 species of butterflies and moths, including 35 indigenous species and 22 subspecies. It is also the native home to the Jamaican swallowtail, the western hemisphere's largest butterfly. Aquatic life Coral reef ecosystems are important because they provide people with a source of livelihood, food, recreation, and medicinal compounds and protect the land on which they live. Jamaica relies on the ocean and its ecosystem for its development. However, the marine life in Jamaica is also being affected. There could be many factors that contribute to marine life not having the best health. Jamaica's geological origin, topographical features and seasonal high rainfall make it susceptible to a range of natural hazards that can affect the coastal and oceanic environments. These include storm surge, slope failures (landslides), earthquakes, floods and hurricanes. Coral reefs in the Negril Marine Park (NMP), Jamaica, have been increasingly impacted by nutrient pollution and macroalgal blooms following decades of intensive development as a major tourist destination. Another one of those factors could include tourism: being that Jamaica is a very touristy place, the island draws numerous people traveling here from all over the world. The Jamaican tourism industry accounts for 32% of total employment and 36% of the country's GDP and is largely based on the sun, sea and sand, the last two of these attributes being dependent on healthy coral reef ecosystems. Because of Jamaica's tourism, they have developed a study to see if the tourist would be willing to help financially to manage their marine ecosystem because Jamaica alone is unable to. The ocean connects all the countries all over the world, however, everyone and everything is affecting the flow and life in the ocean. Jamaica is a very touristy place specifically because of their beaches. If their oceans are not functioning at their best then the well-being of Jamaica and the people who live there will start to deteriorate. According to the OECD, oceans contribute $1.5 trillion annually in value-added to the overall economy. A developing country on an island will get the majority of their revenue from their ocean. Pollution Pollution comes from run-off, sewage systems, and garbage. However, this typically all ends up in the ocean after there is rain or floods. Everything that ends up in the water changes the quality and balance of the ocean. Poor coastal water quality has adversely affected fisheries, tourism and mariculture, as well as undermining biological sustainability of the living resources of ocean and coastal habitats. Jamaica imports and exports many goods through their waters. Some of the imports that go into Jamaica include petroleum and petroleum products. Issues include accidents at sea; risk of
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the Maroons. Meanwhile, on the coast, the English built the settlement of Port Royal, a base of operations where piracy flourished as so many European rebels had been rejected from their countries to serve sentences on the seas. Captain Henry Morgan, a plantation owner and Welsh privateer, raided settlements and shipping bases in Port Royal, earning him his reputation as one of the richest Pirates in the Caribbean. In the 18th century, sugar cane replaced piracy as British Jamaica's main source of income. The sugar industry was labour-intensive and the British brought hundreds of thousands of enslaved black Africans to the island. By 1850, the black & mulatto Jamaican population outnumbered the white population by a ratio of twenty to one. Enslaved Jamaicans mounted over a dozen major uprisings during the 18th century, including Tacky's Revolt in 1760. There were also periodic skirmishes between the British and the mountain communities of the Jamaican Maroons, culminating in the First Maroon War of the 1730s and the Second Maroon War of 1795–1796. Pre-Columbian Jamaica The first inhabitants of Jamaica probably came from islands to the east in two waves of migration. About 600 CE the culture known as the “Redware people” arrived. Little is known of these people, however, beyond the red pottery they left behind. Alligator Pond in Manchester Parish and Little River in St. Ann Parish are among the earliest known sites of this Ostionoid person, who lived near the coast and extensively hunted turtles and fish. Around 800 CE, the Arawak tribes of the Tainos arrived, eventually settling throughout the island. Living in villages ruled by tribal chiefs called the caciques, they sustained themselves on fishing and the cultivation of maize and cassava. At the height of their civilization, their population is estimated to have numbered as much as 60,000. The Arawak brought a South America system of raising yuca known as "conuco to the island." To add nutrients to the soil, the Arawak burned local bushes and trees and heaped the ash into large mounds, into which they then planted yuca cuttings. Most Arawak lived in large circular buildings (bohios), constructed with wooden poles, woven straw, and palm leaves. The Arawak spoke an Arawakan language and did not have writing. Some of the words used by them, such as barbacoa ("barbecue"), hamaca ("hammock"), kanoa ("canoe"), tabaco ("tobacco"), yuca, batata ("sweet potato"), and juracán ("hurricane"), have been incorporated into Spanish and English. The Spanish colonial period (1494–1655) Christopher Columbus is believed to be the first European to reach Jamaica. He landed on the island on 5 May 1494, during his second voyage to the Americas. Columbus returned to Jamaica during his fourth voyage to the Americas. He had been sailing around the Caribbean for nearly a year when a storm beached his ships in St. Ann's Bay, Jamaica, on 25 June 1503. Columbus and his men remained stranded on the island for one year, finally departing on June 1504. The Spanish crown granted the island to the Columbus family, but for decades it was something of a backwater, valued chiefly as a supply base for food and animal hides. In 1509 Juan de Esquivel founded the first permanent European settlement, the town of Sevilla la Nueva (New Seville), on the north coast of the island. A decade later, Friar Bartolomé de las Casas wrote to Spanish authorities about Esquivel's conduct during the Higüey massacre of 1503. In 1534 the capital was moved to Villa de la Vega (later Santiago de la Vega), now called Spanish Town. This settlement served as the capital of both Spanish and English Jamaica, from its founding until 1872, after which the capital was moved to Kingston. The Spanish enslaved many of the Arawak. Some escaped to the mountains to join the Maroons. However, most died from European diseases as well as from being overworked. The Spaniards also introduced the first African slaves into the island. By the early 17th century, when most of the Taino had died out, the population of the island was about 3,000, including a small number of African slaves. Disappointed in the lack of gold on the island, Jamaica was mainly used as a military base to supply colonization efforts in the mainland Americas. The Spanish colonists did not bring women in the first expeditions and took Taíno women for their common-law wives, resulting in mestizo children. Sexual violence against the Taíno women by the Spanish was also common. Although the Taino referred to the island as "Xaymaca", the Spanish gradually changed the name to "Jamaica". In the so-called Admiral's map of 1507 the island was labeled as "Jamaiqua" and in Peter Martyr's work "Decades" of 1511, he referred to it as both "Jamaica" and "Jamica". British rule (1655–1962) 17th century English conquest In late 1654, English leader Oliver Cromwell launched the Western Design armada against Spain's colonies in the Caribbean. In April 1655, General Robert Venables led the armada in an attack on Spain's fort at Santo Domingo, Hispaniola. After the Spanish repelled this poorly executed attack, the English force then sailed for Jamaica, the only Spanish West Indies island that did not have new defensive works. In May 1655, around 7,000 English soldiers landed near Jamaica's capital, named Spanish Town and soon overwhelmed the small number of Spanish troops (at the time, Jamaica's entire population only numbered around 2,500). Spain never recaptured Jamaica, losing the Battle of Ocho Rios in 1657 and the Battle of Rio Nuevo in 1658. In 1660, the turning point was when some Spanish runaway slaves, who settled in the interior mountainous regions of Jamaica, became known as the Jamaican Maroons, under the leadership of Juan de Bolas switched sides from the Spanish to the English. For England, Jamaica was to be the "dagger pointed at the heart of the Spanish Empire," but in fact, it was a possession of little economic value then. England gained formal possession of Jamaica from Spain in 1670 through the Treaty of Madrid. Removing the pressing need for constant defence against a Spanish attack, this change served as an incentive to planting. British Colonization Cromwell increased the island's European population by sending indentured servants and prisoners to Jamaica. Due to Irish emigration resulting from the wars in Ireland at this time two-thirds of this 17th-century European population was Irish. But tropical diseases kept the number of Europeans under 10,000 until about 1740. Although the African slave population in the 1670s and 1680s never exceeded 10,000, by the end of the 17th century imports of slaves increased the black population to at least five times greater than the white population. Thereafter, Jamaica's African population did not increase significantly in number until well into the 18th century, in part because ships coming from the west coast of Africa preferred to unload at the islands of the Eastern Caribbean. At the beginning of the 18th century, the number of slaves in Jamaica did not exceed 45,000, but by 1800 it had increased to over 300,000. Maroons When the English captured Jamaica in 1655, the Spanish colonists fled, leaving a large number of African slaves. These former Spanish slaves organised under the leadership of rival captains Juan de Serras and Juan de Bolas. These Jamaican Maroons intermarried with the Arawak people, and established distinct independent communities in the mountainous interior of Jamaica. They survived by subsistence farming and periodic raids of plantations. Over time, the Maroons came to control large areas of the Jamaican interior. In the second half of the seventeenth century, de Serras fought regular campaigns against the English forces, even attacking the capital of Spanish Town, and he was never defeated by the English. Throughout the seventeenth century, and in the first few decades of the eighteenth century, the Maroons took a heavy toll on the British troops. The British colonial authorities sent local militia and British army units against them, but the Maroons successfully fought a guerrilla campaign against them in the mountainous interior, and forced the British government to seek peace terms to end the expensive conflict. In the early eighteenth century, English-speaking escaped Akan slaves were at the forefront of the Maroon fighting against the British. The House of Assembly Beginning with the Stuart monarchy's appointment of a civil governor to Jamaica in 1661, political patterns were established that lasted well into the 20th century. The second governor, Lord Windsor, brought with him in 1662 a proclamation from the king giving Jamaica's non-slave populace the same rights as those of English citizens, including the right to make their own laws. Although he spent only ten weeks in Jamaica, Lord Windsor laid the foundations of a governing system that was to last for two centuries — a crown-appointed governor acting with the advice of a nominated council in the legislature. The legislature consisted of the governor and an elected but highly unrepresentative House of Assembly. For years, the planter-dominated Assembly was in continual conflict with the various governors and the Stuart kings; there were also contentious factions within the assembly itself. For much of the 1670s and 1680s, Charles II and James II and the assembly feuded over such matters as the purchase of slaves from ships not run by the royal English trading company. The last Stuart governor, Christopher Monck, 2nd Duke of Albemarle, who was more interested in treasure hunting than in planting, turned the planter oligarchy out of office. After the duke's death in 1688, the planters, who had fled Jamaica to London, succeeded in lobbying James II to order a return to the pre-Albemarle political arrangement (the local control of Jamaican planters belonging to the assembly). Jamaica's pirates Following the 1655 conquest, Spain repeatedly attempted to recapture Jamaica. In response, in 1657, Governor Edward D'Oyley invited the Brethren of the Coast to come to Port Royal and make it their home port. The Brethren was made up of a group of pirates who were descendants of cattle-hunting boucaniers (later Anglicised to buccaneers), who had turned to piracy after being robbed by the Spanish (and subsequently thrown out of Hispaniola). These pirates concentrated their attacks on Spanish shipping, whose interests were considered the major threat to the town. These pirates later became legal English privateers who were given letters of marque by Jamaica's governor. Around the same time that pirates were invited to Port Royal, England launched a series of attacks against Spanish shipping vessels and coastal towns. By sending the newly appointed privateers after Spanish ships and settlements, England had successfully set up a system of defense for Port Royal. Jamaica became a haven of privateers, buccaneers, and occasionally outright pirates: Christopher Myngs, Edward Mansvelt, and most famously, Henry Morgan. England gained formal possession of Jamaica from Spain in 1670 through the Treaty of Madrid. Removing the pressing need for constant defense against a Spanish attack, this change served as an incentive to planting. This settlement also improved the supply of slaves and resulted in more protection, including military support, for the planters against foreign competition. As a result, the sugar monoculture and slave-worked plantation society spread across Jamaica throughout the 18th century, decreasing Jamaica's dependence on privateers for protection and funds. However, the English colonial authorities continued to have difficulties suppressing the Spanish Maroons, who made their homes in the mountainous interior and mounted periodic raids on estates and towns, such as Spanish Town. The Karmahaly Maroons, led by Juan de Serras, continued to stay in the forested mountains, and periodically fought the English. In the 1670s and 1680s, in his capacity as an owner of a large slave plantation, Morgan led three campaigns against the Jamaican Maroons of Juan de Serras. Morgan achieved some success against the Maroons, who withdrew further into the Blue Mountains, where they were able to stay out of the reach of Morgan and his forces. Another blow to Jamaica's partnership with privateers was the violent earthquake which destroyed much of Port Royal on 7 June 1692. Two-thirds of the town sank into the sea immediately after the main shock. After the earthquake, the town was partially rebuilt but the colonial government was relocated to Spanish Town, which had been the capital under Spanish rule. Port Royal was further devastated by a fire in 1703 and a hurricane in 1722. Most of the sea trade moved to Kingston. By the late 18th century, Port Royal was largely abandoned. 18th century Jamaica's sugar boom In the mid-17th century, sugarcane was introduced to the British West Indies by the Dutch, from Brazil. Upon landing in Jamaica and other islands, they quickly urged local growers to change their main crops from cotton and tobacco to sugarcane. With depressed prices of cotton and tobacco, due mainly to stiff competition from the North American colonies, the farmers switched, leading to a boom in the Caribbean economies. Sugarcane was quickly snapped up by the British, who used it in cakes and to sweeten tea. In the 18th century, sugar replaced piracy as Jamaica's main source of income. The sugar industry was labour-intensive and the British brought hundreds of thousands of enslaved Africans to Jamaica. By 1832, the median-size plantation in Jamaica had about 150 slaves, and nearly one of every four bondsmen lived on units that had at least 250 slaves. In The Book of Night Women, author Marlon James indicates that the ratio of slave owners to enslaved Africans is 1:33. James also depicts atrocities that slave owners subjected slaves to along with violent resistance from the slaves as well as numerous slaves who died in pursuit of freedom. After slavery was abolished in 1834, sugarcane plantations used a variety of forms of labour including workers imported from India under contracts of indenture. First Maroon War Starting in the late seventeenth century, there were periodic skirmishes between English militias and the Windward Maroons, alongside occasional slave revolts. In 1673 one such revolt in St. Ann's Parish of 200 slaves created the separate group of Leeward Maroons. These Maroons united with a group of Madagascars who had survived the shipwreck of a slave ship and formed their own maroon community in St. George's parish. Several more rebellions strengthened the numbers of this Leeward group. Notably, in 1690 a revolt at Sutton's plantation, Clarendon of 400 slaves considerably strengthened the Leeward Maroons. In September 1728, the British sent more troops to Jamaica, leading to an intensification of the conflict. However, despite increased numbers, the British colonial authorities were unable to defeat the Windward Maroons. The Leeward Maroons inhabited "cockpits," caves, or deep ravines that were easily defended, even against troops with superior firepower. Such guerrilla warfare and the use of scouts who blew the abeng (the cow horn, which was used as a trumpet) to warn of approaching British soldiers allowed the Maroons to evade, thwart, frustrate, and defeat the forces of an Empire. Early in the 18th century, the Maroons took a heavy toll on the British troops and local militia sent against them in the interior, in what came to be known as the First Maroon War. In 1739–40, the British government in Jamaica recognised that it could not defeat the Maroons, so they offered them treaties of peace instead. In 1739, the British, led by Governor Edward Trelawny, sued for peace with the Leeward Maroon leader, Cudjoe, described by British planters as a short, almost dwarf-like man who for years fought skilfully and bravely to maintain his people's independence. Some writers maintain that during the conflict, Cudjoe became increasingly disillusioned, and quarrelled with his lieutenants and with other Maroon groups. He felt that the only hope for the future was a peace treaty with the enemy which recognized the independence of the Leeward Maroons. In 1742, Cudjoe had to suppress a rebellion of Leeward Maroons against the treaty. The First Maroon War came to an end with a 1739–1740 agreement between the Maroons and the British government. In exchange, they were asked to agree not to harbour new runaway slaves, but rather to help catch them. This last clause in the treaty naturally caused a split between the Maroons and the mainly mulatto population, although from time to time runaways from the plantations still found their way into maroon settlements, such as those led by Three Fingered Jack (Jamaica). Another provision of the agreement was that the Maroons would serve to protect the island from invaders. The latter was because the Maroons were revered by the British as skilled warriors. A year later, the even more rebellious Windward Maroons led by Quao also agreed to sign a treaty under pressure from both white Jamaican militias and the Leeward Maroons. Eventually, Queen Nanny agreed to a land patent which meant that her Maroons also accepted peace terms. The Maroons were to remain in their five main towns (Accompong; Cudjoe's Town (Trelawny Town); Nanny Town, later known as Moore Town; Scott's Hall (Jamaica); and Charles Town, Jamaica), living under their own rulers and a British supervisor. Tacky's revolt In May 1760, Tacky, a slave overseer on the Frontier plantation in Saint Mary Parish, led a group of enslaved Africans in taking over the Frontier and Trinity plantations while killing their enslavers. They then marched to the storeroom at Fort Haldane, where the munitions to defend the town of Port Maria were kept. After killing the storekeeper, Tacky and his men stole nearly 4 barrels of gunpowder and 40 firearms with shot, before marching on to overrun the plantations at Heywood Hall and Esher. By dawn, hundreds of other slaves had joined Tacky and his followers. At Ballard's Valley, the rebels stopped to rejoice in their success. One slave from Esher decided to slip away and sound the alarm. Obeahmen (Caribbean witch doctors) quickly circulated around the camp dispensing a powder that they claimed would protect the men from injury in battle and loudly proclaimed that an Obeahman could not be killed. The confidence was high. Soon there were 70 to 80 mounted militia on their way along with some Maroons from Scott's Hall, who were bound by treaty to suppress such rebellions. When the militia learned of the Obeahman's boast of not being able to be killed, an Obeahman was captured, killed, and hung with his mask, ornaments of teeth and bone and feather trimmings at a prominent place visible from the encampment of rebels. Many of the rebels, confidence shaken, returned to their plantations. Tacky and 25 or so men decided to fight on. Tacky and his men went running through the woods being chased by the Maroons and their legendary marksman, Davy the Maroon. While running at full speed, Davy shot Tacky and cut off his head as evidence of his feat, for which he would be richly rewarded. Tacky's head was later displayed on a pole in Spanish Town until a follower took it down in the middle of the night. The rest of Tacky's men were found in a cave near Tacky Falls, having committed suicide rather than going back to slavery. Second Maroon War In 1795, the Second Maroon War was instigated when two Maroons were flogged by a black slave for allegedly stealing two pigs. When six Maroon leaders came to the British to present their grievances, the British took them as prisoners. This sparked an eight-month conflict, spurred by the fact that Maroons felt that they were being mistreated under the terms of Cudjoe's Treaty of 1739, which ended the First Maroon War. The war lasted for five months as a bloody stalemate. The British 5,000 troops and militia outnumbered the Maroons ten to one, but the mountainous and forested topography of Jamaica proved ideal for guerrilla warfare. The Maroons surrendered in December 1795. A treaty signed in December between Major General George Walpole and the Maroon leaders established that the Maroons would beg on their knees for the King's forgiveness, return all runaway slaves, and be relocated elsewhere in Jamaica. The governor of Jamaica ratified the treaty but gave the Maroons only three days to present themselves to beg forgiveness on 1 January 1796. Suspicious of British intentions, most of the Maroons did not surrender until mid-March. The British used the contrived breach of the treaty as a pretext to deport the entire Trelawny Town Maroons to Nova Scotia. After a few years, the Maroons were again deported to the new British settlement of Sierra Leone in West Africa. 19th century Slave resistance Hundreds of runaway slaves secured their freedom by escaping and fighting alongside the
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Mansvelt, and most famously, Henry Morgan. England gained formal possession of Jamaica from Spain in 1670 through the Treaty of Madrid. Removing the pressing need for constant defense against a Spanish attack, this change served as an incentive to planting. This settlement also improved the supply of slaves and resulted in more protection, including military support, for the planters against foreign competition. As a result, the sugar monoculture and slave-worked plantation society spread across Jamaica throughout the 18th century, decreasing Jamaica's dependence on privateers for protection and funds. However, the English colonial authorities continued to have difficulties suppressing the Spanish Maroons, who made their homes in the mountainous interior and mounted periodic raids on estates and towns, such as Spanish Town. The Karmahaly Maroons, led by Juan de Serras, continued to stay in the forested mountains, and periodically fought the English. In the 1670s and 1680s, in his capacity as an owner of a large slave plantation, Morgan led three campaigns against the Jamaican Maroons of Juan de Serras. Morgan achieved some success against the Maroons, who withdrew further into the Blue Mountains, where they were able to stay out of the reach of Morgan and his forces. Another blow to Jamaica's partnership with privateers was the violent earthquake which destroyed much of Port Royal on 7 June 1692. Two-thirds of the town sank into the sea immediately after the main shock. After the earthquake, the town was partially rebuilt but the colonial government was relocated to Spanish Town, which had been the capital under Spanish rule. Port Royal was further devastated by a fire in 1703 and a hurricane in 1722. Most of the sea trade moved to Kingston. By the late 18th century, Port Royal was largely abandoned. 18th century Jamaica's sugar boom In the mid-17th century, sugarcane was introduced to the British West Indies by the Dutch, from Brazil. Upon landing in Jamaica and other islands, they quickly urged local growers to change their main crops from cotton and tobacco to sugarcane. With depressed prices of cotton and tobacco, due mainly to stiff competition from the North American colonies, the farmers switched, leading to a boom in the Caribbean economies. Sugarcane was quickly snapped up by the British, who used it in cakes and to sweeten tea. In the 18th century, sugar replaced piracy as Jamaica's main source of income. The sugar industry was labour-intensive and the British brought hundreds of thousands of enslaved Africans to Jamaica. By 1832, the median-size plantation in Jamaica had about 150 slaves, and nearly one of every four bondsmen lived on units that had at least 250 slaves. In The Book of Night Women, author Marlon James indicates that the ratio of slave owners to enslaved Africans is 1:33. James also depicts atrocities that slave owners subjected slaves to along with violent resistance from the slaves as well as numerous slaves who died in pursuit of freedom. After slavery was abolished in 1834, sugarcane plantations used a variety of forms of labour including workers imported from India under contracts of indenture. First Maroon War Starting in the late seventeenth century, there were periodic skirmishes between English militias and the Windward Maroons, alongside occasional slave revolts. In 1673 one such revolt in St. Ann's Parish of 200 slaves created the separate group of Leeward Maroons. These Maroons united with a group of Madagascars who had survived the shipwreck of a slave ship and formed their own maroon community in St. George's parish. Several more rebellions strengthened the numbers of this Leeward group. Notably, in 1690 a revolt at Sutton's plantation, Clarendon of 400 slaves considerably strengthened the Leeward Maroons. In September 1728, the British sent more troops to Jamaica, leading to an intensification of the conflict. However, despite increased numbers, the British colonial authorities were unable to defeat the Windward Maroons. The Leeward Maroons inhabited "cockpits," caves, or deep ravines that were easily defended, even against troops with superior firepower. Such guerrilla warfare and the use of scouts who blew the abeng (the cow horn, which was used as a trumpet) to warn of approaching British soldiers allowed the Maroons to evade, thwart, frustrate, and defeat the forces of an Empire. Early in the 18th century, the Maroons took a heavy toll on the British troops and local militia sent against them in the interior, in what came to be known as the First Maroon War. In 1739–40, the British government in Jamaica recognised that it could not defeat the Maroons, so they offered them treaties of peace instead. In 1739, the British, led by Governor Edward Trelawny, sued for peace with the Leeward Maroon leader, Cudjoe, described by British planters as a short, almost dwarf-like man who for years fought skilfully and bravely to maintain his people's independence. Some writers maintain that during the conflict, Cudjoe became increasingly disillusioned, and quarrelled with his lieutenants and with other Maroon groups. He felt that the only hope for the future was a peace treaty with the enemy which recognized the independence of the Leeward Maroons. In 1742, Cudjoe had to suppress a rebellion of Leeward Maroons against the treaty. The First Maroon War came to an end with a 1739–1740 agreement between the Maroons and the British government. In exchange, they were asked to agree not to harbour new runaway slaves, but rather to help catch them. This last clause in the treaty naturally caused a split between the Maroons and the mainly mulatto population, although from time to time runaways from the plantations still found their way into maroon settlements, such as those led by Three Fingered Jack (Jamaica). Another provision of the agreement was that the Maroons would serve to protect the island from invaders. The latter was because the Maroons were revered by the British as skilled warriors. A year later, the even more rebellious Windward Maroons led by Quao also agreed to sign a treaty under pressure from both white Jamaican militias and the Leeward Maroons. Eventually, Queen Nanny agreed to a land patent which meant that her Maroons also accepted peace terms. The Maroons were to remain in their five main towns (Accompong; Cudjoe's Town (Trelawny Town); Nanny Town, later known as Moore Town; Scott's Hall (Jamaica); and Charles Town, Jamaica), living under their own rulers and a British supervisor. Tacky's revolt In May 1760, Tacky, a slave overseer on the Frontier plantation in Saint Mary Parish, led a group of enslaved Africans in taking over the Frontier and Trinity plantations while killing their enslavers. They then marched to the storeroom at Fort Haldane, where the munitions to defend the town of Port Maria were kept. After killing the storekeeper, Tacky and his men stole nearly 4 barrels of gunpowder and 40 firearms with shot, before marching on to overrun the plantations at Heywood Hall and Esher. By dawn, hundreds of other slaves had joined Tacky and his followers. At Ballard's Valley, the rebels stopped to rejoice in their success. One slave from Esher decided to slip away and sound the alarm. Obeahmen (Caribbean witch doctors) quickly circulated around the camp dispensing a powder that they claimed would protect the men from injury in battle and loudly proclaimed that an Obeahman could not be killed. The confidence was high. Soon there were 70 to 80 mounted militia on their way along with some Maroons from Scott's Hall, who were bound by treaty to suppress such rebellions. When the militia learned of the Obeahman's boast of not being able to be killed, an Obeahman was captured, killed, and hung with his mask, ornaments of teeth and bone and feather trimmings at a prominent place visible from the encampment of rebels. Many of the rebels, confidence shaken, returned to their plantations. Tacky and 25 or so men decided to fight on. Tacky and his men went running through the woods being chased by the Maroons and their legendary marksman, Davy the Maroon. While running at full speed, Davy shot Tacky and cut off his head as evidence of his feat, for which he would be richly rewarded. Tacky's head was later displayed on a pole in Spanish Town until a follower took it down in the middle of the night. The rest of Tacky's men were found in a cave near Tacky Falls, having committed suicide rather than going back to slavery. Second Maroon War In 1795, the Second Maroon War was instigated when two Maroons were flogged by a black slave for allegedly stealing two pigs. When six Maroon leaders came to the British to present their grievances, the British took them as prisoners. This sparked an eight-month conflict, spurred by the fact that Maroons felt that they were being mistreated under the terms of Cudjoe's Treaty of 1739, which ended the First Maroon War. The war lasted for five months as a bloody stalemate. The British 5,000 troops and militia outnumbered the Maroons ten to one, but the mountainous and forested topography of Jamaica proved ideal for guerrilla warfare. The Maroons surrendered in December 1795. A treaty signed in December between Major General George Walpole and the Maroon leaders established that the Maroons would beg on their knees for the King's forgiveness, return all runaway slaves, and be relocated elsewhere in Jamaica. The governor of Jamaica ratified the treaty but gave the Maroons only three days to present themselves to beg forgiveness on 1 January 1796. Suspicious of British intentions, most of the Maroons did not surrender until mid-March. The British used the contrived breach of the treaty as a pretext to deport the entire Trelawny Town Maroons to Nova Scotia. After a few years, the Maroons were again deported to the new British settlement of Sierra Leone in West Africa. 19th century Slave resistance Hundreds of runaway slaves secured their freedom by escaping and fighting alongside the Maroons of Trelawny Town. About half of these runaways surrendered with the Maroons, and many were executed or re-sold in slavery to Cuba. However, a few hundred stayed out in the forests of the Cockpit Country, and they joined other runaway communities. In 1798, a slave named Cuffee (Jamaica) ran away from a western estate, and established a runaway community which was able to resist attempts by the colonial forces and the Maroons remaining in Jamaica to subdue them. In the early nineteenth century, colonial records describe hundreds of runaway slaves escaping to "Healthshire" where they flourished for several years before they were captured by a party of Maroons. In 1812, a community of runaways started when a dozen men and some women escaped from the sugar plantations of Trelawny into the Cockpit Country, and they created a village with the curious name of Me-no-Sen-You-no-Come. By the 1820s, Me-no-Sen-You-no-Come housed between 50-60 runaways. The headmen of the community were escaped slaves named Warren and Forbes. Me-no-Sen-You-no-Come also conducted a thriving trade with slaves from the north coast, who exchanged their salt provisions with the runaways for their ground provisions. In October 1824, the colonial militias tried to destroy this community. However, the community of Me-no-Sen-You-no-Come continued to thrive in the Cockpit Country until Emancipation in the 1830s. The Baptist War In 1831, enslaved Baptist preacher Samuel Sharpe led a strike among demanding more freedom and a working wage of "half the going wage rate." Upon refusal of their demands, the strike escalated into a full rebellion, in part because Sharpe had also made military preparations with a rebel military group known as the Black Regiment led by a slave known as Colonel Johnson of Retrieve Estate, about 150 strong with 50 guns among them. Colonel Johnson's Black Regiment clashed with a local militia led by Colonel Grignon at old Montpelier on December 28. The militia retreated to Montego Bay while the Black Regiment advanced an invasion of estates in the hills, inviting more slaves to join while burning houses, fields, and other properties, setting off a trail of fires through the Great River Valley in Westmoreland and St. Elizabeth to St James. The Baptist War, as it was known, became the largest slave uprising in the British West Indies, lasting 10 days and mobilised as many as 60,000 of Jamaica's 300,000 slaves. The rebellion was suppressed by British forces under the control of Sir Willoughby Cotton. The reaction of the Jamaican Government and plantocracy was far more brutal. Approximately five hundred slaves were killed in total: 207 during the revolt and somewhere in the range between 310 and 340 slaves were killed through "various forms of judicial executions" after the rebellion was concluded, at times, for quite minor offenses (one recorded execution indicates the crime being the theft of a pig; another, a cow). An 1853 account by Henry Bleby described how three or four simultaneous executions were commonly observed; bodies would be allowed to pile up until workhouse slaves carted the bodies away at night and buried them in mass graves outside town. The brutality of the plantocracy during the revolt is thought to have accelerated the process of emancipation, with initial measures beginning in 1833. Emancipation The British Parliament held two inquires as a result of the loss of property and life in the 1831 Baptist War rebellion. Their reports of the conditions of the slaves contributed greatly to the abolition movement and helped lead to the passage of The Slavery Abolition Act of 1833, formally ending slavery in Jamaica on August 1, 1834. However, the act stipulated that all slaves above the age of 6 on the date abolition took effect, were bound (indentured) in service to their former owners', albeit with a guarantee of rights, under what was called the "Apprenticeship System". The length of servitude that was required varied based on the former slaves’ responsibilities with "domestic slaves" owing 4 years of service and "agriculture slaves" owing 6. In addition to the apprentice system, former slave owners were to be compensated for the loss of their "property." By 1839, "Twenty Million Pounds Sterling" was paid out to the owners of slaves freed in the Caribbean and Africa under the 1833 Abolition Act, half of whom were absentee landlords residing in Great Britain. The apprentice system was unpopular amongst Jamaica's "former" slaves — especially elderly slaves — who unlike slave owners were not provided any compensation. This led to protests. In the face of mounting pressure, a resolution was passed on August 1, 1838 releasing all "apprentices" regardless of position from all obligations to their former masters. With the abolition of the slave trade in 1808 and slavery itself in 1834, the island's sugar- and slave-based economy faltered. The period after emancipation in 1834 initially was marked by a conflict between the plantocracy and elements in the Colonial Office over the extent to which individual freedom should be coupled with political participation for blacks. In 1840 the assembly changed the voting qualifications in a way that enabled a majority of blacks and people of mixed race (browns or mulattos) to vote. But neither change in the political system, nor abolition of slavery, changed the planter's chief interest — which lay in the continued profitability of their estates — and they continued to dominate the elitist assembly. Nevertheless, at the end of the 19th century and in the early years of the 20th century, the crown began to allow some Jamaicans – mostly local merchants, urban professionals, and artisans—to hold seats on appointed councils. The Morant Bay Rebellion Tensions between blacks and whites resulted in the October 1865 Morant Bay rebellion led by Paul Bogle. The rebellion was sparked on 7 October, when a black man was put on trial and imprisoned for allegedly trespassing on a long-abandoned plantation. During the proceedings, James Geoghegon, a black spectator, disrupted the trial, and in the police's attempts to seize him to remove him from the courthouse, a fight broke out between the police and other spectators. While pursuing Geoghegon, two policemen were beaten with sticks and stones. The following Monday, arrest warrants were issued for several men for rioting, resisting arrest, and assaulting the police. Among them was Baptist preacher Paul Bogle. A few days later on 11 October, Mr. Paul Bogle marched with a group of protesters to Morant Bay. When the group arrived at the courthouse they were met by a small and inexperienced volunteer militia. The crowd began pelting the militia with rocks and sticks, and the militia opened fire on the group, killing seven black protesters before retreating. Governor John Eyre sent government troops, under Brigadier-General Alexander Nelson, to hunt down the poorly armed rebels and bring Paul Bogle back to Morant Bay for trial. The troops met with no organized resistance, yet they killed blacks indiscriminately, most of whom had not been involved in the riot or rebellion. According to one soldier, "We slaughtered all before us… man or woman or child.” In the end, 439 black Jamaicans were killed directly by soldiers, and 354 more (including Paul Bogle) were arrested and later executed, some without proper trials. Paul Bogle was executed "either the same evening he was tried or the next morning." Other punishments included the flogging of over 600 men and women (including some pregnant women), and long prison sentences. Thousands of homes belonging to black Jamaicans were burned down without any justifiable reason. George William Gordon, Jamaican-born plantation owner, businessman and politician, who was the mixed-race son of Scottish-born plantation owner of Cherry Gardens in St. Andrew, Joseph Gordon, and his black enslaved mistress. Gordon, had been critical of Governor John Eyre and his policies, and was later arrested by the Governor who believed he had been behind the rebellion. Despite having very little to do with the rebellion, Gordon was eventually executed. Though he was arrested in Kingston, he was transferred by Eyre to Morant Bay, where he could be tried under martial law. The execution and trial of Gordon via martial law raised some constitutional issues back in Britain, where concerns emerged about whether British dependencies should be ruled under the government of law, or through a military license. Gordon hanged on 23 October, after a speedy trial — just two days after his trial had begun. He and William Bogle, Paul's brother, "were both tried together, and executed at the same time.” Decline of the sugar industry During most of the 18th century, the monocrop economy based on sugarcane production for export flourished. In the last quarter of the century, however, the Jamaican sugar economy declined as famines, hurricanes, colonial wars, and wars of independence disrupted trade. By the 1820s, Jamaican sugar became less competitive with the high-volume producers like Cuba, and production subsequently declined. By 1882 sugar output was less than half what it was in 1828. A major reason for the decline was the British Parliament's 1807 abolition of the slave trade, under which the transportation of slaves to Jamaica after 1 March 1808 was forbidden. The abolition of the slave trade was followed by the abolition of slavery in 1834 and full emancipation of slaves within four years. Unable to convert the ex-slaves into a sharecropping tenant class similar to the one established in the post-Civil War South of the United States, planters became increasingly dependent on wage labour and began recruiting workers abroad, primarily from India, China, and Sierra Leone. Many of the former slaves settled in peasant or small farm communities in the interior of the island like the "yam belt," where they engaged in subsistence and some cash crop farming. The second half of the 19th century was a period of severe economic decline for Jamaica. Low crop prices, droughts, and disease led to serious social unrest, culminating in the Morant Bay rebellions of 1865. However, renewed British administration after the 1865 rebellion, in the form of crown colony status, resulted in some social and economic progress as well as investment in the physical infrastructure. Agricultural development was the centrepiece of restored British rule in Jamaica. In 1868 the first large-scale irrigation project was launched. In 1895 the Jamaica Agricultural Society was founded to promote more scientific and profitable methods of farming. Also in the 1890s, the Crown Lands Settlement Scheme was introduced, a land reform program of sorts, which allowed small farmers to purchase two hectares or more of land on favorable terms. Between 1865 and 1930, the character of landholding in Jamaica changed substantially, as sugar declined in importance. As many former plantations went bankrupt, some land was sold to Jamaican peasants under the Crown Lands Settlement whereas other cane fields were consolidated by dominant British producers, most notably by the British firm Tate and Lyle. Although the concentration of land and wealth in Jamaica was not as drastic as in the Spanish-speaking Caribbean, by the 1920s the typical sugar plantation on the island had increased to an average of 266 hectares. But, as noted, smallscale agriculture in Jamaica survived the consolidation of land by sugar powers. The number of small holdings in fact tripled between 1865 and 1930, thus retaining a large portion of the population as peasantry. Most of the expansion in small holdings took place before 1910, with farms averaging between two and twenty hectares. The rise of the banana trade during the second half of the 19th century also changed production and trade patterns on the island. Bananas were first exported in 1867, and banana farming grew rapidly thereafter. By 1890, bananas had replaced sugar as Jamaica's principal export. Production rose from 5 million stems (32 percent of exports) in 1897 to an average of 20 million stems a year in the 1920s and 1930s, or over half of domestic exports. As with sugar, the presence of American companies, like the well-known United Fruit Company in Jamaica, was a driving force behind renewed agricultural exports. The British also became more interested in Jamaican bananas than in the country's sugar. Expansion of banana production, however, was hampered by serious labour shortages. The rise of the banana economy took place amidst a general exodus of up to 11,000 Jamaicans a year. Jamaica as a Crown Colony In 1846 Jamaican planters — adversely affected by the loss of slave labour — suffered a crushing blow when Britain passed the Sugar Duties Act, eliminating Jamaica's traditionally favoured status as its primary supplier of sugar. The Jamaica House of Assembly stumbled from one crisis to another until the collapse of the sugar trade, when racial and religious tensions came to a head during the Morant Bay rebellion of 1865. Although suppressed ruthlessly, the severe rioting so alarmed the planters that the two-centuries-old assembly voted to abolish itself and asked for the establishment of direct British rule. In 1866 the new governor John Peter Grant arrived to implement a series of reforms that accompanied the transition to a crown colony. The government consisted of the Legislative Council and the executive Privy Council containing members of both chambers of the House of Assembly,
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third largest of the Greater Antilles, after Cuba and Hispaniola. Many small islands are located along the south coast of Jamaica, such as the Port Royal Cays. Southwest of mainland Jamaica lies Pedro Bank, an area of shallow seas, with a number of cays (low islands or reefs), extending generally east to west for over . To the southeast lies Morant Bank, with the Morant Cays, from Morant Point, the easternmost point of mainland Jamaica. Alice Shoal, southwest of the main island of Jamaica, falls within the Jamaica–Colombia Joint Regime. It has an Exclusive Economic Zone of . Geology and landforms Jamaica and the other islands of the Antilles evolved from an arc of ancient volcanoes that rose from the sea millions of years ago. During periods of submersion, thick layers of limestone were laid down over the old igneous and metamorphic rock. In many places, the limestone is thousands of feet thick. The country can be divided into three landform regions: the eastern mountains, the central valleys and plateaus, and the coastal plains. The highest area is the Blue Mountains range. These eastern mountains are formed by a central ridge of metamorphic rock running northwest to southeast from which many long spurs jut to the north and south. For a distance of over , the crest of the ridge exceeds . The highest point is Blue Mountain Peak at . The Blue Mountains rise to these elevations from the coastal plain in the space of about , thus producing one of the steepest general gradients in the world. In this part of the country, the old metamorphic rock reveals itself through the surrounding limestone. To the north of the Blue Mountains lies the strongly tilted limestone plateau forming the John Crow Mountains. This range rises to elevations of over . To the west, in the central part of the country, are two high rolling plateaus: the Dry Harbour Mountains to the north and the Manchester Plateau to the south. Between the two, the land is rugged and here, also, the limestone layers are broken by the older rocks. Streams that rise in the region flow outward and sink soon after reaching the limestone layers. The limestone plateau covers two-thirds of the country, so that karst formations dominate the island. Karst is formed by the erosion of the limestone in solution. Sinkholes, caves and caverns, disappearing streams, hummocky hills, and terra rosa (residual red) soils in the valleys are distinguishing features of a karst landscape; all these are present in Jamaica. To the west of the mountains is the rugged terrain of the Cockpit Country, one of the world's most dramatic examples of karst topography. The Cockpit Country is pockmarked with steep-sided hollows, as much as deep in places, which are separated by conical hills and ridges. On the north, the main defining feature is the fault-based "Escarpment", a long ridge that extends from Flagstaff in the west, through Windsor in the centre, to Campbells and the start of the Barbecue Bottom Road (B10). The Barbecue Bottom Road, which runs north-south, high along the side of a deep, fault-based valley in the east, is the only drivable route across the Cockpit Country. However, there are two old, historical trails that cross further west, the Troy Trail, and the Quick Step Trail, both of which are seldom used and difficult to find. In the southwest, near Quick Step, is the district known as
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with terra rosa soils, some of the most productive on the island. The largest basin is the Vale of Clarendon, long and wide. Queen of Spains Valley, Nassau Valley, and Cave Valley were formed by the same process. Coasts The coastline of Jamaica is one of many contrasts. The northeast shore is severely eroded by the ocean. There are many small inlets in the rugged coastline, but no coastal plain of any extent. A narrow strip of plains along the northern coast offers calm seas and white sand beaches. Behind the beaches is a flat raised plain of uplifted coral reef. The southern coast has small stretches of plains lined by black sand beaches. These are backed by cliffs of limestone where the plateaus end. In many stretches with no coastal plain, the cliffs drop straight to the sea. In the southwest, broad plains stretch inland for a number of kilometres. The Black River courses through the largest of these plains. The swamplands of the Great Morass and the Upper Morass fill much of the plains. The western coastline contains the island's finest beaches. Climate Two types of climate are found in Jamaica. An upland tropical climate prevails on the windward side of the mountains, whereas a semiarid climate predominates on the leeward side. Warm trade winds from the east and northeast bring rainfall throughout the year. The rainfall is heaviest from May to October, with peaks in those two months. The average rainfall is per year. Rainfall is much greater in the mountain areas facing the north and east, however. Where the higher elevations of the John Crow Mountains and the Blue Mountains catch the rain from the moisture-laden winds, rainfall exceeds per year. Since the southwestern half of the island lies in the rain shadow of the mountains, it has a semiarid climate and receives fewer than of rainfall annually. Temperatures in Jamaica are fairly constant throughout the year, averaging in the lowlands and at higher elevations. Temperatures may dip to below at the peaks of the Blue Mountains. The island receives, in addition to the northeast trade winds, refreshing onshore breezes during the day and cooling offshore breezes at night. These are known on Jamaica as the "Doctor Breeze" and the "Undertaker's Breeze," respectively. Jamaica lies in the Atlantic hurricane belt; as a result, the island sometimes experiences significant storm damage. Powerful hurricanes which have hit the island directly causing death and destruction include Hurricane Charlie in 1951 and Hurricane Gilbert in 1988. Several other powerful hurricanes have passed near to the island with damaging effects. In 1980, for example, Hurricane Allen destroyed nearly all Jamaica's banana crop. Hurricane Ivan (2004) swept past the island causing heavy damage and a number of deaths; in 2005, Hurricanes Dennis and Emily brought heavy rains to the island. A Category 4 hurricane, Hurricane Dean, caused some deaths and heavy damage to Jamaica in August
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statistics are from The World Factbook by the CIA, unless otherwise referenced. Languages English (official) Jamaican Patois Spanish Kromanti Religion Protestant: 64.8% Seventh Day Adventist: 12.0% Pentecostal: 11.0% Church of God: 9.2% New Testament Church of God: 7.2% Baptist: 6.7% Church of God in Jamaica: 4.8% Church of God of Prophecy: 4.5% Anglican: 2.8% United Church: 2.1% Methodist: 1.6% Revived: 1.4% Brethren: 0.9% Moravian: 0.7% Roman Catholic: 2.2% Jehovah's Witness: 1.9% Rastafarian: 1.1% Other: 6.5% None: 21.3% Unspecified: 2.3% Ethnic groups Black, including Mixed race consisting of mulatto/brown, Dougla, or other mixture: 98% East Indian: 0.8% Other: 0.4% Unspecified: 0.7% Population 2,990,561 (July 2017) Population growth rate 0.68% (2017) Net migration rate -4.3 migrant(s)/1,000 population Urbanization Urban population: 55.7% of total population
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of God: 9.2% New Testament Church of God: 7.2% Baptist: 6.7% Church of God in Jamaica: 4.8% Church of God of Prophecy: 4.5% Anglican: 2.8% United Church: 2.1% Methodist: 1.6% Revived: 1.4% Brethren: 0.9% Moravian: 0.7% Roman Catholic: 2.2% Jehovah's Witness: 1.9% Rastafarian: 1.1% Other: 6.5% None: 21.3% Unspecified: 2.3% Ethnic groups Black, including Mixed race consisting of mulatto/brown, Dougla, or other mixture: 98% East Indian: 0.8% Other: 0.4% Unspecified: 0.7% Population 2,990,561 (July 2017) Population growth rate 0.68% (2017) Net migration rate -4.3 migrant(s)/1,000 population Urbanization Urban population: 55.7% of total population Rate of urbanization: 0.82% annual rate of change Infant mortality rate Total: 13.37 deaths/1,000 live births Male: 13.93 deaths/1,000 live births Female: 12.78 deaths/1,000 live births (2015 est.) Nationality Noun: Jamaican(s) Adjective: Jamaican Education expenditures 9.4% of GDP Literacy Total: 100% Male: 100% Female: 100% (2020 est.) See also Afro-Jamaican List of cities and towns in
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Garvey People's Political Party National Democratic Movement New Nation Coalition People's National Party Executive branch |Monarch |Queen Elizabeth II | |6 August 1962 |- |Governor-General |Patrick Allen | |26 February 2009 |- |Prime Minister |Andrew Holness |JLP |3 March 2016 |- |Leader of the Opposition |Mark Golding |PNP |7 November 2020 |} The 1962 Constitution established a parliamentary system based on the United Kingdom's Westminster model. As head of state, Queen Elizabeth II appoints a governor-general, on the advice of the prime minister, as her representative in Jamaica. The governor-general's role is largely ceremonial. Executive power is vested in the Queen, but exercised mostly by the Cabinet of Jamaica; led by the prime minister, currently Andrew Holness. Current composition General Elections February 25, 2016 Judicial branch The judiciary also is modelled on the British system. The Court of Appeal is the highest appellate court in Jamaica. Under certain circumstances, cases may be appealed to Britain's Judicial Committee of the Privy Council. Jamaica's parishes have elected councils that exercise limited powers of local government. Firearms offences, including possession of unlicensed guns and ammunition, are tried before a dedicated Gun Court established in 1974. The Gun Court hears cases in camera and practices jury trial only for cases of treason or murder. All other cases are tried by resident magistrates or justices of the Supreme Court of Jamaica. Administrative divisions Jamaica is divided in 14 parishes: Clarendon, Hanover, Kingston, Manchester, Portland, Saint Andrew, Saint Ann, Saint Catherine, Saint Elizabeth, Saint James, Saint Mary, Saint Thomas, Trelawny, Westmoreland. Foreign relations Jamaica has diplomatic
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Party Marcus Garvey People's Political Party National Democratic Movement New Nation Coalition People's National Party Executive branch |Monarch |Queen Elizabeth II | |6 August 1962 |- |Governor-General |Patrick Allen | |26 February 2009 |- |Prime Minister |Andrew Holness |JLP |3 March 2016 |- |Leader of the Opposition |Mark Golding |PNP |7 November 2020 |} The 1962 Constitution established a parliamentary system based on the United Kingdom's Westminster model. As head of state, Queen Elizabeth II appoints a governor-general, on the advice of the prime minister, as her representative in Jamaica. The governor-general's role is largely ceremonial. Executive power is vested in the Queen, but exercised mostly by the Cabinet of Jamaica; led by the prime minister, currently Andrew Holness. Current composition General Elections February 25, 2016 Judicial branch The judiciary also is modelled on the British system. The Court of Appeal is the highest appellate court in Jamaica. Under certain circumstances, cases may be appealed to Britain's Judicial Committee of the Privy Council. Jamaica's parishes have elected councils that exercise limited powers of local government. Firearms offences, including possession of unlicensed guns and ammunition, are tried before a dedicated Gun Court established in 1974. The Gun Court hears cases in camera and practices jury trial only for cases of treason or murder. All other cases are tried by resident magistrates or justices of the Supreme Court of Jamaica. Administrative divisions Jamaica is divided in 14 parishes: Clarendon, Hanover, Kingston, Manchester, Portland, Saint Andrew, Saint Ann, Saint Catherine, Saint Elizabeth, Saint James, Saint Mary, Saint Thomas, Trelawny, Westmoreland. Foreign relations Jamaica has diplomatic relations with most nations and is a member of the United Nations, The Commonwealth and the Organization of American States. Historically, Jamaica has had close ties with the UK. Trade, financial, and cultural relations with the United States are now predominant. Jamaica is linked with the other countries of the English-speaking Caribbean
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save foreign exchange, generate employment, and use local raw materials. The government also provides a wide range of incentives to investors. Free trade zones have stimulated investment in garment assembly, light manufacturing, and data entry by foreign firms. However, over the last 5 years, the garment industry has suffered from reduced export earnings, continued factory closures, and rising unemployment. The Government of Jamaica hopes to encourage economic activity through a combination of privatization, financial sector restructuring, reduced interest rates, and by boosting tourism and related productive activities. Economic history Before independence, Jamaica's economy was largely focused on agriculture with the vast majority of the labour force engaged in the production of sugar, bananas, and tobacco. According to one study, 18th century Jamaica had the highest wealth inequality in the world, as a very small, slave-owning elite was extremely wealthy while the rest of the population lived on the edge of subsistence. These products were mainly exported to the United Kingdom, Canada, and to the United States of America. Jamaica's trade relationships expanded substantially from 1938 to 1946, with total imports almost doubling from £6,485,000 to £12,452,000. After 1962, the Jamaican government pushed for economic growth and all sectors excluding bauxite/alumina, energy, and tourism had shrunk between 1998 and 1999. In 2000, Jamaica experienced its first year of positive growth since 1995 due to continued tight macroeconomic policies. Inflation fell from 25% in 1995 to single digits in 2000, reaching a multidecade low of 4.3% in 2004. Through periodic intervention in the market, the central bank also has prevented any abrupt drop in the exchange rate. The Jamaican dollar has been slipping, despite intervention, resulting in an average exchange rate of J$73.40 per US$1.00 and J136.2 per €1.00 (February 2011). In addition, inflation has been trending upward since 2004 and is projected to once again reach a double digit rate of 12-13% through the year 2008 due to a combination of unfavorable weather damaging crops and increasing agricultural imports and high energy prices. Over the last 30 years, real per capita GDP increased at an average of just one percent per year, making Jamaica one of the slowest growing developing countries in the world. To reverse this trajectory, the Government of Jamaica embarked on a comprehensive and ambitious program of reforms for which it has garnered national and international support: a four-year Extended Fund Facility (EFF) by the International Monetary Fund (IMF) providing a support package of US$932 million; World Bank Group and the Inter-American Development Bank (IDB) programs providing US$510 million each to facilitate the GoJ's economic reform agenda to stabilize the economy, reduce debt and create the conditions for growth and resilience.. In addition, the International Finance Corporation (IFC) and Multilateral Investment Guarantee Agency (MIGA) will continue to support private sector development. The reform program is beginning to bear fruit: Institutional reforms and measures to improve the environment for the private sector have started to restore confidence in the Jamaican economy. Jamaica jumped 27 places to 58 among 189 economies worldwide in the 2015 Doing Business ranking, the country's credit rating has improved and the Government has successfully raised more than US$2 billion in the international capital in the markets in 2014 and 2015.. Despite some revival, economic growth is still low: the Jamaican Government is forecasting real gross domestic product (GDP) growth of 1.9 per cent for the fiscal year 2015/2016 and the country continues to be confronted by serious social issues that predominantly affect youth, such as high levels of crime and violence and high unemployment. Jamaica, which had seen its poverty rate drop almost 20 percent over two decades, saw it increase by eight percent in a few years. The unemployment rate in Jamaica is about 13.2% (April 2015, Statistical Institute of Jamaica ), with youth unemployment more than twice the national rate (38%). However, among Jamaica's assets are its skilled labor force and strong social and governance indicators. Primary industries Agriculture Agricultural production is an important contributor to Jamaica's economy. However, it is vulnerable to extreme weather, such as hurricanes and to competition from neighbouring countries such as the USA. Other difficulties faced by farmers include thefts from the farm, known as praedial larceny. Agricultural production accounted for 7.4% of GDP in 1997, providing employment for nearly a quarter of the country. Jamaica's agriculture, together with forestry and fishing, accounted for about 6.6% of GDP in 1999. Sugar has been produced in Jamaica for centuries, it is the nation's dominant agricultural export. Sugar is produced in nearly every parish. The production of raw sugar in the year 2000 was estimated at 175,000 tons, a decrease from 290,000 tons in 1978. Jamaican agriculture has been less prominent in GDP in the 2000s than other industries, hitting an all-time low between 2004 and 2008. This may have been due to a reaction to increased competition as international trade policies were enacted. For example, as NAFTA was enacted in 1993, a significant amount of Caribbean exports to the United States diminished, being out competed by Latin American exports. Another example is the Banana Import Regime's 3rd phase, in which EU nations had first given priority in banana imports to previously colonized nations. Under pressure by the World Trade Organization, the EU policy was altered to provide a non-discriminatory trade agreement. Jamaica's banana industry was easily outpriced by American companies exporting Latin American goods. Jamaica's agriculture industry is now bouncing back, growing from being 6.6% of GDP to 7.2%. Sugar formed 7.1% of the exports in 1999 and Jamaica made up about 4.8% of the total production of sugar in the Caribbean. Sugar is also used for the production of by-products such as molasses, rum and some wallboard is made from bagasse. Banana production in 1999 was 130,000 tons. Bananas formed 2.4% of the exports in 1999 and Jamaica formed around 7.5% of the total production of banana in the Caribbean. Jamaica stopped exporting banana in 2008 after suffering from several years of hurricanes that devastated the plantations. Coffee is mainly grown around the Blue Mountains and in hilly areas. One type in particular, Jamaican Blue Mountain Coffee, is considered among the best in the world because at those heights in the Blue Mountains, the cooler climate causes the berries to take longer to ripen and the beans develop more of the substances which on roasting give coffee its flavor. Coffee formed 1.9% of exports in 1999. The picking season lasts from August to March. The coffee is exported from Kingston. Cocoa is grown throughout Jamaica and local sales absorb about 1/3 of the output to be made into instant drinks and confectionery. Citrus fruit is mainly grown in the central parts of Jamaica, particularly between the elevations of 1,000-2,500 feet. The picking season lasts from November to April. Two factories in Bog
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Coconuts are grown on the northern and eastern coasts, which provide enough copra to supply factories to make butterine, margarine, lard, edible oil & laundry soap. Vanilla is also grown. Other export crops are pimento, ginger, tobacco, sisal and other fruit are exported. Rice is grown around swampy areas around the Black River & around Long Bay in Hanover and Westmoreland parishes for local consumption. As tastes have changed in Jamaica in favor of more meat and packaged food the national food import bill has grown to the point that it threatens the health of the economy. The government has responded by encouraging gardening and farming, a response which has had limited success. For example, the percentage of potatoes grown locally has increased, but imports of french fries have continued at a high level. Animal husbandry Pastures form a good percentage of the land in Jamaica. Many properties specialize in cattle rearing. Livestock holdings were 400,000 head of cattle, 440,000 goats, 180,000 hogs & 30, rs of livestock are increasing, this isn't enough for local requirements for a growing population. Dairying has increased since the erection of a condensed milk factory at Bog Walk in 1940. Even so, the supply of dairy products is not enough for local requirements and there are large imports of powdered milk, butter and cheese. Fishing The fishing industry grew during the 1900s, primarily from the focus on inland fishing. Several thousand fishermen make a living from fishing. The shallow waters and cays off the south coast are richer than the northern waters. Other fishermen live on the Pedro Cays, to the south of Jamaica. Jamaica supplies about half of its fish requirements; major imports of frozen and salted fish are imported from the USA & Canada. The total catch in 2000 was 5,676 tons, a decrease from 11,458 tons in 1997; the catch was mainly marine, with freshwater carp, barbel, etc., crustaceans & molluscs. Forestry By the late 1890, only of Jamaica's original of forest remained. Roundwood production was 881,000 cu m (31.1 million cu ft) in 2000. About 68% of the timber cut in 2000 was used as fuel wood while 32% was used for industrial use. The forests that once covered Jamaica now exist only in mountainous areas. They only supply 20% of the island timber requirements. The remaining forest is protected from further exploitation. Other accessible mountain areas are being reforested, mainly with pines, mahoe and mahogany. Mining Jamaica was the third-leading producer of bauxite and alumina in 1998, producing 12.6 million tons of bauxite, accounting for 10.4% of world production, and 3.46 million tons of alumina, accounting for 7.4% of world production. 8,540 million tons of bauxite was mined in 2012 and 10,200 million tons of bauxite in 2011. Mining and quarrying made up 4.1% of the nation's gross domestic product in 1999. Bauxite and alumina formed 55.2% of exports in 1999 and are the second-leading money earner after tourism. Jamaica has reserves of over 2 billion tonnes, which are expected to last 100 years. Bauxite is found in the central parishes of St. Elizabeth, Manchester, Clarendon, St. Catherine, St. Ann, and Trelawny. There are four alumina plants and six mines. Jamaica has deposits of several million tons of gypsum on the southern slopes of the Blue Mountains. Jamaica produced 330,441 tons of gypsum in the year 2000, some of which was used in the local cement industry and in the manufacturing of building materials. Other minerals present in Jamaica include marble, limestone, and silica, as well as ores of copper, lead, zinc, manganese and iron. Some of these are worked in small quantities. Petroleum has been sought, but so far none has been found. Secondary Industries Manufacturing The manufacturing sector is an essential contributor to the Jamaican economy. Though manufacturing accounted for 13.9% of GDP in 1999. Jamaican companies contribute many manufactures such as food processing; oil refining; produced chemicals, construction materials, plastic goods, paints, pharmaceuticals, cartons, leather goods and cigars & assembled electronics, textiles and apparel. The garment industry is a major job employer for thousands of hundreds of locals and they formed 12.9% of exports in 1999 earning US$159 million. Chemicals formed 3.3% of the exports in 1999 earning US$40 million. A portion of the bauxite mined on the island is processed into alumina before export. An oil refinery is located near Kingston converts crude petroleum obtained from Venezuela into gasoline and other products. These are mainly for local use. The construction industry is growing due to new hotels and attractions being built for tourism. Construction and installation formed 10.4% of the GDP in 1999. Manufactured goods were imported and formed 30.3% of the imports and cost US$877 million in 1999. Since the launch of the Jamaican Logistics Hub initiative, various economic zones have been proposed throughout the country to assemble goods from other parts of the world for distribution to the Americas. Tertiary industries Tourism Tourism is tied with remittances as Jamaica's top source of revenue. The tourism industry earns over 50 percent of the country's total foreign exchange earnings and provides about one-fourth of all jobs in Jamaica. Most tourist activity is centered on the island's northern coast, including the communities of Montego Bay, Ocho Rios, and Port Antonio, as well as in Negril on the island's western tip. Some destinations include Ocho Rios, Green Grotto Caves, Y.S. Falls and Appleton Estate. Most of the tourist sites are landmarks as well as homes for many Jamaicans. Many of the most frequented tourist sites are located mainly by water such as rivers and beaches where fishermen make a living from seafood. One of the most famous beach towns in Jamaica is Ocho Rios, a located in the parish of Saint Ann on the north coast of Jamaica. It was once a fishing village but now attracts millions of tourists yearly. The site is popular today because of the food and culture that can be found there. Another famous location in Jamaica that attracts millions yearly is Dunn's River Falls, located in Ocho Rios; this waterfall is approximately 600 feet long and runs off into the sea. Around the location many hotels and restaurants are available and many
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of submarine cables connecting Jamaica to the rest of the world to four. The company's parent was acquired by Cable and Wireless Communications in November 2014 and finalized in March 2015. The new FLOW was re-launched as a successor to LIME and the old Flow on August 31, 2015; offering mobile, fixed voice, fixed broadband and TV services to the market. It has now become the first quad-play provider in Jamaica. The company runs a vast copper network (inherited from LIME) islandwide as well as a Hybrid Fiber and Coaxial network (from the old Flow) in the metropolitan areas of Kingston and Montego Bay. They also have small Fiber-to-the-home operations in certain sections of St. James that began in 2011 (under LIME). On the mobile side, the company had completed its 4G HSPA+ rollout (capable of speeds up to 21 Mbit/s) across the island in November 2015 and has announced plans to move to LTE within the year 2016. However, Digicel has become the first LTE network operator in Jamaica, going live with their network on June 9, 2016. Internet Internet top-level domain: .jm, registration of .jm domains is handled by MITS at the University of the West Indies, registration is free, although there has been some discussion about MITS making the service commercial in the coming years. Internet users: 1.3 million users, 108th in the world; 46.5% of the population, 94th in the world (2012). Fixed broadband: 125,188 subscriptions, 96th in the world; 4.3% of population, 109th in the world (2012). Wireless broadband: 45,505 subscriptions, 127th in the world; 1.6% of the population, 128th in the world (2012). Internet hosts: 3,906 hosts, 149th in the world (2012). IPv4: 202,752 addresses allocated, less than 0.05% of the world total, 70.1 addresses per 1000 people (2012). Internet censorship and surveillance There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. The law provides for freedom of speech and press, and the government generally respects
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roughly 70 other privately owned radio stations (2007). Radios: 1.215 million (1997). Television stations: Privately owned Radio Jamaica Limited and its subsidiaries operate multiple TV stations as well as subscription cable services; there are 2 other privately owned television stations (2007). Television sets: 460,000 (1997). Telecommunications Country Code: +1-876, +1-658 International Call Prefix: 011 (outside NANP) Calls from Jamaica to the US, Canada, and other NANP Caribbean nations, are dialed as 1 + NANP area code + 7-digit number. Calls from Jamaica to non-NANP countries are dialed as 011 + country code + phone number with local area code. Number Format: nxx-xxxx Main lines: 265,000 lines in use, 123rd in the world (2011). Mobile cellular: 2.7 million, 135th in the world (2012). Telephone system: Fully automatic domestic telephone network; the 1999 agreement to open the market for telecommunications services resulted in rapid growth in mobile-cellular telephone usage while the number of fixed-lines in use declined (2011). Teledensity: 110 per 100 persons (combined) (2011). Satellite earth stations: 2 Intelsat (Atlantic Ocean) (2010). Communication cables: Fibralink submarine cable links to the Americas Region Caribbean Ring System (ARCOS-1) submarine cable in the Dominican Republic and on to the US, parts of the Caribbean, Central and South America; the ALBA-1 fiber-optic submarine cable links Jamaica, Cuba, and Venezuela (2010). Jamaica has a fully digital telephone communication system. Mobile Telephony The country's three mobile operators – Cable and Wireless (once marketed as LIME – Landline, Internet, Mobile and Entertainment now named FLOW), Digicel, and at one point Oceanic Digital (operating as
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defunct) national airline, Air Jamaica. In addition there are local commuter airports at Tinson Pen (Kingston), Port Antonio, Ocho Rios, Mandeville, and Negril that cater to internal flights only. The Ian Fleming International Airport opened in February 2011 to serve the Ocho Rios - Port Antonio area. Many other small, rural centres are served by private fields on sugar estates or bauxite mines. Ports and Shipping Owing to its location in the Caribbean Sea in the shipping lane to the Panama Canal and relative proximity to large markets in North America and emerging markets in Latin America, Jamaica receives high container traffic. The container terminal at the Port of Kingston has undergone large expansion in capacity in recent years to handle growth both already realised as well as what is projected in coming years. There are several other ports positioned around the island, including the alumina ports, Port Esquivel in St. Catherine (WINDALCO), Rocky Point in Clarendon and Port Kaiser in St. Elizabeth. Port Rhoades in Discovery Bay is responsible for transporting bauxite dried at the adjacent Kaiser plant. Reynolds Pier in Ocho Rios is responsible for exporting sugar. Montego Freeport in Montego Bay also handles a variety of cargo like (though more limited than) the Port of Kingston, mainly agricultural products. Boundbrook Port in Port Antonio exports bananas. There are also three cruise ship piers along the island, in Ocho Rios, Montego Bay and Port Antonio. The Kingston port is situated in the Kingston Harbour, which is the 7th largest natural (i.e. not man made) harbour in the world. Merchant marine Total: 1 ship of over 1,000 GT: /. Ships by type: petroleum tanker 1 (1999 est.). Lighthouses As the island is a large exporter of bauxite, there is considerable freighter traffic. To aid navigation, Jamaica operates nine lighthouses Onshore: 7. Offshore: 2. Pipelines Petroleum products: . References Annual Transport Statistics Report: Jamaica in Figures
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Montego Bay and the north coast, is currently undergoing a series of phases/legs. Phase 1 is the highway network between Kingston and Mandeville, which itself has been divided into sub-phases: Phase 1a (Kingston-Bushy Park (in actuality, Kingston-Sandy Bay) highway and the upgrade of the Portmore Causeway), which was completed June 2006, and Phase 1b (Sandy Bay-Williamsfield). Phase 2a is the highway between Old Harbour and Ocho Rios, and Phase 2b is the highway between Mandeville and Montego Bay. total: . paved: . unpaved: (1997 est.). Railways Railways in Jamaica, as in many other countries, no longer enjoy the prominent position they once did, having been largely replaced by roadways as the primary means of transport. Of the 272 kilometres of railway found in Jamaica, only 57 kilometres remain in operation, currently used to transport bauxite. In 2008, with increasing traffic congestion, moves are being made to reconstruct old railway lines. total: 370 km standard gauge: 370 km gauge. Of these, 207 km belong to the Jamaica Railway Corporation in common carrier service but are no longer operational. The other 163 km is privately owned and used to transport bauxite. Air Transport There are two international airports in Jamaica with modern terminals, long runways, and the navigational equipment required to accommodate the large jet aircraft used in modern air travel: Norman Manley International Airport in the capital, Kingston
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United Nations Security Council, in 1979-80 and 2000-2001. In the follow-on meetings to the December 1994 Summit of the Americas, Jamaica—together with Uruguay—was given the responsibility of coordinating discussions on invigorating society. Diplomatic Relations List of countries which Jamaica maintains diplomatic relations with: Bilateral relations Jamaica maintains economic and cultural relations with Taiwan via Taipei Economic and Cultural Office in Canada. Jamaica and the Commonwealth Jamaica has been a member state of the Commonwealth of Nations since 1962 when it became an independent Commonwealth realm. Multilateral membership African, Caribbean and Pacific Group of States, Caricom, CCC, Caribbean Development Bank, United Nations Economic Commission for Latin America and the Caribbean, Food and Agriculture Organization, G-15, G-33, G-77, Inter-American Development Bank, International Atomic Energy Agency, International Bank for Reconstruction and Development, International Civil Aviation Organization, International Red Cross and Red Crescent Movement, International Fund for Agricultural Development, International Finance Corporation, International Federation of Red Cross and Red Crescent Societies, International Hydrographic Organization (pending member), International Labour Organization, International Monetary Fund, International Telecommunication Union, Intelsat, Interpol, International Olympic Committee, International Organization for Migration, International Organization for Standardization, International Telecommunication Union, Latin American Economic System, Non-Aligned Movement, Organization of American States, OPANAL,
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given the responsibility of coordinating discussions on invigorating society. Diplomatic Relations List of countries which Jamaica maintains diplomatic relations with: Bilateral relations Jamaica maintains economic and cultural relations with Taiwan via Taipei Economic and Cultural Office in Canada. Jamaica and the Commonwealth Jamaica has been a member state of the Commonwealth of Nations since 1962 when it became an independent Commonwealth realm. Multilateral membership African, Caribbean and Pacific Group of States, Caricom, CCC, Caribbean Development Bank, United Nations Economic Commission for Latin America and the Caribbean, Food and Agriculture Organization, G-15, G-33, G-77, Inter-American Development Bank, International Atomic Energy Agency, International Bank for Reconstruction and Development, International Civil Aviation Organization, International Red Cross and Red Crescent Movement, International Fund for Agricultural Development, International Finance Corporation, International Federation of Red Cross and Red Crescent Societies, International Hydrographic Organization (pending member), International Labour Organization, International Monetary Fund, International Telecommunication Union, Intelsat, Interpol, International Olympic Committee, International Organization for Migration, International Organization for Standardization, International Telecommunication Union, Latin
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