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CIM-10 Bomarc
The Boeing CIM-10 Bomarc ("Boeing Michigan Aeronautical Research Center") (IM-99 Weapon System prior to September 1962) was a supersonic ramjet powered long-range surface-to-air missile (SAM) used during the Cold War for the air defense of North America. In addition to being the first operational long-range SAM and the first operational pulse doppler aviation radar, it was the only SAM deployed by the United States Air Force. Stored horizontally in a launcher shelter with a movable roof, the missile was erected, fired vertically using rocket boosters to high altitude, and then tipped over into a horizontal Mach 2.5 cruise powered by ramjet engines. This lofted trajectory allowed the missile to operate at a maximum range as great as . Controlled from the ground for most of its flight, when it reached the target area it was commanded to begin a dive, activating an onboard active radar homing seeker for terminal guidance. A radar proximity fuse detonated the warhead, either a large conventional explosive or the W40 nuclear warhead. The Air Force originally planned for a total of 52 sites covering most of the major cities and industrial regions in the US. The United States Army was deploying their own systems at the same time, and the two services fought constantly both in political circles and in the press. Development dragged on, and by the time it was ready for deployment in the late 1950s, the nuclear threat had moved from manned bombers to the intercontinental ballistic missile (ICBM). By this time the Army had successfully deployed the much shorter range Nike Hercules that they claimed filled any possible need through the 1960s, in spite of Air Force claims to the contrary. As testing continued, the Air Force reduced its plans to sixteen sites, and then again to eight with an additional two sites in Canada. The first US site was declared operational in 1959, but with only a single working missile. Bringing the rest of the missiles into service took years, by which time the system was obsolete. Deactivations began in 1969 and by 1972 all Bomarc sites had been shut down. A small number were used as target drones, and only a few remain on display today. Design and development. Initial studies. During World War II, the US Army Air Force (USAAF) concluded that existing anti-aircraft guns, only marginally effective against existing generations of propeller-driven aircraft, would not be effective at all against the emerging jet-powered designs. Like the Germans and British before them, they concluded the only successful defence would be to use guided weapons. As early as 1944 the United States Army started exploring anti-aircraft missiles, examining a variety of concepts. At the time, two basic concepts appeared possible; one would use a short-range rocket that flew directly at the target from below following a course close to the line-of-sight, and the other would fly up to the target's altitude and then tip over and fly horizontally towards the target like a fighter aircraft. As both concepts seemed promising, the Army Air Force was given the task of developing the airplane-like design, while the Army Ordnance Department was given the more ballistic collision-course concept. Official requirements were published in 1945. Official requirements were published in 1945; Bell Laboratories won the Ordnance contract for a short-range line-of-sight weapon under Project Nike, while a team of players led by Boeing won the contract for a long-range design known as Ground-to-Air Pilotless Aircraft, or GAPA. GAPA moved to the United States Air Force when that branch was formed in 1947. In 1946, the USAAF also started two early research projects into anti-missile systems in Project Thumper (MX-795) and Project Wizard (MX-794). Bomarc A. Formally organized in 1946 under USAAF project MX-606, by 1950 Boeing had launched more than 100 test rockets in various configurations, all under the designator XSAM-A-1 GAPA. The tests were very promising, and Boeing received a USAF contract in 1949 to develop a production design under project MX-1599. The MX-1599 missile was to be a ramjet-powered, nuclear-armed long-range surface-to-air missile to defend the Continental United States from high-flying bombers. The Michigan Aerospace Research Center (MARC) was added to the project soon afterward, and this gave the new missile its name Bomarc (for Boeing and MARC). In 1951, the USAF decided to emphasize its point of view that missiles were nothing else than pilotless aircraft by assigning aircraft designators to its missile projects, and anti-aircraft missiles received F-for-Fighter designations. The Bomarc became the F-99. By this time, the Army's Nike project was progressing well and would enter operational service in 1953. This led the Air Force to begin a lengthy series of attacks on the Army in the press, a common occurrence at the time known as "policy by press release". When the Army released its first official information on Ajax to the press, the Air Force responded by leaking information on BOMARC to "Aviation Week", and continued to denigrate Nike in the press over the next few years, in one case showing a graphic of Washington being destroyed by nuclear bombs that Ajax failed to stop. Tests of the XF-99 test vehicles began in September 1952 and continued through early 1955. The XF-99 tested only the liquid-fueled booster rocket, which would accelerate the missile to ramjet ignition speed. In February 1955, tests of the XF-99A propulsion test vehicles began. These included live ramjets, but still had no guidance system or warhead. The designation YF-99A had been reserved for the operational test vehicles. In August 1955, the USAF discontinued the use of aircraft-like type designators for missiles, and the XF-99A and YF-99A became XIM-99A and YIM-99A, respectively. Originally the USAF had allocated the designation IM-69, but this was changed (possibly at Boeing's request to keep number 99) to IM-99 in October 1955. By this time, Ajax was widely deployed around the United States and some overseas locations, and the Army was beginning to develop its much more powerful successor, Nike Hercules. Hercules was an existential threat to BOMARC, as its much greater range and nuclear warhead filled many of the roles that BOMARC was designed for. A new round of fighting in the press broke out, capped by an article in "The New York Times" entitled "Air Force Calls Army Nike Unfit To Guard Nation". In October 1957, the first YIM-99A production-representative prototype flew with full guidance, and succeeded in passing the target within the intended warhead's destructive radius. In late 1957, Boeing received the production contract for the IM-99A Bomarc A, and in September 1959, the first IM-99A squadron became operational. The IM-99A had an operational radius of and was designed to fly at Mach 2.5–2.8 at a cruising altitude of . It was long and weighed . Its armament was either a conventional warhead or a W40 nuclear warhead (7–10 kiloton yield). A liquid-fuel rocket engine boosted the Bomarc to Mach 2, when its Marquardt RJ43-MA-3 ramjet engines, fueled by 80-octane gasoline, would take over for the remainder of the flight. This was the same model of engine used to power the Lockheed X-7, the Lockheed AQM-60 Kingfisher drone used to test air defenses, and the Lockheed D-21 launched from the back of an M-21, although the Bomarc and Kingfisher engines used different materials due to the longer duration of their flights. Operational units. The operational IM-99A missiles were based horizontally in semi-hardened shelters, nicknamed "coffins". After the launch order, the shelter's roof would slide open, and the missile raised to the vertical. After the missile was supplied with fuel for the booster rocket, it would be launched by the Aerojet General LR59-AJ-13 booster. After sufficient speed was reached, the Marquardt RJ43-MA-3 ramjets would ignite and propel the missile to its cruise speed of Mach 2.8 at an altitude of . When the Bomarc was within of the target, its own Westinghouse AN/DPN-34 radar guided the missile to the interception point. The maximum range of the IM-99A was , and it was fitted with either a conventional high-explosive or a 10 kiloton W-40 nuclear fission warhead. The Bomarc relied on the Semi-Automatic Ground Environment (SAGE), an automated control system used by NORAD for detecting, tracking and intercepting enemy bomber aircraft. SAGE allowed for remote launching of the Bomarc missiles, which were housed in a constant combat-ready basis in individual launch shelters in remote areas. At the height of the program, there were 14 Bomarc sites located in the US and two in Canada. Bomarc B. The liquid-fuel booster of the Bomarc A had several drawbacks. It took two minutes to fuel before launch, which could be a long time in high-speed intercepts, and its hypergolic propellants (hydrazine and nitric acid) were very dangerous to handle, leading to several serious accidents. As soon as high-thrust solid-fuel rockets became a reality in the mid-1950s, the USAF began to develop a new solid-fueled Bomarc variant, the IM-99B Bomarc B. It used a Thiokol XM51 booster, and also had improved Marquardt RJ43-MA-7 (and finally the RJ43-MA-11) ramjets. The first IM-99B was launched in May 1959, but problems with the new propulsion system delayed the first fully successful flight until July 1960, when a supersonic MQM-15A Regulus II drone was intercepted. Because the new booster required less space in the missile, more ramjet fuel could be carried, thus increasing the range to . The terminal homing system was also improved, using the world's first pulse Doppler search radar, the Westinghouse AN/DPN-53. All Bomarc Bs were equipped with the W-40 nuclear warhead. In June 1961, the first IM-99B squadron became operational, and Bomarc B quickly replaced most Bomarc A missiles. On 23 March 1961, a Bomarc B successfully intercepted a Regulus II cruise missile flying at , thus achieving the highest interception in the world up to that date. Boeing built 570 Bomarc missiles between 1957 and 1964, 269 CIM-10A, 301 CIM-10B. In September 1958 Air Research & Development Command decided to transfer the Bomarc program from its testing at Cape Canaveral Air Force Station to a new facility on Santa Rosa Island, south of Eglin AFB Hurlburt Field on the Gulf of Mexico. To operate the facility and to provide training and operational evaluation in the missile program, Air Defense Command established the 4751st Air Defense Wing (Missile) (4751st ADW) on 15 January 1958. The first launch from Santa Rosa took place on 15 January 1959. Operational history. In 1955, to support a program which called for 40 squadrons of BOMARC (120 missiles to a squadron for a total of 4,800 missiles), ADC reached a decision on the location of these 40 squadrons and suggested operational dates for each. The sequence was as follows: ... l. McGuire 1/60 2. Suffolk 2/60 3. Otis 3/60 4. Dow 4/60 5. Niagara Falls 1/61 6. Plattsburgh 1/61 7. Kinross 2/61 8. K.I. Sawyer 2/61 9. Langley 2/61 10. Truax 3/61 11. Paine 3/61 12. Portland 3/61 ... At the end of 1958, ADC plans called for construction of the following BOMARC bases in the following order: l. McGuire 2. Suffolk 3. Otis 4. Dow 5. Langley 6. Truax 7. Kinross 8. Duluth 9. Ethan Allen 10. Niagara Falls 11. Paine 12. Adair 13. Travis 14. Vandenberg 15. San Diego 16. Malmstrom 17. Grand Forks 18. Minot 19. Youngstown 20. Seymour-Johnson 21. Bunker Hill 22. Sioux Falls 23. Charleston 24. McConnell 25. Holloman 26. McCoy 27. Amarillo 28. Barksdale 29. Williams. United States. The first USAF operational Bomarc squadron was the 46th Air Defense Missile Squadron (ADMS), organized on 1 January 1959 and activated on 25 March. The 46th ADMS was assigned to the New York Air Defense Sector at McGuire Air Force Base, New Jersey. The training program, under the 4751st Air Defense Wing used technicians acting as instructors and was established for a four-month duration. Training included missile maintenance; SAGE operations and launch procedures, including the launch of an unarmed missile at Eglin. In September 1959 the squadron assembled at their permanent station, the Bomarc site near McGuire AFB, and trained for operational readiness. The first Bomarc-A were used at McGuire on 19 September 1959 with Kincheloe AFB getting the first operational IM-99Bs. While several of the squadrons replicated earlier fighter interceptor unit numbers, they were all new organizations with no previous historical counterpart. ADC's initial plans called for some 52 Bomarc sites around the United States with 120 missiles each but as defense budgets decreased during the 1950s the number of sites dropped substantially. Ongoing development and reliability problems didn't help, nor did Congressional debate over the missile's usefulness and necessity. In June 1959, the Air Force authorized 16 Bomarc sites with 56 missiles each; the initial five would get the IM-99A with the remainder getting the IM-99B. However, in March 1960, HQ USAF cut deployment to eight sites in the United States and two in Canada. Bomarc incident. Within a year of operations, a Bomarc A with a nuclear warhead caught fire at McGuire AFB on 7 June 1960 after its on-board helium tank exploded. While the missile's explosives did not detonate, the heat melted the warhead and released plutonium, which the fire crews spread. The Air Force and the Atomic Energy Commission cleaned up the site and covered it with concrete. This was the only major incident involving the weapon system. The site remained in operation for several years following the fire. Since its closure in 1972, the area has remained off limits, primarily due to low levels of plutonium contamination. Between 2002 and 2004, 21,998 cubic yards of contaminated debris and soils were shipped to what was then known as Envirocare, located in Utah. Modification and deactivation. In 1962, the US Air Force started using modified A-models as drones; following the October 1962 tri-service redesignation of aircraft and weapons systems they became CQM-10As. Otherwise the air defense missile squadrons maintained alert while making regular trips to Santa Rosa Island for training and firing practice. After the inactivation of the 4751st ADW(M) on 1 July 1962 and transfer of Hurlburt to Tactical Air Command for air commando operations the 4751st Air Defense Squadron (Missile) remained at Hurlburt and Santa Rosa Island for training purposes. In 1964, the liquid-fueled Bomarc-A sites and squadrons began to be deactivated. The sites at Dow and Suffolk County closed first. The remainder continued to be operational for several more years while the government started dismantling the air defense missile network. Niagara Falls was the first BOMARC B installation to close, in December 1969; the others remained on alert through 1972. In April 1972, the last Bomarc B in U.S. Air Force service was retired at McGuire and the 46th ADMS inactivated and the base was deactivated. In the era of the intercontinental ballistic missiles the Bomarc, designed to intercept relatively slow manned bombers, had become a useless asset. The remaining Bomarc missiles were used by all armed services as high-speed target drones for tests of other air-defense missiles. The Bomarc A and Bomarc B targets were designated as CQM-10A and CQM-10B, respectively. Following the accident, the McGuire complex has never been sold or converted to other uses and remains in Air Force ownership, making it the most intact site of the eight in the US. It has been nominated to the National Register of Historic Sites. Canada. The Bomarc Missile Program was highly controversial in Canada. The Progressive Conservative government of Prime Minister John Diefenbaker initially agreed to deploy the missiles, and shortly thereafter controversially scrapped the Avro Arrow, a supersonic manned interceptor aircraft, arguing that the missile program made the Arrow unnecessary. Initially, it was unclear whether the missiles would be equipped with nuclear warheads. By 1960 it became known that the missiles were to have a nuclear payload, and a debate ensued about whether Canada should accept nuclear weapons. Ultimately, the Diefenbaker government decided that the Bomarcs should not be equipped with nuclear warheads. The dispute split the Diefenbaker Cabinet, and led to the collapse of the government in 1963. The Official Opposition and Liberal Party leader Lester B. Pearson originally was against nuclear missiles, but reversed his personal position and argued in favour of accepting nuclear warheads. He won the 1963 election, largely on the basis of this issue, and his new Liberal government proceeded to accept nuclear-armed Bomarcs, with the first being deployed on 31 December 1963. When the nuclear warheads were deployed, Pearson's wife, Maryon, resigned her honorary membership in the anti-nuclear weapons group, Voice of Women. Canadian operational deployment of the Bomarc involved the formation of two specialized Surface/Air Missile squadrons. The first to begin operations was No. 446 SAM Squadron at RCAF Station North Bay, which was the command and control center for both squadrons. With construction of the compound and related facilities completed in 1961, the squadron received its Bomarcs in 1961, without nuclear warheads. The squadron became fully operational from 31 December 1963, when the nuclear warheads arrived, until disbanding on 31 March 1972. All the warheads were stored separately and under control of Detachment 1 of the USAF 425th Munitions Maintenance Squadron at Stewart Air Force Base. During operational service, the Bomarcs were maintained on stand-by, on a 24-hour basis, but were never fired, although the squadron test-fired the missiles at Eglin AFB, Florida on annual winter retreats. No. 447 SAM Squadron operating out of RCAF Station La Macaza, Quebec, was activated on 15 September 1962 although warheads were not delivered until late 1963. The squadron followed the same operational procedures as No. 446, its sister squadron. With the passage of time the operational capability of the 1950s-era Bomarc system no longer met modern requirements; the Department of National Defence deemed that the Bomarc missile defense was no longer a viable system, and ordered both squadrons to be stood down in 1972. The bunkers and ancillary facilities remain at both former sites. 446 SAM Squadron: 28 IM-99B, CFB North Bay, Ontario 1962–1972 Bomarc site located at 447 SAM Squadron: 28 IM-99B, La Macaza, Quebec (La Macaza – Mont Tremblant International Airport) 1962–1972 Bomarc site located at (Approximately) 6th Air Defense Missile Squadron, 56 IM-99A Activated on 1 February 1959 Assigned to: New York Air Defense Sector Inactivated 15 December 1964 Stationed at: Suffolk County Air Force Base Missile Annex, New York Bomarc site located 3 miles SW at 22d Air Defense Missile Squadron: 28 IM-99A/28 IM-99B Activated on 15 September 1959 Assigned to: Washington Air Defense Sector Reassigned to: 33d Air Division, 1 April 1966 Reassigned to: 20th Air Division, 19 November 1969 Inactivated: 31 October 1972 Stationed at: Langley AFB, Virginia Bomarc site located 3 miles WNW at 26th Air Defense Missile Squadron: 28 IM-99A/28 IM-99B Activated 1 March 1959 Assigned to: Boston Air Defense Sector Reassigned to: 35th Air Division, 1 April 1966 Reassigned to: 21st Air Division, 19 November 1969 Inactivated: 30 April 1972 Stationed at: Otis Air Force Base BOMARC site, Massachusetts Bomarc site located 1 mile NNW at 30th Air Defense Missile Squadron: 28 IM-99A Activated on 1 June 1959 Assigned to Bangor Air Defense Sector Inactivated: 15 December 1964 Stationed at Dow AFB, Maine Bomarc site located 4 mils NNE at 35th Air Defense Missile Squadron: 56 IM-99B Activated 1 June 1960 Assigned to Syracuse Air Defense Sector Reassigned to: Detroit Air Defense Sector, 4 September 1963 Reassigned to: 34th Air Division, 1 April 1966 Reassigned to: 35th Air Division, 15 September 1969 Inactivated: 31 December 1969 Stationed at: Niagara Falls Air Force Missile Site, New York Bomarc site located at 37th Air Defense Missile Squadron: 28 IM-99B Activated 1 March 1960 Assigned to 30th Air Division Reassigned to: Sault Sainte Marie Air Defense Sector, 1 April 1960 Reassigned to: Duluth Air Defense Sector, 1 October 1963 Reassigned to: 29th Air Division, 1 April 1966 Reassigned to: 23d Air Division, 19 November 1969 Inactivated 31 July 1972 Stationed at: Kincheloe AFB, Michigan Bomarc site located 19 miles NW at Raco 46th Air Defense Missile Squadron: 28 IM-99A/56 IM-99B Activated 1 January 1959 Assigned to New York Air Defense Sector Reassigned to: 21st Air Division, 1 April 1966 Reassigned to: 35th Air Division, 1 December 1957 Reassigned to: 21st Air Division, 19 November 1969 Inactivated 31 October 1972 Stationed at: McGuire AFB, New Jersey Bomarc site located 4 miles ESE at 74th Air Defense Missile Squadron: 28 IM-99B Activated 1 April 1960 Assigned to Duluth Air Defense Sector Reassigned to: 29th Air Division, 1 April 1966 Reassigned to: 23d Air Division, 19 November 1969 Inactivated 30 April 1972 Stationed at: Duluth International Airport, Minnesota Bomarc site located 10 miles NE at 4751st Air Defense Missile Squadron Activated 15 January 1959 Assigned to 73d Air Division (Weapons) Reassigned to: 32d Air Division, 1 October 1959 Reassigned to: Montgomery Air Defense Sector, 1 July 1962 Reassigned to: Air Defense, Tactical Air Command, 1 September 1979 Inactivated 30 September 1979 Stationed at: Eglin Auxiliary Field #9 (Hurlburt Field), Florida Bomarc site located on Santa Rosa Island at Bomarc site located at Eglin Auxiliary Field #5 (Piccolo Field) at Cape Canaveral Air Force Station, Florida Launch Complex 4 (LC-4) was used for Bomarc testing and development launches 2 February 1956 – 15 April 1960 (17 Launches). Vandenberg Air Force Base, California Two launch sites, BOM-1 and BOM-2 were used by the United States Navy for Bomarc launches against aerial targets. The first launch taking place on 25 August 1966. The last two launches occurred on 14 July 1982. BOM1 49 launches; BOM2 38 launches. Operators. Locations under construction but not activated. Each site was programmed for 28 IM-99B missiles: Surviving missiles. Although a number of IM-99/CIM-10 Bomarcs have been placed on public display, because of concerns about the possible environmental hazards of the thoriated magnesium structure of the airframe several have been removed from public view. Russ Sneddon, director of the Air Force Armament Museum, Eglin Air Force Base, Florida provided information about missing CIM-10 exhibit airframe serial 59–2016, one of the museum's original artifacts from its founding in 1975 and donated by the 4751st Air Defense Squadron at Hurlburt Field, Eglin Auxiliary Field 9, Eglin AFB. As of December 2006, the suspect missile was stored in a secure compound behind the Armaments Museum. In December 2010, the airframe was still on premises, but partly dismantled. Below is a list of museums or sites which have a Bomarc missile on display or in storage: Impact on popular music. The Bomarc missile captured the imagination of the American and Canadian popular music industry, giving rise to a pop music group, the Bomarcs (composed mainly of servicemen stationed on a Florida radar site that tracked Bomarcs), a record label, Bomarc Records, and a moderately successful Canadian pop group, The Beau Marks.
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Branco River
The Branco River (; Engl: "White River") is the principal affluent of the Rio Negro from the north. Basin. The river drains the Guayanan Highlands moist forests ecoregion. It is enriched by many streams from the Tepui highlands which separate Venezuela and Guyana from Brazil. Its two upper main tributaries are the Uraricoera and the Takutu. The latter almost links its sources with those of the Essequibo; during floods headwaters of the Branco and those of the Essequibo are connected, allowing a level of exchange in the aquatic fauna (such as fish) between the two systems. The Branco flows nearly south, and finds its way into the Negro through several channels and a chain of lagoons similar to those of the latter river. It is long, up to its Uraricoera confluence. It has numerous islands, and, above its mouth, it is broken by a bad series of rapids. Discharge. Average, minimum and maximum discharge of the Branco River at near mouth. Period from 1998 to 2022. Water chemistry. As suggested by its name, the Branco (literally "white" in Portuguese) has whitish water that may appear almost milky due to the inorganic sediments it carries. It is traditionally considered a whitewater river, although the major seasonal fluctuations in its physico-chemical characteristics makes a classification difficult and some consider it clearwater. Especially the river's upper parts at the headwaters are clear and flow through rocky country, leading to the suggestion that sediments mainly originate from the lower parts. Furthermore, its chemistry and color may contradict each other compared to the traditional Amazonian river classifications. The Branco River has pH 6–7 and low levels of dissolved organic carbon. Alfred Russel Wallace mentioned the coloration in "On the Rio Negro", a paper read at the 13 June 1853 meeting of the Royal Geographical Society, in which he said: "[The Rio Branco] is white to a remarkable degree, its waters being actually milky in appearance". Alexander von Humboldt attributed the color to the presence of silicates in the water, principally mica and talc. There is a visible contrast with the waters of the Rio Negro at the confluence of the two rivers. The Rio Negro is a blackwater river with dark tea-colored acidic water (pH 3.5–4.5) that contains high levels of dissolved organic carbon. River capture. Until approximately 20,000 years ago the headwaters of the Branco River flowed not into the Amazon, but via the Takutu Graben in the Rupununi area of Guyana towards the Caribbean. Currently in the rainy season much of the Rupununi area floods, with water draining both to the Amazon (via the Branco River) and the Essequibo River.
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Bus
A bus (contracted from omnibus, with variants multibus, motorbus, autobus, etc.) is a motor vehicle that carries significantly more passengers than an average car or van, but fewer than the average rail transport. It is most commonly used in public transport, but is also in use for charter purposes, or through private ownership. Although the average bus carries between 30 and 100 passengers, some buses have a capacity of up to 300 passengers. The most common type is the single-deck rigid bus, with double-decker and articulated buses carrying larger loads, and midibuses and minibuses carrying smaller loads. Coaches are used for longer-distance services. Many types of buses, such as city transit buses and inter-city coaches, charge a fare. Other types, such as elementary or secondary school buses or shuttle buses within a post-secondary education campus, are free. In many jurisdictions, bus drivers require a special large vehicle licence above and beyond a regular driving license. Buses may be used for scheduled bus transport, scheduled coach transport, school transport, private hire, or tourism; promotional buses may be used for political campaigns and others are privately operated for a wide range of purposes, including rock and pop band tour vehicles. Horse-drawn buses were used from the 1820s, followed by steam buses in the 1830s, and electric trolleybuses in 1882. The first internal combustion engine buses, or motor buses, were used in 1895. Recently, interest has been growing in hybrid electric buses, fuel cell buses, and electric buses, as well as buses powered by compressed natural gas or biodiesel. As of the 2010s, bus manufacturing is increasingly globalised, with the same designs appearing around the world. Name. The word "bus" is a shortened form of the Latin adjectival form ("for all"), the dative plural of ("all"). The theoretical full name is in French ("vehicle for all"). The name originates from a mass-transport service started in 1823 by a French corn-mill owner named in Richebourg, a suburb of Nantes. A by-product of his mill was hot water, and thus next to it he established a spa business. In order to encourage customers he started a horse-drawn transport service from the city centre of Nantes to his establishment. The first vehicles stopped in front of the shop of a hatter named Omnés, which displayed a large sign inscribed "Omnes Omnibus", a pun on his Latin-sounding surname, being the masculine and feminine nominative, vocative and accusative form of the Latin adjective ("all"), combined with "omnibus", the dative plural form meaning "for all", thus giving his shop the name "Omnés for all", or "everything for everyone". His transport scheme was a huge success, although not as he had intended as most of his passengers did not visit his spa. He turned the transport service into his principal lucrative business venture and closed the mill and spa. Nantes citizens soon gave the nickname "omnibus" to the vehicle. Having invented the successful concept Baudry moved to Paris and launched the first omnibus service there in April 1828. A similar service was introduced in Manchester in 1824 and in London in 1829. History. Steam buses. Regular intercity bus services by steam-powered buses were pioneered in England in the 1830s by Walter Hancock and by associates of Sir Goldsworthy Gurney, among others, running reliable services over road conditions which were too hazardous for horse-drawn transportation. The first mechanically propelled omnibus appeared on the streets of London on 22 April 1833. Steam carriages were much less likely to overturn, they travelled faster than horse-drawn carriages, they were much cheaper to run, and caused much less damage to the road surface due to their wide tyres. However, the heavy road tolls imposed by the turnpike trusts discouraged steam road vehicles and left the way clear for the horse bus companies, and from 1861 onwards, harsh legislation virtually eliminated mechanically propelled vehicles from the roads of Great Britain for 30 years, the Locomotive Act 1861 imposing restrictive speed limits on "road locomotives" of in towns and cities, and in the country. Trolleybuses. In parallel to the development of the bus was the invention of the electric trolleybus, typically fed through trolley poles by overhead wires. The Siemens brothers, William in England and Ernst Werner in Germany, collaborated on the development of the trolleybus concept. Sir William first proposed the idea in an article to the "Journal of the Society of Arts" in 1881 as an "...arrangement by which an ordinary omnibus...would have a suspender thrown at intervals from one side of the street to the other, and two wires hanging from these suspenders; allowing contact rollers to run on these two wires, the current could be conveyed to the tram-car, and back again to the dynamo machine at the station, without the necessity of running upon rails at all." The first such vehicle, the Electromote, was made by his brother Ernst Werner von Siemens and presented to the public in 1882 in Halensee, Germany. Although this experimental vehicle fulfilled all the technical criteria of a typical trolleybus, it was dismantled in the same year after the demonstration. Max Schiemann opened a passenger-carrying trolleybus in 1901 near Dresden, in Germany. Although this system operated only until 1904, Schiemann had developed what is now the standard trolleybus current collection system. In the early days, a few other methods of current collection were used. Leeds and Bradford became the first cities to put trolleybuses into service in Great Britain on 20 June 1911. Motor buses. In Siegerland, Germany, two passenger bus lines ran briefly, but unprofitably, in 1895 using a six-passenger motor carriage developed from the 1893 Benz Viktoria. Another commercial bus line using the same model Benz omnibuses ran for a short time in 1898 in the rural area around Llandudno, Wales. Germany's Daimler Motors Corporation also produced one of the earliest motor-bus models in 1898, selling a double-decker bus to the Motor Traction Company which was first used on the streets of London on 23 April 1898. The vehicle had a maximum speed of and accommodated up to 20 passengers, in an enclosed area below and on an open-air platform above. With the success and popularity of this bus, DMG expanded production, selling more buses to companies in London and, in 1899, to Stockholm and Speyer. Daimler Motors Corporation also entered into a partnership with the British company Milnes and developed a new double-decker in 1902 that became the market standard. The first mass-produced bus model was the B-type double-decker bus, designed by Frank Searle and operated by the London General Omnibus Company—it entered service in 1910, and almost 3,000 had been built by the end of the decade. Hundreds of them saw military service on the Western Front during the First World War. The Yellow Coach Manufacturing Company, which rapidly became a major manufacturer of buses in the US, was founded in Chicago in 1923 by John D. Hertz. General Motors purchased a majority stake in 1925 and changed its name to the Yellow Truck and Coach Manufacturing Company. GM purchased the balance of the shares in 1943 to form the GM Truck and Coach Division. Models expanded in the 20th century, leading to the widespread introduction of the contemporary recognizable form of full-sized buses from the 1950s. The AEC Routemaster, developed in the 1950s, was a pioneering design and remains an icon of London to this day. The innovative design used lightweight aluminium and techniques developed in aircraft production during World War II. As well as a novel weight-saving integral design, it also introduced for the first time on a bus independent front suspension, power steering, a fully automatic gearbox, and power-hydraulic braking. Types. Formats include single-decker bus, double-decker bus (both usually with a rigid chassis) and articulated bus (or 'bendy-bus') the prevalence of which varies from country to country. High-capacity bi-articulated buses are also manufactured, and passenger-carrying trailers—either towed behind a rigid bus (a bus trailer) or hauled as a trailer by a truck (a trailer bus). Smaller midibuses have a lower capacity and open-top buses are typically used for leisure purposes. In many new fleets, particularly in local transit systems, a shift to low-floor buses is occurring, primarily for easier accessibility. Coaches are designed for longer-distance travel and are typically fitted with individual high-backed reclining seats, seat belts, toilets, and audio-visual entertainment systems, and can operate at higher speeds with more capacity for luggage. Coaches may be single- or double-deckers, articulated, and often include a separate luggage compartment under the passenger floor. Guided buses are fitted with technology to allow them to run in designated guideways, allowing the controlled alignment at bus stops and less space taken up by guided lanes than conventional roads or bus lanes. Bus manufacturing may be by a single company (an integral manufacturer), or by one manufacturer's building a bus body over a chassis produced by another manufacturer. Design. Accessibility. During most of the 20th century, transit buses were almost exclusively high-floor vehicles, and they used wheelchair lifts if they provided accessibility at all. (In the U.S., only in 1993 did accessibility become a requirement in all new buses, under the federal Americans with Disabilities Act of 1990.) However, they are now increasingly of low-floor design and optionally also 'kneel' air suspension and have ramps to provide access for wheelchair users and people with baby carriages, sometimes as electrically or hydraulically extended under-floor constructs for level access. Prior to more general use of such technology, these wheelchair users could only use specialist para-transit mobility buses. Accessible vehicles also have wider entrances and interior gangways and space for wheelchairs. Interior fittings and destination displays may also be designed to be usable by the visually impaired. Coaches generally still use wheelchair lifts instead of low-floor designs. In some countries, vehicles are required to have these features by disability discrimination laws. Configuration. Buses were initially configured with an engine in the front and an entrance at the rear. With the transition to one-person operation, many manufacturers moved to mid- or rear-engined designs, with a single door at the front or multiple doors. The move to the low-floor design has all but eliminated the mid-engined design, although some coaches still have mid-mounted engines. Front-engined buses still persist for niche markets such as American school buses, some minibuses, and buses in less developed countries, which may be derived from truck chassis, rather than purpose-built bus designs. Most buses have two axles, while articulated buses have three. Guidance. Guided buses are fitted with technology to allow them to run in designated guideways, allowing the controlled alignment at bus stops and less space taken up by guided lanes than conventional roads or bus lanes. Guidance can be mechanical, optical, or electromagnetic. Extensions of the guided technology include the Guided Light Transit and Translohr systems, although these are more often termed 'rubber-tyred trams' as they have limited or no mobility away from their guideways. Liveries. Transit buses are normally painted to identify the operator or a route, function, or to demarcate low-cost or premium service buses. Liveries may be painted onto the vehicle, applied using adhesive vinyl technologies, or using decals. Vehicles often also carry bus advertising or part or all of their visible surfaces (as mobile billboard). Campaign buses may be decorated with key campaign messages; these can be to promote an event or initiative. Propulsion. The most common power source since the 1920s has been the diesel engine. Early buses, known as trolleybuses, were powered by electricity supplied from overhead lines. Nowadays, electric buses often carry their own battery, which is sometimes recharged on stops/stations to keep the size of the battery small/lightweight. Currently, interest exists in hybrid electric buses, fuel cell buses, electric buses, and ones powered by compressed natural gas or biodiesel. Gyrobuses, which are powered by the momentum stored by a flywheel, were tried in the 1940s. Dimensions. United Kingdom and European Union: Maximum Length: Single rear axle . Twin rear axle . Maximum Width: United States, Canada and Mexico: Maximum Length: None Maximum Width: Manufacture. Early bus manufacturing grew out of carriage coach building, and later out of automobile or truck manufacturers. Early buses were merely a bus body fitted to a truck chassis. This body+chassis approach has continued with modern specialist manufacturers, although there also exist integral designs such as the Leyland National where the two are practically inseparable. Specialist builders also exist and concentrate on building buses for special uses or modifying standard buses into specialised products. Integral designs have the advantages that they have been well-tested for strength and stability, and also are off-the-shelf. However, two incentives cause use of the chassis+body model. First, it allows the buyer and manufacturer both to shop for the best deal for their needs, rather than having to settle on one fixed design—the buyer can choose the body and the chassis separately. Second, over the lifetime of a vehicle (in constant service and heavy traffic), it will likely get minor damage now and again, and being able easily to replace a body panel or window etc. can vastly increase its service life and save the cost and inconvenience of removing it from service. As with the rest of the automotive industry, into the 20th century, bus manufacturing increasingly became globalized, with manufacturers producing buses far from their intended market to exploit labour and material cost advantages. A typical city bus costs almost US$450,000. Uses. Public transport. Transit buses, used on public transport bus services, have utilitarian fittings designed for efficient movement of large numbers of people, and often have multiple doors. Coaches are used for longer-distance routes. High-capacity bus rapid transit services may use the bi-articulated bus or tram-style buses such as the Wright StreetCar and the Irisbus Civis. Buses and coach services often operate to a predetermined published public transport timetable defining the route and the timing, but smaller vehicles may be used on more flexible demand responsive transport services. Tourism. Buses play a major part in the tourism industry. Tour buses around the world allow tourists to view local attractions or scenery. These are often open-top buses, but can also be regular buses or coaches. In local sightseeing, City Sightseeing is the largest operator of local tour buses, operating on a franchised basis all over the world. Specialist tour buses are also often owned and operated by safari parks and other theme parks or resorts. Longer-distance tours are also carried out by bus, either on a turn up and go basis or through a tour operator, and usually allow disembarkation from the bus to allow touring of sites of interest on foot. These may be day trips or longer excursions incorporating hotel stays. Tour buses often carry a tour guide, although the driver or a recorded audio commentary may also perform this function. The tour operator may be a subsidiary of a company that operates buses and coaches for other uses or an independent company that charters buses or coaches. Commuter transport operators may also use their coaches to conduct tours within the target city between the morning and evening commuter transport journey. Buses and coaches are also a common component of the wider package holiday industry, providing private airport transfers (in addition to general airport buses) and organised tours and day trips for holidaymakers on the package. Tour buses can also be hired as chartered buses by groups for sightseeing at popular holiday destinations. These private tour buses may offer specific stops, such as all the historical sights, or allow the customers to choose their own itineraries. Tour buses come with professional and informed staff and insurance, and maintain state governed safety standards. Some provide other facilities like entertainment units, luxurious reclining seats, large scenic windows, and even lavatories. Public long-distance coach networks are also often used as a low-cost method of travel by students or young people travelling the world. Some companies such as Topdeck Travel were set up specifically to use buses to drive the hippie trail or travel to places such as North Africa. In many tourist or travel destinations, a bus is part of the tourist attraction, such as the North American tourist trolleys, London's AEC Routemaster heritage routes, or the customised buses of Malta, Asia, and the Americas. Another example of tourist stops is the homes of celebrities, such as tours based near Hollywood. There are several such services between 6000 and 7000 Hollywood Boulevard in Los Angeles. Student transport. In some countries, particularly the US and Canada, buses used to transport schoolchildren have evolved into a specific design with specified mandatory features. American states have also adopted laws regarding motorist conduct around school buses, including large fines and possibly prison for passing a stopped school bus in the process of loading or offloading children passengers. These school buses may have school bus yellow livery and crossing guards. Other countries may mandate the use of seat belts. As a minimum, many countries require a bus carrying students to display a , and may also adopt yellow liveries. Student transport often uses older buses cascaded from service use, retrofitted with more seats or seatbelts. Student transport may be operated by local authorities or private contractors. Schools may also own and operate their own buses for other transport needs, such as class field trips or transport to associated sports, music, or other school events. Private charter. Due to the costs involved in owning, operating, and driving buses and coaches, much bus and coach use comes from the private hire of vehicles from charter bus companies, either for a day or two or on a longer contract basis, where the charter company provides the vehicles and qualified drivers. Charter bus operators may be completely independent businesses, or charter hire may be a subsidiary business of a public transport operator that might maintain a separate fleet or use surplus buses, coaches, and dual-purpose coach-seated buses. Many private taxicab companies also operate larger minibus vehicles to cater for group fares. Companies, private groups, and social clubs may hire buses or coaches as a cost-effective method of transporting a group to an event or site, such as a group meeting, racing event, or organised recreational activity such as a summer camp. Schools often hire charter bus services on a regular basis for transportation of children to and from their homes. Chartered buses are also used by education institutes for transport to conventions, exhibitions, and field trips. Entertainment or event companies may also hire temporary shuttles buses for transport at events such as festivals or conferences. Party buses are used by companies in a similar manner to limousine hire, for luxury private transport to social events or as a touring experience. Sleeper buses are used by bands or other organisations that tour between entertainment venues and require mobile rest and recreation facilities. Some couples hire preserved buses for their wedding transport, instead of the traditional car. Buses are often hired for parades or processions. Victory parades are often held for triumphant sports teams, who often tour their home town or city in an open-top bus. Sports teams may also contract out their transport to a team bus, for travel to away games, to a competition or to a final event. These buses are often specially decorated in a livery matching the team colours. Private companies often contract out private shuttle bus services, for transport of their customers or patrons, such as hotels, amusement parks, university campuses, or private airport transfer services. This shuttle usage can be as transport between locations, or to and from parking lots. High specification luxury coaches are often chartered by companies for executive or VIP transport. Charter buses may also be used in tourism and for promotion (See Tourism and Promotion sections). Private ownership. Many organisations, including the police, not for profit, social or charitable groups with a regular need for group transport may find it practical or cost-effective to own and operate a bus for their own needs. These are often minibuses for practical, tax and driver licensing reasons, although they can also be full-size buses. Cadet or scout groups or other youth organizations may also own buses. Companies such as railroads, construction contractors, and agricultural firms may own buses to transport employees to and from remote job sites. Specific charities may exist to fund and operate bus transport, usually using specially modified mobility buses or otherwise accessible buses (See Accessibility section). Some use their contributions to buy vehicles and provide volunteer drivers. Airport operators make use of special airside airport buses for crew and passenger transport in the secure airside parts of an airport. Some public authorities, police forces, and military forces make use of armoured buses where there is a special need to provide increased passenger protection. The United States Secret Service acquired two in 2010 for transporting dignitaries needing special protection. Police departments make use of police buses for a variety of reasons, such as prisoner transport, officer transport, temporary detention facilities, and as command and control vehicles. Some fire departments also use a converted bus as a command post while those in cold climates might retain a bus as a heated shelter at fire scenes. Many are drawn from retired school or service buses. Promotion. Buses are often used for advertising, political campaigning, , public relations, or promotional purposes. These may take the form of temporary charter hire of service buses, or the temporary or permanent conversion and operation of buses, usually of second-hand buses. Extreme examples include converting the bus with displays and decorations or awnings and fittings. Interiors may be fitted out for exhibition or information purposes with special equipment or audio visual devices. Bus advertising takes many forms, often as interior and exterior adverts and all-over advertising liveries. The practice often extends into the exclusive private hire and use of a bus to promote a brand or product, appearing at large public events, or touring busy streets. The bus is sometimes staffed by promotions personnel, giving out free gifts. Campaign buses are often specially decorated for a political campaign or other social awareness information campaign, designed to bring a specific message to different areas, or used to transport campaign personnel to local areas/meetings. Exhibition buses are often sent to public events such as fairs and festivals for purposes such as recruitment campaigns, for example by private companies or the armed forces. Complex urban planning proposals may be organised into a mobile exhibition bus for the purposes of public consultation. Goods transport. In some sparsely populated areas, it is common to use brucks, buses with a cargo area to transport both passengers and cargo at the same time. They are especially common in the Nordic countries. Around the world. Historically, the types and features of buses have developed according to local needs. Buses were fitted with technology appropriate to the local climate or passenger needs, such as air conditioning in Asia, or cycle mounts on North American buses. The bus types in use around the world where there was little mass production were often sourced secondhand from other countries, such as the Malta bus, and buses in use in Africa. Other countries such as Cuba required novel solutions to import restrictions, with the creation of the "camellos" (camel bus), a specially manufactured trailer bus. After the Second World War, manufacturers in Europe and the Far East, such as Mercedes-Benz buses and Mitsubishi Fuso expanded into other continents influencing the use of buses previously served by local types. Use of buses around the world has also been influenced by colonial associations or political alliances between countries. Several of the Commonwealth nations followed the British lead and sourced buses from British manufacturers, leading to a prevalence of double-decker buses. Several Eastern Bloc countries adopted trolleybus systems, and their manufacturers such as Trolza exported trolleybuses to other friendly states. In the 1930s, Italy designed the world's only triple decker bus for the busy route between Rome and Tivoli that could carry eighty-eight passengers. It was unique not only in being a triple decker but having a separate smoking compartment on the third level. The buses to be found in countries around the world often reflect the quality of the local road network, with high-floor resilient truck-based designs prevalent in several less developed countries where buses are subject to tough operating conditions. Population density also has a major impact, where dense urbanisation such as in Japan and the far east has led to the adoption of high capacity long multi-axle buses, often double-deckers while South America and China are implementing large numbers of articulated buses for bus rapid transit schemes. Bus expositions. Euro Bus Expo is a trade show, which is held biennially at the UK's National Exhibition Centre in Birmingham. As the official show of the Confederation of Passenger Transport, the UK's trade association for the bus, coach and light rail industry, the three-day event offers visitors from Europe and beyond the chance to see and experience the very latest vehicles and product and service innovations right across the industry. Busworld Kortrijk in Kortrijk, Belgium, is the leading bus trade fair in Europe. It is also held biennially. Use of retired buses. Most public or private buses and coaches, once they have reached the end of their service with one or more operators, are sent to the wrecking yard for breaking up for scrap and spare parts. Some buses which are not economical to keep running as service buses are often converted for use other than revenue-earning transport. Much like old cars and trucks, buses often pass through a dealership where they can be bought privately or at auction. Bus operators often find it economical to convert retired buses to use as permanent training buses for driver training, rather than taking a regular service bus out of use. Some large operators have also converted retired buses into tow bus vehicles, to act as tow trucks. With the outsourcing of maintenance staff and facilities, the increase in company health and safety regulations, and the increasing curb weights of buses, many operators now contract their towing needs to a professional vehicle recovery company. Some buses that have reached the end of their service that are still in good condition are sent for export to other countries. Some retired buses have been converted to static or mobile cafés, often using historic buses as a tourist attraction. There are also catering buses: buses converted into a mobile canteen and break room. These are commonly seen at external filming locations to feed the cast and crew, and at other large events to feed staff. Another use is as an emergency vehicle, such as high-capacity ambulance bus or mobile command centre. Some organisations adapt and operate playbuses or learning buses to provide a playground or learning environments to children who might not have access to proper play areas. An ex-London AEC Routemaster bus has been converted to a mobile theatre and catwalk fashion show. Some buses meet a destructive end by being entered in banger races or at demolition derbies. A larger number of old retired buses have also been converted into mobile holiday homes and campers. Bus preservation. Rather than being scrapped or converted for other uses, sometimes retired buses are saved for preservation. This can be done by individuals, volunteer preservation groups or charitable trusts, museums, or sometimes by the operators themselves as part of a heritage fleet. These buses often need to be restored to their original condition and will have their livery and other details such as internal notices and rollsigns restored to be authentic to a specific time in the bus's history. Some buses that undergo preservation are rescued from a state of great disrepair, but others enter preservation with very little wrong with them. As with other historic vehicles, many preserved buses either in a working or static state form part of the collections of transport museums. Additionally, some buses are preserved so they can appear alongside other period vehicles in television and film. Working buses will often be exhibited at rallies and events, and they are also used as charter buses. While many preserved buses are quite old or even vintage, in some cases relatively new examples of a bus type can enter restoration. In-service examples are still in use by other operators. This often happens when a change in design or operating practice, such as the switch to one person operation or low floor technology, renders some buses redundant while still relatively new.
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Bali
Bali (; Balinese: ) is a province of Indonesia and the westernmost of the Lesser Sunda Islands. East of Java and west of Lombok, the province includes the island of Bali and a few smaller offshore islands, notably Nusa Penida, Nusa Lembongan, and Nusa Ceningan to the southeast. The provincial capital, Denpasar, is the most populous city in the Lesser Sunda Islands and the second-largest, after Makassar, in Eastern Indonesia. Denpasar metropolitan area is the extended metropolitan area around Denpasar. The upland town of Ubud in Greater Denpasar is considered Bali's cultural centre. The province is Indonesia's main tourist destination, with a significant rise in tourism since the 1980s, and becoming an Indonesian area of overtourism. Tourism-related business makes up 80% of the Bali economy. Bali is the only Hindu-majority province in Indonesia, with 86.40% of the population adhering to Balinese Hinduism. It is renowned for its highly developed arts, including traditional and modern dance, sculpture, painting, leather, metalworking, and music. The Indonesian International Film Festival is held every year in Bali. Other international events that have been held in Bali include Miss World 2013, the 2018 Annual Meetings of the International Monetary Fund and the World Bank Group and the 2022 G20 summit. In March 2017, TripAdvisor named Bali as the world's top destination in its Traveller's Choice award, which it also earned in January 2021. Bali is part of the Coral Triangle, an area with high diversity of marine species, especially fish and turtles. In this area alone, over 500 reef-building coral species can be found. For comparison, this is about seven times as many as in the entire Caribbean. Bali is the home of the Subak irrigation system, a UNESCO World Heritage Site. It is also home to a unified confederation of kingdoms composed of 10 traditional royal Balinese houses, each house ruling a specific geographic area. The confederation is the successor of the Bali Kingdom. The royal houses, which originated before Dutch colonisation, are not recognised by the government of Indonesia. History. Ancient. Bali was inhabited around 2000 BC by Austronesian people who migrated originally from the island of Taiwan to Southeast Asia and Oceania through Maritime Southeast Asia. Culturally and linguistically, the Balinese are closely related to the people of the Indonesian archipelago, Malaysia, Brunei, the Philippines, and Oceania. Stone tools dating from this time have been found near the village of Cekik in the island's west. In ancient Bali, nine Hindu sects existed, the Pasupata, Bhairawa, Siwa Shidanta, Vaishnava, Bodha, Brahma, Resi, Sora and Ganapatya. Each sect revered a specific deity as its personal Godhead. Inscriptions from 896 and 911 do not mention a king, until 914, when Sri Kesarivarma is mentioned. They also reveal an independent Bali, with a distinct dialect, where Buddhism and Shaivism were practised simultaneously. Mpu Sindok's great-granddaughter, Mahendradatta (Gunapriyadharmapatni), married the Bali king Udayana Warmadewa (Dharmodayanavarmadeva) around 989, giving birth to Airlangga around 1001. This marriage also brought more Hinduism and Javanese culture to Bali. Princess Sakalendukirana appeared in 1098. Suradhipa reigned from 1115 to 1119, and Jayasakti from 1146 until 1150. Jayapangus appears on inscriptions between 1178 and 1181, while Adikuntiketana and his son Paramesvara in 1204. Balinese culture was strongly influenced by Indian, Chinese, and particularly Hindu culture, beginning around the 1st century AD. The name "Bali dwipa" ("Bali island") has been discovered from various inscriptions, including the Blanjong pillar inscription written by Sri Kesari Warmadewa in 914 AD and mentioning Walidwipa. It was during this time that the people developed their complex irrigation system "subak" to grow rice in wet-field cultivation. Some religious and cultural traditions still practised today can be traced to this period. The Hindu-Buddhist Majapahit Empire (1293–1520 AD) on eastern Java founded a Balinese colony in 1343. The uncle of Hayam Wuruk is mentioned in the charters of 1384–86. Mass Javanese immigration to Bali occurred in the next century when the Majapahit Empire fell in 1520. Bali's government then became an independent collection of Hindu kingdoms which led to a Balinese national identity and major enhancements in culture, arts, and economy. The nation with various kingdoms became independent for up to 386 years until 1906 when the Dutch subjugated and repulsed the natives for economic control and took it over. Portuguese contacts. The first known European contact with Bali is thought to have been made in 1512, when a Portuguese expedition led by Antonio Abreu and Francisco Serrão sighted its northern shores. It was the first expedition of a series of bi-annual fleets to the Moluccas, that throughout the 16th century travelled along the coasts of the Sunda Islands. Bali was also mapped in 1512, in the chart of Francisco Rodrigues, aboard the expedition. In 1585, a ship foundered off the Bukit Peninsula and left a few Portuguese in the service of Dewa Agung. Dutch East Indies. In 1597, the Dutch merchant-explorer Cornelis de Houtman arrived at Bali, and the Dutch East India Company was established in 1602. The Dutch government expanded its control across the Indonesian archipelago during the second half of the 19th century. Dutch political and economic control over Bali began in the 1840s on the island's north coast when the Dutch pitted various competing Balinese realms against each other. In the late 1890s, struggles between Balinese kingdoms on the island's south were exploited by the Dutch to increase their control. In June 1860, the famous Welsh naturalist, Alfred Russel Wallace, travelled to Bali from Singapore, landing at Buleleng on the north coast of the island. Wallace's trip to Bali was instrumental in helping him devise his Wallace Line theory. The Wallace Line is a faunal boundary that runs through the strait between Bali and Lombok. It is a boundary between species. In his travel memoir "The Malay Archipelago," Wallace wrote of his experience in Bali, which has a strong mention of the unique Balinese irrigation methods: I was astonished and delighted; as my visit to Java was some years later, I had never beheld so beautiful and well-cultivated a district out of Europe. A slightly undulating plain extends from the seacoast about inland, where it is bounded by a fine range of wooded and cultivated hills. Houses and villages, marked out by dense clumps of coconut palms, tamarind and other fruit trees, are dotted about in every direction; while between them extend luxurious rice grounds, watered by an elaborate system of irrigation that would be the pride of the best-cultivated parts of Europe. The Dutch mounted large naval and ground assaults at the Sanur region in 1906 and were met by the thousands of members of the royal family and their followers who rather than yield to the superior Dutch force committed ritual suicide ("puputan") to avoid the humiliation of surrender. Despite Dutch demands for surrender, an estimated 200 Balinese killed themselves rather than surrender. In the Dutch intervention in Bali, a similar mass suicide occurred in the face of a Dutch assault in Klungkung. Afterwards, the Dutch governours exercised administrative control over the island, but local control over religion and culture generally remained intact. Dutch rule over Bali came later and was never as well established as in other parts of Indonesia such as Java and Maluku. In the 1930s, anthropologists Margaret Mead and Gregory Bateson, artists Miguel Covarrubias and Walter Spies, and musicologist Colin McPhee all spent time here. Their accounts of the island and its peoples created a western image of Bali as "an enchanted land of aesthetes at peace with themselves and nature". Soon after, Western tourists began to visit the island. The sensuous image of Bali was enhanced in the West by a quasi-pornographic 1932 documentary "Virgins of Bali" about a day in the lives of two teenage Balinese girls who the film's narrator Deane Dickason notes in the first scene "bathe their shamelessly nude bronze bodies". Under the looser version of the Hays code that existed up to 1934, nudity involving "civilised" (i.e., white) women was banned, but permitted with "uncivilised" (i.e., all non-white women), a loophole that was exploited by the producers of "Virgins of Bali". The film, which mostly consisted of scenes of topless Balinese women, was a great success in 1932, and was perhaps the main catalyst for the popularity of Bali among tourists. The Dutch also efforts to implement "Baliseering" ('Balinization') politics to maintain traditions on the island. Imperial Japan occupied Bali during World War II. It was not originally a target in their Netherlands East Indies Campaign; however, as the airfields on Borneo were inoperative due to heavy rains, the Imperial Japanese Army decided to occupy Bali, which did not suffer from comparable weather. The island had no regular Royal Netherlands East Indies Army (KNIL) troops. There was only a Native Auxiliary Corps "Prajoda" (Korps Prajoda) consisting of about 600 native soldiers and several Dutch KNIL officers under the command of KNIL Lieutenant Colonel W.P. Roodenburg. On 19 February 1942, the Japanese forces landed near the town of Sanoer (Sanur) and the island was quickly captured. During the Japanese occupation, a Balinese military officer, I Gusti Ngurah Rai, formed a Balinese 'freedom army'. The harsh treatment of the Balinese by the Japanese occupation forces fomented more resentment had the former Dutch colonial rulers. Independence from the Dutch. In 1945, Bali was liberated by the British 5th infantry Division under the command of Major-General Robert Mansergh who took the Japanese surrender. Once Japanese forces had been repatriated, the island was handed over to the Dutch the following year. In 1946, the Dutch constituted Bali as one of the 13 administrative districts of the newly proclaimed State of East Indonesia, a rival state to the Republic of Indonesia, which was proclaimed and headed by Sukarno and Hatta. Bali was included in the "Republic of the United States of Indonesia" when the Netherlands recognised Indonesian independence on 29 December 1949. The first governor of Bali, Anak Agung Bagus Suteja, was appointed by President Sukarno in 1958, when Bali became a province. Contemporary. The 1963 eruption of Mount Agung killed thousands, created economic havoc, and forced many displaced Balinese to be transmigrated to other parts of Indonesia. Mirroring the widening of social divisions across Indonesia in the 1950s and early 1960s, Bali saw conflict between supporters of the traditional caste system, and those rejecting this system. Politically, the opposition was represented by supporters of the Indonesian Communist Party (PKI) and the Indonesian Nationalist Party (PNI), with tensions and ill-feeling further increased by the PKI's land reform programmes. A purported coup attempt in Jakarta was averted by forces led by General Suharto. The army became the dominant power as it instigated a violent anti-communist purge, in which the army blamed the PKI for the coup. Most estimates suggest that at least 500,000 people were killed across Indonesia, with an estimated 80,000 killed in Bali, equivalent to 5% of the island's population. With no Islamic forces involved as in Java and Sumatra, upper-caste PNI landlords led the extermination of PKI members. As a result of the 1965–66 upheavals, Suharto was able to manoeuvre Sukarno out of the presidency. His "New Order" government re-established relations with Western countries. The pre-War Bali as "paradise" was revived in a modern form. The resulting large growth in tourism has led to a dramatic increase in Balinese standards of living and significant foreign exchange earned for the country. A bombing in 2002 by militant Islamists in the tourist area of Kuta killed 202 people, mostly foreigners. This attack, and another in 2005, severely reduced tourism, producing much economic hardship on the island. On 9 July 2008, for the first time in Bali's history, the Governor of Bali election was directly elected by the people. On 27 November 2017, Mount Agung erupted five times, causing the evacuation of thousands, disrupting air travel, and causing much environmental damage. Further eruptions also occurred between 2018 and 2019. On 15–16 November 2022, with the 2022 G20 Bali summit, the seventeenth meeting of the Group of Twenty (G20) was held in Nusa Dua. Geography. The island of Bali lies east of Java, and is approximately 8 degrees south of the equator. Bali and Java are separated by the Bali Strait. East to west, the island is approximately wide and spans approximately north to south; administratively it covers , or excluding offshore Nusa Penida District, which comprises three small islands off the southeast coast of Bali. Its population density was roughly in mid 2024. Bali's central mountains include several peaks over in elevation and active volcanoes such as Mount Batur. The highest is Mount Agung (), known as the "mother mountain", which is an active volcano rated as one of the world's most likely sites for a massive eruption within the next 100 years. In late 2017, Mount Agung started erupting and large numbers of people were evacuated, temporarily closing the island's airport. Mountains range from centre to the eastern side, with Mount Agung the easternmost peak. Bali's volcanic nature has contributed to its exceptional fertility, and its tall mountain ranges provide the high rainfall that supports the highly productive agricultural sector. South of the mountains is a broad, steadily descending area where most of Bali's large rice crop is grown. The northern side of the mountains slopes more steeply to the sea and is the main coffee-producing area of the island, along with rice, vegetables, and cattle. The longest river, Ayung River, flows approximately (see List of rivers of Bali). The island is surrounded by coral reefs. Beaches in the south tend to have white sand, while those in the north and west have black sand. Bali has no major waterways, although the Ho River is navigable by small "sampan" boats. Black sand beaches between Pasut and Klatingdukuh are being developed for tourism, but apart from the seaside temple of Tanah Lot, they are not yet used for significant tourism. The largest city is the provincial capital, Denpasar, near the southern coast. Its population is around 755,600 (in mid 2024). Bali's second-largest city is the old colonial capital, Singaraja, which is located on the north coast and whose urban area is home to around 150,000 people in 2024. Other important cities include the beach resort, Kuta, which is practically part of Denpasar's urban area, and Ubud, situated at the north of Denpasar, which is regarded as the island's cultural centre. Three small islands lie to the immediate south-east and all are administratively part of the Klungkung regency of Bali: Nusa Penida, Nusa Lembongan and Nusa Ceningan. These islands are separated from Bali by the Badung Strait. To the east, the Lombok Strait separates Bali from Lombok and marks the biogeographical division between the fauna of the Indomalayan realm and the distinctly different fauna of Australasia. The transition is known as the Wallace Line, named after Alfred Russel Wallace, who first proposed a transition zone between these two major biomes. When sea levels dropped during the Pleistocene ice age, Bali was connected to Java and Sumatra and to the mainland of Asia and shared the Asian fauna, but the deep water of the Lombok Strait continued to keep Lombok Island and the Lesser Sunda archipelago isolated. Climate. Being just 8 degrees south of the equator, Bali has a fairly even climate all year round. Average year-round temperature stands at around with a humidity level of about 85%. Daytime temperatures at low elevations vary between , but the temperatures decrease significantly with increasing elevation. The west monsoon is in place from approximately October to April, and this can bring significant rain, particularly from December to March. During the rainy season, there are comparatively fewer tourists seen in Bali. During the Easter and Christmas holidays, the weather is very unpredictable. Outside of the monsoon period, humidity is relatively low and any rain is unlikely in lowland areas. Flora and fauna. Bali lies just to the west of the Wallace Line, and thus has a fauna that is Asian in character, with very little Australasian influence, and has more in common with Java than with Lombok. An exception is the yellow-crested cockatoo, a member of a primarily Australasian family. There are around 280 species of birds, including the critically endangered Bali myna, which is endemic. Others include barn swallow, black-naped oriole, black racket-tailed treepie, crested serpent-eagle, crested treeswift, dollarbird, Java sparrow, lesser adjutant, long-tailed shrike, milky stork, Pacific swallow, red-rumped swallow, sacred kingfisher, sea eagle, woodswallow, savanna nightjar, stork-billed kingfisher, yellow-vented bulbul and great egret. Until the early 20th century, Bali was possibly home to several large mammals: banteng, leopard and the endemic Bali tiger. The banteng still occurs in its domestic form, whereas leopards are found only in neighbouring Java, and the Bali tiger is extinct. The last definite record of a tiger on Bali dates from 1937 when one was shot, though the subspecies may have survived until the 1940s or 1950s. Pleistocene and Holocene megafaunas include banteng and giant tapir (based on speculations that they might have reached up to the Wallace Line), and rhinoceros. Squirrels are quite commonly encountered, less often is the Asian palm civet, which is also kept in coffee farms to produce kopi luwak. Bats are well represented, perhaps the most famous place to encounter them remaining is the Goa Lawah (Temple of the Bats) where they are worshipped by the locals and also constitute a tourist attraction. They also occur in other cave temples, for instance at Gangga Beach. Two species of monkey occur. The crab-eating macaque, known locally as "kera", is quite common around human settlements and temples, where it becomes accustomed to being fed by humans, particularly in any of the three "monkey forest" temples, such as the popular one in the Ubud area. They are also quite often kept as pets by locals. The second monkey, endemic to Java and some surrounding islands such as Bali, is far rarer and more elusive and is the Javan langur, locally known as "lutung". They occur in a few places apart from the West Bali National Park. They are born an orange colour, though they would have already changed to a more blackish colouration by their first year. In Java, however, there is more of a tendency for this species to retain its juvenile orange colour into adulthood, and a mixture of black and orange monkeys can be seen together as a family. Other rarer mammals include the Sunda leopard cat, Sunda pangolin and black giant squirrel. Snakes include the king cobra and reticulated python. The water monitor can grow to at least in length and and can move quickly. The rich coral reefs around the coast, particularly around popular diving spots such as Tulamben, Amed, Menjangan or neighbouring Nusa Penida, host a wide range of marine life, for instance hawksbill turtle, giant sunfish, giant manta ray, giant moray eel, bumphead parrotfish, hammerhead shark, reef shark, barracuda, and sea snakes. Dolphins are commonly encountered on the north coast near Singaraja and Lovina. A team of scientists surveyed from 29 April 2011, to 11 May 2011, at 33 sea sites around Bali. They discovered 952 species of reef fish of which 8 were new discoveries at Pemuteran, Gilimanuk, Nusa Dua, Tulamben and Candidasa, and 393 coral species, including two new ones at Padangbai and between Padangbai and Amed. The average coverage level of healthy coral was 36% (better than in Raja Ampat and Halmahera by 29% or in Fakfak and Kaimana by 25%) with the highest coverage found in Gili Selang and Gili Mimpang in Candidasa, Karangasem Regency. Among the larger trees the most common are: banyan trees, jackfruit, coconuts, bamboo species, acacia trees and also endless rows of coconuts and banana species. Numerous flowers can be seen: hibiscus, frangipani, bougainvillea, poinsettia, oleander, jasmine, water lily, lotus, roses, begonias, orchids and hydrangeas exist. On higher grounds that receive more moisture, for instance, around Kintamani, certain species of fern trees, mushrooms and even pine trees thrive well. Rice comes in many varieties. Other plants with agricultural value include: salak, mangosteen, corn, Kintamani orange, coffee and water spinach. Environment. Over-exploitation by the tourist industry has led to 200 out of 400 rivers on the island drying up. Research suggests that the southern part of Bali would face a water shortage. To ease the shortage, the central government plans to build a water catchment and processing facility at Petanu River in Gianyar. The 300 litres capacity of water per second will be channelled to Denpasar, Badung and Gianyar in 2013. A 2010 Environment Ministry report on its environmental quality index gave Bali a score of 99.65, which was the highest score of Indonesia's 33 provinces. The score considers the level of total suspended solids, dissolved oxygen, and chemical oxygen demand in water. Erosion at Lebih Beach has seen of land lost every year. Decades ago, this beach was used for holy pilgrimages with more than 10,000 people, but they have now moved to Masceti Beach. In 2017, a year when Bali received nearly 5.7 million tourists, government officials declared a "garbage emergency" in response to the covering of 3.6-mile stretch of coastline in plastic waste brought in by the tide, amid concerns that the pollution could dissuade visitors from returning. Indonesia is one of the world's worst plastic polluters, with some estimates suggesting the country is the source of around 10 per cent of the world's plastic waste. Government and politics. The governor is the highest officeholder in the Bali provincial government with the vice governor being the second highest officeholder. The Governor of Bali is responsible for the territory of the Province of Bali. The current governor in office in the province of Bali is I Wayan Koster who was first being elected in the 2018 Bali gubernatorial election accompanied by his first running mate at that time Tjokorda Oka Artha Ardana Sukawati (Cok Ace). Koster is the 8th governor of Bali, since the province was formed into the province of Bali in 1958 based on Law Number 64 of 1958. Koster and Cok Ace were inaugurated by the president of the Republic of Indonesia at that time Joko Widodo, at the State Palace, Jakarta on September 5, 2018, for the five years term of office (2018–2023). After his term of office ended, was inaugurated as acting governor of Bali on September 5, 2023 with a limited authority in the government. After re-elected in 2024 I Wayan Koster and I Nyoman Giri Prasta was inaugurated on February 20, 2025 at the State Palace by the incumbent President of Indonesia Prabowo Subianto for the five years term of office (2025–2030). In the national legislature, Bali is represented by nine members, with a single electoral district covering the whole province. The Bali Regional House of Representatives (DPRD), the provincial legislature, has 55 members. The province's politics has historically been dominated by the Indonesian Democratic Party of Struggle (PDI-P), which has won by far the most votes in every election in Bali since the first free elections in 1999, currently is the ruling government in this province. Administrative divisions. The province is divided into eight regencies ("kabupaten") and one city ("kota") together divided into 57 districts ("kecamatan"), in turn sub-divided into 80 urban villages ("kelurahan") and 636 rural villages ("desa"); all the regencies were originally inaugurated on 9 August 1958, while the city of Denpasar were created from part of Badung Regency on 15 January 1992. They are tabulated below with their areas and their populations at the 2010 census and the 2020 census, together with the official estimates as at mid 2024 and the Human Development Index for each regency and city. The province forms one of Indonesia's 84 national electoral districts to elect members to the Indonesian parliament. The Bali Electoral District consists of all of the 8 regencies in the province, together with the city of Denpasar, and elects 9 members to the People's Representative Council. Economy. In the 1970s, the Balinese economy was largely agriculture-based in terms of both output and employment. Tourism is now the largest single industry in terms of income, and as a result, Bali is one of Indonesia's wealthiest regions. In 2003, around 80% of Bali's economy was tourism related. By the end of June 2011, the rate of non-performing loans of all banks in Bali were 2.23%, lower than the average of Indonesian banking industry non-performing loan rates (about 5%). The economy, however, suffered significantly as a result of the terrorist bombings in 2002 and 2005. The tourism industry has since recovered from these events. Agriculture. Although tourism produces the GDP's largest output, agriculture is still the island's biggest employer. Fishing also provides a significant number of jobs. Bali is also famous for its artisans who produce a vast array of handicrafts, including batik and ikat cloth and clothing, wooden carvings, stone carvings, painted art and silverware. Notably, individual villages typically adopt a single product, such as wind chimes or wooden furniture. The Arabica coffee production region is the highland region of Kintamani near Mount Batur. Generally, Balinese coffee is processed using the wet method. This results in a sweet, soft coffee with good consistency. Typical flavours include lemon and other citrus notes. Many coffee farmers in Kintamani are members of a traditional farming system called Subak Abian, which is based on the Hindu philosophy of "Tri Hita Karana". According to this philosophy, the three causes of happiness are good relations with God, other people, and the environment. The Subak Abian system is ideally suited to the production of fair trade and organic coffee production. Arabica coffee from Kintamani is the first product in Indonesia to request a geographical indication. Tourism. In 1963 the Bali Beach Hotel in Sanur was built by Sukarno and boosted tourism in Bali. Before the Bali Beach Hotel construction, there were only three significant tourist-class hotels on the island. Construction of hotels and restaurants began to spread throughout Bali. Tourism further increased in Bali after the Ngurah Rai International Airport opened in 1970. The Buleleng regency government encouraged the tourism sector as one of the mainstays for economic progress and social welfare. The tourism industry is primarily focused in the south, while also significant in the other parts of the island. The prominent tourist locations are the town of Kuta (with its beach), and its outer suburbs of Legian and Seminyak (which were once independent townships), the east coast town of Sanur (once the only tourist hub), Ubud towards the centre of the island, to the south of the Ngurah Rai International Airport, Jimbaran and the newer developments of Nusa Dua and Pecatu. The United States government lifted its travel warnings in 2008. The Australian government issued an advisory on Friday, 4 May 2012, with the overall level of this advisory lowered to 'Exercise a high degree of caution'. The Swedish government issued a new warning on Sunday, 10 June 2012, because of one tourist who died from methanol poisoning. Australia last issued an advisory on Monday, 5 January 2015, due to new terrorist threats. An offshoot of tourism is the growing real estate industry. Bali's real estate has been rapidly developing in the main tourist areas of Kuta, Legian, Seminyak, and Oberoi. Most recently, high-end 5-star projects are under development on the Bukit peninsula, on the island's south side. Expensive villas are being developed along the cliff sides of south Bali, with commanding panoramic ocean views. Foreign and domestic, many Jakarta individuals and companies are fairly active, and investment into other areas of the island also continues to grow. Land prices, despite the worldwide economic crisis, have remained stable. In the last half of 2008, Indonesia's currency had dropped approximately 30% against the US dollar, providing many overseas visitors with improved value for their currencies. Bali's tourism economy survived the terrorist bombings of 2002 and 2005, and the tourism industry has slowly recovered and surpassed its pre-terrorist bombing levels; the long-term trend has been a steady increase in visitor arrivals. In 2010, Bali received 2.57 million foreign tourists, which surpassed the target of 2.0–2.3 million tourists. The average occupancy of starred hotels achieved 65%, so the island still should be able to accommodate tourists for some years without any addition of new rooms/hotels, although at the peak season some of them are fully booked. Bali received the Best Island award from Travel and Leisure in 2010. Bali won because of its attractive surroundings (both mountain and coastal areas), diverse tourist attractions, excellent international and local restaurants, and the friendliness of the local people. The Balinese culture and its religion are also considered the main factor of the award. One of the most prestigious events that symbolize a strong relationship between a god and its followers is Kecak dance. According to BBC Travel released in 2011, Bali is one of the World's Best Islands, ranking second after Santorini, Greece. In 2006, Elizabeth Gilbert's memoir "Eat, Pray, Love" was published, and in August 2010 it was adapted into the film "Eat Pray Love". It took place at Ubud and Padang-Padang Beach in Bali. Both the book and the film fuelled a boom in tourism in Ubud, the hill town and cultural and tourist centre that was the focus of Gilbert's quest for balance and love through traditional spirituality and healing. In January 2016, after musician David Bowie died, it was revealed that in his will, Bowie asked for his ashes to be scattered in Bali, conforming to Buddhist rituals. He had visited and performed in several Southeast Asian cities early in his career, including Bangkok and Singapore. Since 2011, China has displaced Japan as the second-largest supplier of tourists to Bali, while Australia still tops the list while India has also emerged as a greater supply of tourists. Chinese tourists increased by 17% in 2011 from 2010 due to the impact of ACFTA and new direct flights to Bali. In January 2012, Chinese tourists increased by 222.18% compared to January 2011, while Japanese tourists declined by 23.54% year on year. Bali authorities reported the island had 2.88 million foreign tourists and 5 million domestic tourists in 2012, marginally surpassing the expectations of 2.8 million foreign tourists. Based on a Bank Indonesia survey in May 2013, 34.39 per cent of tourists are upper-middle class, spending between $1,286 and $5,592, and are dominated by Australia, India, France, China, Germany and the UK. Some Chinese tourists have increased their levels of spending from previous years. 30.26 per cent of tourists are middle class, spending between $662 and $1,285. In 2017 it was expected that Chinese tourists would outnumber Australian tourists. In January 2020, 10,000 Chinese tourists cancelled trips to Bali due to the COVID-19 pandemic. Because of the COVID-19 pandemic travel restrictions, Bali welcomed 1.07 million international travelers in 2020, most of them between January and March, which is -87% compared to 2019. In the first half of 2021, they welcomed 43 international travelers. The pandemic presented a major blow on Bali's tourism-dependent economy. On 3 February 2022, Bali reopened again for the first foreign tourists after 2 years of being closed due to the pandemic. In 2022 Indonesia's Minister of Health, Budi Sadikin, stated that the tourism industry in Bali will be complemented by the medical industry. At the beginning of 2023, the governor of Bali demanded a ban on the use of motorcycles by tourists. This happened after a series of accidents. Wayan Koster proposed to cancel the violators' visas. The move sparked widespread outrage on social media. Transportation. The Ngurah Rai International Airport is located near Jimbaran, on the isthmus at the southernmost part of the island. Lt. Col. Wisnu Airfield is in northwest Bali. A coastal road circles the island, and three major two-lane arteries cross the central mountains at passes reaching 1,750 m in height (at Penelokan). The Ngurah Rai Bypass is a four-lane expressway that partly encircles Denpasar. Bali has no railway lines. There is a car ferry between Gilimanuk on the west coast of Bali to Ketapang on Java. In December 2010 the Government of Indonesia invited investors to build a new Tanah Ampo Cruise Terminal at Karangasem, Bali with a projected worth of $30 million. On 17 July 2011, the first cruise ship (Sun Princess) anchored about away from the wharf of Tanah Ampo harbour. The current pier is only but will eventually be extended to to accommodate international cruise ships. The harbour is safer than the existing facility at Benoa and has a scenic backdrop of east Bali mountains and green rice fields. The tender for improvement was subject to delays, and as of July 2013 the situation was unclear with cruise line operators complaining and even refusing to use the existing facility at Tanah Ampo. A memorandum of understanding was signed by two ministers, Bali's governor and Indonesian Train Company to build of railway along the coast around the island. As of July 2015, no details of these proposed railways have been released. In 2019 it was reported in "Gapura Bali" that Wayan Koster, governor of Bali, "is keen to improve Bali's transportation infrastructure and is considering plans to build an electric rail network across the island". On 16 March 2011 (Tanjung) Benoa port received the "Best Port Welcome 2010" award from London's "Dream World Cruise Destination" magazine. Government plans to expand the role of Benoa port as export-import port to boost Bali's trade and industry sector. In 2013, The Tourism and Creative Economy Ministry advised that 306 cruise liners were scheduled to visit Indonesia, an increase of 43 per cent compared to the previous year. In May 2011, an integrated Area Traffic Control System (ATCS) was implemented to reduce traffic jams at four crossing points: Ngurah Rai statue, Dewa Ruci Kuta crossing, Jimbaran crossing and Sanur crossing. ATCS is an integrated system connecting all traffic lights, CCTVs and other traffic signals with a monitoring office at the police headquarters. It has successfully been implemented in other ASEAN countries and will be implemented at other crossings in Bali. On 21 December 2011, construction started on the Nusa Dua-Benoa-Ngurah Rai International Airport toll road, which will also provide a special lane for motorcycles. This has been done by seven state-owned enterprises led by PT Jasa Marga with 60% of the shares. PT Jasa Marga Bali Tol will construct the toll road (totally with access road). The construction is estimated to cost Rp.2.49 trillion ($273.9 million). The project goes through of mangrove forest and through of beach, both within area. The elevated toll road is built over the mangrove forest on 18,000 concrete pillars that occupied two hectares of mangrove forest. This was compensated by the planting of 300,000 mangrove trees along the road. On 21 December 2011, the Dewa Ruci underpass has also started on the busy Dewa Ruci junction near Bali Kuta Galeria with an estimated cost of Rp136 billion ($14.9 million) from the state budget. On 23 September 2013, the Bali Mandara Toll Road was opened, with the Dewa Ruci Junction underpass being opened previously. To solve chronic traffic problems, the province will also build a toll road connecting Serangan with Tohpati, a toll road connecting Kuta, Denpasar, and Tohpati, and a flyover connecting Kuta and Ngurah Rai Airport. Demographics. The population of Bali was 3,890,757 as of the 2010 census, and 4,317,404 at the 2020 census; the official estimate as at mid 2024 was 4,461,260 (comprising 2,222,440 males and 2,210,820 females). In 2021, the Indonesian Ministry of Tourism estimated that there were 109,801 foreigners living on Bali, with most originating from Russia, United States, Australia, United Kingdom, Germany, Japan, France, Italy, India, and the Netherlands. Ethnic groups. Ethnic origins. A DNA study in 2005 by Karafet et al., found that 11% of Balinese Y-chromosomes are of likely Austroasiatic origin, while 84% are of likely Austronesian 1% of likely Indian origin and 2% of likely Melanesian origin. According to a recent genetic study, the Balinese, together with the Javanese and Sundanese, have a significant admixture of Austroasiatic and Austronesian ancestries. Ethnicity. The majority of the population inhabiting the province of Bali are the local ethnic, namely the Balinese and indigenous Bali Aga people. The Balinese have a cultural richness that is known worldwide, so that Bali is the main destination for foreign tourists to Indonesia. In addition to the rich beaches, the culture that is of interest in Bali is its dances, such as the Kecak dance, festivals such as Ogoh-ogoh, and others. The largest ethnic group outside the Balinese people is the Javanese people. Based on data from the 2010 Indonesian Population Census, the following is the composition of ethnic groups in the province of Bali: Caste system. Pre-modern Bali had four castes, as Jeff Lewis and Belinda Lewis state, but with a "very strong tradition of communal decision-making and interdependence". The four castes have been classified as Sudra (Shudra), Wesia (Vaishyas), Satria (Kshatriyas) and Brahmana (Brahmin). The 19th-century scholars such as Crawfurd and Friederich suggested that the Balinese caste system had Indian origins, but Helen Creese states that scholars such as Brumund who had visited and stayed on the island of Bali suggested that his field observations conflicted with the "received understandings concerning its Indian origins". In Bali, the Shudra (locally spelt "Soedra") has typically been the temple priests, though depending on the demographics, a temple priest may also be from the other three castes. In most regions, it has been the Shudra who typically make offerings to the gods on behalf of the Hindu devotees, chant prayers, recite "meweda" (Vedas), and set the course of Balinese temple festivals. Religion. About 86.40% of Bali's population adheres to Balinese Hinduism, formed as a combination of existing local beliefs and Hindu influences from mainland Southeast Asia and South Asia. Minority religions include Islam (10.16%), Christianity (2.55%) (1.76%: Protestantism; 0.86%: Catholicism), and Buddhism (0.68%) as for 2022. The Balinese people and Bali Aga are generally Hindu with some being Christian and Muslim. While the people of Javanese, Sundanese, Sasak, Malays, are generally Islam and some are also Hindu or Christian. Meanwhile, adherents of Christianity generally come from the population of East Nusa Tenggara, then Papua, the Batak, Chinese and other non-muslim ethnic in Indonesia, they are generally Christian with small minority are Hindu and Islan. And there is also a village, namely the village of Blimbing Sari in the Melaya district of Jembrana Regency, not far from , a Christian village where the residents are native Balinese, even the church is shaped like a temple. The general beliefs and practices of "Agama Hindu Dharma" mix ancient traditions and contemporary pressures placed by Indonesian laws that permit only monotheist belief under the national ideology of "Pancasila". Traditionally, Hinduism in Indonesia had a pantheon of deities and that tradition of belief continues in practice; further, Hinduism in Indonesia granted freedom and flexibility to Hindus as to when, how and where to pray. However, officially, the Indonesian government considers and advertises Indonesian Hinduism as a monotheistic religion with certain officially recognised beliefs that comply with its national ideology. Indonesian school textbooks describe Hinduism as having one supreme being, Hindus offering three daily mandatory prayers, and Hinduism as having certain common beliefs that in part parallel those of Islam. Some scholars contest whether these Indonesian government recognised and assigned beliefs to reflect the traditional beliefs and practices of Hindus in Indonesia before Indonesia gained independence from Dutch colonial rule. Balinese Hinduism has roots in Indian Hinduism and Buddhism, which arrived through Java. Hindu influences reached the Indonesian Archipelago as early as the first century. Historical evidence is unclear about the diffusion process of cultural and spiritual ideas from India. Java legends refer to Saka-era, traced to 78 AD. Stories from the Mahabharata Epic have been traced in Indonesian islands to the 1st century; however, the versions mirror those found in the southeast Indian peninsular region (now Tamil Nadu and southern Karnataka and Andhra Pradesh). The Bali tradition adopted the pre-existing animistic traditions of the indigenous people. This influence strengthened the belief that the gods and goddesses are present in all things. Every element of nature, therefore, possesses its power, which reflects the power of the gods. A rock, tree, dagger, or woven cloth is a potential home for spirits whose energy can be directed for good or evil. Balinese Hinduism is deeply interwoven with art and ritual. Ritualising states of self-control are a notable feature of religious expression among the people, who for this reason have become famous for their graceful and decorous behaviour. Apart from the majority of Balinese Hindus, there also exist Chinese immigrants whose traditions have melded with that of the locals. As a result, these Sino-Balinese embrace their original religion, which is a mixture of Buddhism, Christianity, Taoism, and Confucianism, and find a way to harmonise it with the local traditions. Hence, it is not uncommon to find local Sino-Balinese during the local temple's "odalan". Moreover, Balinese Hindu priests are invited to perform rites alongside a Chinese priest in the event of the death of a Sino-Balinese. Nevertheless, the Sino-Balinese claim to embrace Buddhism for administrative purposes, such as their Identity Cards. The Roman Catholic community has a diocese, the Diocese of Denpasar that encompasses the province of Bali and West Nusa Tenggara and has its cathedral located in Denpasar. Bali is predominantly Hindu, however it exemplifies Indonesia's broader commitment to religious tolerance and peaceful coexistence. Indonesia's national philosophy, Pancasila, enshrines respect for all recognized religions and underpins efforts to maintain interfaith dialogue and social harmony across the country. Major Islamic organizations, such as Nahdlatul Ulama and Muhammadiyah, actively promote peace, tolerance, and fraternity among religious communities, reinforcing Indonesia's reputation as a model for moderation and pluralism in the region. Languages. Balinese and Indonesian are the most widely spoken languages in Bali, and the vast majority of Balinese people are bilingual or trilingual. The most common spoken language around the tourist areas is Indonesian, as many people in the tourist sector are not solely Balinese, but migrants from Java, Lombok, Sumatra, and other parts of Indonesia. The Balinese language is heavily stratified due to the Balinese caste system. Kawi and Sanskrit are also commonly used by some Hindu priests in Bali, as Hindu literature was mostly written in Sanskrit. English and Chinese are the next most common languages (and the primary foreign languages) of many Balinese, owing to the requirements of the tourism industry, as well as the English-speaking community and huge Chinese-Indonesian population. Other foreign languages, such as Japanese, Korean, French, Russian or German are often used in multilingual signs for foreign tourists. Culture. Bali is renowned for its diverse and sophisticated art forms, such as painting, sculpture, woodcarving, handcrafts, and performing arts. Balinese cuisine is also distinctive, and unlike the rest of Indonesia, pork is commonly found in Balinese dishes such as Babi Guling. Balinese percussion orchestra music, known as "gamelan", is highly developed and varied. Balinese performing arts often portray stories from Hindu epics such as the Ramayana but with heavy Balinese influence. Famous Balinese dances include "pendet", "legong", "baris", "topeng", "barong", "gong kebyar", and "kecak" (the monkey dance). Bali boasts one of the most diverse and innovative performing arts cultures in the world, with paid performances at thousands of temple festivals, private ceremonies, and public shows. In 2018 Governor I Wayan Koster issued Bali Governor's Regulation No. 79 of 2018 which mandated that city officials wear traditional Balinese dress, such as that made of "songket". This was followed by Circular No. 4 of 2021 which specified the use of Endek fabrics, and was expanded to high-ranking individuals in the private sector and other institutions. Architecture. "Kaja" and "kelod" are the Balinese equivalents of North and South, which refer to one's orientation between the island's largest mountain Gunung Agung ("kaja"), and the sea ("kelod"). In addition to spatial orientation, "kaja" and "kelod" have the connotation of good and evil; gods and ancestors are believed to live on the mountain whereas demons live in the sea. Buildings such as temples and residential homes are spatially oriented by having the most sacred spaces closest to the mountain and the unclean places nearest to the sea. Most temples have an inner courtyard and an outer courtyard which are arranged with the inner courtyard furthest "kaja". These spaces serve as performance venues since most Balinese rituals are accompanied by any combination of music, dance, and drama. The performances that take place in the inner courtyard are classified as "wali", the most sacred rituals which are offerings exclusively for the gods, while the outer courtyard is where "bebali" ceremonies are held, which are intended for gods and people. Lastly, performances meant solely for the entertainment of humans take place outside the temple's walls and are called "bali-balihan". This three-tiered system of classification was standardised in 1971 by a committee of Balinese officials and artists to better protect the sanctity of the oldest and most sacred Balinese rituals from being performed for a paying audience. Dances. Tourism, Bali's chief industry, has provided the island with a foreign audience that is eager to pay for entertainment, thus creating new performance opportunities and more demand for performers. The impact of tourism is controversial since before it became integrated into the economy, the Balinese performing arts did not exist as a capitalist venture, and were not performed for entertainment outside of their respective ritual context. Since the 1930s sacred rituals such as the "barong" dance have been performed both in their original contexts, as well as exclusively for paying tourists. This has led to new versions of many of these performances that have developed according to the preferences of foreign audiences; some villages have a "barong" mask specifically for non-ritual performances and an older mask that is only used for sacred performances. Festivals. Throughout the year, there are many festivals celebrated locally or island-wide according to the traditional calendars. The Hindu New Year, "Nyepi", is celebrated in the spring by a day of silence. On this day everyone stays at home and tourists are encouraged (or required) to remain in their hotels. On the day before New Year, large and colourful sculptures of "Ogoh-ogoh" monsters are paraded and burned in the evening to drive away evil spirits. Other festivals throughout the year are specified by the Balinese "pawukon" calendrical system. Celebrations are held for many occasions such as a tooth-filing (coming-of-age ritual), cremation or "odalan" (temple festival). One of the most important concepts that Balinese ceremonies have in common is that of "désa kala patra", which refers to how ritual performances must be appropriate in both the specific and general social context. Many ceremonial art forms such as "wayang kulit" and "topeng" are highly improvisatory, providing flexibility for the performer to adapt the performance to the current situation. Many celebrations call for a loud, boisterous atmosphere with much activity, and the resulting aesthetic, "ramé", is distinctively Balinese. Often two or more "gamelan" ensembles will be performing well within earshot, and sometimes compete with each other to be heard. Likewise, the audience members talk amongst themselves, get up and walk around, or even cheer on the performance, which adds to the many layers of activity and the liveliness typical of "ramé". Tradition. Balinese society continues to revolve around each family's ancestral village, to which the cycle of life and religion is closely tied. Coercive aspects of traditional society, such as customary law sanctions imposed by traditional authorities such as village councils (including "kasepekang", or shunning) have risen in importance as a consequence of the democratisation and decentralisation of Indonesia since 1998. Other than Balinese sacred rituals and festivals, the government presents Bali Arts Festival to showcase Bali's performing arts and various artworks produced by the local talents that they have. It is held once a year, from the second week of June until the end of July. Southeast Asia's biggest annual festival of words and ideas Ubud Writers and Readers Festival is held at Ubud in October, which is participated by the world's most celebrated writers, artists, thinkers, and performers. One unusual tradition is the naming of children in Bali. In general, Balinese people name their children depending on the order they are born, and the names are the same for both males and females. Beauty pageant. Bali was the host of Miss World 2013 (63rd edition of the Miss World pageant). It was the first time Indonesia hosted an international beauty pageant. In 2022, Bali also co-hosted Miss Grand International 2022 along with Jakarta, West Java, and Banten. Sports. Bali is a major world surfing destination with popular breaks dotted across the southern coastline and around the offshore island of Nusa Lembongan. As part of the Coral Triangle, Bali, including Nusa Penida, offers a wide range of dive sites with varying types of reefs, and tropical aquatic life. Bali was the host of 2008 Asian Beach Games. It was the second time Indonesia hosted an Asia-level multi-sport event, after Jakarta held the 1962 Asian Games. In 2023, Bali was the location for a major eSports event, the Dota 2 Bali Major, the third and final Major of the Dota Pro Circuit season. The event was held at the Ayana Estate and the Champa Garden, and it was the first time that a Dota Pro Circuit Major was held in Indonesia. In football, Bali is home to Bali United football club, which plays in Liga 1. The team was relocated from Samarinda, East Kalimantan to Gianyar, Bali. Harbiansyah Hanafiah, the main commissioner of Bali United explained that he changed the name and moved the home base because there was no representative from Bali in the highest football tier in Indonesia. Another reason was due to local fans in Samarinda preferring to support Pusamania Borneo F.C. rather than Persisam. Heritage sites. In June 2012, Subak, the irrigation system for paddy fields in Jatiluwih, central Bali was listed as a Natural UNESCO World Heritage Site.
4149
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https://en.wikipedia.org/wiki?curid=4149
Bulgarian language
Bulgarian (; , ) is an Eastern South Slavic language spoken in Southeast Europe, primarily in Bulgaria. It is the language of the Bulgarians. Along with the closely related Macedonian language (collectively forming the East South Slavic languages), it is a member of the Balkan sprachbund and South Slavic dialect continuum of the Indo-European language family. The two languages have several characteristics that set them apart from all other Slavic languages, including the elimination of case declension, the development of a suffixed definite article, and the lack of a verb infinitive. They retain and have further developed the Proto-Slavic verb system (albeit analytically). One such major development is the innovation of evidential verb forms to encode for the source of information: witnessed, inferred, or reported. It is the official language of Bulgaria, and since 2007 has been among the official languages of the European Union. It is also spoken by the Bulgarian historical communities in Ukraine, North Macedonia, Moldova, Serbia, Romania, Hungary, Albania and Greece. History. One can divide the development of the Bulgarian language into several periods. "Bulgarian" was the first Slavic language attested in writing. As Slavic linguistic unity lasted into late antiquity, the oldest manuscripts initially referred to this language as ѧзꙑкъ словѣньскъ, "the Slavic language". In the Middle Bulgarian period this name was gradually replaced by the name ѧзꙑкъ блъгарьскъ, the "Bulgarian language". In some cases, this name was used not only with regard to the contemporary Middle Bulgarian language of the copyist but also to the period of Old Bulgarian. A most notable example of anachronism is the Service of Saint Cyril from Skopje (Скопски миней), a 13th-century Middle Bulgarian manuscript from northern Macedonia according to which St. Cyril preached with "Bulgarian" books among the Moravian Slavs. The first mention of the language as the "Bulgarian language" instead of the "Slavonic language" comes in the work of the Greek clergy of the Archbishopric of Ohrid in the 11th century, for example in the Greek hagiography of Clement of Ohrid by Theophylact of Ohrid (late 11th century). During the Middle Bulgarian period, the language underwent dramatic changes, losing the Slavonic case system, but preserving the rich verb system (while the development was exactly the opposite in other Slavic languages) and developing a definite article. It was influenced by its non-Slavic neighbors in the Balkan language area (mostly grammatically) and later also by Turkish, which was the official language of the Ottoman Empire, in the form of the Ottoman Turkish language, mostly lexically. The damaskin texts mark the transition from Middle Bulgarian to New Bulgarian, which was standardized in the 19th century. As a national revival occurred toward the end of the period of Ottoman rule (mostly during the 19th century), a modern Bulgarian literary language gradually emerged that drew heavily on Church Slavonic/Old Bulgarian (and to some extent on literary Russian, which had preserved many lexical items from Church Slavonic) and later reduced the number of Turkish and other Balkan loans. Today one difference between Bulgarian dialects in the country and literary spoken Bulgarian is the significant presence of Old Bulgarian words and even word forms in the latter. Russian loans are distinguished from Old Bulgarian ones on the basis of the presence of specifically Russian phonetic changes, as in оборот (turnover, rev), непонятен (incomprehensible), ядро (nucleus) and others. Many other loans from French, English and the classical languages have subsequently entered the language as well. Modern Bulgarian was based essentially on the Eastern dialects of the language, but its pronunciation is in many respects a compromise between East and West Bulgarian (see especially the phonetic sections below). Following the efforts of some figures of the National awakening of Bulgaria (most notably Neofit Rilski and Ivan Bogorov), there had been many attempts to codify a standard Bulgarian language; however, there was much argument surrounding the choice of norms. Between 1835 and 1878 more than 25 proposals were put forward and "linguistic chaos" ensued. Eventually the eastern dialects prevailed, and in 1899 the Bulgarian Ministry of Education officially codified a standard Bulgarian language based on the Drinov-Ivanchev orthography. Geographic distribution. Bulgarian is the official language of Bulgaria, where it is used in all spheres of public life. As of 2011, it is spoken as a first language by about 6million people in the country, or about four out of every five Bulgarian citizens. There is also a significant Bulgarian diaspora abroad. One of the main historically established communities are the Bessarabian Bulgarians, whose settlement in the Bessarabia region of nowadays Moldova and Ukraine dates mostly to the early 19th century. There were Bulgarian speakers in Ukraine at the 2001 census, in Moldova as of the 2014 census (of which were habitual users of the language), and presumably a significant proportion of the 13,200 ethnic Bulgarians residing in neighbouring Transnistria in 2016. Another community abroad are the Banat Bulgarians, who migrated in the 17th century to the Banat region now split between Romania, Serbia and Hungary. They speak the Banat Bulgarian dialect, which has had its own written standard and a historically important literary tradition. There are Bulgarian speakers in neighbouring countries as well. The regional dialects of Bulgarian and Macedonian form a dialect continuum, and there is no well-defined boundary where one language ends and the other begins. Within the limits of the Republic of North Macedonia a strong separate Macedonian identity has emerged since the Second World War, even though there still are a small number of citizens who identify their language as Bulgarian. Beyond the borders of North Macedonia, the situation is more fluid, and the pockets of speakers of the related regional dialects in Albania and in Greece variously identify their language as Macedonian or as Bulgarian. In Serbia, there were speakers as of 2011, mainly concentrated in the so-called Western Outlands along the border with Bulgaria. Bulgarian is also spoken in Turkey: natively by Pomaks, and as a second language by many Bulgarian Turks who emigrated from Bulgaria, mostly during the "Big Excursion" of 1989. The language is also represented among the diaspora in Western Europe and North America, which has been steadily growing since the 1990s. Countries with significant numbers of speakers include Germany, Spain, Italy, the United Kingdom ( speakers in England and Wales as of 2011), France, the United States, and Canada ( in 2011). Dialects. The language is mainly split into two broad dialect areas, based on the different reflexes of the Proto-Slavic yat vowel (Ѣ). This split, which occurred at some point during the Middle Ages, led to the development of Bulgaria's: The literary language norm, which is generally based on the Eastern dialects, also has the Eastern alternating reflex of "yat". However, it has not incorporated the general Eastern umlaut of "all" synchronic or even historic "ya" sounds into "e" before front vowels – e.g. поляна ("polyana") vs. полени ("poleni") "meadow – meadows" or even жаба ("zhaba") vs. жеби ("zhebi") "frog – frogs", even though it co-occurs with the yat alternation in almost all Eastern dialects that have it (except a few dialects along the yat border, e.g. in the Pleven region). More examples of the "yat" umlaut in the literary language are: Until 1945, Bulgarian orthography did not reveal this alternation and used the original Old Slavic Cyrillic letter "yat" (Ѣ), which was commonly called двойно е ("dvoyno e") at the time, to express the historical "yat" vowel or at least root vowels displaying the "ya – e" alternation. The letter was used in each occurrence of such a root, regardless of the actual pronunciation of the vowel: thus, both "mlyako" and "mlekar" were spelled with (Ѣ). Among other things, this was seen as a way to "reconcile" the Western and the Eastern dialects and maintain language unity at a time when much of Bulgaria's Western dialect area was controlled by Serbia and Greece, but there were still hopes and occasional attempts to recover it. With the 1945 orthographic reform, this letter was abolished and the present spelling was introduced, reflecting the alternation in pronunciation. This had implications for some grammatical constructions: Sometimes, with the changes, words began to be spelled as other words with different meanings, e.g.: In spite of the literary norm regarding the yat vowel, many people living in Western Bulgaria, including the capital Sofia, will fail to observe its rules. While the norm requires the realizations "vidyal" vs. "videli" (he has seen; they have seen), some natives of Western Bulgaria will preserve their local dialect pronunciation with "e" for all instances of "yat" (e.g. "videl", "videli"). Others, attempting to adhere to the norm, will actually use the "ya" sound even in cases where the standard language has "e" (e.g. "vidyal", "vidyali"). The latter hypercorrection is called свръхякане ("svrah-yakane" ≈"over-"ya"-ing"). Bulgarian is the only Slavic language whose literary standard does not naturally contain the iotated "e" (or its variant, "e" after a palatalized consonant , except in non-Slavic foreign-loaned words). This sound combination is common in all modern Slavic languages (e.g. Czech "medvěd" "bear", Polish "pięć" "five", Serbo-Croatian jelen" "deer", Ukrainian "немає "there is not...", Macedonian "пишување" "writing", etc.), as well as some Western Bulgarian dialectal forms – e.g. "ора̀н'е" (standard Bulgarian: "оране" , "ploughing"), however it is not represented in standard Bulgarian speech or writing. Even where occurs in other Slavic words, in Standard Bulgarian it is usually transcribed and pronounced as pure – e.g. Boris Yeltsin is "Eltsin" (), Yekaterinburg is "Ekaterinburg" () and Sarajevo is "Saraevo" (), although – because of the stress and the beginning of the word – Jelena Janković is "Yelena Yankovich" (). Relationship to Macedonian. Until the period immediately following the Second World War, all Bulgarian and the majority of foreign linguists referred to the South Slavic dialect continuum spanning the area of modern Bulgaria, North Macedonia and parts of Northern Greece as a group of Bulgarian dialects. In contrast, Serbian sources tended to label them "south Serbian" dialects. Some local naming conventions included "bolgárski", "bugárski" and so forth. The codifiers of the standard Bulgarian language, however, did not wish to make any allowances for a pluricentric "Bulgaro-Macedonian" compromise. In 1870 Marin Drinov, who played a decisive role in the standardization of the Bulgarian language, rejected the proposal of Parteniy Zografski and Kuzman Shapkarev for a mixed eastern and western Bulgarian/Macedonian foundation of the standard Bulgarian language, stating in his article in the newspaper "Makedoniya": "Such an artificial assembly of written language is something impossible, unattainable and never heard of." After 1944 the People's Republic of Bulgaria and the Socialist Federal Republic of Yugoslavia began a policy of making Macedonia into the connecting link for the establishment of a new Balkan Federative Republic and stimulating here a development of distinct Macedonian consciousness. With the proclamation of the Socialist Republic of Macedonia as part of the Yugoslav federation, the new authorities also started measures that would overcome the pro-Bulgarian feeling among parts of its population and in 1945 a separate Macedonian language was codified. After 1958, when the pressure from Moscow decreased, Sofia reverted to the view that the Macedonian language did not exist as a separate language. Nowadays, Bulgarian and Greek linguists, as well as some linguists from other countries, still consider the various Macedonian dialects as part of the broader Bulgarian pluricentric dialectal continuum. Outside Bulgaria and Greece, Macedonian is generally considered an autonomous language within the South Slavic dialect continuum. Sociolinguists agree that the question whether Macedonian is a dialect of Bulgarian or a language is a political one and cannot be resolved on a purely linguistic basis, because dialect continua do not allow for either/or judgements. Phonology. Bulgarian possesses a phonology similar to that of the rest of the South Slavic languages, notably lacking Serbo-Croatian's phonemic vowel length and tones and alveo-palatal affricates. There is a general dichotomy between Eastern and Western dialects, with Eastern ones featuring consonant palatalization before front vowels ( and ) and substantial vowel reduction of the low vowels , and in unstressed position, sometimes leading to neutralisation between and , and , and and . Both patterns have partial parallels in Russian, leading to partially similar sounds. In turn, the Western dialects generally do not have any allophonic palatalization and exhibit minor, if any, vowel reduction. Standard Bulgarian keeps a middle ground between the macrodialects. It allows palatalizaton only before central and back vowels and only partial reduction of and . Reduction of , consonant palatalisation before front vowels and depalatalization of palatalized consonants before central and back vowels is strongly discouraged and labelled as provincial. Bulgarian has six vowel phonemes, but at least eight distinct phones can be distinguished when reduced allophones are taken into consideration. There is currently no consensus on the number of Bulgarian consonants, with one school of thought advocating for the existence of only 22 consonant phonemes and another one claiming that there are not fewer than 39 consonant phonemes. The main bone of contention is how to treat palatalized consonants: as separate phonemes or as allophones of their respective plain counterparts. The 22-consonant model is based on a general consensus reached by all major Bulgarian linguists in the 1930s and 1940s. In turn, the 39-consonant model was launched in the beginning of the 1950s under the influence of the ideas of Russian linguist Nikolai Trubetzkoy. Despite frequent objections, the support of the Bulgarian Academy of Sciences has ensured Trubetzkoy's model virtual monopoly in state-issued phonologies and grammars since the 1960s. However, its reception abroad has been lukewarm, with a number of authors either calling the model into question or outright rejecting it. Thus, the Handbook of the International Phonetic Association only lists 22 consonants in Bulgarian's consonant inventory. Alphabet. In 886 AD, the Bulgarian Empire introduced the Glagolitic alphabet which was devised by the Saints Cyril and Methodius in the 850s. The Glagolitic alphabet was gradually superseded in later centuries by the Cyrillic script, developed around the Preslav Literary School, Bulgaria in the late 9th century. Several Cyrillic alphabets with 28 to 44 letters were used in the beginning and the middle of the 19th century during the efforts on the codification of Modern Bulgarian until an alphabet with 32 letters, proposed by Marin Drinov, gained prominence in the 1870s. The alphabet of Marin Drinov was used until the orthographic reform of 1945, when the letters yat (uppercase Ѣ, lowercase ѣ) and big yus (uppercase Ѫ, lowercase ѫ) were removed from its alphabet, reducing the number of letters to 30. With the accession of Bulgaria to the European Union on 1 January 2007, Cyrillic became the third official script of the European Union, following the Latin and Greek scripts. Grammar. The parts of speech in Bulgarian are divided in ten types, which are categorized in two broad classes: mutable and immutable. The difference is that mutable parts of speech vary grammatically, whereas the immutable ones do not change, regardless of their use. The five classes of mutables are: "nouns", "adjectives", "numerals", "pronouns" and "verbs". Syntactically, the first four of these form the group of the noun or the nominal group. The immutables are: "adverbs", "prepositions", "conjunctions", "particles" and "interjections". Verbs and adverbs form the group of the verb or the verbal group. Nominal morphology. Nouns and adjectives have the categories grammatical gender, number, case (only vocative) and definiteness in Bulgarian. Adjectives and adjectival pronouns agree with nouns in number and gender. Pronouns have gender and number and retain (as in nearly all Indo-European languages) a more significant part of the case system. Nominal inflection. Gender. There are three grammatical genders in Bulgarian: "masculine", "feminine" and "neuter". The gender of the noun can largely be inferred from its ending: nouns ending in a consonant ("zero ending") are generally masculine (for example, 'city', 'son', 'man'; those ending in –а/–я (-a/-ya) ( 'woman', 'daughter', 'street') are normally feminine; and nouns ending in –е, –о are almost always neuter ( 'child', 'lake'), as are those rare words (usually loanwords) that end in –и, –у, and –ю ( 'tsunami', 'taboo', 'menu'). Perhaps the most significant exception from the above are the relatively numerous nouns that end in a consonant and yet are feminine: these comprise, firstly, a large group of nouns with zero ending expressing quality, degree or an abstraction, including all nouns ending in –ост/–ест -{ost/est} ( 'wisdom', 'vileness', 'loveliness', 'sickness', 'love'), and secondly, a much smaller group of irregular nouns with zero ending which define tangible objects or concepts ( 'blood', 'bone', 'evening', 'night'). There are also some commonly used words that end in a vowel and yet are masculine: 'father', 'grandfather', / 'uncle', and others. The plural forms of the nouns do not express their gender as clearly as the singular ones, but may also provide some clues to it: the ending (-i) is more likely to be used with a masculine or feminine noun ( 'facts', 'sicknesses'), while one in belongs more often to a neuter noun ( 'lakes'). Also, the plural ending occurs only in masculine nouns. Number. Two numbers are distinguished in Bulgarian–singular and plural. A variety of plural suffixes is used, and the choice between them is partly determined by their ending in singular and partly influenced by gender; in addition, irregular declension and alternative plural forms are common. Words ending in (which are usually feminine) generally have the plural ending , upon dropping of the singular ending. Of nouns ending in a consonant, the feminine ones also use , whereas the masculine ones usually have for polysyllables and for monosyllables (however, exceptions are especially common in this group). Nouns ending in (most of which are neuter) mostly use the suffixes (both of which require the dropping of the singular endings) and . With cardinal numbers and related words such as ('several'), masculine nouns use a special count form in , which stems from the Proto-Slavonic dual: ('two/three chairs') versus ('these chairs'); cf. feminine ('two/three/these books') and neuter ('two/three/these beds'). However, a recently developed language norm requires that count forms should only be used with masculine nouns that do not denote persons. Thus, ('two/three students') is perceived as more correct than , while the distinction is retained in cases such as ('two/three pencils') versus ('these pencils'). Case. Cases exist only in the personal and some other pronouns (as they do in many other modern Indo-European languages), with nominative, accusative, dative and vocative forms. Vestiges are present in a number of phraseological units and sayings. The major exception are vocative forms, which are still in use for masculine (with the endings -е, -о and -ю) and feminine nouns (-[ь/й]о and -е) in the singular. Definiteness (article). In modern Bulgarian, definiteness is expressed by a definite article which is postfixed to the noun, much like in the Scandinavian languages or Romanian (indefinite: , 'person'; definite: , ""the" person") or to the first nominal constituent of definite noun phrases (indefinite: , 'a good person'; definite: , ""the" good person"). There are four singular definite articles. Again, the choice between them is largely determined by the noun's ending in the singular. Nouns that end in a consonant and are masculine use –ът/–ят, when they are grammatical subjects, and –а/–я elsewhere. Nouns that end in a consonant and are feminine, as well as nouns that end in –а/–я (most of which are feminine, too) use –та. Nouns that end in –е/–о use –то. The plural definite article is –те for all nouns except for those whose plural form ends in –а/–я; these get –та instead. When postfixed to adjectives the definite articles are –ят/–я for masculine gender (again, with the longer form being reserved for grammatical subjects), –та for feminine gender, –то for neuter gender, and –те for plural. Adjective and numeral inflection. Both groups agree in gender and number with the noun they are appended to. They may also take the definite article as explained above. Pronouns. Pronouns may vary in gender, number, and definiteness, and are the only parts of speech that have retained case inflections. Three cases are exhibited by some groups of pronouns – nominative, accusative and dative. The distinguishable types of pronouns include the following: personal, relative, reflexive, interrogative, negative, indefinite, summative and possessive. Verbal morphology and grammar. A Bulgarian verb has many distinct forms, as it varies in person, number, voice, aspect, mood, tense and in some cases gender. Finite verbal forms. Finite verbal forms are "simple" or "compound" and agree with subjects in person (first, second and third) and number (singular, plural). In addition to that, past compound forms using participles vary in gender (masculine, feminine, neuter) and voice (active and passive) as well as aspect (perfective/aorist and imperfective). Aspect. Bulgarian verbs express lexical aspect: perfective verbs signify the completion of the action of the verb and form past perfective (aorist) forms; imperfective ones are neutral with regard to it and form past imperfective forms. Most Bulgarian verbs can be grouped in perfective-imperfective pairs (imperfective/perfective: "come", "arrive"). Perfective verbs can be usually formed from imperfective ones by suffixation or prefixation, but the resultant verb often deviates in meaning from the original. In the pair examples above, aspect is stem-specific and therefore there is no difference in meaning. In Bulgarian, there is also grammatical aspect. Three grammatical aspects are distinguishable: neutral, perfect and pluperfect. The neutral aspect comprises the three simple tenses and the future tense. The pluperfect is manifest in tenses that use double or triple auxiliary "be" participles like the past pluperfect subjunctive. Perfect constructions use a single auxiliary "be". Mood. The traditional interpretation is that in addition to the four moods (наклонения ) shared by most other European languages – indicative (изявително, ) imperative (повелително ), subjunctive ( ) and conditional (условно, ) – in Bulgarian there is one more to describe a general category of unwitnessed events – the inferential (преизказно ) mood. However, most contemporary Bulgarian linguists usually exclude the subjunctive mood and the inferential mood from the list of Bulgarian moods (thus placing the number of Bulgarian moods at a total of 3: indicative, imperative and conditional) and do not consider them to be moods but view them as verbial morphosyntactic constructs or separate gramemes of the verb class. The possible existence of a few other moods has been discussed in the literature. Most Bulgarian school grammars teach the traditional view of 4 Bulgarian moods (as described above, but excluding the subjunctive and including the inferential). Tense. There are three grammatically distinctive positions in time – present, past and future – which combine with aspect and mood to produce a number of formations. Normally, in grammar books these formations are viewed as separate tenses – i. e. "past imperfect" would mean that the verb is in past tense, in the imperfective aspect, and in the indicative mood (since no other mood is shown). There are more than 40 different tenses across Bulgarian's two aspects and five moods. In the indicative mood, there are three simple tenses: In the indicative there are also the following compound tenses: The four perfect constructions above can vary in aspect depending on the aspect of the main-verb participle; they are in fact pairs of imperfective and perfective aspects. Verbs in forms using past participles also vary in voice and gender. There is only one simple tense in the imperative mood, the present, and there are simple forms only for the second-person singular, -и/-й (-i, -y/i), and plural, -ете/-йте (-ete, -yte), e.g. уча ('to study'): , sg., , pl.; 'to play': , . There are compound imperative forms for all persons and numbers in the present compound imperative (, ), the present perfect compound imperative (, ) and the rarely used present pluperfect compound imperative (, ). The conditional mood consists of five compound tenses, most of which are not grammatically distinguishable. The present, future and past conditional use a special past form of the stem би- (bi – "be") and the past participle (, , 'I would study'). The past future conditional and the past future perfect conditional coincide in form with the respective indicative tenses. The subjunctive mood is rarely documented as a separate verb form in Bulgarian, (being, morphologically, a sub-instance of the quasi-infinitive construction with the particle да and a normal finite verb form), but nevertheless it is used regularly. The most common form, often mistaken for the present tense, is the present subjunctive ( , 'I had better go'). The difference between the present indicative and the present subjunctive tense is that the subjunctive can be formed by "both" perfective and imperfective verbs. It has completely replaced the infinitive and the supine from complex expressions (see below). It is also employed to express opinion about "possible" future events. The past perfect subjunctive ( , 'I'd had better be gone') refers to "possible" events in the past, which "did not" take place, and the present pluperfect subjunctive ( ), which may be used about both past and future events arousing feelings of incontinence, suspicion, etc. The inferential mood has five pure tenses. Two of them are simple – "past aorist inferential" and "past imperfect inferential" – and are formed by the past participles of perfective and imperfective verbs, respectively. There are also three compound tenses – "past future inferential", "past future perfect inferential" and "past perfect inferential". All these tenses' forms are gender-specific in the singular. There are also conditional and compound-imperative crossovers. The existence of inferential forms has been attributed to Turkic influences by most Bulgarian linguists. Morphologically, they are derived from the perfect. Non-finite verbal forms. Bulgarian has the following participles: The participles are inflected by gender, number, and definiteness, and are coordinated with the subject when forming compound tenses (see tenses above). When used in an attributive role, the inflection attributes are coordinated with the noun that is being attributed. Reflexive verbs. Bulgarian uses reflexive verbal forms (i.e. actions which are performed by the agent onto him- or herself) which behave in a similar way as they do in many other Indo-European languages, such as French and Spanish. The reflexive is expressed by the invariable particle se, originally a clitic form of the accusative reflexive pronoun. Thus – When the action is performed on others, other particles are used, just like in any normal verb, e.g. – Sometimes, the reflexive verb form has a similar but not necessarily identical meaning to the non-reflexive verb – In other cases, the reflexive verb has a completely different meaning from its non-reflexive counterpart – When the action is performed on an indirect object, the particles change to si and its derivatives – In some cases, the particle "si" is ambiguous between the indirect object and the possessive meaning – The difference between transitive and intransitive verbs can lead to significant differences in meaning with minimal change, e.g. – The particle "si" is often used to indicate a more personal relationship to the action, e.g. – Adverbs. The most productive way to form adverbs is to derive them from the neuter singular form of the corresponding adjective—e.g. (fast), (hard), (strange)—but adjectives ending in use the masculine singular form (i.e. ending in ), instead—e.g. (heroically), (bravely, like a man), (skillfully). The same pattern is used to form adverbs from the (adjective-like) ordinal numerals, e.g. (firstly), (secondly), (thirdly), and in some cases from (adjective-like) cardinal numerals, e.g. (twice as/double), (three times as), (five times as). The remaining adverbs are formed in ways that are no longer productive in the language. A small number are original (not derived from other words), for example: (here), (there), (inside), (outside), (very/much) etc. The rest are mostly fossilized case forms, such as: Adverbs can sometimes be reduplicated to emphasize the qualitative or quantitative properties of actions, moods or relations as performed by the subject of the sentence: "" ("rather slowly"), "" ("with great difficulty"), "" ("quite", "thoroughly"). Other features. Questions. Questions in Bulgarian which do not use a question word (such as who? what? etc.) are formed with the particle after the verb; a subject is not necessary, as the verbal conjugation suggests who is performing the action: While the particle generally goes after the verb, it can go after a noun or adjective if a contrast is needed: A verb is not always necessary, e.g. when presenting a choice: Rhetorical questions can be formed by adding to a question word, thus forming a "double interrogative" – The same construction ('no') is an emphasized positive – Significant verbs. Be ("Съм"). The verb – 'to be' is also used as an auxiliary for forming the perfect, the passive and the conditional: Two alternate forms of exist: Will ("Ще"). The impersonal verb () is used to for forming the (positive) future tense: The negative future is formed with the invariable construction (see below): The past tense of this verb – щях is conjugated to form the past conditional ('would have' – again, with да, since it is "irrealis"): Have/Don't have ("Имам and нямам"). The verbs ('to have') and ('to not have'): Conjunctions and particles. But. In Bulgarian, there are several conjunctions all translating into English as "but", which are all used in distinct situations. They are (), (), (), (), and () (and () – "however", identical in use to ). While there is some overlapping between their uses, in many cases they are specific. For example, is used for a choice – – "not this one, but that one" (compare Spanish ), while is often used to provide extra information or an opinion – – "I said it, but I was wrong". Meanwhile, provides contrast between two situations, and in some sentences can even be translated as "although", "while" or even "and" – – "I'm working, and he's daydreaming". Very often, different words can be used to alter the emphasis of a sentence – e.g. while and both mean "I smoke, but I shouldn't", the first sounds more like a statement of fact ("...but I mustn't"), while the second feels more like a "judgement" ("...but I oughtn't"). Similarly, and both mean "I don't want to, but he does", however the first emphasizes the fact that "he" wants to, while the second emphasizes the "wanting" rather than the person. is interesting in that, while it feels archaic, it is often used in poetry and frequently in children's stories, since it has quite a moral/ominous feel to it. Some common expressions use these words, and some can be used alone as interjections: Vocative particles. Bulgarian has several abstract particles which are used to strengthen a statement. These have no precise translation in English. The particles are strictly informal and can even be considered rude by some people and in some situations. They are mostly used at the end of questions or instructions. Modal particles. These are "tagged" on to the beginning or end of a sentence to express the mood of the speaker in relation to the situation. They are mostly interrogative or slightly imperative in nature. There is no change in the grammatical mood when these are used (although they may be expressed through different grammatical moods in other languages). Intentional particles. These express intent or desire, perhaps even pleading. They can be seen as a sort of cohortative side to the language. (Since they can be used by themselves, they could even be considered as verbs in their own right.) They are also highly informal. These particles can be combined with the vocative particles for greater effect, e.g. (let me see), or even exclusively in combinations with them, with no other elements, e.g. (come on!); (I told you not to!). Pronouns of quality. Bulgarian has several pronouns of quality which have no direct parallels in English – (what sort of); (this sort of); (that sort of – colloq.); (some sort of); (no sort of); (every sort of); and the relative pronoun (the sort of ... that ... ). The adjective ("the same") derives from the same radical. Example phrases include: An interesting phenomenon is that these can be strung along one after another in quite long constructions, e.g. An extreme, albeit colloquial, example with almost no intrinsic lexical meaning – yet which is meaningful to the Bulgarian ear – would be : The subject of the sentence is simply the pronoun "" (lit. "this one here"; colloq. "she"). Another interesting phenomenon that is observed in colloquial speech is the use of (neuter of ) not only as a substitute for an adjective, but also as a substitute for a verb. In that case the base form is used as the third person singular in the present indicative and all other forms are formed by analogy to other verbs in the language. Sometimes the "verb" may even acquire a derivational prefix that changes its meaning. Examples: Another use of in colloquial speech is the word , which can be used as a substitution for a noun, but also, if the speaker does not remember or is not sure how to say something, they might say and then pause to think about it: As a result of this versatility, the word can readily be used as a euphemism for taboo subjects. It is commonly used to substitute, for example, words relating to reproductive organs or sexual acts: Similar "meaningless" expressions are extremely common in spoken Bulgarian, especially when the speaker is finding it difficult to describe or express something. Syntax. Bulgarian employs clitic doubling, mostly for emphatic purposes. For example, the following constructions are common in colloquial Bulgarian: (lit. "I gave "it" the present to Maria.") (lit. "I gave "her it" the present to Maria.") The phenomenon is practically obligatory in the spoken language in the case of inversion signalling information structure (in writing, clitic doubling may be skipped in such instances, with a somewhat bookish effect): (lit. "The present ["to her"] "it" I-gave to Maria.") (lit. "To Maria "to her" ["it"] I-gave the present.") Sometimes, the doubling signals syntactic relations, thus: (lit. "Petar and Ivan "them" ate the wolves.") Transl.: "Petar and Ivan were eaten by the wolves". This is contrasted with: () Transl.: "Petar and Ivan ate the wolves". In this case, clitic doubling can be a colloquial alternative of the more formal or bookish passive voice, which would be constructed as follows: () Clitic doubling is also fully obligatory, both in the spoken and in the written norm, in clauses including several special expressions that use the short accusative and dative pronouns such as "" (I feel like playing), студено ми е (I am cold), and боли ме ръката (my arm hurts): (lit. "To me "to me" it-feels-like-sleeping, and to Ivan "to him" it-feels-like-playing") Transl.: "I feel like sleeping, and Ivan feels like playing." (lit. "To us "to us" it-is cold, and to you-plur. "to you-plur." it-is warm") Transl.: "We are cold, and you are warm." (lit. Ivan "him" aches the throat, and me "me" aches the head) Transl.: Ivan has sore throat, and I have a headache. Except the above examples, clitic doubling is considered inappropriate in a formal context. Vocabulary. Most of the vocabulary of modern Bulgarian consists of terms inherited from Proto-Slavic and local Bulgarian innovations and formations of those through the mediation of Old and Middle Bulgarian. The native terms in Bulgarian account for 70% to 80% of the lexicon. The remaining 20% to 30% are loanwords from a number of languages, as well as derivations of such words. Bulgarian adopted also a few words of Thracian and Bulgar origin. The languages which have contributed most to Bulgarian as a way of foreign vocabulary borrowings are: The classical languages Latin and Greek are the source of many words, used mostly in international terminology. Many Latin terms entered Bulgarian during the time when present-day Bulgaria was part of the Roman Empire and also in the later centuries through Romanian, Aromanian, and Megleno-Romanian during Bulgarian Empires. The loanwords of Greek origin in Bulgarian are a product of the influence of the liturgical language of the Orthodox Church. Many of the numerous loanwords from another Turkic language, Ottoman Turkish and, via Ottoman Turkish, from Arabic were adopted into Bulgarian during the long period of Ottoman rule, but have been replaced with native Bulgarian terms. Furthermore, after the independence of Bulgaria from the Ottoman Empire in 1878, Bulgarian intellectuals imported many French language vocabulary. In addition, both specialized (usually coming from the field of science) and commonplace English words (notably abstract, commodity/service-related or technical terms) have also penetrated Bulgarian since the second half of the 20th century, especially since 1989. A noteworthy portion of this English-derived terminology has attained some unique features in the process of its introduction to native speakers, and this has resulted in peculiar derivations that set the newly formed loanwords apart from the original words (mainly in pronunciation), although many loanwords are completely identical to the source words. A growing number of international neologisms are also being widely adopted, causing controversy between younger generations who, in general, are raised in the era of digital globalization, and the older, more conservative educated purists. Sample text. Article 1 of the "Universal Declaration of Human Rights" in Bulgarian: The romanization of the text into Latin alphabet: Bulgarian pronunciation transliterated in broad IPA: ['fsit͡ʃki 'xɔrɐ sɛ 'raʒdɐt svo'bɔdni i 'ravni po dos'tɔjnstvo i prɐ'va. 'tɛ sɐ nɐdɐ'rɛni s 'razom i 'sɤvɛst i 'slɛdvɐ dɐ sɛ ot'nasjɐt pomɛʒ'du si v 'dux nɐ 'bratstvo.] Article 1 of the "Universal Declaration of Human Rights" in English: "All human beings are born free and equal in dignity and rights. They are endowed with reason and conscience and should act towards one another in a spirit of brotherhood." External links. Linguistic reports Dictionaries Courses
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Bipyramid
In geometry, a bipyramid, dipyramid, or double pyramid is a polyhedron formed by fusing two pyramids together base-to-base. The polygonal base of each pyramid must therefore be the same, and unless otherwise specified the base vertices are usually coplanar and a bipyramid is usually "symmetric", meaning the two pyramids are mirror images across their common base plane. When each apex (, the off-base vertices) of the bipyramid is on a line perpendicular to the base and passing through its center, it is a "right" bipyramid; otherwise it is "oblique". When the base is a regular polygon, the bipyramid is also called "regular". Definition and properties. A bipyramid is a polyhedron constructed by fusing two pyramids which share the same polygonal base; a pyramid is in turn constructed by connecting each vertex of its base to a single new vertex (the apex) not lying in the plane of the base, for an gonal base forming triangular faces in addition to the base face. An gonal bipyramid thus has faces, edges, and vertices. More generally, a right pyramid is a pyramid where the apices are on the perpendicular line through the centroid of an arbitrary polygon or the incenter of a tangential polygon, depending on the source. Likewise, a "right bipyramid" is a polyhedron constructed by attaching two symmetrical right bipyramid bases; bipyramids whose apices are not on this line are called "oblique bipyramids". When the two pyramids are mirror images, the bipyramid is called "symmetric". It is called "regular" if its base is a regular polygon. When the base is a regular polygon and the apices are on the perpendicular line through its center (a "regular right bipyramid") then all of its faces are isosceles triangles; sometimes the name "bipyramid" refers specifically to symmetric regular right bipyramids, Examples of such bipyramids are the triangular bipyramid, octahedron (square bipyramid) and pentagonal bipyramid. If all their edges are equal in length, these shapes consist of equilateral triangle faces, making them deltahedra; the triangular bipyramid and the pentagonal bipyramid are Johnson solids, and the regular octahedron is a Platonic solid. The symmetric regular right bipyramids have prismatic symmetry, with dihedral symmetry group of order : they are unchanged when rotated of a turn around the axis of symmetry, reflected across any plane passing through both apices and a base vertex or both apices and the center of a base edge, or reflected across the mirror plane. Because their faces are transitive under these symmetry transformations, they are isohedral. They are the dual polyhedra of prisms and the prisms are the dual of bipyramids as well; the bipyramids vertices correspond to the faces of the prism, and the edges between pairs of vertices of one correspond to the edges between pairs of faces of the other, and vice versa. The prisms share the same symmetry as the bipyramids. The regular octahedron is more symmetric still, as its base vertices and apices are indistinguishable and can be exchanged by reflections or rotations; the regular octahedron and its dual, the cube, have octahedral symmetry. The volume of a symmetric bipyramid is formula_1 where is the area of the base and the perpendicular distance from the base plane to either apex. In the case of a regular sided polygon with side length and whose altitude is , the volume of such a bipyramid is: formula_2 Related and other types of bipyramid. Concave bipyramids. A "concave bipyramid" has a concave polygon base, and one example is a concave tetragonal bipyramid or an irregular concave octahedron. A bipyramid with an arbitrary polygonal base could be considered a "right" bipyramid if the apices are on a line perpendicular to the base passing through the base's centroid. Asymmetric bipyramids. An "asymmetric bipyramid" has apices which are not mirrored across the base plane; for a right bipyramid this only happens if each apex is a different distance from the base. The dual of an asymmetric right -gonal bipyramid is an -gonal frustum. A regular asymmetric right -gonal bipyramid has symmetry group , of order . Scalene triangle bipyramids. An isotoxal right (symmetric) di--gonal bipyramid is a right (symmetric) -gonal bipyramid with an "isotoxal" flat polygon base: its basal vertices are coplanar, but alternate in two radii. All its faces are congruent scalene triangles, and it is isohedral. It can be seen as another type of a right symmetric di--gonal "scalenohedron", with an isotoxal flat polygon base. An isotoxal right (symmetric) di--gonal bipyramid has two-fold rotation axes through opposite basal vertices, reflection planes through opposite apical edges, an -fold rotation axis through apices, a reflection plane through base, and an -fold rotation-reflection axis through apices, representing symmetry group of order . (The reflection about the base plane corresponds to the rotation-reflection. If is even, then there is an inversion symmetry about the center, corresponding to the rotation-reflection.) Example with : An isotoxal right (symmetric) ditrigonal bipyramid has three similar vertical planes of symmetry, intersecting in a (vertical) -fold rotation axis; perpendicular to them is a fourth plane of symmetry (horizontal); at the intersection of the three vertical planes with the horizontal plane are three similar (horizontal) -fold rotation axes; there is no center of inversion symmetry, but there is a center of symmetry: the intersection point of the four axes. Example with : An isotoxal right (symmetric) ditetragonal bipyramid has four vertical planes of symmetry of two kinds, intersecting in a (vertical) -fold rotation axis; perpendicular to them is a fifth plane of symmetry (horizontal); at the intersection of the four vertical planes with the horizontal plane are four (horizontal) -fold rotation axes of two kinds, each perpendicular to a plane of symmetry; two vertical planes bisect the angles between two horizontal axes; and there is a centre of inversion symmetry. Double example: In crystallography, isotoxal right (symmetric) didigonal (8-faced), ditrigonal (12-faced), ditetragonal (16-faced), and dihexagonal (24-faced) bipyramids exist. Scalenohedra. A scalenohedron is similar to a bipyramid; the difference is that the scalenohedra has a zig-zag pattern in the middle edges. It has two apices and basal vertices, faces, and edges; it is topologically identical to a -gonal bipyramid, but its basal vertices alternate in two rings above and below the center. All its faces are congruent scalene triangles, and it is isohedral. It can be seen as another type of a right symmetric di--gonal bipyramid, with a regular zigzag skew polygon base. A regular right symmetric di--gonal scalenohedron has two-fold rotation axes through opposite basal mid-edges, reflection planes through opposite apical edges, an -fold rotation axis through apices, and a -fold rotation-reflection axis through apices (about which rotations-reflections globally preserve the solid), representing symmetry group of order . (If is odd, then there is an inversion symmetry about the center, corresponding to the rotation-reflection.) Example with : A regular right symmetric ditrigonal scalenohedron has three similar vertical planes of symmetry inclined to one another at and intersecting in a (vertical) -fold rotation axis, three similar horizontal -fold rotation axes, each perpendicular to a plane of symmetry, a center of inversion symmetry, and a vertical -fold rotation-reflection axis. Example with : A regular right symmetric didigonal scalenohedron has only one vertical and two horizontal -fold rotation axes, two vertical planes of symmetry, which bisect the angles between the horizontal pair of axes, and a vertical -fold rotation-reflection axis; it has no center of inversion symmetry. For at most two particular values of formula_11 the faces of such a scalenohedron may be isosceles. Double example: In crystallography, regular right symmetric didigonal (-faced) and ditrigonal (-faced) scalenohedra exist. The smallest geometric scalenohedra have eight faces, and are topologically identical to the regular octahedron. In this case (), in crystallography, a regular right symmetric didigonal (-faced) scalenohedron is called a "tetragonal scalenohedron". Let us temporarily focus on the regular right symmetric -faced scalenohedra with i.e. formula_20 Their two apices can be represented as and their four basal vertices as : formula_21 where is a parameter between and . At , it is a regular octahedron; at , it has four pairs of coplanar faces, and merging these into four congruent isosceles triangles makes it a disphenoid; for , it is concave. If the -gon base is both isotoxal in-out and zigzag skew, then not all faces of the isotoxal right symmetric scalenohedron are congruent. Example with five different edge lengths: For some particular values of , half the faces of such a scalenohedron may be isosceles or equilateral. Example with three different edge lengths: Star bipyramids. A "star" bipyramid has a star polygon base, and is self-intersecting. A regular right symmetric star bipyramid has congruent isosceles triangle faces, and is isohedral. A -bipyramid has Coxeter diagram . 4-polytopes with bipyramidal cells. The dual of the rectification of each convex regular 4-polytopes is a cell-transitive 4-polytope with bipyramidal cells. In the following: The bipyramid 4-polytope will have vertices where the apices of bipyramids meet. It will have vertices where the type vertices of bipyramids meet. As cells must fit around an edge, formula_30 Other dimensions. A generalized -dimensional "bipyramid" is any -polytope constructed from an -polytope "base" lying in a hyperplane, with every base vertex connected by an edge to two "apex" vertices. If the -polytope is a regular polytope and the apices are equidistant from its center along the line perpendicular to the base hyperplane, it will have identical pyramidal facets. A 2-dimensional analog of a right symmetric bipyramid is formed by joining two congruent isosceles triangles base-to-base to form a rhombus. More generally, a kite is a 2-dimensional analog of a (possibly asymmetric) right bipyramid, and any quadrilateral is a 2-dimensional analog of a general bipyramid.
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Brown University
Brown University is a private Ivy League research university in Providence, Rhode Island, United States. It is the seventh-oldest institution of higher education in the US, founded in 1764 as the "College in the English Colony of Rhode Island and Providence Plantations". One of nine colonial colleges chartered before the American Revolution, it was the first US college to codify that admission and instruction of students was to be equal regardless of the religious affiliation of students. The university is home to the oldest applied mathematics program in the country and oldest engineering program in the Ivy League. It was one of the early doctoral-granting institutions in the U.S., adding masters and doctoral studies in 1887. In 1969, it adopted its Open Curriculum after student lobbying, which eliminated mandatory general education distribution requirements. In 1971, Brown's coordinate women's institution, Pembroke College, was fully merged into the university. The university comprises the College, the Graduate School, Alpert Medical School, the School of Engineering, the School of Public Health and the School of Professional Studies. Its international programs are organized through the Watson Institute for International and Public Affairs, and it is academically affiliated with the Marine Biological Laboratory and the Rhode Island School of Design, which offers undergraduate and graduate dual degree programs. Brown's main campus is in the College Hill neighborhood of Providence. The university is surrounded by a federally listed architectural district with a concentration of Colonial-era buildings. Benefit Street has one of America's richest concentrations of 17th- and 18th-century architecture. Undergraduate admissions are among the most selective in the country, with an acceptance rate of 5% for the class of 2026. , 11 Nobel Prize winners, 1 Fields Medalist, 7 National Humanities Medalists, and 11 National Medal of Science laureates have been affiliated with Brown as alumni, faculty, or researchers. Alumni also include 29 Pulitzer Prize winners, 21 billionaires, 4 U.S. secretaries of state, over 100 members of the United States Congress, 58 Rhodes Scholars, 22 MacArthur Genius Fellows, and 38 Olympic medalists. History. Foundation and charter. In 1761, three residents of Newport, Rhode Island, drafted a petition to the colony's General Assembly: The three petitioners were Ezra Stiles, pastor of Newport's Second Congregational Church and future president of Yale University; William Ellery Jr., future signer of the United States Declaration of Independence; and Josias Lyndon, future governor of the colony. Stiles and Ellery later served as co-authors of the college's charter two years later. The editor of Stiles's papers observes, "This draft of a petition connects itself with other evidence of Dr. Stiles's project for a Collegiate Institution in Rhode Island, before the charter of what became Brown University." The Philadelphia Baptist Association was also interested in establishing a college in Rhode Island, which was founded as a Baptist colony in America, including the mother-church of all American Baptists: the First Baptist Church in America. At the time, the Baptists were unrepresented among the colonial colleges; the Congregationalists had Harvard University and Yale University, the Presbyterians had the College of New Jersey, which later became Princeton University, and the Episcopalians had the College of William & Mary and King's College, which later became Columbia University. The local University of Pennsylvania in their native Philadelphia was founded by Benjamin Franklin without direct association with any particular denomination. Isaac Backus, the Baptist minister and historian of the New England Baptists, who was an inaugural trustee of Brown University, wrote of the October 1762 resolution taken at Philadelphia: James Manning arrived at Newport in July 1763 and was introduced to Stiles, who agreed to write the charter for the college. Stiles' first draft was read to the General Assembly in August 1763, and rejected by Baptist members who worried that their denomination would be underrepresented in the College Board of Fellows. A revised charter written by Stiles and Ellery was adopted by the Rhode Island General Assembly on March 3, 1764, in East Greenwich. In September 1764, the inaugural meeting of the corporation—the college's governing body—was held in Newport's Old Colony House. Governor Stephen Hopkins was chosen chancellor, former and future governor Samuel Ward vice chancellor, John Tillinghast treasurer, and Thomas Eyres secretary. The charter stipulated that the board of trustees should be composed of 22 Baptists, 5 Quakers, 5 Episcopalians, and 4 Congregationalists. Of the 12 Fellows, 8 should be Baptists—including the college president—"and the rest indifferently of any or all Denominations." At the time of its creation, Brown's charter was a uniquely progressive document. Other colleges had curricular strictures against opposing doctrines, while Brown's charter asserted, "Sectarian differences of opinions, shall not make any Part of the Public and Classical Instruction." The document additionally "recognized more broadly and fundamentally than any other [university charter] the principle of denominational cooperation." The oft-repeated statement that Brown's charter alone prohibited a religious test for College membership is inaccurate; other college charters were similarly liberal in that particular. The college was founded as Rhode Island College, at the site of the First Baptist Church in Warren, Rhode Island. Manning was sworn in as the college's first president in 1765 and remained in the role until 1791. In 1766, the college authorized Rev. Morgan Edwards to travel to Europe to "solicit Benefactions for this Institution". During his year-and-a-half stay in the British Isles, Edwards secured funding from benefactors including Thomas Penn and Benjamin Franklin. In 1770, the college moved from Warren to Providence. To establish a campus, John and Moses Brown purchased a four-acre lot on the crest of College Hill on behalf of the school. The majority of the property fell within the bounds of the original home lot of Chad Brown, an ancestor of the Browns and one of the original proprietors of Providence Plantations. After the college was relocated to the city, work began on constructing its first building. A building committee, organized by the corporation, developed plans for the college's first purpose-built edifice, finalizing a design on February 9, 1770. The subsequent structure, referred to as "The College Edifice" and later as University Hall, may have been modeled on Nassau Hall, built 14 years prior at the College of New Jersey. President Manning, an active member of the building process, was educated at Princeton and might have suggested that Brown's first building resemble that of his alma mater. Brown family. Nicholas Brown, John Brown, Joseph Brown, and Moses Brown were instrumental in moving the college to Providence, constructing its first building, and securing its endowment. Joseph became a professor of natural philosophy at the college; John served as its treasurer from 1775 to 1796; and Nicholas Sr's son Nicholas Brown Jr. succeeded his uncle as treasurer from 1796 to 1825. On September 8, 1803, the corporation voted, "That the donation of $5,000, if made to this College within one Year from the late Commencement, shall entitle the donor to name the College." The following year, the appeal was answered by College Treasurer Nicholas Brown Jr. In a letter dated September 6, 1804, Brown committed "a donation of Five Thousand Dollars to Rhode Island College, to remain in perpetuity as a fund for the establishment of a Professorship of Oratory and Belles Letters." In recognition of the gift, the corporation on the same day voted, "That this College be called and known in all future time by the Name of Brown University." Over the years, the benefactions of Nicholas Brown Jr., totaled nearly $160,000 and included funds for building Hope College (1821–22) and Manning Hall (1834–35). In 1904, the John Carter Brown Library was established as an independently funded research library on Brown's campus; the library's collection was founded on that of John Carter Brown, son of Nicholas Brown Jr. The Brown family was involved in various business ventures in Rhode Island, and accrued wealth both directly and indirectly from the transatlantic slave trade. The family was divided on the issue of slavery. John Brown had defended slavery, while Moses and Nicholas Brown Jr. were fervent abolitionists. In 2003, under the tenure of President Ruth Simmons, the university established a steering committee to investigate these ties of the university to slavery and recommend a strategy to address them. American Revolution. With British vessels patrolling Narragansett Bay in the fall of 1776, the college library was moved out of Providence for safekeeping. During the subsequent American Revolutionary War, Brown's University Hall was used to house French and other revolutionary troops led by General George Washington and the Comte de Rochambeau as they waited to commence the march of 1781 that led to the Siege of Yorktown and the Battle of the Chesapeake. This has been celebrated as marking the defeat of the British and the end of the war. The building functioned as barracks and hospital from December 10, 1776, to April 20, 1780, and as a hospital for French troops from June 26, 1780, to May 27, 1782. A number of Brown's founders and alumni played roles in the American Revolution and subsequent founding of the United States. Brown's first chancellor, Stephen Hopkins, served as a delegate to the Colonial Congress in Albany in 1754, and to the Continental Congress from 1774 to 1776. James Manning represented Rhode Island at the Congress of the Confederation, while concurrently serving as Brown's first president. Two of Brown's founders, William Ellery and Stephen Hopkins signed the Declaration of Independence. James Mitchell Varnum, who graduated from Brown with honors in 1769, served as one of General George Washington's Continental Army brigadier generals and later as major general in command of the entire Rhode Island militia. Varnum is noted as the founder and commander of the 1st Rhode Island Regiment, widely regarded as the first Black battalion in U.S. military history. David Howell, who graduated with an A.M. in 1769, served as a delegate to the Continental Congress from 1782 to 1785. Presidents. Nineteen individuals have served as presidents of the university since its founding in 1764. Since 2012, Christina Hull Paxson has served as president. Paxson had previously served as dean of Princeton University's School of Public and International Affairs and chair of Princeton's economics department. Paxson's immediate predecessor, Ruth Simmons, is noted as the first African American president of an Ivy League institution. Other presidents of note include academic, Vartan Gregorian; and philosopher and economist, Francis Wayland. New Curriculum. In 1966, the first Group Independent Study Project (GISP) at Brown was formed, involving 80 students and 15 professors. The GISP was inspired by student-initiated experimental schools, especially San Francisco State College, and sought ways to "put students at the center of their education" and "teach students how to think rather than just teaching facts". Members of the GISP, Ira Magaziner and Elliot Maxwell published a paper of their findings titled, "Draft of a Working Paper for Education at Brown University." The paper made proposals for a new curriculum, including interdisciplinary freshman-year courses that would introduce "modes of thought," with instruction from faculty from different disciplines as well as for an end to letter grades. The following year Magaziner began organizing the student body to press for the reforms, organizing discussions and protests. In 1968, university president Ray Heffner established a Special Committee on Curricular Philosophy. Composed of administrators, the committee was tasked with developing specific reforms and producing recommendations. A report, produced by the committee, was presented to the faculty, which voted the New Curriculum into existence on May 7, 1969. Its key features included: The Modes of Thought course was discontinued early on, but the other elements remain in place. In 2006, the reintroduction of plus/minus grading was proposed in response to concerns regarding grade inflation. The idea was rejected by the College Curriculum Council after canvassing alumni, faculty, and students, including the original authors of the Magaziner-Maxwell Report. "Slavery and Justice" report. In 2003, then-university president Ruth Simmons launched a steering committee to research Brown's eighteenth-century ties to slavery. In October 2006, the committee released a report documenting its findings. Titled "Slavery and Justice", the document detailed the ways in which the university benefited both directly and indirectly from the transatlantic slave trade and the labor of enslaved people. The report also included seven recommendations for how the university should address this legacy. Brown has since completed a number of these recommendations including the establishment of its Center for the Study of Slavery and Justice, the construction of its "Slavery Memorial", and the funding of a $10 million permanent endowment for Providence Public Schools. The "Slavery and Justice" report marked the first major effort by an American university to address its ties to slavery and prompted other institutions to undertake similar processes. Coat of arms. Brown's coat of arms was created in 1834. The prior year, president Francis Wayland had commissioned a committee to update the school's original seal to match the name the university had adopted in 1804. Central in the coat of arms is a white escutcheon divided into four sectors by a red cross. Within each sector of the coat of arms lies an open book. Above the shield is a crest consisting of the upper half of a sun in splendor among the clouds atop a red and white torse. Campus. Brown is the largest institutional landowner in Providence, with properties on College Hill and in the Jewelry District. The university was built contemporaneously with the eighteenth and nineteenth-century precincts surrounding it, making Brown's campus tightly integrated into Providence's urban fabric. Among the noted architects who have shaped Brown's campus are McKim, Mead & White, Philip Johnson, Rafael Viñoly, Diller Scofidio + Renfro, and Robert A. M. Stern. Main campus. Brown's main campus, comprises 235 buildings and in the East Side neighborhood of College Hill. The university's central campus sits on a block bounded by Waterman, Prospect, George, and Thayer Streets; newer buildings extend northward, eastward, and southward. Brown's core, historic campus, constructed primary between 1770 and 1926, is defined by three greens: the Front or Quiet Green, the Middle or College Green, and the Ruth J. Simmons Quadrangle (historically known as Lincoln Field). A brick and wrought-iron fence punctuated by decorative gates and arches traces the block's perimeter. This section of campus is primarily Georgian and Richardsonian Romanesque in its architectural character. To the south of the central campus are academic buildings and residential quadrangles, including Wriston, Keeney, and Gregorian quadrangles. Immediately to the east of the campus core sit Sciences Park and Brown's School of Engineering. North of the central campus are performing and visual arts facilities, life sciences labs, and the Pembroke Campus, which houses both dormitories and academic buildings. Facing the western edge of the central campus sit two of the Brown's seven libraries, the John Hay Library and the John D. Rockefeller Jr. Library. The university's campus is contiguous with that of the Rhode Island School of Design, which is located immediately to Brown's west, along the slope of College Hill. Van Wickle Gates. Built in 1901, the Van Wickle Gates are a set of wrought iron gates that stand at the western edge of Brown's campus. The larger main gate is flanked by two smaller side gates. At Convocation the central gate opens inward to admit the procession of new students; at Commencement, the gate opens outward for the procession of graduates. A Brown superstition holds that students who walk through the central gate a second time prematurely will not graduate, although walking backward is said to cancel the hex. John Hay Library. The John Hay Library is the second oldest library on campus. Opened in 1910, the library is named for John Hay (class of 1858), private secretary to Abraham Lincoln and Secretary of State under William McKinley and Theodore Roosevelt. The construction of the building was funded in large part by Hay's friend, Andrew Carnegie, who contributed half of the $300,000 cost of construction. The John Hay Library serves as the repository of the university's archives, rare books and manuscripts, and special collections. Noteworthy among the latter are the Anne S. K. Brown Military Collection (described as "the foremost American collection of material devoted to the history and iconography of soldiers and soldiering"), the Harris Collection of American Poetry and Plays (described as "the largest and most comprehensive collection of its kind in any research library"), the Lownes Collection of the History of Science (described as "one of the three most important private collections of books of science in America"), and the papers of H. P. Lovecraft. The Hay Library is home to one of the broadest collections of incunabula in the Americas, one of Brown's two Shakespeare First Folios, the manuscript of George Orwell's "Nineteen Eighty-Four," and three books bound in human skin. John Carter Brown Library. Founded in 1846, the John Carter Brown Library is generally regarded as the world's leading collection of primary historical sources relating to the exploration and colonization of the Americas. While administered and funded separately from the university, the library has been owned by Brown and located on its campus since 1904. The library contains the best preserved of the eleven surviving copies of the Bay Psalm Book—the earliest extant book printed in British North America and the most expensive printed book in the world. Other holdings include a Shakespeare First Folio and the world's largest collection of 16th-century Mexican texts. Haffenreffer Museum. The exhibition galleries of the Haffenreffer Museum of Anthropology, Brown's teaching museum, are located in Manning Hall on the campus's main green. Its one million artifacts, available for research and educational purposes, are located at its Collections Research Center in Bristol, Rhode Island. The museum's goal is to inspire creative and critical thinking about culture by fostering an interdisciplinary understanding of the material world. It provides opportunities for faculty and students to work with collections and the public, teaching through objects and programs in classrooms and exhibitions. The museum sponsors lectures and events in all areas of anthropology and also runs an extensive program of outreach to local schools. Annmary Brown Memorial. The Annmary Brown Memorial was constructed from 1903 to 1907 by the politician, Civil War veteran, and book collector General Rush Hawkins, as a mausoleum for his wife, Annmary Brown, a member of the Brown family. In addition to its crypt—the final repository for Brown and Hawkins—the Memorial includes works of art from Hawkins's private collection, including paintings by Angelica Kauffman, Peter Paul Rubens, Gilbert Stuart, Giovanni Battista Tiepolo, Benjamin West, and Eastman Johnson, among others. His collection of over 450 incunabula was relocated to the John Hay Library in 1990. Today the Memorial is home to Brown's Medieval Studies and Renaissance Studies programs. The Walk. The Walk, a landscaped pedestrian corridor, connects the Pembroke Campus to the main campus. It runs parallel to Thayer Street and serves as a primary axis of campus, extending from Ruth Simmons Quadrangle at its southern terminus to the Meeting Street entrance to the Pembroke Campus at its northern end. The walk is bordered by departmental buildings as well as the Lindemann Performing Arts Center and Granoff Center for the Creative Arts The corridor is home to public art including sculptures by Maya Lin and Tom Friedman. Pembroke campus. The Women's College in Brown University, known as Pembroke College, was founded in October 1891. Upon its 1971 merger with the College of Brown University, Pembroke's campus was absorbed into the larger Brown campus. The Pembroke campus is bordered by Meeting, Brown, Bowen, and Thayer Streets and sits three blocks north of Brown's central campus. The campus is dominated by brick architecture, largely of the Georgian and Victorian styles. The west side of the quadrangle comprises Pembroke Hall (1897), Smith-Buonanno Hall (1907), and Metcalf Hall (1919), while the east side comprises Alumnae Hall (1927) and Miller Hall (1910). The quadrangle culminates on the north with Andrews Hall (1947). East Campus, centered on Hope and Charlesfield streets, originally served as the campus of Bryant University. In 1969, as Bryant was preparing to relocate to Smithfield, Rhode Island, Brown purchased their Providence campus for $5 million. The transaction expanded the Brown campus by and 26 buildings. In 1971, Brown renamed the area East Campus. Today, the area is largely used for dormitories. Thayer Street runs through Brown's main campus. As a commercial corridor frequented by students, Thayer is comparable to Harvard Square or Berkeley's Telegraph Avenue. Wickenden Street, in the adjacent Fox Point neighborhood, is another commercial street similarly popular among students. Built in 1925, Brown Stadium—the home of the school's football team—is located approximately a mile and a half northeast of the university's central campus. Marston Boathouse, the home of Brown's crew teams, lies on the Seekonk River, to the southeast of campus. Brown's sailing teams are based out of the Ted Turner Sailing Pavilion at the Edgewood Yacht Club in adjacent Cranston. Since 2011, Brown's Warren Alpert Medical School has been located in Providence's historic Jewelry District, near the medical campus of Brown's teaching hospitals, Rhode Island Hospital and the Women and Infants Hospital of Rhode Island. Other university facilities, including molecular medicine labs and administrative offices, are likewise located in the area. Brown's School of Public Health occupies a landmark modernist building along the Providence River. Other Brown properties include the Mount Hope Grant in Bristol, Rhode Island, an important Native American site noted as a location of King Philip's War. Brown's Haffenreffer Museum of Anthropology Collection Research Center, particularly strong in Native American items, is located in the Mount Hope Grant. Sustainability. Brown has committed to "minimize its energy use, reduce negative environmental impacts, and promote environmental stewardship." Since 2010, the university has required all new buildings meet LEED silver standards. Between 2007 and 2018, Brown reduced its greenhouse emissions by 27 percent; the majority of this reduction is attributable to the university's Thermal Efficiency Project which converted its central heating plant from a steam-powered system to a hot water-powered system. In 2020, Brown announced it had sold 90 percent of its fossil fuel investments as part of a broader divestment from direct investments and managed funds that focus on fossil fuels. In 2021, the university adopted the goal of reducing quantifiable campus emissions by 75 percent by 2025 and achieving carbon neutrality by 2040. Brown is a member of the Ivy Plus Sustainability Consortium, through which it has committed to best-practice sharing and the ongoing exchange of campus sustainability solutions along with other member institutions. According to the A. W. Kuchler U.S. potential natural vegetation types, Brown would have a dominant vegetation type of Appalachian Oak ("104") with a dominant vegetation form of Eastern Hardwood Forest ("25"). Academics. The College. Founded in 1764, The college is Brown's oldest school. About 7,200 undergraduate students are enrolled in the college , and 81 concentrations are offered. For the graduating class of 2020, the most popular concentrations were Computer Science, Economics, Biology, History, Applied Mathematics, International Relations, and Political Science. A quarter of Brown undergraduates complete more than one concentration before graduating. If the existing programs do not align with their intended curricular interests, undergraduates may design and pursue independent concentrations. Around 35 percent of undergraduates pursue graduate or professional study immediately, 60 percent within 5 years, and 80 percent within 10 years. For the Class of 2009, 56 percent of all undergraduate alumni have since earned graduate degrees. Among undergraduate alumni who go on to receive graduate degrees, the most common degrees earned are J.D. (16%), M.D. (14%), M.A. (14%), M.Sc. (14%), and Ph.D. (11%). The most common institutions from which undergraduate alumni earn graduate degrees are Brown University, Columbia University, and Harvard University. The highest fields of employment for undergraduate alumni ten years after graduation are education and higher education (15%), medicine (9%), business and finance (9%), law (8%), and computing and technology (7%). Brown and RISD. Since its 1893 relocation to College Hill, Rhode Island School of Design (RISD) has bordered Brown to its west. Since 1900, Brown and RISD students have been able to cross-register at the two institutions, with Brown students permitted to take as many as four courses at RISD to count towards their Brown degree. The two institutions partner to provide various student-life services and the two student bodies compose a synergy in the College Hill cultural scene. Dual Degree Program. After several years of discussion between the two institutions and several students pursuing dual degrees unofficially, Brown and RISD formally established a five-year dual degree program in 2007, with the first class matriculating in the fall of 2008. The Brown|RISD Dual Degree Program, among the most selective in the country, offered admission to 20 of the 725 applicants for the class entering in autumn 2020, for an acceptance rate of 2.7%. The program combines the complementary strengths of the two institutions, integrating studio art and design at RISD with Brown's academic offerings. Students are admitted to the Dual Degree Program for a course lasting five years and culminating in both the Bachelor of Arts (A.B.) or Bachelor of Science (Sc.B.) degree from Brown and the Bachelor of Fine Arts (B.F.A.) degree from RISD. Prospective students must apply to the two schools separately and be accepted by separate admissions committees. Their application must then be approved by a third Brown|RISD joint committee. Admitted students spend the first year in residence at RISD completing its first-year Experimental and Foundation Studies curriculum while taking up to three Brown classes. Students spend their second year in residence at Brown, during which students take mainly Brown courses while starting on their RISD major requirements. In the third, fourth, and fifth years, students can elect to live at either school or off-campus, and course distribution is determined by the requirements of each student's unique combination of Brown concentration and RISD major. Program participants are noted for their creative and original approach to cross-disciplinary opportunities, combining, for example, industrial design with engineering, or anatomical illustration with human biology, or philosophy with sculpture, or architecture with urban studies. An annual "BRDD Exhibition" is a well-publicized and heavily attended event, drawing interest and attendees from the broader world of industry, design, the media, and the fine arts. MADE Program. In 2020, the two schools announced the establishment of a new joint Master of Arts in Design Engineering program. Abbreviated as MADE, the program intends to combine RISD's programs in industrial design with Brown's programs in engineering. The program is administered through Brown's School of Engineering and RISD's Architecture and Design Division. Theatre and playwriting. Brown's theatre and playwriting programs are among the best-regarded in the country. Six Brown graduates have received the Pulitzer Prize for Drama; Alfred Uhry '58, Lynn Nottage '86, Ayad Akhtar '93, Nilo Cruz '94, Quiara Alegría Hudes '04, and Jackie Sibblies Drury MFA '04. In "American Theater" magazine's 2009 ranking of the most-produced American plays, Brown graduates occupied four of the top five places—Peter Nachtrieb '97, Rachel Sheinkin '89, Sarah Ruhl '97, and Stephen Karam '02. The undergraduate concentration encompasses programs in theatre history, performance theory, playwriting, dramaturgy, acting, directing, dance, speech, and technical production. Applications for doctoral and master's degree programs are made through the University Graduate School. Master's degrees in acting and directing are pursued in conjunction with the Brown/Trinity Rep MFA program, which partners with the Trinity Repertory Company, a local regional theatre. In January 2025, The Brown/Trinity Rep Master of Fine Arts Programs in Acting and Directing indefinitely paused its new student admissions, effectively ending the program. Writing programs. Writing at Brown—fiction, non-fiction, poetry, playwriting, screenwriting, electronic writing, mixed media, and the undergraduate writing proficiency requirement—is catered for by various centers and degree programs, and a faculty that has long included nationally and internationally known authors. The undergraduate concentration in literary arts offers courses in fiction, poetry, screenwriting, literary hypermedia, and translation. Graduate programs include the fiction and poetry MFA writing programs in the literary arts department and the MFA playwriting program in the theatre arts and performance studies department. The non-fiction writing program is offered in the English department. Screenwriting and cinema narrativity courses are offered in the departments of literary arts and modern culture and media. The undergraduate writing proficiency requirement is supported by the Writing Center. Author prizewinners. Alumni authors take their degrees across the spectrum of degree concentrations, but a gauge of the strength of writing at Brown is the number of major national writing prizes won. To note only winners since the year 2000: Pulitzer Prize for Fiction-winners Jeffrey Eugenides '82 (2003), Marilynne Robinson '66 (2005), and Andrew Sean Greer '92 (2018); British Orange Prize-winners Marilynne Robinson '66 (2009) and Madeline Miller '00 (2012); Pulitzer Prize for Drama-winners Nilo Cruz '94 (2003), Lynn Nottage '86 (twice, 2009, 2017), Quiara Alegría Hudes '04 (2012), Ayad Akhtar '93 (2013), and Jackie Sibblies Drury MFA '04 (2019); Pulitzer Prize for Biography-winners David Kertzer '69 (2015) and Benjamin Moser '98 (2020); Pulitzer Prize for Journalism-winners James Risen '77 (2006), Gareth Cook '91 (2005), Tony Horwitz '80 (1995), Usha Lee McFarling '89 (2007), David Rohde '90 (1996), Kathryn Schulz '96 (2016), and Alissa J. Rubin '80 (2016); Pulitzer Prize for General Nonfiction-winner James Forman Jr. '88 (2018); Pulitzer Prize for History-winner Marcia Chatelain PhD '08 (2021); Pulitzer Prize for Criticism-winner Salamishah Tillet MAT '97 (2022); and Pulitzer Prize for Poetry-winner Peter Balakian PhD '80 (2016) Computer science. Brown began offering computer science courses through the departments of Economics and Applied Mathematics in 1956 when it acquired an IBM machine. Brown added an IBM 650 in January 1958, the only one of its type between Hartford and Boston. In 1960, Brown opened its first dedicated computer building, the Brown University Computing Laboratory. The facility, designed by Philip Johnson, received an IBM 7070 computer the following year. The first undergraduate Computer Science degrees were awarded in 1974. Brown granted computer sciences full Departmental status in 1979. In 2009, IBM and Brown announced the installation of a supercomputer (by teraflops standards), the most powerful in the southeastern New England region. In the 1960s, Andries van Dam, along with Ted Nelson and Bob Wallace invented The Hypertext Editing Systems, HES and FRESS while at Brown. Nelson coined the word "hypertext" while Van Dam's students helped originate XML, XSLT, and related Web standards. Among the school's computer science alumni are principal architect of the Classic Mac OS, Andy Hertzfeld; principal architect of the Intel 80386 and Intel 80486 microprocessors, John Crawford; former CEO of Apple, John Sculley; and digital effects programmer Masi Oka. Other alumni include former CS department head at MIT, John Guttag; software-defined networking pioneer Scott Shenker; Workday founder, Aneel Bhusri; MongoDB founder Eliot Horowitz; Figma founders Dylan Field and Evan Wallace (the latter of whom also created esbuild); OpenSea founder Devin Finzer; and Edward D. Lazowska, professor and Bill & Melinda Gates Foundation Chair emeritus at the University of Washington. Between 2012 and 2018, the number of concentrators in CS tripled. In 2017, computer science overtook economics as the school's most popular undergraduate concentration. Applied mathematics. Brown's program in applied mathematics was established in 1941 making it the oldest such program in the United States. The division is highly ranked and regarded nationally. Among the 67 recipients of the Timoshenko Medal, 22 have been affiliated with Brown's applied mathematics division as faculty, researchers, or students. The Joukowsky Institute for Archaeology and the Ancient World. Established in 2004, the Joukowsky Institute for Archaeology and the Ancient World is Brown's interdisciplinary research center for archeology and ancient studies. The institute pursues fieldwork, excavations, regional surveys, and academic study of the archaeology and art of the ancient Mediterranean, Egypt, and Western Asia from the Levant to the Caucasus. The institute has a very active fieldwork profile, with faculty-led excavations and regional surveys presently in Petra (Jordan), Abydos (Egypt), Turkey, Sudan, Italy, Mexico, Guatemala, Montserrat, and Providence. The Joukowsky Institute's faculty includes cross-appointments from the departments of Egyptology, Assyriology, Classics, Anthropology, and History of Art and Architecture. Faculty research and publication areas include Greek and Roman art and architecture, landscape archaeology, urban and religious architecture of the Levant, Roman provincial studies, the Aegean Bronze Age, and the archaeology of the Caucasus. The institute offers visiting teaching appointments and postdoctoral fellowships which have, in recent years, included Near Eastern Archaeology and Art, Classical Archaeology and Art, Islamic Archaeology and Art, and Archaeology and Media Studies. Egyptology and Assyriology Facing the Joukowsky Institute, across the Front Green, is the Department of Egyptology and Assyriology, formed in 2006 by the merger of Brown's departments of Egyptology and History of Mathematics. It is one of only a handful of such departments in the United States. The curricular focus is on three principal areas: Egyptology, Assyriology, and the history of the ancient exact sciences (astronomy, astrology, and mathematics). Many courses in the department are open to all Brown undergraduates without prerequisites and include archaeology, languages, history, and Egyptian and Mesopotamian religions, literature, and science. Students concentrating in the department choose a track of either Egyptology or Assyriology. Graduate-level study comprises three tracks to the doctoral degree: Egyptology, Assyriology, or the History of the Exact Sciences in Antiquity. The Watson Institute for International and Public Affairs. The Watson Institute for International and Public Affairs, Brown's center for the study of global Issues and public affairs, is one of the leading institutes of its type in the country. The institute occupies facilities designed by Uruguayan architect Rafael Viñoly and Japanese architect Toshiko Mori. The institute was initially endowed by Thomas Watson Jr. (Class of 1937), former Ambassador to the Soviet Union and longtime president of IBM. Institute faculty and faculty emeritus include Italian prime minister and European Commission president Romano Prodi, Brazilian president Fernando Henrique Cardoso, Chilean president Ricardo Lagos Escobar, Mexican novelist and statesman Carlos Fuentes, Brazilian statesman and United Nations commission head Paulo Sérgio Pinheiro, Indian foreign minister and ambassador to the United States Nirupama Rao, American diplomat and Dayton Peace Accords author Richard Holbrooke (Class of 1962), and Sergei Khrushchev, editor of the papers of his father Nikita Khrushchev, leader of the Soviet Union. The institute's curricular interest is organized into the principal themes of development, security, and governance—with further focuses on globalization, economic uncertainty, security threats, environmental degradation, and poverty. Six Brown undergraduate concentrations are hosted by the Watson Institute: Development Studies, International and Public Affairs, International Relations, Latin American and Caribbean Studies, Middle East Studies, Public Policy, and South Asian Studies. Graduate programs offered at the Watson Institute include the Graduate Program in Development (Ph.D.) and the Master of Public Affairs (M.P.A) Program. The institute also offers postdoctoral, professional development, and global outreach programming. In support of these programs, the institute houses various centers, including the Brazil Initiative, Brown-India Initiative, China Initiative, Middle East Studies Center, The Center for Latin American and Caribbean Studies (CLACS), and the Taubman Center for Public Policy. In recent years, the most internationally cited product of the Watson Institute has been its Costs of War Project, first released in 2011 and continuously updated since. The project comprises a team of economists, anthropologists, political scientists, legal experts, and physicians, and seeks to calculate the economic costs, human casualties, and impact on civil liberties of the wars in Iraq, Afghanistan, and Pakistan since 2001. The School of Engineering. Established in 1847, Brown's engineering program is the oldest in the Ivy League and the third oldest civilian engineering program in the country. In 1916, Brown's departments of electrical, mechanical, and civil engineering were merged into a single Division of Engineering. In 2010 the division was elevated to a School of Engineering. Engineering at Brown is especially interdisciplinary. The school is organized without the traditional departments or boundaries found at most schools and follows a model of connectivity between disciplines—including biology, medicine, physics, chemistry, computer science, the humanities, and the social sciences. The school practices an innovative clustering of faculties in which engineers team with non-engineers to bring a convergence of ideas. Student teams have launched two CubeSats with the support of the School of Engineering. Brown Space Engineering developed EQUiSat a 1U satellite, and another interdisciplinary team developed SBUDNIC a 3U satellite. IE Brown Executive MBA Dual Degree Program. Since 2009, Brown has developed an Executive MBA program in conjunction with one of the leading Business Schools in Europe, IE Business School in Madrid. This relationship has since strengthened resulting in both institutions offering a dual degree program. In this partnership, Brown provides its traditional coursework while IE provides most of the business-related subjects making a differentiated alternative program to other Ivy League's EMBAs. The cohort typically consists of 25–30 EMBA candidates from some 20 countries. Classes are held in Providence, Madrid, Cape Town and Online. The Pembroke Center. The Pembroke Center for Teaching and Research on Women was established at Brown in 1981 by Joan Wallach Scott as an interdisciplinary research center on gender. The center is named for Pembroke College, Brown's former women's college, and is affiliated with Brown's Sarah Doyle Women's Center. The Pembroke Center supports Brown's undergraduate concentration in Gender and Sexuality Studies, post-doctoral research fellowships, the annual Pembroke Seminar, and other academic programs. It also manages various collections, archives, and resources, including the Elizabeth Weed Feminist Theory Papers and the Christine Dunlap Farnham Archive. The Graduate School. Brown introduced graduate courses in the 1870s and granted its first advanced degrees in 1888. The university established a Graduate Department in 1903 and a full Graduate School in 1927. With an enrollment of approximately 2,600 students, the school currently offers 33 and 51 master's and doctoral programs, respectively. The school additionally offers a number of fifth-year master's programs. Overall, admission to the Graduate School is most competitive with an acceptance rate averaging at approximately 9 percent in recent years. Carney Institute for Brain Science. The Robert J. & Nancy D. Carney Institute for Brain Science is Brown's cross-departmental neuroscience research institute. The institute's core focus areas include brain-computer interfaces and computational neuroscience; additional areas of focus include research into mechanisms of cell death with the interest of developing therapies for neurodegenerative diseases. The Carney Institute was founded by John Donoghue in 2009 as the Brown Institute for Brain Science and renamed in 2018 in recognition of a $100 million gift. The donation, one of the largest in the university's history, established the institute as one of the best-endowed university neuroscience programs in the country. Alpert Medical School. Established in 1811, Brown's Alpert Medical School is the fourth oldest medical school in the Ivy League. In 1827, medical instruction was suspended by President Francis Wayland after the program's faculty declined to follow a new policy requiring students to live on campus. The program was reorganized in 1972; the first M.D. degrees from the new Program in Medicine were awarded to a graduating class of 58 students in 1975. In 1991, the school was officially renamed the Brown University School of Medicine, then renamed once more to Brown Medical School in October 2000. In January 2007, entrepreneur and philanthropist Warren Alpert donated $100 million to the school. In recognition of the gift, the school's name was changed to the Warren Alpert Medical School of Brown University. In 2020, "U.S. News & World Report" ranked Brown's medical school the 9th most selective in the country, with an acceptance rate of 2.8%. "U.S. News" ranks the school 38th for research and 35th for primary care. Brown's medical school is known especially for its eight-year Program in Liberal Medical Education (PLME), an eight-year combined baccalaureate-M.D. medical program. Inaugurated in 1984, the program is one of the most selective and renowned programs of its type in the country, offering admission to only 2% of applicants in 2021. Since 1976, the Early Identification Program (EIP) has encouraged Rhode Island residents to pursue careers in medicine by recruiting sophomores from Providence College, Rhode Island College, the University of Rhode Island, and Tougaloo College. In 2004, the school once again began to accept applications from premedical students at other colleges and universities via AMCAS like most other medical schools. The medical school also offers M.D./PhD, M.D./M.P.H. and M.D./M.P.P. dual degree programs. School of Public Health. Brown's School of Public Health grew out of the Alpert Medical School's Department of Community Health and was officially founded in 2013 as an independent school. The school issues undergraduate (A.B., Sc.B.), graduate (M.P.H., Sc.M., A.M.), doctoral (Ph.D.), and dual-degrees (M.P.H./M.P.A., M.D./M.P.H.). Online programs. The Brown University School of Professional Studies currently offers blended learning Executive master's degrees in Healthcare Leadership, Cyber Security, and Science and Technology Leadership. The master's degrees are designed to help students who have a job and life outside of academia to progress in their respective fields. The students meet in Providence every 6–7 weeks for a weekly seminar each trimester. The university has also invested in MOOC development starting in 2013, when two courses, "Archeology's Dirty Little Secrets" and "The Fiction of Relationship", both of which received thousands of students. However, after a year of courses, the university broke its contract with Coursera and revamped its online persona and MOOC development department. By 2017, the university released new courses on edx, two of which were "The Ethics of Memory" and "Artful Medicine: Art's Power to Enrich Patient Care". In January 2018, Brown published its first "game-ified" course called "Fantastic Places, Unhuman Humans: Exploring Humanity Through Literature", which featured out-of-platform games to help learners understand materials, as well as a story-line that immerses users into a fictional world to help characters along their journey. Admissions and financial aid. Undergraduate. Undergraduate admission to Brown University is considered "most selective" by "U.S. News & World Report." For the undergraduate class of 2026, Brown received 50,649 applications—the largest applicant pool in the university's history and a 9% increase from the prior year. Of these applicants, 2,560 were admitted for an acceptance rate of 5.0%, the lowest in the university's history. In 2021, the university reported a yield rate of 69%. For the academic year 2019–20 the university received 2,030 transfer applications, of which 5.8% were accepted. Brown's admissions policy is currently stipulated need-blind for all domestic first-year applicants, but will be extended to international first-year applicants starting with the Class of 2029. In 2017, Brown announced that loans would be eliminated from all undergraduate financial aid awards starting in 2018–2019, as part of a new $30 million campaign called the "Brown Promise". In 2016–17, the university awarded need-based scholarships worth $120.5 million. The average need-based award for the class of 2020 was $47,940. Graduate. In 2017, the Graduate School accepted 11% of 9,215 applicants. In 2021, Brown received a record 948 applications for roughly 90 spots in its Master of Public Health Degree. In 2020, "U.S. News" ranked Brown's Warren Alpert Medical School the 9th most selective in the country, with an acceptance rate of 2.8 percent. Rankings. Brown University is accredited by the New England Commission of Higher Education. For their 2021 rankings, The Wall Street Journal/Times Higher Education ranked Brown 5th in the "Best Colleges 2021" edition. The "Forbes" magazine annual ranking of "America's Top Colleges 2022"—which ranked 600 research universities, liberal arts colleges and service academies—ranked Brown 19th overall and 18th among universities. "U.S. News & World Report" ranked Brown 9th among national universities in its 2023 edition. The 2022 edition also ranked Brown 2nd for undergraduate teaching, 25th in Most Innovative Schools, and 14th in Best Value Schools. "Washington Monthly" ranked Brown 30th in 2024 among 438 national universities in the U.S. based on its contribution to the public good, as measured by social mobility, research, and promoting public service. In 2022, "U.S. News & World Report" ranks Brown 129th globally. In 2014, "Forbes" magazine ranked Brown 7th on its list of "America's Most Entrepreneurial Universities." The "Forbes" analysis looked at the ratio of "alumni and students who have identified themselves as founders and business owners on LinkedIn" and the total number of alumni and students. LinkedIn particularized the "Forbes" rankings, placing Brown third (between MIT and Princeton) among "Best Undergraduate Universities for Software Developers at Startups." LinkedIn's methodology involved a career-path examination of "millions of alumni profiles" in its membership database. In 2016, 2017, 2018, and 2021 the university produced the most Fulbright recipients of any university in the nation. Brown has also produced the 7th most Rhodes Scholars of all colleges and universities in the United States. In 2025 the university ranked 229 of 257 top colleges in free speech rankings by the Foundation for Individual Rights and Expression and "College Pulse," after ranking at 69 in 2024 and at 114 in 2022/2023. Research. Brown is a member of the Association of American Universities since 1933 and is classified among "R1: Doctoral Universities – Very High Research Activity". In FY 2017, Brown spent $212.3 million on research and was ranked 103rd in the United States by total R&D expenditure by National Science Foundation. In 2021 Brown's School of Public Health received the 4th most funding in NIH awards among schools of public health in the U.S. Student life. Campus safety. In 2014, Brown tied with the University of Connecticut for the highest number of reported rapes in the nation, with its "total of reports of rape" on their main campus standing at 43. However, such rankings have been criticized for failing to account for how different campus environments can encourage or discourage individuals from reporting sexual assault cases, thereby affecting the number of reported rapes. Spring weekend. Established in 1950, Spring Weekend is an annual spring music festival for students. Historical performers at the festival have included Ella Fitzgerald, Dizzy Gillespie, Ray Charles, Bob Dylan, Janis Joplin, Bruce Springsteen, and U2. More recent headliners include Kendrick Lamar, Young Thug, Daniel Caesar, Anderson .Paak, Mitski, Aminé, and Mac DeMarco. Since 1960, Spring Weekend has been organized by the student-run Brown Concert Agency. Residential and Greek societies. Approximately 12 percent of Brown students participate in Greek Life. The university recognizes thirteen active Greek organizations. Since the early 1950s, all Greek organizations on campus have been located in Wriston Quadrangle. Societies and clubs. The earliest societies at Brown were devoted to oration and debate. The Pronouncing Society is mentioned in the diary of Solomon Drowne, class of 1773, who was voted its president in 1771. The organization seems to have disappeared during the American Revolutionary War. Subsequent societies include the Misokosmian Society (est. 1798 and renamed the Philermenian Society), the Philandrian Society (est. 1799), the United Brothers (1806), the Philophysian Society (1818), and the Franklin Society (1824). Societies served social as well as academic purposes, with many supporting literary debate and amassing large libraries. Older societies generally aligned with Federalists while younger societies generally leaned Republican. Societies remained popular into the 1860s, after which they were largely replaced by fraternities. The Cammarian Club was at first a semi-secret society that "tapped" 15 seniors each year. In 1915, self-perpetuating membership gave way to popular election by the student body, and thenceforward the club served as the "de facto" undergraduate student government. The organization was dissolved in 1971 and ultimately succeeded by a formal student government. Societas Domi Pacificae, known colloquially as "Pacifica House", is a present-day, self-described secret society. It purports a continuous line of descent from the Franklin Society of 1824, citing a supposed intermediary "Franklin Society" traceable in the nineteenth century. Student organizations. There are over 300 registered student organizations on campus with diverse interests. The Student Activities Fair, during the orientation program, provides first-year students the opportunity to become acquainted with a wide range of organizations. A sample of organizations includes: LGBTQ+. In 2023, 38% of Brown's students identified as being LGBTQ+, in a poll by "The Brown Daily Herald". The 2023 LGBTQ+ self-identification level was an increase, up from 14% LGBT identification in 2010. "Bisexual" was the most common answer amongst LGBTQ+ respondents to the poll. Resource centers. Brown has several resource centers on campus. The centers often act as sources of support as well as safe spaces for students to explore certain aspects of their identity. Additionally, the centers often provide physical spaces for students to study and have meetings. Although most centers are identity-focused, some provide academic support as well. The Brown Center for Students of Color (BCSC) is a space that provides support for students of color. Established in 1972 at the demand of student protests, the BCSC encourages students to engage in critical dialogue, develop leadership skills, and promote social justice. The center houses various programs for students to share their knowledge and engage in discussion. Programs include the Third World Transition Program, the Minority Peer Counselor Program, the Heritage Series, and other student-led initiatives. Additionally, the BCSC hopes to foster community among the students it serves by providing spaces for students to meet and study. The Sarah Doyle Women's Center aims to provide a space for members of the Brown community to examine and explore issues surrounding gender. The center was named after one of the first women to attend Brown, Sarah Doyle. The center emphasizes intersectionality in its conversations on gender, encouraging people to see gender as present and relevant in various aspects of life. The center hosts programs and workshops in order to facilitate dialogue and provide resources for students, faculty, and staff. Other centers include the LGBTQ Center, the Undocumented, First-Generation College and Low-Income Student (U-FLi) Center, and the Curricular Resource Center. Activism. 1968 Black Student Walkout. On December 5, 1968, several Black women from Pembroke College initiated a walkout in protest of an atmosphere at the colleges described by Black students as a "stifling, frustrating, [and] degrading place for Black students" after feeling the colleges were non-responsive to their concerns. In total, 65 Black students participated in the walkout. Their principal demand was to increase Black student enrollment to 11% of the student populace, in an attempt to match that of the proportion in the US. This ultimately resulted in a 300% increase in Black enrollment the following year, but some demands have yet to be met. Divestment from South Africa. In the mid-1980s, under student pressure, the university divested from certain companies involved in South Africa. Some students were still unsatisfied with partial divestment and began a fast in Manning Chapel and the university disenrolled them. In April 1987, "dozens" of students interrupted a university corporation meeting, leading to 20 being put on probation. Protest of speech by NYPD Commissioner Ray Kelly. In 2013, students and Providence community members protested and disrupted a speech by then-NYPD Commissioner Raymond Kelly. The incident was cited by Greg Lukianoff, president of the Foundation for Individual Rights and Expression, as a high-profile example of a form of student protest questioning conceptions of free speech. The incident was also the subject of a short critical documentary in 2016 by Brown alumnus Rob Montz. Israel-Gaza protests. In early November 2023, twenty students of Jewish background staged a sit in at University hall, resulting in their arrests. The students were protesting the Gaza war and calling for a ceasefire, as well as for the university to divest from companies that "facilitate the 'Israeli military occupation' in Gaza." In early December 2023, forty-one more students held a sit-in with similar demands, resulting in more arrests by the university. Nineteen students participated in an eight-day hunger strike preceding a corporation meeting in early February 2024 with the demand to present their case to corporation members. Athletics. Brown is a member of the Ivy League athletic conference, which is categorized as a Division I (top-level) conference of the National Collegiate Athletic Association (NCAA). The Brown Bears has one of the largest university sports programs in the United States, sponsoring 32 varsity intercollegiate teams. Brown's athletic program is one of the "U.S. News & World Report" top 20—the "College Sports Honor Roll"—based on breadth of the program and athletes' graduation rates. Brown's newest varsity team is women's rugby, promoted from club-sport status in 2014. Brown women's rowing has won 7 national titles between 1999 and 2011. Brown men's rowing perennially finishes in the top 5 in the nation, most recently winning silver, bronze, and silver in the national championship races of 2012, 2013, and 2014. The men's and women's crews have also won championship trophies at the Henley Royal Regatta and the Henley Women's Regatta. Brown's men's soccer is consistently ranked in the top 20 and has won 18 Ivy League titles overall; recent soccer graduates play professionally in Major League Soccer and overseas. Brown football, under its most successful coach historically, Phil Estes, won Ivy League championships in 1999, 2005, and 2008. high-profile alumni of the football program include former Houston Texans head coach Bill O'Brien; former Penn State football coach Joe Paterno, Heisman Trophy namesake John W. Heisman, and Pollard Award namesake Fritz Pollard. Brown women's gymnastics won the Ivy League tournament in 2013 and 2014. The Brown women's sailing team has won 5 national championships, most recently in 2019 while the coed sailing team won 2 national championships in 1942 and 1948. Both teams are consistency ranked in the top 10 in the nation. The first intercollegiate ice hockey game in America was played between Brown and Harvard on January 19, 1898. The first university rowing regatta larger than a dual-meet was held between Brown, Harvard, and Yale at Lake Quinsigamond in Massachusetts on July 26, 1859. Brown also supports competitive intercollegiate club sports, including ultimate frisbee. The men's ultimate team, Brownian Motion, has won four national championships, in 2000, 2005, 2019 and 2024. Notable people. Alumni. Alumni in politics and government include U.S. Secretary of State John Hay (1852), U.S. Secretary of State and U.S. Attorney General Richard Olney (1856), Chief Justice of the United States and U.S. Secretary of State Charles Evans Hughes (1881), Governor of Wyoming Territory and Nebraska Governor John Milton Thayer (1841), Rhode Island Governor Augustus Bourn (1855), Louisiana Governor Bobby Jindal '92, U.S. Senator Maggie Hassan '80 of New Hampshire, Delaware Governor Jack Markell '82, Rhode Island Representative David Cicilline '83, Minnesota Representative Dean Phillips '91, 2020 Presidential candidate and entrepreneur Andrew Yang '96, DNC Chair Tom Perez '83, diplomat Richard Holbrooke '62, and career United States diplomat W. Stuart Symington '74. Prominent alumni in business and finance include philanthropist John D. Rockefeller Jr. (1897), managing director of McKinsey & Company and "father of modern management consulting" Marvin Bower '25, former Chair of the Federal Reserve and current U.S. Secretary of the Treasury Janet Yellen '67, World Bank President Jim Yong Kim '82, Bank of America CEO Brian Moynihan '81, CNN founder Ted Turner '60, IBM chairman and CEO Thomas Watson Jr. '37, co-founder of Starwood Capital Group Barry Sternlicht '82, Apple Inc. CEO John Sculley '61, Blackberry Ltd. CEO John S. Chen '78, Facebook CFO David Ebersman '91, and Uber CEO Dara Khosrowshahi '91. Companies founded by Brown alumni include CNN,"The Wall Street Journal," Searchlight Pictures, Netgear, W Hotels, Workday, Warby Parker, Casper, Figma, ZipRecruiter, and Cards Against Humanity."" Alumni in the arts and media include actors Emma Watson '14, John Krasinski '01, Daveed Diggs '04, Julie Bowen '91, Tracee Ellis Ross '94, and Jessica Capshaw '98; NPR program host Ira Glass '82; singer-composer Mary Chapin Carpenter '81; humorist and Marx Brothers screenwriter S. J. Perelman '25; novelists Nathanael West '24, Jeffrey Eugenides '83, Edwidge Danticat (MFA '93), and Marilynne Robinson '66; and composer and synthesizer pioneer Wendy Carlos '62, journalist James Risen '77; political pundit Mara Liasson; MSNBC hosts Alex Wagner '99 and Chris Hayes '01; "New York Times "publisher A. G. Sulzberger '03, and magazine editor John F. Kennedy Jr. '83. Important figures in the history of education include the father of American public school education Horace Mann (1819), civil libertarian and Amherst College president Alexander Meiklejohn, first president of the University of South Carolina Jonathan Maxcy (1787), Bates College founder Oren B. Cheney (1836), University of Michigan president (1871–1909) James Burrill Angell (1849), University of California president (1899–1919) Benjamin Ide Wheeler (1875), and Morehouse College's first African-American president John Hope (1894). Alumni in the computer sciences and industry include architect of Intel 386, 486, and Pentium microprocessors John H. Crawford '75, inventor of the first silicon transistor Gordon Kidd Teal '31, MongoDB founder Eliot Horowitz '03, Figma founder Dylan Field, and Macintosh developer Andy Hertzfeld '75. Other notable alumni include "Lafayette of the Greek Revolution" and its historian Samuel Gridley Howe (1821), NASA head during first seven Apollo missions Thomas O. Paine '42, sportscaster Chris Berman '77, Houston Texans head coach Bill O'Brien '92, 2018 Miss America Cara Mund '16, Penn State football coach Joe Paterno '50, Heisman Trophy namesake John W. Heisman '91, distinguished professor of law Cortney Lollar '97, Former SEC Commissioner Annette Nazareth ‘78, Olympic and world champion triathlete Joanna Zeiger, royals and nobles such as Prince Rahim Aga Khan, Prince Faisal bin Al Hussein of the Hashemite Kingdom of Jordan, Princess Leila Pahlavi of Iran '92, Prince Nikolaos of Greece and Denmark, Prince Nikita Romanov, Princess Theodora of Greece and Denmark, Prince Jaime of Bourbon-Parma, Duke of San Jaime and Count of Bardi, Prince Ra'ad bin Zeid, Lady Gabriella Windsor, Prince Alexander von Fürstenberg, Countess Cosima von Bülow Pavoncelli, and her half-brother Prince Alexander-Georg von Auersperg. Nobel Laureate alumni include humanitarian Jerry White '87 (Peace, 1997), biologist Craig Mello '82 (Physiology or Medicine, 2006), economist Guido Imbens (AM '89, PhD '91; Economic Sciences, 2021), and economist Douglas Diamond '75 (Economic Sciences, 2022). Faculty. Among Brown's past and present faculty are seven Nobel Laureates: Lars Onsager (Chemistry, 1968), Leon Cooper (Physics, 1972), George Snell (Physiology or Medicine, 1980), George Stigler (Economic Sciences, 1982), Henry David Abraham (Peace, 1985), Vernon L. Smith (Economic Sciences, 2002), and J. Michael Kosterlitz (Physics, 2016). Notable past and present faculty include biologists Anne Fausto-Sterling (Ph.D. 1970) and Kenneth R. Miller (Sc.B. 1970); computer scientists Robert Sedgewick and Andries van Dam; economists Hyman Minsky, Glenn Loury, George Stigler, Mark Blyth, and Emily Oster; historians Gordon S. Wood and Joan Wallach Scott; mathematicians David Gale, David Mumford, Mary Cartwright, and Solomon Lefschetz; physicists Sylvester James Gates and Gerald Guralnik. Faculty in literature include Chinua Achebe, Ama Ata Aidoo, Julio Ortega, and Carlos Fuentes. Among Brown's faculty and fellows in political science, and public affairs are the former prime minister of Italy and former EU chief, Romano Prodi; former president of Brazil, Fernando Cardoso; former president of Chile, Ricardo Lagos; and son of Soviet Premier Nikita Khrushchev, Sergei Khrushchev. Other faculty include philosopher Martha Nussbaum, author Ibram X. Kendi, and public health doctor Ashish Jha. In popular culture. Mentions of Brown in fiction and popular culture include the following. "Family Guy" character Brian Griffin is a Brown alumnus. "The O.C."s main character Seth Cohen is denied acceptance to Brown while his girlfriend Summer Roberts is accepted.
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Bill Atkinson
William Dana Atkinson (March 17, 1951 – June 5, 2025) was an American computer engineer, computer programmer and photographer. Atkinson worked at Apple Computer from 1978 to 1990. Some of Atkinson's noteworthy contributions to the field of computing include Macintosh QuickDraw and Lisa LisaGraf (Atkinson independently discovered the midpoint circle algorithm for fast drawing of circles by using the sum of consecutive odd numbers), marching ants, the menu bar, the selection lasso, MacPaint (FatBits), HyperCard, Atkinson dithering, and the PhotoCard application program. Early life and education. Atkinson was born in Ottumwa, Iowa, on March 17, 1951. He grew up in Los Gatos, California, the third child of seven born to anesthesiologist John Atkinson and obstetrician Ethel Dana Atkinson. He had two brothers and four sisters. He received his undergraduate degree from the University of California, San Diego, where Jef Raskin, who would go on to develop the Apple Macintosh, was one of his professors. Atkinson continued his studies as a graduate student in neurochemistry at the University of Washington. Apple. Raskin invited Atkinson to visit him at Apple Computer; Steve Jobs persuaded him to join the company immediately as employee No. 51, and Atkinson never finished his PhD. Atkinson was the principal designer and developer of the graphical user interface (GUI) of the Apple Lisa and, later, one of the first thirty members of the original Apple Macintosh development team, and was the creator of the MacPaint application. He also designed and implemented QuickDraw, the fundamental toolbox that the Lisa and Macintosh used for graphics. QuickDraw's performance was essential for the success of the Macintosh GUI. He also was one of the main designers of the Lisa and Macintosh user interfaces. Atkinson also conceived, designed and implemented HyperCard, an early and influential hypermedia system. HyperCard put the power of computer programming and database design into the hands of non-programmers. In 1994, Atkinson received the EFF Pioneer Award for his contributions. Career after Apple. In 1990, Atkinson and two others co-founded Apple spin-off General Magic. "Byte" magazine wrote: The obstacles to General Magic's success may appear daunting, but General Magic is not your typical start-up company. Its partners include some of the biggest players in the worlds of computing, communications, and consumer electronics, and it's loaded with top-notch engineers who have been given a clean slate to reinvent traditional approaches to ubiquitous worldwide communications. In 2007, Atkinson began working as an outside developer with Numenta, a startup working on computer intelligence. On his work there Atkinson said, "what Numenta is doing is more fundamentally important to society than the personal computer and the rise of the Internet." Photography. Atkinson later worked as a nature photographer, focusing on close-up photographs of stones that had been cut and polished. His 2004 book "Within the Stone" features a collection of his close-up photographs. The detailed images he created were made possible by the accuracy and creative control of the digital printing process that he helped create. He developed a mobile app called PhotoCard that would allow users to take digital images and make postcards with personal messages that could then be printed and sent via postal service or over email. Personal life and death. Atkinson was married three times and had two daughters, a stepson, and a stepdaughter. He died from pancreatic cancer in Portola Valley, California, on June 5, 2025, at the age of 74. In popular culture. Actor Nelson Franklin portrayed him in the 2013 film "Jobs" that covered the early days of Apple under Steve Jobs. The film had drawn criticism for its take on the environment at the company. Atkinson's co-worker Bill Fernandez did not see the film, saying "It seems to me that there’s a lot of fan fiction about Apple Computer and about Steve Jobs, and I think that this is the biggest, flashiest piece of fan fiction that there’s been to date."
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Battle of Lostwithiel
The Battle of Lostwithiel took place over a 13-day period from 21 August to 2 September 1644, around the town of Lostwithiel and along the River Fowey valley in Cornwall during the First English Civil War. A Royalist army led by Charles I of England defeated a Parliamentarian force commanded by the Earl of Essex. Although Essex and most of the cavalry escaped, between 5,000 and 6,000 Parliamentarian infantry were forced to surrender. Since the Royalists were unable to feed so many, they were given a pass back to their own territory, arriving in Southampton a month later having lost nearly half their number to disease and desertion. Considered one of the worst defeats suffered by Parliament over the course of the Wars of the Three Kingdoms, it secured South West England for the Royalists until early 1646. Background. During April and May 1644, Parliamentarian commanders Sir William Waller and the Earl of Essex combined their armies and carried out a campaign against King Charles and the Royalist garrisons surrounding Oxford. Trusting Waller to deal with the King in Oxfordshire, Essex divided the Parliamentarian army on 6 June and headed southwest to relieve the Royalist siege of Lyme in Dorset. Lyme had been under siege by King Charles' nephew, Prince Maurice, and the Royalists for nearly two months. South-West England at that time was largely under the control of the Royalists. The town of Lyme, however, was a Parliamentarian stronghold and served as an important seaport for the Parliamentarian fleet of the Earl of Warwick. As Essex approached Lyme in mid-June Prince Maurice ended the siege and took his troops west to Exeter. Essex then proceeded further southwest toward Cornwall with the intent to relieve the siege of Plymouth. Plymouth was the only other significant Parliamentarian stronghold in the South-West and it was under siege by Richard Grenville and Cornish Royalists. Essex had been told by Lord Robartes, a wealthy politician and merchant from Cornwall, that the Parliamentarians would gain considerable military support if he moved against Grenville and freed Plymouth. Given Lord Robartes' advice, Essex advanced toward Plymouth. His action caused Grenville to end the siege. Essex then advanced further west, believing that he could take full control of the South-West from the Royalists. Meanwhile, in Oxfordshire, King Charles battled with the Parliamentarians and defeated Sir William Waller at the Battle of Cropredy Bridge on 29 June. On 12 July after a Royalist council of war recommended that Essex be dealt with before he could be reinforced, King Charles and his Oxford army departed Evesham. King Charles accepted the council's advice, not solely because it was good strategy, but more so because his Queen was in Exeter, where she had recently given birth to the Princess Henrietta and had been denied safe conduct to Bath by Essex. Trapped in Cornwall. On 26 July, King Charles arrived in Exeter and joined his Oxford army with the Royalist forces commanded by Prince Maurice. On that same day, Essex and his Parliamentary force entered Cornwall. One week later, as Essex bivouacked with his army at Bodmin, he learned that King Charles had defeated Waller; brought his Oxford army to the South-West; and joined forces with Prince Maurice. Essex had also seen that he was not getting the military support from the people of Cornwall as Lord Robartes asserted. At that time, Essex understood that he and his army were trapped in Cornwall and his only salvation would be reinforcements or an escape through the port of Fowey by means of the Parliamentarian fleet. Essex immediately marched his troops five miles south to the small town of Lostwithiel arriving on 2 August. He immediately deployed his men in a defensive arc with detachments on the high ground to the north at Restormel Castle and the high ground to the east at Beacon Hill. Essex also sent a small contingent of foot south to secure the port of Fowey aiming to eventually evacuate his infantry by sea. At Essex's disposal was a force of 6,500 foot and 3,000 horse. Aided through intelligence provided by the people of Cornwall , King Charles followed westward, slowly and deliberately cutting off the potential escape routes that Essex might attempt to utilize. On 6 August King Charles communicated with Essex, calling for him to surrender. Stalling for several days, Essex considered the offer but ultimately refused. On 11 August, Grenville and the Cornish Royalists entered Bodmin forcing out Essex's rear-guard cavalry. Grenville then proceeded south across Respryn Bridge to meet and join forces with King Charles and Prince Maurice. It is estimated that the Royalist forces at that time were composed of 12,000 foot and 7,000 horse. Over the next two days the Royalists deployed detachments along the east side of the River Fowey to prevent a Parliamentarian escape across country. Finally the Royalists sent 200 foot with artillery south to garrison the fort at Polruan, effectively blocking the entrance to the harbour of Fowey. At about that time, Essex learned that reinforcements under the command of Sir John Middleton were turned back by the Royalists at Bridgwater in Somerset. First battle - 21–30 August 1644. At 07:00 hours on 21 August, King Charles launched his first attack on Essex and the Parliamentarians at Lostwithiel. From the north, Grenville and the Cornish Royalists attacked Restormel Castle and easily dislodged the Parliamentarians who fell back quickly. From the east, King Charles and the Oxford army captured Beacon Hill with little resistance from the Parliamentarians. Prince Maurice and his force occupied Druid Hill. Casualties were fairly low and by nightfall the fighting ended and the Royalists held the high ground on the north and east sides of Lostwithiel. For the next couple of days the two opposing forces exchanged fire only in a number of small skirmishes. On 24 August, King Charles further tightened the noose encircling the Parliamentarians when he sent Lord Goring and Sir Thomas Bassett to secure the town of St Blazey and the area to the southwest of Lostwithiel. This reduced the foraging area for the Parliamentarians and access to the coves and inlets in the vicinity of the port of Par. Essex and the Parliamentarians were now totally surrounded and boxed into a two-mile by five-mile area spanning from Lostwithiel in the north to the port of Fowey in the south. Knowing that he would not be able to fight his way out, Essex made his final plans for an escape. Since a sea evacuation of his cavalry would not be possible, Essex ordered his cavalry commander William Balfour to attempt a breakout to Plymouth. For the infantry, Essex planned to retreat south and meet Lord Warwick and the Parliamentarian fleet at Fowey. At 03:00 hours on 31 August, Balfour and 2,000 members of his cavalry executed the first step of Essex's plan when they successfully crossed the River Fowey and escaped intact without engaging the Royalist defenders. Second battle - 31 August - 2 September 1644. Early on the morning on 31 August, the Parliamentarians ransacked and looted Lostwithiel and began their withdrawal south. At 07:00 hours, the Royalists observed the actions of the Parliamentarians and immediately proceeded to attack. Grenville attacked from the north. King Charles and Prince Maurice crossed the River Fowey, joined up with Grenville, and entered Lostwithiel. Together the Royalists engaged the Parliamentarian rear-guards and quickly took possession of the town. The Royalist also sent detachments down along the east side of the River Fowey to protect against any further breakouts and to capture the town of Polruan. The Royalists then began to pursue Essex and the Parliamentarian infantry down the river valley. At the outset the Royalist pushed the Parliamentarians nearly three miles south through the hedged fields, hills and valleys. At the narrow pass near St. Veep, Philip Skippon, Essex's commander of the infantry, counter-attacked the Royalists and pushed them back several fields attempting to give Essex time to set up a line of defense further south. At 11:00 hours, the Royalist cavalry mounted a charge and won back the territory lost. There was a lull in the battle at 12:00 hours as King Charles waited for his full army to come up and reform. The fighting resumed and continued through the afternoon as the Parliamentarians tried to disengage and continue south. At 16:00 hours, the Parliamentarians tried again to counter-attack with their remaining cavalry only to be driven back by King Charles' Life Guard. About a mile north of Castle Dore, the Parliamentarians right flank began to give way. At 18:00 hours when the Parliamentarians were pushed back to Castle Dore they made their last attempt to rally only to be pushed back and surrounded. About that time the fighting ended with the Royalists satisfied in their accomplishments of the day. Exhausted and discouraged, the Parliamentarians hunkered down for the night. Later that evening under the darkness of night, Essex and his command staff stole away to the seashore where they used a fishing boat to flee to Plymouth, leaving Skippon in command. Early on 1 September, Skippon met with his officers to inform them about Essex's escape and to discuss alternatives. It was decided that they would approach King Charles and seek terms. Concerned that Parliamentarian reinforcements might be on their way, the King quickly agreed on 2 September to generous terms. The battle was over. Six thousand Parliamentarians were taken as prisoners. Their weapons were taken away and they were marched to Southampton. They suffered the wrath of the Cornish people in route and as many as 3,000 died of exposure and disease along the way. Those that survived the journey were, however, eventually set free. Total casualties associated with the battle were extremely high especially when considering those who died on the march back to Southampton. To those numbers as many as 700 Parliamentarians are estimated to have been killed or wounded during the fighting in Cornwall along with an estimated 500 Royalists. Aftermath. The Battle of Lostwithiel was a great victory for King Charles and the greatest loss that the Parliamentarians would suffer in the First English Civil War. For King Charles the victory secured the South-West for the remainder of the war and mitigated criticism for a while against the Royalist war effort. For the Parliamentarians, the defeat resulted in recriminations with Middleton ultimately being blamed for his failure to break through with reinforcements. The Parliamentarian failure at Lostwithiel along with the failure to defeat King Charles at the Second Battle of Newbury ultimately led Parliament to adopt the Self-denying Ordinance and led to the implementation of the New Model Army.
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Bertrand Russell
Bertrand Arthur William Russell, 3rd Earl Russell, (18 May 1872 – 2 February 1970) was a British philosopher, logician, mathematician, and public intellectual. He had influence on mathematics, logic, set theory, and various areas of analytic philosophy. He was one of the early 20th century's prominent logicians and a founder of analytic philosophy, along with his predecessor Gottlob Frege, his friend and colleague G. E. Moore, and his student and protégé Ludwig Wittgenstein. Russell with Moore led the British "revolt against idealism". Together with his former teacher A. N. Whitehead, Russell wrote "Principia Mathematica", a milestone in the development of classical logic and a major attempt to reduce the whole of mathematics to logic (see logicism). Russell's article "On Denoting" has been considered a "paradigm of philosophy". Russell was a pacifist who championed anti-imperialism and chaired the India League. He went to prison for his pacifism during World War I, and initially supported appeasement against Adolf Hitler's Nazi Germany, before changing his view in 1943, describing war as a necessary "lesser of two evils". In the wake of World War II, he welcomed American global hegemony in preference to either Soviet hegemony or no (or ineffective) world leadership, even if it were to come at the cost of using their nuclear weapons. He would later criticise Stalinist totalitarianism, condemn the United States' involvement in the Vietnam War, and become an outspoken proponent of nuclear disarmament. In 1950, Russell was awarded the Nobel Prize in Literature "in recognition of his varied and significant writings in which he champions humanitarian ideals and freedom of thought". He was also the recipient of the De Morgan Medal (1932), Sylvester Medal (1934), Kalinga Prize (1957), and Jerusalem Prize (1963). Biography. Early life and background. Bertrand Arthur William Russell was born at Ravenscroft, a country house in Trellech, Monmouthshire, on 18 May 1872, into an influential and liberal family of the British aristocracy. His parents were Viscount and Viscountess Amberley. Lord Amberley consented to his wife's affair with their children's tutor, the biologist Douglas Spalding. Both were early advocates of birth control at a time when this was considered scandalous. Lord Amberley, a deist, asked the philosopher John Stuart Mill to act as Russell's secular godfather. Mill died the year after Russell's birth, but his writings later influenced Russell's life. Russell's paternal grandfather, Lord John Russell, later 1st Earl Russell (1792–1878), had twice been Prime Minister of the United Kingdom in the 1840s and 1860s. A member of Parliament since the early 1810s, he met with Napoleon Bonaparte in Elba. The Russells had been prominent in England for several centuries before this, coming to power and the peerage with the rise of the Tudor dynasty (see: Duke of Bedford). They established themselves as one of the leading Whig families and participated in political events from the dissolution of the monasteries in 1536–1540 to the Glorious Revolution in 1688–1689 and the Great Reform Act in 1832. Lady Amberley was the daughter of Lord and Lady Stanley of Alderley. Russell often feared the ridicule of his maternal grandmother, one of the campaigners for education of women. Childhood and adolescence. Russell had two siblings: brother Frank (seven years older), and sister Rachel (four years older). In June 1874, Russell's mother died of diphtheria, followed shortly by Rachel's death. In January 1876, his father died of bronchitis after a long period of depression. Frank and Bertrand were placed in the care of Victorian paternal grandparents, who lived at Pembroke Lodge in Richmond Park. His grandfather, former Prime Minister Earl Russell, died in 1878, and was remembered by Russell as a kind old man in a wheelchair. His grandmother, the Countess Russell (née Lady Frances Elliot), was the central family figure for the rest of Russell's childhood and youth. The Countess was from a Scottish Presbyterian family and petitioned the Court of Chancery to set aside a provision in Amberley's will requiring the children to be raised as agnostics. Despite her religious conservatism, she held progressive views in other areas (accepting Darwinism and supporting Irish Home Rule), and her influence on Bertrand Russell's outlook on social justice and standing up for principle remained with him throughout his life. Her favourite Bible verse, "Thou shalt not follow a multitude to do evil", became his motto. The atmosphere at Pembroke Lodge was one of frequent prayer, emotional repression and formality; Frank reacted to this with open rebellion, but the young Bertrand learned to hide his feelings. Russell's adolescence was lonely and he contemplated suicide. He remarked in his autobiography that his interests in "nature and books and (later) mathematics saved me from complete despondency;" only his wish to know more mathematics kept him from suicide. He was educated at home by a series of tutors. When Russell was eleven years old, his brother Frank introduced him to the work of Euclid, which he described in his autobiography as "one of the great events of my life, as dazzling as first love". During these formative years, he also discovered the works of Percy Bysshe Shelley. Russell wrote: "I spent all my spare time reading him, and learning him by heart, knowing no one to whom I could speak of what I thought or felt, I used to reflect how wonderful it would have been to know Shelley, and to wonder whether I should meet any live human being with whom I should feel so much sympathy." Russell claimed that beginning at age 15, he spent considerable time thinking about the validity of Christian religious dogma, which he found unconvincing. At this age, he came to the conclusion that there is no free will and, two years later, that there is no life after death. Finally, at the age of 18, after reading Mill's "Autobiography", he abandoned the "First Cause" argument and became an atheist. He travelled to the continent in 1890 with an American friend, Edward FitzGerald, and with FitzGerald's family he visited the Paris Exhibition of 1889 and climbed the Eiffel Tower soon after it was completed. Education. Russell won a scholarship to read for the Mathematical Tripos at Trinity College, Cambridge, and began his studies there in 1890, taking as coach Robert Rumsey Webb. He became acquainted with the younger George Edward Moore and came under the influence of Alfred North Whitehead, who recommended him to the Cambridge Apostles. He distinguished himself in mathematics and philosophy, graduating as seventh Wrangler in the former in 1893 and becoming a Fellow in the latter in 1895. Early career. Russell began his published work in 1896 with "German Social Democracy", a study in politics that was an early indication of his interest in political and social theory. In 1896 he taught German social democracy at the London School of Economics. He was a member of the Coefficients dining club of social reformers set up in 1902 by the Fabian campaigners Sidney and Beatrice Webb. He now started a study of the foundations of mathematics at Trinity. In 1897, he wrote "An Essay on the Foundations of Geometry" (submitted at the Fellowship Examination of Trinity College) which discussed the Cayley–Klein metrics used for non-Euclidean geometry. He attended the first International Congress of Philosophy in Paris in 1900 where he met Giuseppe Peano and Alessandro Padoa. The Italians had responded to Georg Cantor, making a science of set theory; they gave Russell their literature including the "Formulario mathematico". Russell was impressed by the precision of Peano's arguments at the Congress, read the literature upon returning to England, and came upon Russell's paradox. In 1903 he published "The Principles of Mathematics", a work on the foundations of mathematics. It advanced a thesis of logicism, that mathematics and logic are one and the same. At the age of 29, in February 1901, Russell underwent what he called a "sort of mystic illumination", after witnessing Whitehead's wife's suffering in an angina attack. "I found myself filled with semi-mystical feelings about beauty and with a desire almost as profound as that of the Buddha to find some philosophy which should make human life endurable", Russell would later recall. "At the end of those five minutes, I had become a completely different person." In 1905, he wrote the essay "On Denoting", which was published in the philosophical journal "Mind". Russell was elected a Fellow of the Royal Society (FRS) in 1908. The three-volume "Principia Mathematica", written with Whitehead, was published between 1910 and 1913. This, along with the earlier "The Principles of Mathematics", soon made Russell world-famous in his field. Russell's first political activity was as the Independent Liberal candidate in the 1907 by-election for the Wimbledon constituency, where he was not elected. In 1910, he became a lecturer at the University of Cambridge, Trinity College, where he had studied. He was considered for a fellowship, which would give him a vote in the college government and protect him from being fired for his opinions, but was passed over because he was "anti-clerical", because he was agnostic. He was approached by the Austrian engineering student Ludwig Wittgenstein, who started undergraduate study with him. Russell viewed Wittgenstein as a successor who would continue his work on logic. He spent hours dealing with Wittgenstein's various phobias and his bouts of despair. This was a drain on Russell's energy, but Russell continued to be fascinated by him and encouraged his academic development, including the publication of Wittgenstein's "Tractatus Logico-Philosophicus" in 1922. Russell delivered his lectures on logical atomism, his version of these ideas, in 1918, before the end of World War I. Wittgenstein was, at that time, serving in the Austrian Army and subsequently spent nine months in an Italian prisoner of war camp at the end of the conflict. First World War. During World War I, Russell was one of the few people to engage in active pacifist activities. In 1916, due to his absence of allegiance to the war effort, he was dismissed from Trinity College following his conviction under the Defence of the Realm Act 1914. He later described this, in "Free Thought and Official Propaganda", as an illegitimate means the state used to violate freedom of expression. Russell championed the case of Eric Chappelow, a poet jailed and abused as a conscientious objector. Russell played a part in the "Leeds Convention" in June 1917, a historic event which saw well over a thousand "anti-war socialists" gather; many being delegates from the Independent Labour Party and the Socialist Party, united in their pacifist beliefs and advocating a peace settlement. The international press reported that Russell appeared with a number of Labour Members of Parliament (MPs), including Ramsay MacDonald and Philip Snowden, as well as former Liberal MP and anti-conscription campaigner, Professor Arnold Lupton. After the event, Russell told Lady Ottoline Morrell that, "to my surprise, when I got up to speak, I was given the greatest ovation that was possible to give anybody". His conviction in 1916 resulted in Russell being fined £100 (), which he refused to pay in the hope that he would be sent to prison, but his books were sold at auction to raise the money. The books were bought by friends; he later treasured his copy of the King James Bible that was stamped "Confiscated by Cambridge Police". A later conviction for publicly lecturing against inviting the United States to enter the war on the United Kingdom's side resulted in six months' imprisonment in Brixton Prison (see "Bertrand Russell's political views") in 1918 (he was prosecuted under the Defence of the Realm Act) He later said of his imprisonment: While he was reading Strachey's "Eminent Victorians" chapter about Gordon he laughed out loud in his cell prompting the warder to intervene and reminding him that "prison was a place of punishment". Russell was reinstated to Trinity in 1919, resigned in 1920, was Tarner Lecturer in 1926 and became a Fellow again in 1944 until 1949. In 1924, Russell again gained press attention when attending a "banquet" in the House of Commons with well-known campaigners, including Arnold Lupton, who had been an MP and had also endured imprisonment for "passive resistance to military or naval service". G. H. Hardy on the Trinity controversy. In 1941, G. H. Hardy wrote a 61-page pamphlet titled "Bertrand Russell and Trinity" (published later as a book by Cambridge University Press with a foreword by C. D. Broad) in which he gave an authoritative account of Russell's 1916 dismissal from Trinity College, explaining that a reconciliation between the college and Russell had later taken place and gave details about Russell's personal life. Hardy writes that Russell's dismissal had created a scandal since the vast majority of the Fellows of the College opposed the decision. The ensuing pressure from the Fellows induced the Council to reinstate Russell. In January 1920, it was announced that Russell had accepted the reinstatement offer from Trinity and would begin lecturing in October. In July 1920, Russell applied for a one-year leave of absence; this was approved. He spent the year giving lectures in China and Japan. In January 1921, it was announced by Trinity that Russell had resigned and his resignation had been accepted. This resignation, Hardy explains, was voluntary and was not the result of another altercation. The reason for the resignation, according to Hardy, was that Russell was going through a tumultuous time in his personal life with a divorce and subsequent remarriage. Russell contemplated asking Trinity for another one-year leave of absence but decided against it since this would have been an "unusual application" and the situation had the potential to snowball into another controversy. Although Russell did the right thing, in Hardy's opinion, the reputation of the College suffered with Russell's resignation since the 'world of learning' knew about Russell's altercation with Trinity but not that the rift had healed. In 1925, Russell was asked by the Council of Trinity College to give the "Tarner Lectures" on the Philosophy of the Sciences; these would later be the basis for one of Russell's best-received books according to Hardy: "The Analysis of Matter", published in 1927. In the preface to the Trinity pamphlet, Hardy wrote: Between the wars. In August 1920, Russell travelled to Soviet Russia as part of an official delegation sent by the British government to investigate the effects of the Russian Revolution. He wrote a four-part series of articles, titled "Soviet Russia—1920", for the magazine "The Nation". He met Vladimir Lenin and had an hour-long conversation with him. In his autobiography, he mentions that he found Lenin disappointing, sensing an "impish cruelty" in him and comparing him to "an opinionated professor". He cruised down the Volga on a steamship. His experiences destroyed his previous tentative support for the revolution. He subsequently wrote a book, "The Practice and Theory of Bolshevism", about his experiences on this trip, taken with a group of 24 others from the UK, all of whom came home thinking well of the Soviet regime, despite Russell's attempts to change their minds. For example, he told them that he had heard shots fired in the middle of the night and was sure that these were clandestine executions, but the others maintained that it was only cars backfiring. Russell's lover Dora Black, a British author, feminist and socialist campaigner, visited Soviet Russia independently at the same time; in contrast to his reaction, she was enthusiastic about the Bolshevik revolution. The following year, Russell, accompanied by Dora, visited Peking (as Beijing was then known outside of China) to lecture on philosophy for a year. He went with optimism and hope, seeing China as then being on a new path. Other scholars present in China at the time included John Dewey and Rabindranath Tagore, the Indian Nobel-laureate poet. Before leaving China, Russell became gravely ill with pneumonia, and incorrect reports of his death were published in the Japanese press. When the couple visited Japan on their return journey, Dora took on the role of spurning the local press by handing out notices reading "Mr. Bertrand Russell, having died according to the Japanese press, is unable to give interviews to Japanese journalists". Apparently they found this harsh and reacted resentfully. Russell supported his family during this time by writing popular books explaining matters of physics, ethics, and education to the layman. From 1922 to 1927 the Russells divided their time between London and Cornwall, spending summers in Porthcurno. In the 1922 and 1923 general elections Russell stood as a Labour Party candidate in the Chelsea constituency, but only on the basis that he knew he was unlikely to be elected in such a safe Conservative seat, and he was unsuccessful on both occasions. After the birth of his two children, he became interested in education, especially early childhood education. He was not satisfied with the old traditional education and thought that progressive education also had some flaws; as a result, together with Dora, Russell founded the experimental Beacon Hill School in 1927. The school was run from a succession of different locations, including its original premises at the Russells' residence, Telegraph House, near Harting, West Sussex. During this time, he published "On Education, Especially in Early Childhood". On 8 July 1930, Dora gave birth to her third child Harriet Ruth. After he left the school in 1932, Dora continued it until 1943. In 1927 Russell met Barry Fox (later Barry Stevens), who became a known Gestalt therapist and writer in later years. They developed an intense relationship, and in Fox's words: "...for three years we were very close." Fox sent her daughter Judith to Beacon Hill School. From 1927 to 1932 Russell wrote 34 letters to Fox. Upon the death of his elder brother Frank, in 1931, Russell became the 3rd Earl Russell. Russell's marriage to Dora grew tenuous, and it reached a breaking point over her having two children with an American journalist, Griffin Barry. They separated in 1932 and finally divorced. On 18 January 1936, Russell married his third wife, an Oxford undergraduate named Patricia ("Peter") Spence, who had been his children's governess since 1930. Russell and Peter had one son, Conrad Sebastian Robert Russell, 5th Earl Russell, who became a historian and one of the leading figures in the Liberal Democrat party. Russell returned in 1937 to the London School of Economics to lecture on the science of power. During the 1930s, Russell became a friend and collaborator of V. K. Krishna Menon, then President of the India League, the foremost lobby in the United Kingdom for Indian independence. Russell chaired the India League from 1932 to 1939. Second World War. Russell's political views changed over time, mostly about war. He opposed rearmament against Nazi Germany. In 1937, he wrote in a personal letter: "If the Germans succeed in sending an invading army to England we should do best to treat them as visitors, give them quarters and invite the commander and chief to dine with the prime minister." In 1940, he changed his appeasement view that avoiding a full-scale world war was more important than defeating Hitler. He concluded that Adolf Hitler taking over all of Europe would be a permanent threat to democracy. In 1943, he adopted a stance toward large-scale warfare called "relative political pacifism": "War was always a great evil, but in some particularly extreme circumstances, it may be the lesser of two evils." Before World War II, Russell taught at the University of Chicago, later moving on to Los Angeles to lecture at the UCLA Department of Philosophy. He was appointed professor at the City College of New York (CCNY) in 1940, but after a public outcry the appointment was annulled by a court judgment that pronounced him "morally unfit" to teach at the college because of his opinions, especially those relating to sexual morality, detailed in "Marriage and Morals" (1929). The matter was taken to the New York Supreme Court by Jean Kay who was afraid that her daughter would be harmed by the appointment, though her daughter was not a student at CCNY. Many intellectuals, led by John Dewey, protested at his treatment. Albert Einstein's oft-quoted aphorism that "great spirits have always encountered violent opposition from mediocre minds" originated in his open letter, dated 19 March 1940, to Morris Raphael Cohen, a professor emeritus at CCNY, supporting Russell's appointment. Dewey and Horace M. Kallen edited a collection of articles on the CCNY affair in "The Bertrand Russell Case". Russell soon joined the Barnes Foundation, lecturing to a varied audience on the history of philosophy; these lectures formed the basis of "A History of Western Philosophy". His relationship with the eccentric Albert C. Barnes soon soured, and he returned to the UK in 1944 to rejoin the faculty of Trinity College. Later life. Russell participated in many broadcasts over the BBC, particularly "The Brains Trust" and for the Third Programme, on various topical and philosophical subjects. By this time Russell was known outside academic circles, frequently the subject or author of magazine and newspaper articles, and was called upon to offer opinions on a variety of subjects, even mundane ones. En route to one of his lectures in Trondheim, Russell was one of 24 survivors (out of 43 passengers) of an aeroplane crash in Hommelvik in October 1948. He said he owed his life to smoking since the people who drowned were in the non-smoking part of the plane. "A History of Western Philosophy" (1945) became a best-seller and provided Russell with a steady income for the remainder of his life. In 1942, Russell argued in favour of a moderate socialism, capable of overcoming its metaphysical principles. In an inquiry on dialectical materialism, launched by the Austrian artist and philosopher Wolfgang Paalen in his journal "DYN", Russell said: "I think the metaphysics of both Hegel and Marx plain nonsense—Marx's claim to be 'science' is no more justified than Mary Baker Eddy's. This does not mean that I am opposed to socialism." In 1943, Russell expressed support for Zionism: "I have come gradually to see that, in a dangerous and largely hostile world, it is essential to Jews to have some country which is theirs, some region where they are not suspected aliens, some state which embodies what is distinctive in their culture". In a speech in 1948, Russell said that if the USSR's aggression continued, it would be morally worse to go to war after the USSR possessed an atomic bomb than before it possessed one, because if the USSR had no bomb the West's victory would come more swiftly and with fewer casualties than if there were atomic bombs on both sides. At that time, only the United States possessed an atomic bomb, and the USSR was pursuing an aggressive policy towards the countries in Eastern Europe which were being absorbed into the Soviet Union's sphere of influence. Many understood Russell's comments to mean that Russell approved of a first strike in a war with the USSR, including Nigel Lawson, who was present when Russell spoke of such matters. Others, including Griffin, who obtained a transcript of the speech, have argued that he was explaining the usefulness of America's atomic arsenal in deterring the USSR from continuing its domination of Eastern Europe. Just after the atomic bombs exploded over Hiroshima and Nagasaki, Russell wrote letters, and published articles in newspapers from 1945 to 1948, stating clearly that it was morally justified and better to go to war against the USSR using atomic bombs while the United States possessed them and before the USSR did. In September 1949, one week after the USSR tested its first A-bomb, but before this became known, Russell wrote that the USSR would be unable to develop nuclear weapons because following Stalin's purges only science based on Marxist principles would be practised in the Soviet Union. After it became known that the USSR had carried out its nuclear bomb tests, Russell declared his position advocating the total abolition of atomic weapons. In 1948, Russell was invited by the BBC to deliver the inaugural Reith Lectures—what was to become an annual series of lectures, still broadcast by the BBC. His series of six broadcasts, titled "Authority and the Individual", explored themes such as the role of individual initiative in the development of a community and the role of state control in a progressive society. Russell continued to write about philosophy. He wrote a foreword to "Words and Things" by Ernest Gellner, which was highly critical of the later thought of Ludwig Wittgenstein and of ordinary language philosophy. Gilbert Ryle refused to have the book reviewed in the philosophical journal "Mind", which caused Russell to respond via "The Times". The result was a month-long correspondence in "The Times" between the supporters and detractors of ordinary language philosophy, which was ended when the paper published an editorial critical of both sides but agreeing with the opponents of ordinary language philosophy. In the King's Birthday Honours of 9 June 1949, Russell was awarded the Order of Merit, and the following year he was awarded the Nobel Prize in Literature. When he was given the Order of Merit, George VI was affable but embarrassed at decorating a former jailbird, saying, "You have sometimes behaved in a manner that would not do if generally adopted". Russell merely smiled, but afterwards claimed that the reply "That's right, just like your brother" immediately came to mind. In 1950, Russell attended the inaugural conference for the Congress for Cultural Freedom, a CIA-funded anti-communist organisation committed to the deployment of culture as a weapon during the Cold War. Russell was one of the known patrons of the Congress until he resigned in 1956. In 1952, Russell was divorced by Spence, with whom he had been very unhappy. Conrad, Russell's son by Spence, did not see his father between the time of the divorce and 1968 (at which time his decision to meet his father caused a permanent breach with his mother). Russell married his fourth wife, Edith Finch, soon after the divorce, on 15 December 1952. They had known each other since 1925, and Edith had taught English at Bryn Mawr College near Philadelphia, sharing a house for 20 years with Russell's old friend Lucy Donnelly. Edith remained with him until his death, and, by all accounts, their marriage was a happy, close, and loving one. Russell's eldest son John suffered from mental illness, which was the source of ongoing disputes between Russell and his former wife Dora. In 1962 Russell played a public role in the Cuban Missile Crisis: in an exchange of telegrams with Soviet leader Nikita Khrushchev, Khrushchev assured him that the Soviet government would not be reckless. Russell sent this telegram to President Kennedy: According to historian Peter Knight, after JFK's assassination, Russell, "prompted by the emerging work of the lawyer Mark Lane in the US ... rallied support from other noteworthy and left-leaning compatriots to form a 'Who Killed Kennedy committee' in June 1964, members of which included Michael Foot MP, the wife of Tony Benn MP, the publisher Victor Gollancz, the writers John Arden and J. B. Priestley, and the Oxford history professor Hugh Trevor-Roper." Russell published a highly critical article in "The Minority of One" weeks before the Warren Commission report was published, setting forth "16 Questions on the Assassination." Russell equated the Oswald case with the Dreyfus affair of late 19th-century France, in which the state convicted an innocent man. Russell also criticised the American press for failing to heed any voices critical of the official version. Political causes. Bertrand Russell was opposed to war from a young age; his opposition to World War I was used as grounds for his dismissal from Trinity College at Cambridge. This incident fused two of his controversial causes, as he had failed to be granted fellow status which would have protected him from firing, because he was not willing to either pretend to be a devout Christian, or at least avoid admitting he was agnostic. He later described the resolution of these issues as essential to freedom of thought and expression, citing the incident in Free Thought and Official Propaganda, where he explained that the expression of any idea, even the most obviously "bad", must be protected not only from direct State intervention but also economic leveraging and other means of being silenced: Russell spent the 1950s and 1960s engaged in political causes primarily related to nuclear disarmament and opposing the Vietnam War. The 1955 Russell–Einstein Manifesto was a document calling for nuclear disarmament and was signed by eleven of the most prominent nuclear physicists and intellectuals of the time. In October 1960 "The Committee of 100" was formed with a declaration by Russell and Michael Scott, entitled "Act or Perish", which called for a "movement of nonviolent resistance to nuclear war and weapons of mass destruction". In September 1961, at the age of 89, Russell was jailed for seven days in Brixton Prison for a "breach of the peace" after taking part in an anti-nuclear demonstration in London. The magistrate offered to exempt him from jail if he pledged himself to "good behaviour", to which Russell replied: "No, I won't." From 1966 to 1967, Russell worked with Jean-Paul Sartre and many other intellectual figures to form the Russell Vietnam War Crimes Tribunal to investigate the conduct of the United States in Vietnam. He wrote many letters to world leaders during this period. Early in his life, Russell supported eugenicist policies. In 1894, he proposed that the state issue certificates of health to prospective parents and withhold public benefits from those considered unfit. In 1929, he wrote that people deemed "mentally defective" and "feebleminded" should be sexually sterilised because they "are apt to have enormous numbers of illegitimate children, all, as a rule, wholly useless to the community." Russell was also an advocate of population control: On 20 November 1948, in a public speech at Westminster School, addressing a gathering arranged by the New Commonwealth, Russell shocked some observers by suggesting that a preemptive nuclear strike on the Soviet Union was justified. Russell argued that war between the United States and the Soviet Union seemed inevitable, so it would be a humanitarian gesture to get it over with quickly and have the United States in the dominant position. Currently, Russell argued, humanity could survive such a war, whereas a full nuclear war after both sides had manufactured large stockpiles of more destructive weapons was likely to result in the extinction of the human race. Russell later relented from this stance, instead arguing for mutual disarmament by the nuclear powers. In 1956, before and during the Suez Crisis, Russell expressed his opposition to European imperialism in the Middle East. He viewed the crisis as another reminder of the pressing need for an effective mechanism for international governance, and to restrict national sovereignty in places such as the Suez Canal area "where general interest is involved". At the same time the Suez Crisis was taking place, the world was also captivated by the Hungarian Revolution and the subsequent crushing of the revolt by intervening Soviet forces. Russell attracted criticism for speaking out fervently against the Suez war while ignoring Soviet repression in Hungary, to which he responded that he did not criticise the Soviets "because there was no need. Most of the so-called Western World was fulminating". Although he later feigned a lack of concern, at the time he was disgusted by the brutal Soviet response, and on 16 November 1956, he expressed approval for a declaration of support for Hungarian scholars which Michael Polanyi had cabled to the Soviet embassy in London twelve days previously, shortly after Soviet troops had entered Budapest. In November 1957 Russell wrote an article addressing US President Dwight D. Eisenhower and Soviet Premier Nikita Khrushchev, urging a summit to consider "the conditions of co-existence". Khrushchev responded that peace could be served by such a meeting. In January 1958 Russell elaborated his views in "The Observer", proposing a cessation of all nuclear weapons production, with the UK taking the first step by unilaterally suspending its own nuclear weapons programme if necessary, and with Germany "freed from all alien armed forces and pledged to neutrality in any conflict between East and West". US Secretary of State John Foster Dulles replied for Eisenhower. The exchange of letters was published as "The Vital Letters of Russell, Khrushchev, and Dulles". Russell was asked by "The New Republic", a liberal American magazine, to elaborate his views on world peace. He urged that all nuclear weapons testing and flights by planes armed with nuclear weapons be halted immediately, and negotiations be opened for the destruction of all hydrogen bombs, with the number of conventional nuclear devices limited to ensure a balance of power. He proposed that Germany be reunified and accept the Oder-Neisse line as its border, and that a neutral zone be established in Central Europe, consisting at the minimum of Germany, Poland, Hungary, and Czechoslovakia, with each of these countries being free of foreign troops and influence, and prohibited from forming alliances with countries outside the zone. In the Middle East, Russell suggested that the West avoid opposing Arab nationalism, and proposed the creation of a United Nations peacekeeping force to guard Israel's frontiers to ensure that Israel was prevented from committing aggression and protected from it. He also suggested Western recognition of the People's Republic of China, and that it be admitted to the UN with a permanent seat on the UN Security Council. He was in contact with Lionel Rogosin while the latter was filming his anti-war film "Good Times, Wonderful Times" in the 1960s. He became a hero to many of the youthful members of the New Left. In early 1963, Russell became increasingly vocal in his disapproval of the Vietnam War, and felt that the US government's policies there were near-genocidal. In 1963, he became the inaugural recipient of the Jerusalem Prize, an award for writers concerned with the freedom of the individual in society. In 1964, he was one of eleven world figures who issued an appeal to Israel and the Arab countries to accept an arms embargo and international supervision of nuclear plants and rocket weaponry. In October 1965, he tore up his Labour Party card because he suspected Harold Wilson's Labour government was going to send troops to support the United States in Vietnam. Final years, death and legacy. In June 1955, Russell had leased Plas Penrhyn in Penrhyndeudraeth, Merionethshire, Wales and on 5 July of the following year it became his and Edith's principal residence. Russell published his three-volume autobiography in 1967, 1968, and 1969. He made a cameo appearance playing himself in the anti-war Hindi film "Aman", by Mohan Kumar, which was released in India in 1967. This was Russell's only appearance in a feature film. On 23 November 1969, he wrote to "The Times" newspaper saying that the preparation for show trials in Czechoslovakia was "highly alarming". The same month, he appealed to Secretary General U Thant of the United Nations to support an international war crimes commission to investigate alleged torture and genocide by the United States in South Vietnam during the Vietnam War. The following month, he protested to Alexei Kosygin over the expulsion of Aleksandr Solzhenitsyn from the Soviet Union of Writers. On 31 January 1970, Russell issued a statement condemning "Israel's aggression in the Middle East", and in particular, Israeli bombing raids being carried out deep in Egyptian territory as part of the War of Attrition, which he compared to German bombing raids in the Battle of Britain and the US bombing of Vietnam. He called for an Israeli withdrawal to the pre-Six-Day War borders, stating "The aggression committed by Israel must be condemned, not only because no state has the right to annexe foreign territory, but because every expansion is an experiment to discover how much more aggression the world will tolerate." This was Russell's final political statement or act. It was read out at the International Conference of Parliamentarians in Cairo on 3 February 1970, the day after his death. Russell died of influenza, just after 8 pm on 2 February 1970 at his home in Penrhyndeudraeth, aged 97. His body was cremated in Colwyn Bay on 5 February 1970 with five people present. In accordance with his will, there was no religious ceremony but one minute's silence; his ashes were later scattered over the Welsh mountains. Although he was born in Monmouthshire, and died in Penrhyndeudraeth in Wales, Russell identified as English. Later in 1970, on 23 October, his will was published showing he had left an estate valued at £69,423 (equivalent to £ million in ). In 1980, a memorial to Russell was commissioned by a committee including the philosopher A. J. Ayer. It consists of a bust of Russell in Red Lion Square in London sculpted by Marcelle Quinton. Lady Katharine Jane Tait, Russell's daughter, founded the Bertrand Russell Society in 1974 to preserve and understand his work. It publishes the "Bertrand Russell Society Bulletin", holds meetings and awards prizes for scholarship, including the Bertrand Russell Society Award. She also authored several essays about her father; as well as a book, "My Father, Bertrand Russell", which was published in 1975. All members receive "Russell: The Journal of Bertrand Russell Studies". For the sesquicentennial of his birth, in May 2022, McMaster University's Bertrand Russell Archive, the university's largest and most heavily used research collection, organised both a physical and virtual exhibition on Russell's anti-nuclear stance in the post-war era, "Scientists" "for Peace: the Russell-Einstein Manifesto and the Pugwash Conference", which included the earliest version of the Russell–Einstein Manifesto. The Bertrand Russell Peace Foundation held a commemoration at Conway Hall in Red Lion Square, London, on 18 May, the anniversary of his birth. For its part, on the same day, "La Estrella de Panamá" published a biographical sketch by Francisco Díaz Montilla, who commented that "[if he] had to characterize Russell's work in one sentence [he] would say: criticism and rejection of dogmatism." Bangladesh's first leader, Mujibur Rahman, named his youngest son Sheikh Russel in honour of Bertrand Russell. Marriages and issue. In 1889, Russell, at 17 years of age, met the family of Alys Pearsall Smith, an American Quaker five years his senior, who was a graduate of Bryn Mawr College near Philadelphia. He became a friend of the Pearsall Smith family. They knew him as "Lord John's grandson" and enjoyed showing him off. He fell in love with Alys, and contrary to his grandmother's wishes, married her on 13 December 1894. Their marriage began to fall apart in 1901 when it occurred to Russell, while cycling, that he no longer loved her. She asked him if he loved her, and he cruelly replied that he did not. Russell also disliked Alys's mother, finding her controlling and cruel. A lengthy period of separation began in 1911 with Russell's affair with Lady Ottoline Morrell, and he and Alys finally divorced in 1921 to enable Russell to remarry. During his years of separation from Alys, Russell had affairs (often simultaneous) with a number of women, including Morrell and the actress Lady Constance Malleson. Some have suggested that at this point he had an affair with Vivienne Haigh-Wood, the English governess and writer, and first wife of T. S. Eliot. In 1921, his second marriage was to Dora Winifred Black MBE (died 1986), daughter of Sir Frederick Black. Dora was six months pregnant when the couple returned to England. This was dissolved in 1935, having produced two children: Russell's third marriage was to Patricia Helen Spence (died 2004) in 1936, with the marriage producing one child: Russell's third marriage ended in divorce in 1952. He married Edith Finch in the same year. They remained married at the time of his death in 1972, and Finch subsequently died in 1978. Titles, awards and honours. Upon his brother's death in 1931, Russell became the 3rd Earl Russell of Kingston Russell, and the subsidiary title of Viscount Amberley of Amberley and of Ardsalla. He held both titles, and the accompanying seat in the House of Lords, until his death in 1970. Views. Philosophy. Russell is credited with being one of the founders of analytic philosophy. He was impressed by Gottfried Leibniz (1646–1716), and wrote on major areas of philosophy except aesthetics. He was prolific in the fields of metaphysics, logic and the philosophy of mathematics, the philosophy of language, ethics and epistemology. When Brand Blanshard asked Russell why he did not write on aesthetics, Russell replied that he did not know anything about it, though he hastened to add "but that is not a very good excuse, for my friends tell me it has not deterred me from writing on other subjects". On ethics, Russell wrote that he was a utilitarian in his youth, yet he later distanced himself from this view. For the advancement of science and protection of liberty of expression, Russell advocated The Will to Doubt, the recognition that all human knowledge is at most a best guess, that one should always remember: Religion. Russell described himself in 1947 as an agnostic or an atheist: he found it difficult to determine which term to adopt, saying: For most of his adult life, Russell maintained religion to be little more than superstition and, despite any positive effects, largely harmful to people. He believed that religion and the religious outlook serve to impede knowledge and foster fear and dependency, and to be responsible for much of our world's wars, oppression, and misery. He was a member of the advisory council of the British Humanist Association and the president of Cardiff Humanists until his death. Society. Political and social activism occupied much of Russell's time for most of his life. Russell remained politically active almost to the end of his life, writing to and exhorting world leaders and lending his name to various causes. He was a prominent campaigner against Western intervention into the Vietnam War in the 1960s, writing essays and books, attending demonstrations, and even organising the Russell Tribunal in 1966 alongside other prominent philosophers such as Jean-Paul Sartre and Simone de Beauvoir, which fed into his 1967 book "War Crimes in Vietnam." Russell argued for a "scientific society", where war would be abolished, population growth would be limited, and prosperity would be shared. He suggested the establishment of a "single supreme world government" able to enforce peace, claiming that "the only thing that will redeem mankind is co-operation". He was one of the signatories of the agreement to convene a convention for drafting a world constitution. As a result, for the first time in human history, a World Constituent Assembly convened to draft and adopt the Constitution for the Federation of Earth. Russell also expressed support for guild socialism, and commented positively on several socialist thinkers and activists. According to Jean Bricmont and Normand Baillargeon, "Russell was both a liberal and a socialist, a combination that was perfectly comprehensible in his time, but which has become almost unthinkable today. He was a liberal in that he opposed concentrations of power in all its manifestations, military, governmental, or religious, as well as the superstitious or nationalist ideas that usually serve as its justification. But he was also a socialist, even as an extension of his liberalism, because he was equally opposed to the concentrations of power stemming from the private ownership of the major means of production, which therefore needed to be put under social control (which does not mean state control)." Russell was an active supporter of the Homosexual Law Reform Society, being one of the signatories of A. E. Dyson's 1958 letter to "The Times" calling for a change in the law regarding male homosexual practices, which were partly legalised in 1967, when Russell was still alive. He expressed sympathy and support for the Palestinian people and was critical of Israel's actions. He wrote in 1960 that, "I think it was a mistake to establish a Jewish State in Palestine, but it would be a still greater mistake to try to get rid of it now that it exists." In his final written document, read aloud in Cairo three days after his death on 31 January 1970, he condemned Israel as an aggressive imperialist power, which "wishes to consolidate with the least difficulty what it has already taken by violence. Every new conquest becomes the new basis of the proposed negotiation from strength, which ignores the injustice of the previous aggression." In regards to the Palestinian people and refugees, he wrote that, "No people anywhere in the world would accept being expelled en masse from their own country; how can anyone require the people of Palestine to accept a punishment which nobody else would tolerate? A permanent just settlement of the refugees in their homeland is an essential ingredient of any genuine settlement in the Middle East." Russell advocated for a universal basic income. In his 1918 book "Roads to Freedom", Russell wrote that "Anarchism has the advantage as regards liberty, Socialism as regards the inducement to work.  Can we not find a method of combining these two advantages? It seems to me that we can. [...] Stated in more familiar terms, the plan we are advocating amounts essentially to this: that a certain small income, sufficient for necessaries, should be secured to all, whether they work or not, and that a larger income – as much larger as might be warranted by the total amount of commodities produced – should be given to those who are willing to engage in some work which the community recognizes as useful...When education is finished, no one should be compelled to work, and those who choose not to work should receive a bare livelihood and be left completely free." In "Reflections on My Eightieth Birthday" ("Postscript" in his "Autobiography"), Russell wrote: "I have lived in the pursuit of a vision, both personal and social. Personal: to care for what is noble, for what is beautiful, for what is gentle; to allow moments of insight to give wisdom at more mundane times. Social: to see in imagination the society that is to be created, where individuals grow freely, and where hate and greed and envy die because there is nothing to nourish them. These things I believe, and the world, for all its horrors, has left me unshaken". Freedom of opinion and expression. Russell supported freedom of opinion and was an opponent of both censorship and indoctrination. In 1928, he wrote: "The fundamental argument for freedom of opinion is the doubtfulness of all our belief... when the State intervenes to ensure the indoctrination of some doctrine, it does so because there is no conclusive evidence in favour of that doctrine ... It is clear that thought is not free if the profession of certain opinions make it impossible to make a living". In 1957, he wrote: "'Free thought' means thinking freely ... to be worthy of the name freethinker he must be free of two things: the force of tradition and the tyranny of his own passions." Education. Russell has presented ideas on the possible means of control of education in case of scientific dictatorship governments, of the kind of this excerpt taken from Chapter II "General Effects of Scientific Technique" of "The Impact of Science on society": He pushed his visionary scenarios even further into details, in Chapter III "Scientific Technique in an Oligarchy" of the same book, stating as an example: Selected works. Below are selected Russell's works in English, sorted by year of first publication: Russell was the author of more than sixty books and over two thousand articles. Additionally, he wrote many pamphlets, introductions, and letters to the editor. One pamphlet titled, "'I Appeal unto Caesar': The Case of the Conscientious Objectors", ghostwritten for Margaret Hobhouse, the mother of imprisoned peace activist Stephen Hobhouse, allegedly helped secure the release from prison of hundreds of conscientious objectors. His works can be found in anthologies and collections, including "The Collected Papers of Bertrand Russell", which McMaster University began publishing in 1983. By March 2017, this collection of his shorter and previously unpublished works included 18 volumes, and several more are in progress. A bibliography in three additional volumes catalogues his publications. The Russell Archives held by McMaster's William Ready Division of Archives and Research Collections possess over 40,000 of his letters.
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Boeing 767
The Boeing 767 is an American wide-body airliner developed and manufactured by Boeing Commercial Airplanes. The aircraft was launched as the 7X7 program on July 14, 1978, the prototype first flew on September 26, 1981, and it was certified on July 30, 1982. The initial 767-200 variant entered service on September 8, 1982, with United Airlines, and the extended-range 767-200ER in 1984. It was stretched into the in October 1986, followed by the extended-range 767-300ER in 1988, the most popular variant. The 767-300F, a production freighter version, debuted in October 1995. It was stretched again into the 767-400ER from September 2000. Designed to complement the larger 747, it has a seven-abreast cross-section accommodating smaller LD2 ULD cargo containers. The 767 is Boeing's first wide-body twinjet, powered by General Electric CF6, Rolls-Royce RB211, or Pratt & Whitney JT9D turbofans. JT9D engines were eventually replaced by PW4000 engines. The aircraft has a conventional tail and a supercritical wing for reduced aerodynamic drag. Its two-crew glass cockpit, a first for a Boeing airliner, was developed jointly for the 757 − a narrow-body aircraft, allowing a common pilot type rating. Studies for a higher-capacity 767 in 1986 led Boeing to develop the larger 777 twinjet, introduced in June 1995. The 767-200 typically seats 216 passengers over 3,900 nautical miles [nmi] (7,200 km; ), while the 767-200ER seats 181 over a 6,590 nmi (12,200 km; ) range. The 767-300 typically seats 269 passengers over 3,900 nmi (7,200 km; ), while the 767-300ER seats 218 over 5,980 nmi (11,070 km; ). The 767-300F can haul over 3,225 nmi (6,025 km; ), and the 767-400ER typically seats 245 passengers over 5,625 nmi (10,415 km; ). Military derivatives include the E-767 for surveillance and the KC-767 and KC-46 aerial tankers. Initially marketed for transcontinental routes, a loosening of ETOPS rules starting in 1985 allowed the aircraft to operate transatlantic flights. A total of 742 of these aircraft were in service in July 2018, with Delta Air Lines being the largest operator with 77 aircraft in its fleet. , Boeing has received 1,430 orders from 74 customers, of which 1,335 airplanes have been delivered, while the remaining orders are for cargo or tanker variants. Competitors have included the Airbus A300, A310, and A330-200. Its successor, the 787 Dreamliner, entered service in 2011. Development. Background. In 1970, the 747 entered service as the first wide-body jetliner with a fuselage wide enough to feature a twin-aisle cabin. Two years later, the manufacturer began a development study, code-named 7X7, for a new wide-body jetliner intended to replace the 707 and other early generation narrow-body airliners. The aircraft would also provide twin-aisle seating, but in a smaller fuselage than the existing 747, McDonnell Douglas DC-10, and Lockheed L-1011 TriStar wide-bodies. To defray the high cost of development, Boeing signed risk-sharing agreements with Italian corporation Aeritalia and the Civil Transport Development Corporation (CTDC), a consortium of Japanese aerospace companies. This marked the manufacturer's first major international joint venture, and both Aeritalia and the CTDC received supply contracts in return for their early participation. The initial 7X7 was conceived as a short take-off and landing airliner intended for short-distance flights, but customers were unenthusiastic about the concept, leading to its redefinition as a mid-size, transcontinental-range airliner. At this stage the proposed aircraft featured two or three engines, with possible configurations including over-wing engines and a T-tail. By 1976, a twinjet layout, similar to the one which had debuted on the Airbus A300, became the baseline configuration. The decision to use two engines reflected increased industry confidence in the reliability and economics of new-generation jet powerplants. While airline requirements for new wide-body aircraft remained ambiguous, the 7X7 was generally focused on mid-size, high-density markets. As such, it was intended to transport large numbers of passengers between major cities. Advancements in civil aerospace technology, including high-bypass-ratio turbofan engines, new flight deck systems, aerodynamic improvements, and more efficient lightweight designs were to be applied to the 7X7. Many of these features were also included in a parallel development effort for a new mid-size narrow-body airliner, code-named 7N7, which would become the 757. Work on both proposals proceeded through the airline industry upturn in the late 1970s. In January 1978, Boeing announced a major extension of its Everett factory—which was then dedicated to manufacturing the 747—to accommodate its new wide-body family. In February 1978, the new jetliner received the 767 model designation, and three variants were planned: a with 190 seats, a with 210 seats, and a trijet 767MR/LR version with 200 seats intended for intercontinental routes. The 767MR/LR was subsequently renamed 777 for differentiation purposes. The 767 was officially launched on July 14, 1978, when United Airlines ordered 30 of the 767-200 variant, followed by 50 more 767-200 orders from American Airlines and Delta Air Lines later that year. The 767-100 was ultimately not offered for sale, as its capacity was too close to the 757's seating, while the 777 trijet was eventually dropped in favor of standardizing the twinjet configuration. Design effort. In the late 1970s, operating cost replaced capacity as the primary factor in airliner purchases. As a result, the 767's design process emphasized fuel efficiency from the outset. Boeing targeted a 20 to 30 percent cost saving over earlier aircraft, mainly through new engine and wing technology. As development progressed, engineers used computer-aided design for over a third of the 767's design drawings, and performed 26,000 hours of wind tunnel tests. Design work occurred concurrently with the 757 twinjet, leading Boeing to treat both as almost one program to reduce risk and cost. Both aircraft would ultimately receive shared design features, including avionics, flight management systems, instruments, and handling characteristics. Combined development costs were estimated at $3.5 to $4 billion. Early 767 customers were given the choice of Pratt & Whitney JT9D or General Electric CF6 turbofans, marking the first time that Boeing had offered more than one engine option at the launch of a new airliner. Both jet engine models had a maximum output of of thrust. The engines were mounted approximately one-third the length of the wing from the fuselage, similar to previous wide-body trijets. The larger wings were designed using an aft-loaded shape which reduced aerodynamic drag and distributed lift more evenly across their surface span than any of the manufacturer's previous aircraft. The wings provided higher-altitude cruise performance, added fuel capacity, and expansion room for future stretched variants. The initial 767-200 was designed for sufficient range to fly across North America or across the northern Atlantic, and would be capable of operating routes up to . The 767's fuselage width was set midway between that of the 707 and the 747 at . While it was narrower than previous wide-body designs, seven abreast seating with two aisles could be fitted, and the reduced width produced less aerodynamic drag. The fuselage was not wide enough to accommodate two standard LD3 wide-body unit load devices side-by-side, so a smaller container, the LD2, was created specifically for the 767. Using a conventional tail design also allowed the rear fuselage to be tapered over a shorter section, providing for parallel aisles along the full length of the passenger cabin, and eliminating irregular seat rows toward the rear of the aircraft. The 767 was the first Boeing wide-body to be designed with a two-crew digital glass cockpit. Cathode-ray tube (CRT) color displays and new electronics replaced the role of the flight engineer by enabling the pilot and co-pilot to monitor aircraft systems directly. Despite the promise of reduced crew costs, United Airlines initially demanded a conventional three-person cockpit, citing concerns about the risks associated with introducing a new aircraft. The carrier maintained this position until July 1981, when a US presidential task force determined that a crew of two was safe for operating wide-body jets. A three-crew cockpit remained as an option and was fitted to the first production models. Ansett Australia ordered 767s with three-crew cockpits due to union demands; it was the only airline to operate 767s so configured. The 767's two-crew cockpit was also applied to the 757, allowing pilots to operate both aircraft after a short conversion course, and adding incentive for airlines to purchase both types. Production and testing. To produce the 767, Boeing formed a network of subcontractors which included domestic suppliers and international contributions from Italy's Aeritalia and Japan's CTDC. The wings and cabin floor were produced in-house, while Aeritalia provided control surfaces, Boeing Vertol made the leading edge for the wings, and Boeing Wichita produced the forward fuselage. The CTDC provided multiple assemblies through its constituent companies, namely Fuji Heavy Industries (wing fairings and gear doors), Kawasaki Heavy Industries (center fuselage), and Mitsubishi Heavy Industries (rear fuselage, doors, and tail). Components were integrated during final assembly at the Everett factory. For expedited production of wing spars, the main structural member of aircraft wings, the Everett factory received robotic machinery to automate the process of drilling holes and inserting fasteners. This method of wing construction expanded on techniques developed for the 747. Final assembly of the first aircraft began in July 1979. The prototype aircraft, registered as N767BA and equipped with Pratt & Whitney JT9D turbofans, was rolled out on August 4, 1981. By this time, the 767 program had accumulated 173 firm orders from 17 customers, including Air Canada, All Nippon Airways, Britannia Airways, Transbrasil, and Trans World Airlines (TWA). On September 26, 1981, the prototype took its maiden flight under the command of company test pilots Tommy Edmonds, Lew Wallick, and John Brit. The maiden flight was largely uneventful, save for the inability to retract the landing gear because of a hydraulic fluid leak. The prototype was used for subsequent flight tests. The 10-month 767 flight test program utilized the first six aircraft built. The first four aircraft were equipped with JT9D engines, while the fifth and sixth were fitted with CF6 engines. The test fleet was largely used to evaluate avionics, flight systems, handling, and performance, while the sixth aircraft was used for route-proving flights. During testing, pilots described the 767 as generally easy to fly, with its maneuverability unencumbered by the bulkiness associated with larger wide-body jets. Following 1,600 hours of flight tests, the JT9D-powered 767-200 received certification from the US Federal Aviation Administration (FAA) and the UK Civil Aviation Authority (CAA) in July 1982. The first delivery occurred on August 19, 1982, to United Airlines. The CF6-powered 767-200 received certification in September 1982, followed by the first delivery to Delta Air Lines on October 25, 1982. Entry into service. The 767 entered service with United Airlines on September 8, 1982. The aircraft's first commercial flight used a JT9D-powered on the Chicago-to-Denver route. The CF6-powered 767-200 commenced service three months later with Delta Air Lines. Upon delivery, early 767s were mainly deployed on domestic routes, including US transcontinental services. American Airlines and TWA began flying the 767-200 in late 1982, while Air Canada, China Airlines, El Al, and Pacific Western began operating the aircraft in 1983. The aircraft's introduction was relatively smooth, with few operational glitches and greater dispatch reliability than prior jetliners. Exemptions from major certification rule changes. Following the 1996 in-flight explosion of TWA Flight 800, the FAA introduced new rules about flammability reduction in 2008. In 2012, Boeing requested an exemption for the 767 from new wiring separation rules that would prevent ignition sources, because design improvements it introduced fell short of meeting such rules. One of the justification by Boeing: changes to the fuel quantity indication system would require a halt of delivery by three years as production of the 767 model was expected to end shortly. FAA gave the manufacturer three years to have a compliant system while deliveries continued. In 2014, Boeing, without a new design available, asked for and received another time-limited exemption for just the 767-300 and 767-300ER until 2019 when commercial production was expected to cease. But in 2017, with continual demand for the 767-300F, Boeing asked for another exemption up to the end of 2027, well past the revised production end date. It is noted that while Boeing requested extension of the original exemption from 2016 to 2019 based upon the cost of upgrading the design and their low production rate and ending production in 2019, Boeing developed the KC-46 tanker (based on the 767) which fully compliant with the new rulings and is assembled on the same production line as the 767. Since the 2019 exemption went into effect, Boeing has increased production of the freighter to satisfy demand. Stretched derivatives. First stretch: -300/-300ER/F. Forecasting airline interest in larger-capacity models, Boeing announced the stretched in 1983 and the extended-range 767-300ER in 1984. Both models offered a 20 percent passenger capacity increase, while the extended-range version was capable of operating flights up to . Japan Airlines placed the first order for the -300 in September 1983. Following its first flight on January 30, 1986, the type entered service with Japan Airlines on October 20, 1986. The 767-300ER completed its first flight on December 9, 1986, but it was not until March 1987 that the first firm order, from American Airlines, was placed. The type entered service with American Airlines on March 3, 1988. The 767-300 and 767-300ER gained popularity after entering service, and came to account for approximately two-thirds of all 767s sold. Until the 777's 1995 debut, the 767-300 and 767-300ER remained Boeing's second-largest wide-bodies behind the 747. Buoyed by a recovering global economy and ETOPS approval, 767 sales accelerated in the mid-to-late 1980s; 1989 was the most prolific year with 132 firm orders. By the early 1990s, the wide-body twinjet had become its manufacturer's annual best-selling aircraft, despite a slight decrease due to economic recession. During this period, the 767 became the most common airliner for transatlantic flights between North America and Europe. By the end of the decade, 767s crossed the Atlantic more frequently than all other aircraft types combined. The 767 also propelled the growth of point-to-point flights which bypassed major airline hubs in favor of direct routes. Taking advantage of the aircraft's lower operating costs and smaller capacity, operators added non-stop flights to secondary population centers, thereby eliminating the need for connecting flights. The increased number of cities receiving non-stop services caused a paradigm shift in the airline industry as point-to-point travel gained prominence at the expense of the traditional hub-and-spoke model. In February 1990, the first 767 equipped with Rolls-Royce RB211 turbofans, a , was delivered to British Airways. Six months later, the carrier temporarily grounded its entire 767 fleet after discovering cracks in the engine pylons of several aircraft. The cracks were related to the extra weight of the RB211 engines, which are heavier than other 767 engines. During the grounding, interim repairs were conducted to alleviate stress on engine pylon components, and a parts redesign in 1991 prevented further cracks. Boeing also performed a structural reassessment, resulting in production changes and modifications to the engine pylons of all 767s in service. In January 1993, following an order from UPS Airlines, Boeing launched a freighter variant, the 767-300F, which entered service with UPS on October 16, 1995. The 767-300F featured a main deck cargo hold, upgraded landing gear, and strengthened wing structure. In November 1993, the Japanese government launched the first 767 military derivative when it placed orders for the , an Airborne Early Warning and Control (AWACS) variant based on the 767-200ER. The first two , featuring extensive modifications to accommodate surveillance radar and other monitoring equipment, were delivered in 1998 to the Japan Self-Defense Forces. Second stretch:-400ER. In November 1995, after abandoning development of a smaller version of the 777, Boeing announced that it was revisiting studies for a larger 767. The proposed 767-400X, a second stretch of the aircraft, offered a 12 percent capacity increase versus the , and featured an upgraded flight deck, enhanced interior, and greater wingspan. The variant was specifically aimed at Delta Air Lines' pending replacement of its aging Lockheed L-1011 TriStars, and faced competition from the A330-200, a shortened derivative of the Airbus A330. In March 1997, Delta Air Lines launched the 767-400ER when it ordered the type to replace its L-1011 fleet. In October 1997, Continental Airlines also ordered the 767-400ER to replace its McDonnell Douglas DC-10 fleet. The type completed its first flight on October 9, 1999, and entered service with Continental Airlines on September 14, 2000. Dreamliner introduction. In the early 2000s, cumulative 767 deliveries approached 900, but new sales declined during an airline industry downturn. In 2001, Boeing dropped plans for a longer-range model, the 767-400ERX, in favor of the proposed Sonic Cruiser, a new jetliner which aimed to fly 15 percent faster while having comparable fuel costs to the 767. The following year, Boeing announced the KC-767 Tanker Transport, a second military derivative of the 767-200ER. Launched with an order in October 2002 from the Italian Air Force, the KC-767 was intended for the dual role of refueling other aircraft and carrying cargo. The Japanese government became the second customer for the type in March 2003. In May 2003, the United States Air Force (USAF) announced its intent to lease KC-767s to replace its aging KC-135 tankers. The plan was suspended in March 2004 amid a conflict of interest scandal, resulting in multiple US government investigations and the departure of several Boeing officials, including Philip Condit, the company's chief executive officer, and chief financial officer Michael Sears. The first KC-767s were delivered in 2008 to the Japan Self-Defense Forces. In late 2002, after airlines expressed reservations about its emphasis on speed over cost reduction, Boeing halted development of the Sonic Cruiser. The following year, the manufacturer announced the 7E7, a mid-size 767 successor made from composite materials which promised to be 20 percent more fuel efficient. The new jetliner was the first stage of a replacement aircraft initiative called the Boeing Yellowstone Project. Customers embraced the 7E7, later renamed 787 Dreamliner, and within two years it had become the fastest-selling airliner in the company's history. In 2005, Boeing opted to continue 767 production despite record Dreamliner sales, citing a need to provide customers waiting for the 787 with a more readily available option. Subsequently, the 767-300ER was offered to customers affected by 787 delays, including All Nippon Airways and Japan Airlines. Some aging 767s, exceeding 20 years in age, were also kept in service past planned retirement dates due to the delays. To extend the operational lives of older aircraft, airlines increased heavy maintenance procedures, including D-check teardowns and inspections for corrosion, a recurring issue on aging 767s. The first 787s entered service with All Nippon Airways in October 2011, 42 months behind schedule. Continued production. In 2007, the 767 received a production boost when UPS and DHL Aviation placed a combined 33 orders for the 767-300F. Renewed freighter interest led Boeing to consider enhanced versions of the 767-200 and 767-300F with increased gross weights, 767-400ER wing extensions, and 777 avionics. Net orders for the 767 declined from 24 in 2008 to just three in 2010. During the same period, operators upgraded aircraft already in service; in 2008, the first 767-300ER retrofitted with blended winglets from Aviation Partners Incorporated debuted with American Airlines. The manufacturer-sanctioned winglets, at in height, improved fuel efficiency by an estimated 6.5 percent. Other carriers including All Nippon Airways and Delta Air Lines also ordered winglet kits. On February 2, 2011, the 1,000th 767 rolled out, destined for All Nippon Airways. The aircraft was the 91st 767-300ER ordered by the Japanese carrier, and with its completion the 767 became the second wide-body airliner to reach the thousand-unit milestone after the 747. The 1,000th aircraft also marked the last model produced on the original 767 assembly line. Beginning with the 1,001st aircraft, production moved to another area in the Everett factory which occupied about half of the previous floor space. The new assembly line made room for 787 production and aimed to boost manufacturing efficiency by over twenty percent. At the inauguration of its new assembly line, the 767's order backlog numbered approximately 50, only enough for production to last until 2013. Despite the reduced backlog, Boeing officials expressed optimism that additional orders would be forthcoming. On February 24, 2011, the USAF announced its selection of the KC-767 Advanced Tanker, an upgraded variant of the KC-767, for its KC-X fleet renewal program. The selection followed two rounds of tanker competition between Boeing and Airbus parent EADS, and came eight years after the USAF's original 2003 announcement of its plan to lease KC-767s. The tanker order encompassed 179 aircraft and was expected to sustain 767 production past 2013. In December 2011, FedEx Express announced a 767-300F order for 27 aircraft to replace its DC-10 freighters, citing the USAF tanker order and Boeing's decision to continue production as contributing factors. FedEx Express agreed to buy 19 more of the −300F variant in June 2012. In June 2015, FedEx said it was accelerating retirements of planes both to reflect demand and to modernize its fleet, recording charges of $276 million (~$ in ). On July 21, 2015, FedEx announced an order for 50 767-300F with options on another 50, the largest order for the type. With the announcement FedEx confirmed that it has firm orders for 106 of the freighters for delivery between 2018 and 2023. In February 2018, UPS announced an order for 4 more 767-300Fs to increase the total on order to 63. With its successor, the Boeing New Midsize Airplane, that was planned for introduction in 2025 or later, and the 787 being much larger, Boeing could restart a passenger 767-300ER production to bridge the gap. A demand for 50 to 60 aircraft could have to be satisfied. Having to replace its 40 767s, United Airlines requested a price quote for other widebodies. In November 2017, Boeing CEO Dennis Muilenburg cited interest beyond military and freighter uses. However, in early 2018 Boeing Commercial Airplanes VP of marketing Randy Tinseth stated that the company did not intend to resume production of the passenger variant. In its first quarter of 2018 earnings report, Boeing plans to increase its production from 2.5 to 3 monthly beginning in January 2020 due to increased demand in the cargo market, as FedEx had 56 on order, UPS has four, and an unidentified customer has three on order. This rate could rise to 3.5 per month in July 2020 and 4 per month in January 2021, before decreasing to 3 per month in January 2025 and then 2 per month in July 2025. In 2019, unit cost was US$217.9 million for a -300ER, and US$220.3 million for a -300F. Production of the 767 was expected to cease by the end of 2027 due to more stringent emissions and noise limits that will go into effect in 2028. However, , the US Congress is considering giving Boeing a waiver to continue to produce the 767 freighter for an additional five years. If granted, these aircraft would be restricted to domestic use within the US only. Boeing is widely expected to begin production of 787 Freighter during that extension period. Continued development. 767-X (partial double-deck). After the debut of the first stretched 767s, Boeing sought to address airline requests for greater capacity by proposing larger models, including a partial double-deck version informally named the "Hunchback of Mukilteo" (from a town near Boeing's Everett factory) with a 757 body section mounted over the aft main fuselage. In 1986, Boeing proposed the 767-X, a revised model with extended wings and a wider cabin, but received little interest. The 767-X did not get enough interest from airlines to launch and the model was shelved in 1988 in favor of the Boeing 777. 767-400ERX. In March 2000, Boeing was to launch the 259-seat 767-400ERX with an initial order for three from Kenya Airways with deliveries planned for 2004, as it was proposed to Lauda Air. Increased gross weight and a tailplane fuel tank would have boosted its range by , and GE could offer its CF6-80C2/G2. Rolls-Royce offered its Trent 600 for the 767-400ERX and the Boeing 747X. Offered in July, the longer-range -400ERX would have a strengthened wing, fuselage and landing gear for a 15,000 lb (6.8 t) higher MTOW, up to 465,000 lb (210.92 t). Thrust would rise to for better takeoff performance, with the Trent 600 or the General Electric/Pratt & Whitney Engine Alliance GP7172, also offered on the 747X. Range would increase by to , with an additional fuel tank of in the horizontal tail. The 767-400ERX would offer the capacity of the Airbus A330-200 with 3% lower fuel burn and costs. Boeing cancelled the variant development in 2001. Kenya Airways then switched its order to the 777-200ER. 767-XF (re-engine). In October 2019, Boeing was reportedly studying a re-engined 767-XF for entry into service around 2025, based on the 767-400ER with an extended landing gear to accommodate larger General Electric GEnx turbofan engines. The cargo market is the main target, but a passenger version could be a cheaper alternative to the proposed New Midsize Airplane. Design. Overview. The 767 is a low-wing cantilever monoplane with a conventional tail unit featuring a single fin and rudder. The wings are swept at 31.5 degrees and optimized for a cruising speed of Mach 0.8 (). Each wing features a supercritical airfoil cross-section and is equipped with six-panel leading edge slats, single- and double-slotted flaps, inboard and outboard ailerons, and six spoilers. The airframe further incorporates Carbon-fiber-reinforced polymer composite material wing surfaces, Kevlar fairings and access panels, plus improved aluminum alloys, which together reduce overall weight by versus preceding aircraft. To distribute the aircraft's weight on the ground, the 767 has a retractable tricycle landing gear with four wheels on each main gear and two for the nose gear. The original wing and gear design accommodated the stretched 767-300 without major changes. The 767-400ER features a larger, more widely spaced main gear with 777 wheels, tires, and brakes. To prevent damage if the tail section contacts the runway surface during takeoff, 767-300 and 767-400ER models are fitted with a retractable tailskid. All passenger Boeing 767 models have full-sized doors at the front and rear of the aircraft. Most -200 and -200ER models feature a single overwing exit, though an optional second overwing exit increases maximum capacity from 255 to 290. The 767-300 and 767-300ER typically have either two overwing exits or an additional full-sized mid-cabin door along with a single overwing exit. A higher-capacity configuration includes the full-sized mid-cabin door a smaller exit door aft the wing, raising the maximum capacity from 290 to 351. The 767-400ER is configured with the full-sized mid-cabin door a smaller exit door aft the wing. The 767-300F cargo model has a single exit door on the forward left side of the aircraft. In addition to shared avionics and computer technology, the 767 uses the same auxiliary power unit, electric power systems, and hydraulic parts as the 757. A raised cockpit floor and the same forward cockpit windows result in similar pilot viewing angles. Related design and functionality allows 767 pilots to obtain a common type rating to operate the 757 and share the same seniority roster with pilots of either aircraft. Flight systems. The original Boeing 767 flight deck features a two-crew glass cockpit, the first of its kind on a Boeing airliner, developed jointly with the narrow-body 757. This design allows for a common pilot type rating between the two aircraft. The cockpit includes six Rockwell Collins CRT screens that display electronic flight instrument system (EFIS) and engine indication and crew alerting system (EICAS) information, eliminating the need for a flight engineer by enabling pilots to manage monitoring tasks. These CRT screens replace the traditional electromechanical instruments used in earlier aircraft. The aircraft's enhanced flight management system, an improvement over early Boeing 747 versions, automates navigation and other functions. Additionally, an automatic landing system supports CAT IIIb instrument landings in low-visibility conditions. In 1984, the 767 became the first aircraft to receive FAA certification for CAT IIIb landings, permitting operations with a minimum visibility of . The 767-400ER further simplifies the cockpit layout with six Rockwell Collins LCD screens, designed for operational similarity with the 777 and 737NG. To maintain commonality, these LCD screens can be configured to present information in the same format as earlier 767 models. In 2012, Rockwell Collins introduced a 787-inspired cockpit upgrade for the 767, featuring three landscape-format LCD screens capable of displaying two windows each. Interior. The 767 features a twin-aisle cabin with a typical configuration of six abreast in business class and seven across in economy. The standard seven abreast, 2–3–2 economy class layout places approximately 87 percent of all seats at a window or aisle. As a result, the aircraft can be largely occupied before center seats need to be filled, and each passenger is no more than one seat from the aisle. It is possible to configure the aircraft with extra seats for up to an eight abreast configuration, but this is less common. The 767 interior introduced larger overhead bins and more lavatories per passenger than previous aircraft. The bins are wider to accommodate garment bags without folding, and strengthened for heavier carry-on items. A single, large galley is installed near the aft doors, allowing for more efficient meal service and simpler ground resupply. Passenger and service doors are an overhead plug type, which retract upwards, and commonly used doors can be equipped with an electric-assist system. In 2000, a 777-style interior, known as the Boeing Signature Interior, debuted on the 767-400ER. Subsequently, adopted for all new-build 767s, the Signature Interior features even larger overhead bins, indirect lighting, and sculpted, curved panels. The 767-400ER also received larger windows derived from the 777. Older 767s can be retrofitted with the Signature Interior. Some operators have adopted a simpler modification known as the Enhanced Interior, featuring curved ceiling panels and indirect lighting with minimal modification of cabin architecture, as well as aftermarket modifications such as the NuLook 767 package by Heath Tecna. Operational history. In its first year, the 767 logged a 96.1 percent dispatch rate, which exceeded the industry average for all-new aircraft. Operators reported generally favorable ratings for the twinjet's sound levels, interior comfort, and economic performance. Resolved issues were minor and included the recalibration of a leading edge sensor to prevent false readings, the replacement of an evacuation slide latch, and the repair of a tailplane pivot to match production specifications. Seeking to capitalize on its new wide-body's potential for growth, Boeing offered an extended-range model, the 767-200ER, in its first year of service. Ethiopian Airlines placed the first order for the type in December 1982. Featuring increased gross weight and greater fuel capacity, the extended-range model could carry heavier payloads at distances up to , and was targeted at overseas customers. The 767-200ER entered service with El Al Airline on March 27, 1984. The type was mainly ordered by international airlines operating medium-traffic, long-distance flights. In May 1984, an Ethiopian Airlines 767-200ER set a non-stop record for a commercial twinjet of from Washington, D.C. to Addis Ababa. In the mid-1980s, the 767 and its European rivals, the Airbus A300 and A310, spearheaded the growth of twinjet flights across the northern Atlantic under extended-range twin-engine operational performance standards (ETOPS) regulations, the FAA's safety rules governing transoceanic flights by aircraft with two engines. In 1976, the A300 was the first twinjet to secure permission to fly 90 minutes away from diversion airports, up from 60 minutes. In May 1985, the FAA granted its first approval for 120-minute ETOPS flights to the 767, on an individual airline basis starting with TWA, provided that the operator met flight safety criteria. This allowed the aircraft to fly overseas routes at up to two hours' distance from land. The 767 burned less fuel per hour than a Lockheed L-1011 TriStar on the route between Boston and Paris, a huge savings. The Airbus A310 secured approval for 120-minute ETOPS flights one month later in June. The larger safety margins were permitted because of the improved reliability demonstrated by twinjets and their turbofan engines. The FAA lengthened the ETOPS time to 180 minutes for CF6-powered 767s in 1989, making the type the first to be certified under the longer duration, and all available engines received approval by 1993. Regulatory approval spurred the expansion of transoceanic flights with twinjet aircraft and boosted the sales of both the 767 and its rivals. Variants. The 767 has been produced in three fuselage lengths. These debuted in progressively larger form as the , , and 767-400ER. Longer-range variants include the 767-200ER and 767-300ER, while cargo models include the 767-300F, a production freighter, and conversions of passenger 767-200 and 767-300 models. When referring to different variants, Boeing and airlines often collapse the model number (767) and the variant designator, e.g. –200 or –300, into a truncated form, e.g. "762" or "763". Subsequent to the capacity number, designations may append the range identifier, though -200ER and -300ER are company marketing designations and not certificated as such. The International Civil Aviation Organization (ICAO) aircraft type designator system uses a similar numbering scheme, but adds a preceding manufacturer letter; all variants based on the 767-200 and 767-300 are classified under the codes "B762" and "B763"; the 767-400ER receives the designation of "B764". 767-200. The 767-200 was the original model and entered service with United Airlines in 1982. The type has been used primarily by mainline U.S. carriers for domestic routes between major hub centers such as Los Angeles to Washington. The 767-200 was the first aircraft to be used on transatlantic ETOPS flights, beginning with TWA on February 1, 1985, under 90-minute diversion rules. Deliveries for the variant totaled 128 aircraft. There were 52 examples of the model in commercial service , almost entirely as freighter conversions. The type's competitors included the Airbus A300 and A310. The 767-200 was produced until 1987 when production switched to the extended-range 767-200ER. Some early 767-200s were subsequently upgraded to extended-range specification. In 1998, Boeing began offering 767-200 conversions to 767-200SF (Special Freighter) specification for cargo use, and Israel Aerospace Industries has been licensed to perform cargo conversions since 2005. The conversion process entails the installation of a side cargo door, strengthened main deck floor, and added freight monitoring and safety equipment. The 767-200SF was positioned as a replacement for Douglas DC-8 freighters. 767-2C. A commercial freighter version of the Boeing with wings from the -300 series and an updated flightdeck was first flown on December 29, 2014. A military tanker variant of the Boeing 767-2C is developed for the USAF as the KC-46. Boeing is building two aircraft as commercial freighters which will be used to obtain Federal Aviation Administration certification, a further two Boeing 767-2Cs will be modified as military tankers. , Boeing does not have customers for the freighter. 767-200ER. The 767-200ER was the first extended-range model and entered service with El Al in 1984. The type's increased range is due to extra fuel capacity and higher maximum takeoff weight (MTOW) of up to . The additional fuel capacity is accomplished by using the center tank's dry dock to carry fuel. The non-ER variant's center tank is what is called "cheek tanks"; two interconnected halves in each wing root with a dry dock in between. The center tank is also used on the -300ER and -400ER variants. This version was originally offered with the same engines as the , while more powerful Pratt & Whitney PW4000 and General Electric CF6 engines later became available. The 767-200ER was the first 767 to complete a non-stop transatlantic journey, and broke the flying distance record for a twinjet airliner on April 17, 1988, with an Air Mauritius flight from Halifax, Nova Scotia to Port Louis, Mauritius, covering . The 767-200ER has been acquired by international operators seeking smaller wide-body aircraft for long-haul routes such as New York to Beijing. Deliveries of the type totaled 121 with no unfilled orders. As of July 2018, 21 examples of passenger and freighter conversion versions were in airline service. The type's main competitors of the time included the Airbus A300-600R and the A310-300. 767-300. The , the first stretched version of the aircraft, entered service with Japan Airlines in 1986. The type features a fuselage extension over the , achieved by additional sections inserted before and after the wings, for an overall length of . Reflecting the growth potential built into the original 767 design, the wings, engines, and most systems were largely unchanged on the . An optional mid-cabin exit door is positioned ahead of the wings on the left, while more powerful Pratt & Whitney PW4000 and Rolls-Royce RB211 engines later became available. The 767-300's increased capacity has been used on high-density routes within Asia and Europe. The 767-300 was produced from 1986 until 2000. Deliveries for the type totaled 104 aircraft with no unfilled orders remaining. The type's main competitor was the Airbus A300. 767-300ER. The 767-300ER, the extended-range version of the , entered service with American Airlines in 1988. The type's increased range was made possible by greater fuel tankage and a higher MTOW of . Design improvements allowed the available MTOW to increase to by 1993. Power is provided by Pratt & Whitney PW4000, General Electric CF6, or Rolls-Royce RB211 engines. The 767-300ER comes in three exit configurations: the baseline configuration has four main cabin doors and four over-wing window exits, the second configuration has six main cabin doors and two over-wing window exits; and the third configuration has six main cabin doors, as well as two smaller doors that are located behind the wings. Typical routes for the type include New York to Frankfurt. The combination of increased capacity and range for the -300ER has been particularly attractive to both new and existing 767 operators. It is the most successful 767 version, with more orders placed than all other variants combined. , 767-300ER deliveries stand at 583 with no unfilled orders. There were 376 examples in service . The type's main competitor is the Airbus A330-200. At its 1990s peak, a new 767-300ER was valued at $85 million, dipping to around $12 million in 2018 for a 1996 build. 767-300F. The 767-300F, the production freighter version of the 767-300ER, entered service with UPS Airlines in 1995. The 767-300F can hold up to 24 standard pallets on its main deck and up to 30 LD2 unit load devices on the lower deck, with a total cargo volume of . The freighter has a main deck cargo door and crew exit, while the lower deck features two starboard-side cargo doors and one port-side cargo door. A general market version with onboard freight-handling systems, refrigeration capability, and crew facilities was delivered to Asiana Airlines on August 23, 1996. , 767-300F deliveries stand at 161 with 61 unfilled orders. Airlines operated 222 examples of the freighter variant and freighter conversions in July 2018. Converted freighters. In June 2008, All Nippon Airways took delivery of the first 767-300BCF (Boeing Converted Freighter), a modified passenger-to-freighter model. The conversion work was performed in Singapore by ST Aerospace Services, the first supplier to offer a 767-300BCF program, and involved the addition of a main deck cargo door, strengthened main deck floor, and additional freight monitoring and safety equipment. Israel Aerospace Industries offers a passenger-to-freighter conversion program called the 767-300BDSF (BEDEK Special Freighter). Wagner Aeronautical also offers a passenger-to-freighter conversion program for series aircraft. 767-400ER. The 767-400ER, the first Boeing wide-body jet resulting from two fuselage stretches, entered service with Continental Airlines in 2000. The type features a stretch over the , for a total length of . The wingspan is also increased by through the addition of raked wingtips. The exit configuration uses six main cabin doors and two smaller exit doors behind the wings, similar to certain 767-300ERs. Other differences include an updated cockpit, redesigned landing gear, and 777-style Signature Interior. Power is provided by uprated General Electric CF6 engines. The FAA granted approval for the 767-400ER to operate 180-minute ETOPS flights before it entered service. Because its fuel capacity was not increased over preceding models, the 767-400ER has a range of , less than previous extended-range 767s. No 767-400 (non-extended range) version was developed. The longer-range 767-400ERX was offered in July 2000 before being cancelled a year later, leaving the 767-400ER as the sole version of the largest 767. Boeing dropped the 767-400ER and the -200ER from its pricing list in 2014. A total of 37 767-400ERs were delivered to the variant's two airline customers, Continental Airlines (now merged with United Airlines as of 2010) and Delta Air Lines, with no unfilled orders. All 37 examples of the -400ER were in service in July 2018. One additional example was produced as a military testbed for cancelled E-10, and later sold to Bahrain as a VIP transport. The type's closest competitor is the Airbus A330-200. Military and government. Versions of the 767 serve in a number of military and government applications, with responsibilities ranging from airborne surveillance and refueling to cargo and VIP transport. Several military 767s have been derived from the 767-200ER, the longest-range version of the aircraft. Operators. In July 2018, 742 aircraft were in airline service: 73 -200s, 632 -300, and 37 -400ER with 65 -300F on order; the largest operators are Delta Air Lines (77), FedEx (60; largest cargo operator), UPS Airlines (59), United Airlines (51), Japan Airlines (35), All Nippon Airways (34). The largest 767 customers by orders placed are FedEx Express (150), Delta Air Lines (117), All Nippon Airways (96), American Airlines (88), and United Airlines (82). Delta and United are the only customers of all -200, -300, and -400ER passenger variants. In July 2015, FedEx placed a firm order for 50 Boeing 767 freighters with deliveries from 2018 to 2023. The type's competitors included the Airbus A300 and A310. Orders and deliveries. Boeing 767 orders and deliveries (cumulative, by year): Accidents and incidents. , the Boeing 767 has been in 67 aviation occurrences, including 19 hull-loss accidents. Eleven fatal crashes, including seven hijackings, have resulted in a total of 854 occupant fatalities. Accidents. The airliner's first fatal crash, Lauda Air Flight 004, occurred near Bangkok on May 26, 1991, following the in-flight deployment of the left engine thrust reverser on a 767-300ER. None of the 223 aboard survived. As a result of this accident, all 767 thrust reversers were deactivated until a redesign was implemented. Investigators determined that an electronically controlled valve, common to late-model Boeing aircraft, was to blame. A new locking device was installed on all affected jetliners, including 767s. On October 31, 1999, EgyptAir Flight 990, a 767-300ER, crashed off Nantucket, Massachusetts, in international waters killing all 217 people on board. The United States National Transportation Safety Board (NTSB) concluded "not determined", but determined the probable cause to be a deliberate action by the first officer; the Egyptian government disputed this conclusion. On April 15, 2002, Air China Flight 129, a 767-200ER, crashed into a hill amid inclement weather while trying to land at Gimhae International Airport in Busan, South Korea. The crash resulted in the death of 129 of the 166 people on board, and the cause was attributed to pilot error. This was the deadliest plane crash in South Korea at the time. On February 23, 2019, Atlas Air Flight 3591, a Boeing 767-300ERF air freighter operating for Amazon Air, crashed into Trinity Bay near Houston, Texas, while on descent into George Bush Intercontinental Airport; both pilots and the single passenger were killed. The cause was attributed to pilot error and spatial disorientation. On November 1, 2011, LOT Polish Airlines Flight 16, a 767-300ER, safely landed at Warsaw Chopin Airport in Warsaw, Poland, after a mechanical failure of the landing gear forced an emergency landing with the landing gear retracted. There were no injuries, but the aircraft involved was damaged and written off. At the time aviation analysts speculated that it may have been the first instance of a complete landing gear failure in the 767's service history. Subsequent investigation determined that while a damaged hose had disabled the aircraft's primary landing gear extension system, an otherwise functional backup system was inoperative due to an accidentally deactivated circuit breaker. On October 29, 2015, Dynamic Airways Flight 405, a 767-200ER, caught fire while taxiing to the runway at Hollywood International Airport. There were no fatalities, but 22 people were injured, 1 of them seriously. The aircraft was written off. On October 28, 2016, American Airlines Flight 383, a 767-300ER with 161 passengers and 9 crew members, aborted takeoff at Chicago O'Hare Airport following an uncontained failure of the right GE CF6-80C2 engine. The engine failure, which hurled fragments over a considerable distance, caused a fuel leak, resulting in a fire under the right wing. Fire and smoke entered the cabin. All passengers and crew evacuated the aircraft, with 20 passengers and one flight attendant sustaining minor injuries using the evacuation slides. The 767 has been involved in six hijackings, three resulting in loss of life, for a combined total of 282 occupant fatalities. On November 23, 1996, Ethiopian Airlines Flight 961, a 767-200ER, was hijacked and crash-landed in the Indian Ocean near the Comoro Islands after running out of fuel, killing 125 out of the 175 persons on board; this was a rare example of occupants surviving a land-based aircraft ditching on water. Two 767s were involved in the September 11 attacks on the World Trade Center in 2001, resulting in the collapse of its two main towers. American Airlines Flight 11, a 767-200ER, crashed into the North Tower, killing all 92 people on board, and United Airlines Flight 175, a , crashed into the South Tower, with the death of all 65 on board. In addition, more than 2,600 people were killed in the towers or on the ground. A failed shoe bomb attempt in December 2001 involved an American Airlines 767-300ER. Incidents. The 767's first incident was Air Canada Flight 143, a , on July 23, 1983. The airplane ran out of fuel at an altitude of about 41,000 feet. Eventually, the pilots had to glide with both engines out for almost to an emergency landing at Gimli, Manitoba, Canada. The pilots used the aircraft's ram air turbine to power the hydraulic systems for aerodynamic control. There were no fatalities and only minor injuries. This aircraft was nicknamed "Gimli Glider" after its landing site. The aircraft, registered as C-GAUN, continued flying for Air Canada until its retirement in January 2008. In January 2014, the U.S. Federal Aviation Administration issued a directive that ordered inspections of the elevators on more than 400 767s beginning in March 2014; the focus was on fasteners and other parts that can fail and cause the elevators to jam. The issue was first identified in 2000 and has been the subject of several Boeing service bulletins. The inspections and repairs are required to be completed within six years. The aircraft has also had multiple occurrences of "uncommanded escape slide inflation" during maintenance or operations, and during flight. In late 2015, the FAA issued a preliminary directive to address the issue. Aircraft on display. As new 767 variants roll off the assembly line, older series models have been retired and converted to cargo use, stored, or scrapped. One complete aircraft, N102DA, is the first to operate for Delta Air Lines and the twelfth example built. It was retired from airline service in February 2006 after being repainted back to its original 1982 Delta widget livery and given a farewell tour. It was then put on display at the Delta Flight Museum in the Delta corporate campus at the edge of Hartsfield–Jackson Atlanta International Airport. "The Spirit of Delta" is on public display as of 2022. In 2013 a Brazilian entrepreneur purchased a 767-200 that had operated for the now-defunct carrier Transbrasil under the registration PT-TAC. The aircraft, which was sold at a bankruptcy auction, was placed on outdoor display in Taguatinga as part of a proposed commercial development. , however, the development has not come to fruition. The aircraft is devoid of engines or landing gear and has deteriorated due to weather exposure and acts of vandalism but remains publicly accessible to view. Specifications. Below is an organized chart composed of the variants of the 767 and their specifications.
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Bill Walsh
William Ernest Walsh (November 30, 1931 – July 30, 2007) was an American professional and college football coach. He served as head coach of the San Francisco 49ers and the Stanford Cardinal, during which time he popularized the West Coast offense. After retiring from the 49ers, Walsh worked as a sports broadcaster for several years and then returned as head coach at Stanford for three seasons. Walsh went 102–63–1 (wins-losses-ties) with the 49ers, winning 10 of his 14 postseason games along with six division titles, three NFC Championship titles, and three Super Bowls. He was named NFL Coach of the Year in 1981 and 1984. In 1993, he was elected to the Pro Football Hall of Fame. He is widely considered amongst the greatest coaches in NFL history. Early life. Walsh was born in Fremont, California. He attended Hayward High School in Hayward in the San Francisco Bay Area, where he played running back. Walsh played quarterback at the College of San Mateo for two seasons. (Both John Madden and Walsh played and coached at the College of San Mateo early in their careers.) After playing at the College of San Mateo, Walsh transferred to San José State University, where he played tight end and defensive end. He also participated in intercollegiate boxing, winning the golden glove. Walsh graduated from San Jose State with a bachelor's degree in physical education in 1955. After two years in the U.S. Army participating on their boxing team, Walsh built a championship team at Washington High School in Fremont before becoming an assistant coach at Cal, Stanford and then the Oakland Raiders in 1966. College coaching career. He served under Bob Bronzan as a graduate assistant coach on the Spartans football coaching staff and graduated with a master's degree in physical education from San Jose State in 1959. His master's thesis was entitled "Flank Formation Football -- Stress: Defense". Thesis 796.W228f. Following graduation, Walsh coached the football and swim teams at Washington High School in Fremont, California. While there he interviewed for an assistant coaching position with the new head coach of the University of California, Berkeley California Golden Bears football team, Marv Levy. "I was very impressed, individually, by his knowledge, by his intelligence, by his personality, and hired him," Levy said. Levy and Walsh, two future NFL Hall of Famers, would never produce a winning season for the Golden Bears. Leaving Berkeley, Walsh did a stint at Stanford University as an assistant coach of its Cardinal football team before beginning his pro coaching career. Professional coaching career. Early years. Walsh began his pro coaching career in 1966 as an assistant with the AFL's Oakland Raiders. There he was versed in the downfield-oriented "vertical" passing offense favored by Al Davis, an acolyte of Sid Gillman. Walsh left the Raiders the next year to become the head coach and general manager of the San Jose Apaches of the Continental Football League (CFL). He led the Apaches to second place in the Pacific Division, but the team ceased all football operations prior to the start of the 1968 CFL season. In 1968, Walsh joined the staff of head coach Paul Brown of the AFL expansion Cincinnati Bengals, where he coached wide receivers from 1968 to 1970. It was there that Walsh developed the philosophy now known as the "West Coast offense". Cincinnati's new quarterback, Virgil Carter, was known for his great mobility and accuracy but lacked a strong arm necessary to throw deep passes. To suit his strengths, Walsh suggested a modification of the downfield based "vertical passing scheme" he had learned during his time with the Raiders with one featuring a "horizontal" approach that relied on quick, short throws, often spreading the ball across the entire width of the field. In 1971 Walsh was given the additional responsibility of coaching the quarterbacks, and Carter went on to lead the league in pass completion percentage. Ken Anderson eventually replaced Carter as starting quarterback, and, together with star wide receiver Isaac Curtis, produced a consistent, effective offensive attack. When Brown retired as head coach following the 1975 season and appointed Bill "Tiger" Johnson as his successor, Walsh resigned and served as an assistant coach in 1976 for the San Diego Chargers under head coach Tommy Prothro. In a 2006 interview, Walsh claimed that during his tenure with the Bengals, Brown "worked against my candidacy" to be a head coach anywhere in the league. "All the way through I had opportunities, and I never knew about them", Walsh said. "And then when I left him, he called whoever he thought was necessary to keep me out of the NFL." Walsh also claimed that Brown kept talking him down any time Brown was called by NFL teams considering hiring Walsh as a head coach. In 1977, Walsh was hired by Stanford University as the head coach of its Cardinal football team, where he stayed for two seasons. He was quite successful, with his teams posting a 9–3 record in 1977 with a win in the Sun Bowl, and going 8–4 in 1978 with a win in the Bluebonnet Bowl. His notable players at Stanford included quarterbacks Guy Benjamin, Steve Dils, wide receivers James Lofton and Ken Margerum, linebacker Gordy Ceresino, and running back Darrin Nelson. Walsh was the Pac-8 Conference Coach of the Year in 1977. 49ers head coach. On January 9, 1979, Walsh resigned as head coach at Stanford, and San Francisco 49ers team owner Edward J. DeBartolo, Jr. fired head coach Fred O'Connor and general manager Joe Thomas following a 2–14 in 1978 season. Walsh was appointed head coach of the 49ers the next day. The 49ers went 2-14 again in 1979. Hidden behind that record were organizational changes made by Walsh that set the team on a better course, including selecting Notre Dame quarterback Joe Montana in the third round of the 1979 NFL draft. In 1980, starting quarterback Steve DeBerg got the 49ers off to a 3–0 start, but after a week 6 blowout loss to the Dallas Cowboys by a score of 59–14, Walsh gave Montana a chance to start. On December 7 vs. the New Orleans Saints, the second-year player brought the 49ers back from a 35–7 halftime deficit to a 38–35 overtime win. In spite of this switch, the team struggled to a 6–10 finish – a record that belied a championship team in the making. 1981 championship. In 1981, Walsh's efforts as head coach led the team to a 13–3 regular season. The 13 wins were a franchise record at the time, and were three more than they had won in the previous three seasons combined. Key victories were two wins each over the Los Angeles Rams and the Dallas Cowboys. The Rams were only two seasons removed from a Super Bowl appearance, and had dominated the series with the 49ers since 1967, winning 23, losing 3 and tying 1. San Francisco's two wins over the Rams in 1981 marked the shift of dominance in favor of the 49ers that lasted until 1998 with 30 wins (including 17 consecutively) against only 6 defeats. The 49ers blew out the Cowboys in week 6 of the regular season. On "Monday Night Football" that week, the win was not included in the halftime highlights. Walsh felt that this was because the Cowboys were scheduled to play the Rams the next week in a Sunday night game and that showing the highlights of the 49ers' win would potentially hurt the game's ratings. However, Walsh used this as a motivating factor for his team, who felt they were disrespected. The 49ers faced the Cowboys again in the . The contest was very close, and in the fourth quarter Walsh called a series of running plays as the 49ers marched down the field against the Cowboys' prevent defense, which had been expecting the 49ers to mainly pass. The 49ers came from behind to win the game on Joe Montana's pass completion to Dwight Clark for a touchdown, a play that came to be known simply as The Catch, propelling Walsh to his first appearance in a Super Bowl. Walsh would later write that the 49ers' two wins over the Rams showed a shift of power in their division, while the wins over the Cowboys showed a shift of power in the conference. Two weeks later, on January 24, 1982, San Francisco faced the Cincinnati Bengals in Super Bowl XVI, winning 26–21 for the team's first NFL championship. Only a year removed from back-to-back two-win seasons, the 49ers had risen from the cellar to the top of the NFL in just two seasons. What came to be known as the West Coast offense developed by Walsh had proven a winner. In all, Walsh served as 49ers head coach for 10 years, winning three Super Bowl championships, in the 1981, 1984, and 1988 seasons, and establishing a new NFL record. Walsh had a disciplined approach to game-planning, famously scripting the first 10–15 offensive plays before the start of each game. His innovative play calling and design earned him the nickname "The Genius". In the ten-year span under Walsh, San Francisco scored 3,714 points (24.4 per game), the most of any team in the league. In addition to Joe Montana, Walsh drafted Ronnie Lott, Charles Haley, and Jerry Rice, each one going on to the Pro Football Hall of Fame. He also traded a 2nd and 4th round pick in the 1987 draft for Steve Young, who took over from Montana, led the team to Super Bowl success, and was enshrined in Canton after his playing career. Walsh's success at every level of football, especially with the 49ers, earned him his own ticket to Canton in 1993. On January 22, 1989, Walsh coached his final game with the 49ers, the memorable Super Bowl XXIII in which San Francisco beat Cincinnati 20–16. Walsh resigned as the 49ers head coach after the game. Walsh admitted years later that he immediately regretted the decision saying that he left too soon. Coaching tree. Upline. Walsh's upline coaching tree included working as assistant for American Football League great and Hall of Fame head coach Al Davis and NFL legend and Hall of Famer Paul Brown, and, through Davis, AFL great and Hall of Fame head coach Sid Gillman of the then AFL Los Angeles/San Diego Chargers. Downline. Tree updated through December 9, 2015. Many Walsh assistants went on to become head coaches. including George Seifert, Mike Holmgren, Ray Rhodes, and Dennis Green. Seifert succeeded Walsh as 49ers head coach, and guided San Francisco to victories in Super Bowl XXIV and Super Bowl XXIX. Holmgren won a Super Bowl with the Green Bay Packers, and made 3 Super Bowl appearances as a head coach: 2 with the Packers, and another with the Seattle Seahawks. These coaches in turn have their own disciples who have used Walsh's West Coast system, such as former Denver Broncos head coach Mike Shanahan and former Houston Texans head coach Gary Kubiak. Mike Shanahan was an offensive coordinator under George Seifert and went on to win Super Bowl XXXII and Super Bowl XXXIII during his time as head coach of the Denver Broncos. Kubiak was first a quarterback coach with the 49ers, and then offensive coordinator for Shanahan with the Broncos. In 2015, he became the Broncos' head coach and led Denver to victory in Super Bowl 50. Dennis Green trained Tony Dungy, who won a Super Bowl with the Indianapolis Colts, and Brian Billick with his brother-in law and linebackers coach Mike Smith. Billick won a Super Bowl as head coach of the Baltimore Ravens. Mike Holmgren trained many of his assistants to become head coaches, including Jon Gruden and Andy Reid. Gruden won a Super Bowl with the Tampa Bay Buccaneers. Reid served as head coach of the Philadelphia Eagles from 1999 to 2012, and guided the Eagles to multiple winning seasons and numerous playoff appearances, including 1 Super Bowl appearance. Ever since 2013, Reid has served as head coach of the Kansas City Chiefs. He was finally able to win a Super Bowl, when his Chiefs defeated the San Francisco 49ers in Super Bowl LIV, and two consecutive when his Chiefs defeated the Eagles in Super Bowl LVII and the San Francisco 49ers in Super Bowl LVIII. In addition to this, Marc Trestman, former head coach of the Chicago Bears, served as offensive coordinator under Seifert in the 90's. Gruden himself would train Mike Tomlin, who led the Pittsburgh Steelers to their sixth Super Bowl championship, and Jim Harbaugh, whose 49ers would face his brother, John Harbaugh, whom Reid himself trained, and the Baltimore Ravens at Super Bowl XLVII, which marked the Ravens' second World Championship. Bill Walsh was viewed as a strong advocate for African-American head coaches in the NFL and NCAA. Thus, the impact of Walsh also changed the NFL into an equal opportunity for African-American coaches. Along with Ray Rhodes and Dennis Green, Tyrone Willingham became the head coach at Stanford, then later Notre Dame and Washington. One of Mike Shanahan's assistants, Karl Dorrell, went on to be the head coach at UCLA. Walsh directly helped propel Dennis Green into the NFL head coaching ranks by offering to take on the head coaching job at Stanford. Later years. After leaving the coaching ranks immediately following his team's victory in Super Bowl XXIII, Walsh went to work as a broadcaster for NBC, teaming with Dick Enberg to form the lead broadcasting team, replacing Merlin Olsen. During his time with NBC, rumors began to surface that Walsh would coach again in the NFL. There were at least two known instances. First, according to a February 2015 article by Mike Florio of NBC Sports, after a 5–11 season in 1989, the Patriots fired Raymond Berry and unsuccessfully attempted to lure Walsh to Foxborough to become head coach and general manager. When that failed, New England promoted defensive coordinator Rod Rust; the team split its first two games and then lost 14 straight in 1990. Second, late in the 1990 season, Walsh was rumored to become Tampa Bay's next head coach and general manager after the team fired Ray Perkins and promoted Richard Williamson on an interim basis. Part of the speculation was fueled by the fact that Walsh's contract with NBC, which ran for 1989 and 1990, would soon be up for renewal, to say nothing of the pressure Hugh Culverhouse faced to increase fan support and to fill the seats at Tampa Stadium. However, less than a week after Super Bowl XXV, Walsh not only declined Tampa Bay's offer, but he and NBC agreed on a contract extension. Walsh would continue in his role with NBC for 1991. Meanwhile, after unsuccessfully courting then-recently fired Eagles coach Buddy Ryan or Giants then-defensive coordinator Bill Belichick to man the sidelines for Tampa Bay in 1991, the Bucs stuck with Williamson. Under Williamson's leadership, Tampa Bay won only three games in 1991. On January 15, 1992, Walsh agreed to return to Stanford to serve as their head coach with a five-year contract with an annual salary of $350,000 to replace Dennis Green; he immediately named Terry Shea as offensive coordinator. That year, he led the Cardinal to a 10–3 record and a Pacific-10 Conference co-championship; it was the first conference championship for the program since 1971. Stanford finished the season with a victory over Penn State in the Blockbuster Bowl on January 1, 1993, and a #9 ranking in the final AP Poll. In November 1994, after consecutive losing seasons, Walsh left Stanford and retired from coaching. In 1996, Walsh returned to the 49ers as an administrative aide. Walsh was the vice president and general manager for the 49ers from 1999 to 2001 and was a special consultant to the team for three years afterwards. In 2004, Walsh was appointed as special assistant to the athletic director at Stanford. In 2005, after then-athletic director Ted Leland stepped down, Walsh was named interim athletic director. He also acted as a consultant for his alma mater San Jose State University in their search for an athletic director and Head Football Coach in 2005. Walsh was also the author of three books, a motivational speaker, and taught classes at the Stanford Graduate School of Business. Walsh was a board member for the Lott IMPACT Trophy, which is named after Pro Football Hall of Fame defensive back Ronnie Lott, and is awarded annually to college football's Defensive IMPACT Player of the Year. Walsh served as a keynote speaker at the award's banquet. Personal life. Bill married his college sweetheart Geri, and had 3 children; Steve, Craig and Elizabeth. Death. Bill Walsh died of leukemia on July 30, 2007, at his home in Woodside, California. Following Walsh's death, the playing field at the former Candlestick Park was renamed "Bill Walsh Field". Additionally, the regular San Jose State versus Stanford football game was renamed the "Bill Walsh Legacy Game". Super Bowl XLII was also dedicated to Walsh's memory; at the end of the player introduction ceremonies, his son, Craig, accompanied by Ronnie Lott, Jerry Rice and Steve Young, performed the ceremonial coin toss with New York Giants captain Michael Strahan, playing his final career NFL game, calling the toss on behalf of his Giants co-captains and the New England Patriots' captains. External links.
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Utility knife
A utility knife is any type of knife used for general manual work purposes. Such knives were originally fixed-blade knives with durable cutting edges suitable for rough work such as cutting cordage, cutting/scraping hides, butchering animals, cleaning fish scales, reshaping timber, and other tasks. Craft knives are small utility knives used as precision-oriented tools for finer, more delicate tasks such as carving and papercutting. Today, the term "utility knife" also includes small folding-, retractable- and/or replaceable-blade knives suited for use in the general workplace or in the construction industry. The latter type is sometimes generically called a Stanley knife, after a prominent brand designed by the American tool manufacturing company Stanley Black & Decker. There is also a utility knife for kitchen use, which is sized between a chef's knife and paring knife. History. The fixed-blade utility knife was developed some 500,000 years ago, when human ancestors began to make stone knives. These knives were general-purpose tools, designed for cutting and shaping wooden implements, scraping hides, preparing food, and for other utilitarian purposes. By the 19th century the fixed-blade utility knife had evolved into a steel-bladed outdoors field knife capable of butchering game, cutting wood, and preparing campfires and meals. With the invention of the backspring, pocket-size utility knives were introduced with folding blades and other folding tools designed to increase the utility of the overall design. The folding pocketknife and utility tool is typified by the "Camper" or "Boy Scout" pocketknife, the Swiss Army Knife, and by multi-tools fitted with knife blades. The development of stronger locking blade mechanisms for folding knives—as with the Spanish navaja, the Opinel, and the Buck 110 Folding Hunter—significantly increased the utility of such knives when employed for heavy-duty tasks such as preparing game or cutting through dense or tough materials. Contemporary utility knives. The fixed or folding blade utility knife is popular for both indoor and outdoor use. One of the most popular types of workplace utility knife is the retractable or folding utility knife (also known as a "Stanley knife", "box cutter", or by various other names). These types of utility knives are designed as multi-purpose cutting tools for use in a variety of trades and crafts. Designed to be lightweight and easy to carry and use, utility knives are commonly used in factories, warehouses, construction projects, and other situations where a tool is routinely needed to mark cut lines, trim plastic or wood materials, or to cut tape, cord, strapping, cardboard, or other packaging material. Names. In British, Australian and New Zealand English, along with Dutch, Danish and Austrian German, a utility knife is often referred to as a "Stanley knife". This name is a generic trademark named after Stanley Works, a manufacturer of such knives. In Israel and Switzerland, these knives are known as "Japanese knives". In Brazil they are known as "estiletes" or "cortadores Olfa" (the latter, being another genericised trademark). In Portugal, Panama and Canada they are also known as "X-Acto" (yet another genericised trademark ). In India, Russia, the Philippines, France, Iraq, Italy, Egypt, and Germany, they are simply called "cutter". In the Flemish region of Belgium it is called "cuttermes(je)" (cutter knife). In general Spanish, they are known as "cortaplumas" (penknife, when it comes to folding blades); in Spain, Mexico, and Costa Rica, they are colloquially known as "cutters"; in Argentina and Uruguay the segmented fixed-blade knives are known as "Trinchetas". In Turkey, they are known as "maket bıçağı" (which literally translates as "model knife"). Other names for the tool are "box cutter" or "boxcutter", "blade knife", "carpet knife", "pen knife", "stationery knife", "sheetrock knife", or "drywall knife". Design. Utility knives may use fixed, folding, or retractable or replaceable blades, and come in a wide variety of lengths and styles suited to the particular set of tasks they are designed to perform. Thus, an outdoors utility knife suited for camping or hunting might use a broad fixed blade, while a utility knife designed for the construction industry might feature a replaceable utility blade for cutting packaging, cutting shingles, marking cut lines, or scraping paint. Fixed blade utility knife. Large fixed-blade utility knives are most often employed in an outdoors context, such as fishing, camping, or hunting. Outdoor utility knives typically feature sturdy blades from in length, with edge geometry designed to resist chipping and breakage. The term "utility knife" may also refer to small fixed-blade knives used for crafts, model-making and other artisanal projects. These small knives feature light-duty blades best suited for cutting thin, lightweight materials. The small, thin blade and specialized handle permit cuts requiring a high degree of precision and control. Retractable utility knife. Construction utility knives, typically made from die-cast metal or robust molded plastic, have retractable and replaceable blades. The user of the knife can adjust the distance that the blade extends from the handle. For example, cutting the tape that seals a package without damaging the contents requires the blade to be extended slightly, while cutting the cardboard box requires the blade to be extended further forward. A utility blade that has become dull can be reversed or replaced with a new one. Spare or used utility blades can be stored in the handle of some utility knife models and can be accessed by removing a bolt and opening the handle. There are also models of utility knives equipped with a quick-change feature that allows blades to be replaced without additional tools. Retractable utility knives are commonly used in construction, crafting, utility and warehouse work. Utility knife blades. It is the material to be cut that determines which type of utility blade is required to be installed in the utility knife. In standard knives can be installed different forms of blades, varying and expanding the functionality of the knife. So the standard and universal option for craft and construction work is considered a trapezoidal blade, which is suitable for drywall, cardboard, cutting flooring covering materials, and more. There are also specialized blades for cutting roofing felt, linoleum, carpeting, foam, insulation and other building materials. Standard blade types include: Snap-off utility knife. Another type of utility knife is a snap-off utility knife that contains a long, segmented blade that slides out from it. As the endmost edge becomes dull, it can be broken off the remaining blade, exposing the next section, which is sharp and ready for use. The snapping is best accomplished with a blade snapper that is often built-in, or a pair of pliers, and the break occurs at the score lines, where the metal is thinnest. When all of the individual segments are used, the knife may be thrown away, or, more often, refilled with a replacement blade. This design was introduced by Japanese manufacturer OLFA in 1956 as the world's first snap-off blade and was inspired from analyzing the sharp cutting edge produced when glass is broken and how pieces of a chocolate bar break into segments. The sharp cutting edge on these knives is not on the edge where the blade is snapped off; rather one long edge of the whole blade is sharpened, and there are scored diagonal breakoff lines at intervals down the blade. Thus each snapped-off piece is roughly a parallelogram, with each long edge being a breaking edge, and one or both of the short ends being a sharpened edge. Box cutter knife. Another utility knife often used for cutting open boxes consists of a simple sleeve around a rectangular handle into which single-edge utility blades can be inserted. The sleeve slides up and down on the handle, holding the blade in place during use and covering the blade when not in use. The blade holder may either retract or fold into the handle, much like a folding-blade pocketknife. The blade holder is designed to expose just enough edge to cut through one layer of corrugated fibreboard, to minimize chances of damaging contents of cardboard boxes. Use as weapon. Most utility knives are not well suited to use as offensive weapons, with the exception of some outdoor-type utility knives employing longer blades. However, even small blade type utility knives may sometimes find use as slashing weapons, particularly when used opportunistically due to their ubiquity. The 9/11 Commission report stated passengers in cell phone calls reported knives or "box-cutters" were used as weapons (also Mace or a bomb) in hijacking airplanes in the September 11, 2001 terrorist attacks against the United States, though the exact design of the knives used is unknown. Two of the hijackers were known to have purchased Leatherman knives, which feature a slip-joint blade, which were not prohibited on U.S. flights at the time. Those knives were not found in the possessions the two hijackers left behind. Similar cutters, including paper cutters, have also been known to be used as a lethal weapon. Small work-type utility knives have also been used to commit robbery and other crimes. In June 2004, a Japanese student was slashed to death with a segmented-type utility knife. In the United Kingdom, the law was changed (effective 1 October 2007) to raise the age limit for purchasing knives, including utility knives, from 16 to 18, and to make it illegal to carry a utility knife in public without a good reason.
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Bronze
Bronze is an alloy consisting primarily of copper, commonly with about 12–12.5% tin and often with the addition of other metals (including aluminium, manganese, nickel, or zinc) and sometimes non-metals (such as phosphorus) or metalloids (such as arsenic or silicon). These additions produce a range of alloys some of which are harder than copper alone or have other useful properties, such as strength, ductility, or machinability. The archaeological period during which bronze was the hardest metal in widespread use is known as the Bronze Age. The beginning of the Bronze Age in western Eurasia is conventionally dated to the mid-4th millennium BCE (~3500 BCE), and to the early 2nd millennium BCE in China; elsewhere it gradually spread across regions. The Bronze Age was followed by the Iron Age, which started about 1300 BCE and reached most of Eurasia by about 500 BCE, although bronze continued to be much more widely used than it is in modern times. Because historical artworks were often made of bronzes and brasses (alloys of copper and zinc) of different metallic compositions, modern museum and scholarly descriptions of older artworks increasingly use the generalized term "copper alloy" instead of the names of individual alloys. This is done (at least in part) to prevent database searches from failing merely because of errors or disagreements in the naming of historic copper alloys. Etymology. The word "bronze" (1730–1740) is borrowed from Middle French (1511), itself borrowed from Italian (13th century, transcribed in Medieval Latin as ) from either: A Dictionary of the English Language (1746) offers: ""a composition of copper and tin makes bell metal; and copper and brass; melted in equal quantities, produces what the French call bronze, used for figures and statues. Chambers". Webster's Dictionary (1828) offers: "Tin united with copper in different proportions, forms bronze, bell metal, and speculum-metal. D.Olmsted"" Chambers Dictionary (1872) offers: "Bronze, bronz, n. an alloy of copper and tin, of a brown or burned colour ;" History. The discovery of bronze enabled people to create metal objects that were harder and more durable than had previously been possible. Bronze tools, weapons, armor, and building materials such as decorative tiles were harder and more durable than their stone and copper ("Chalcolithic") predecessors. The earliest tin-copper-alloy artifact has been dated to , in a Vinča culture site in Pločnik (Serbia), and believed to have been smelted from a natural tin-copper ore, stannite. Other early examples date to the late 4th millennium BCE in Egypt, Susa (Iran) and some ancient sites in China, Luristan (Iran), Tepe Sialk (Iran), Mundigak (Afghanistan), and Mesopotamia (Iraq). Copper arsenic alloys, from naturally or artificially mixed ores of those metals, forming Arsenical copper, were found to result in a metal of a silver hue, with similarly increased strength, a lower melting point, and simpler to work, than copper. The earliest known arsenic-copper-alloy artifacts come from a Yahya Culture (Period V 3800–3400 BCE) site, at Tal-i-Iblis on the Iranian plateau, and were smelted from native arsenical copper and copper-arsenides, such as algodonite and domeykite. Tin bronze was superior to arsenic copper in that the alloying process could be more easily controlled, and the resulting alloy was stronger and easier to cast. Also, unlike those of arsenic, metallic tin and the fumes from tin refining are not toxic. Tin became the major non-copper ingredient of bronze in the late 3rd millennium BCE. Ores of copper and the far rarer tin are not often found together (exceptions include Cornwall in the United Kingdom, one ancient site in Thailand and one in Iran), so serious bronze work has always involved trade with other regions. Tin sources and trade in ancient times had a major influence on the development of cultures. In Europe, a major source of tin was the British deposits of ore in Cornwall, which were traded as far as Phoenicia in the eastern Mediterranean. In many parts of the world, large hoards of bronze artifacts are found, suggesting that bronze also represented a store of value and an indicator of social status. In Europe, large hoards of bronze tools, typically socketed axes (illustrated above), are found, which mostly show no signs of wear. With Chinese ritual bronzes, which are documented in the inscriptions they carry and from other sources, the case is clear. These were made in enormous quantities for elite burials, and also used by the living for ritual offerings. An analysis of 324 metallic finds of the Indus Valley Civilisation (2600–1900 BCE), in the 1990s, found 67 (20%) to have some tin content, to be considered Bronze artefacts, with 26 (8%) of the artefacts having a tin content in excess of 10%, permitting casting; the source of the tin is unknown, but has been speculated to be from Bokhara or Samarkand, in Uzbekistan. Transition to iron. Though bronze, whose Vickers hardness is 60–258, is generally harder than wrought iron, with a hardness of 30–80, the Bronze Age gave way to the Iron Age after a serious disruption of the tin trade: the population migrations of around 1200–1100 BCE reduced the shipment of tin around the Mediterranean and from Britain, limiting supplies and raising prices. As the art of working in iron improved, iron became cheaper and improved in quality. As later cultures advanced from hand-wrought iron to machine-forged iron (typically made with trip hammers powered by water), blacksmiths also learned how to make steel, which is stronger and harder than bronze and holds a sharper edge longer. Bronze was still used during the Iron Age and has continued in use for many purposes to the modern day. Composition. There are many different bronze alloys, but typically modern bronze is about 88% copper and 12% tin. "Alpha bronze" consists of the alpha solid solution of tin in copper. Alpha bronze alloys of 4–5% tin are used to make coins, springs, turbines and blades. Historical "bronzes" are highly variable in composition, as most metalworkers probably used whatever scrap was on hand; the metal of the 12th-century English Gloucester Candlestick is bronze containing a mixture of copper, zinc, tin, lead, nickel, iron, antimony, arsenic and an unusually large amount of silver – between 22.5% in the base and 5.76% in the pan below the candle. The proportions of this mixture suggest that the candlestick was made from a hoard of old coins. The 13th-century Benin Bronzes are in fact brass, and the 12th-century Romanesque Baptismal font at St Bartholomew's Church, Liège is sometimes described as bronze and sometimes as brass. During the Bronze Age, two forms of bronze were commonly used: "classic bronze", about 10% tin, was used in casting; "mild bronze", about 6% tin, was hammered from ingots to make sheets. Bladed weapons were primarily cast from classic bronze while helmets and armor were hammered from mild bronze. Modern commercial bronze (90% copper and 10% zinc) and architectural bronze (57% copper, 3% lead, 40% zinc) are more properly regarded as brass alloys because they contain zinc as the main alloying ingredient. They are commonly used in architectural applications. Plastic bronze contains a significant quantity of lead, which makes for improved plasticity, and may have been used by the ancient Greeks in ship construction. has a composition of Si: 2.80–3.80%, Mn: 0.50–1.30%, Fe: 0.80% max., Zn: 1.50% max., Pb: 0.05% max., Cu: balance. Other bronze alloys include aluminium bronze, phosphor bronze, manganese bronze, bell metal, arsenical bronze, speculum metal, bismuth bronze, and cymbal alloys. Properties. Copper-based alloys have lower melting points than steel or iron and are more readily produced from their constituent metals. They are generally about 10 percent denser than steel, although alloys using aluminium or silicon may be slightly less dense. Bronze conducts heat and electricity better than most steels. Copper-base alloys are generally more costly than steels but less so than nickel-base alloys. Bronzes are typically ductile alloys and are considerably less brittle than cast iron. Copper and its alloys have a huge variety of uses that reflect their versatile physical, mechanical, and chemical properties. Some common examples are the high electrical conductivity of pure copper, the low-friction properties of bearing bronze (bronze that has a high lead content— 6–8%), the resonant qualities of bell bronze (20% tin, 80% copper), and the resistance to corrosion by seawater of several bronze alloys. The melting point of bronze is about but varies depending on the ratio of the alloy components. Bronze is usually nonmagnetic, but certain alloys containing iron or nickel may have magnetic properties. Bronze typically oxidizes only superficially; once a copper oxide (eventually becoming copper carbonate) layer is formed, the underlying metal is protected from further corrosion. This can be seen on statues from the Hellenistic period. If copper chlorides are formed, a corrosion-mode called "bronze disease" will eventually destroy it completely. Uses. Bronze, or bronze-like alloys and mixtures, were used for coins over a longer period. Bronze was especially suitable for use in boat and ship fittings prior to the wide employment of stainless steel owing to its combination of toughness and resistance to salt water corrosion. Bronze is still commonly used in ship propellers and submerged bearings. In the 20th century, silicon was introduced as the primary alloying element, creating an alloy with wide application in industry and the major form used in contemporary statuary. Sculptors may prefer silicon bronze because of the ready availability of silicon bronze brazing rod, which allows color-matched repair of defects in castings. Aluminium is also used for the structural metal aluminium bronze. Bronze parts are tough and typically used for bearings, clips, electrical connectors and springs. Bronze also has low friction against dissimilar metals, making it important for cannons prior to modern tolerancing, where iron cannonballs would otherwise stick in the barrel. It is still widely used today for springs, bearings, bushings, automobile transmission pilot bearings, and similar fittings, and is particularly common in the bearings of small electric motors. Phosphor bronze is particularly suited to precision-grade bearings and springs. It is also used in guitar and piano strings. Unlike steel, bronze struck against a hard surface will not generate sparks, so it (along with beryllium copper) is used to make hammers, mallets, wrenches and other durable tools to be used in explosive atmospheres or in the presence of flammable vapors. Bronze is used to make bronze wool for woodworking applications where steel wool would discolor oak. Phosphor bronze is used for ships' propellers, musical instruments, and electrical contacts. Bearings are often made of bronze for its friction properties. It can be impregnated with oil to make the proprietary Oilite and similar material for bearings. Aluminium bronze is hard and wear-resistant, and is used for bearings and machine tool ways. The Doehler Die Casting Co. of Toledo, Ohio were known for the production of Brastil, a high tensile corrosion resistant bronze alloy. Architectural bronze. The Seagram Building on New York City's Park Avenue is the "iconic glass box sheathed in bronze, designed by Mies van der Rohe." The Seagram Building was the first time that an entire building was sheathed in bronze. The General Bronze Corporation fabricated 3,200,000 pounds (1,600 tons) of bronze at its plant in Garden City, New York. The Seagram Building is a 38-story, 516-foot bronze-and-topaz-tinted glass building. The building looks like a "squarish 38-story tower clad in a restrained curtain wall of metal and glass." "Bronze was selected because of its color, both before and after aging, its corrosion resistance, and its extrusion properties. In 1958, it was not only the most expensive building of its time — $36 million — but it was the first building in the world with floor-to-ceiling glass walls. Mies van der Rohe achieved the crisp edges that were custom-made with specific detailing by General Bronze and "even the screws that hold in the fixed glass-plate windows were made of brass." Sculptures. Bronze is widely used for casting bronze sculptures. Common bronze alloys have the unusual and desirable property of expanding slightly just before they set, thus filling the finest details of a mould. Then, as the bronze cools, it shrinks a little, making it easier to separate from the mould. The Assyrian king Sennacherib (704–681 BCE) claims to have been the first to cast monumental bronze statues (of up to 30 tonnes) using two-part moulds instead of the lost-wax method. Bronze statues were regarded as the highest form of sculpture in Ancient Greek art, though survivals are few, as bronze was a valuable material in short supply in the Late Antique and medieval periods. Many of the most famous Greek bronze sculptures are known through Roman copies in marble, which were more likely to survive. In India, bronze sculptures from the Kushana (Chausa hoard) and Gupta periods (Brahma from Mirpur-Khas, Akota Hoard, Sultanganj Buddha) and later periods (Hansi Hoard) have been found. Indian Hindu artisans from the period of the Chola empire in Tamil Nadu used bronze to create intricate statues via the lost-wax casting method with ornate detailing depicting the deities of Hinduism. The art form survives to this day, with many silpis, craftsmen, working in the areas of Swamimalai and Chennai. In antiquity other cultures also produced works of high art using bronze. For example, in Europe, Grecian bronzes typically of figures from Greek mythology; in east Asia, Chinese ritual bronzes of the Shang and Zhou dynasty—more often ceremonial vessels but including some figurine examples. Bronze continues into modern times as one of the materials of choice for monumental statuary. The medieval and early-modern Castings of the Benin Empire (13–19th century CE), that are often labelled Bronzes, are technically cast, from an often leaded, Brass alloy. Lamps. Tiffany Glass Studios, made famous by Louis C. Tiffany commonly referred to his product as favrile glass or ""Tiffany glass"," and used bronze in their artisan work for his Tiffany lamps. Fountains and doors. The largest and most ornate bronze fountain known to be cast in the world was by the Roman Bronze Works and General Bronze Corporation in 1952. The material used for the fountain, known as statuary bronze, is a quaternary alloy made of copper, zinc, tin, and lead, and traditionally golden brown in color. This was made for the Andrew W. Mellon Memorial Fountain in Federal Triangle in Washington, DC. Another example of the massive, ornate design projects of bronze, and attributed to General Bronze/Roman Bronze Works were the massive bronze doors to the United States Supreme Court Building in Washington, DC. Mirrors. Before it became possible to produce glass with acceptably flat surfaces, bronze was a standard material for mirrors. Bronze was used for this purpose in many parts of the world, probably based on independent discoveries. Bronze mirrors survive from the Egyptian Middle Kingdom (2040–1750 BCE), and China from at least . In Europe, the Etruscans were making bronze mirrors in the sixth century BCE, and Greek and Roman mirrors followed the same pattern. Although other materials such as speculum metal had come into use, and Western glass mirrors had largely taken over, bronze mirrors were still being made in Japan and elsewhere in the eighteenth century, and are still made on a small scale in Kerala, India. Musical instruments. Bronze is the preferred metal for bells in the form of a high tin bronze alloy known as bell metal, which is typically about 23% tin. Nearly all professional cymbals are made from bronze, which gives a desirable balance of durability and timbre. Several types of bronze are used, commonly B20 bronze, which is roughly 20% tin, 80% copper, with traces of silver, or the tougher B8 bronze made from 8% tin and 92% copper. As the tin content in a bell or cymbal rises, the timbre drops. Bronze is also used for the windings of steel and nylon strings of various stringed instruments such as the double bass, piano, harpsichord, and guitar. Bronze strings are commonly reserved on pianoforte for the lower pitch tones, as they possess a superior sustain quality to that of high-tensile steel. Bronzes of various metallurgical properties are widely used in struck idiophones around the world, notably bells, singing bowls, gongs, cymbals, and other idiophones from Asia. Examples include Tibetan singing bowls, temple bells of many sizes and shapes, Javanese gamelan, and other bronze musical instruments. The earliest bronze archeological finds in Indonesia date from 1–2 BCE, including flat plates probably suspended and struck by a wooden or bone mallet. Ancient bronze drums from Thailand and Vietnam date back 2,000 years. Bronze bells from Thailand and Cambodia date back to 3600 BCE. Some companies are now making saxophones from phosphor bronze (3.5 to 10% tin and up to 1% phosphorus content). Bell bronze/B20 is used to make the tone rings of many professional model banjos. The tone ring is a heavy (usually ) folded or arched metal ring attached to a thick wood rim, over which a skin, or most often, a plastic membrane (or head) is stretched – it is the bell bronze that gives the banjo a crisp powerful lower register and clear bell-like treble register. Coins and medals. Bronze has also been used in coins; most "copper" coins are actually bronze, with about 4 percent tin and 1 percent zinc. As with coins, bronze has been used in the manufacture of various types of medals for centuries, and "bronze medals" are known in contemporary times for being awarded for third place in sporting competitions and other events. The term is now often used for third place even when no actual bronze medal is awarded. The usage in part arose from the trio of gold, silver and bronze to represent the first three Ages of Man in Greek mythology: the Golden Age, when men lived among the gods; the Silver age, where youth lasted a hundred years; and the Bronze Age, the era of heroes. It was first adopted for a sports event at the 1904 Summer Olympics. At the 1896 event, silver was awarded to winners and bronze to runners-up, while at 1900 other prizes were given rather than medals. Bronze is the normal material for the related form of the plaquette, normally a rectangular work of art with a scene in relief, for a collectors' market. Bronze is also associated with eighth wedding anniversaries. Biblical references. There are over 125 references to bronze ('nehoshet'), which appears to be the Hebrew word used for copper and any of its alloys. However, the Old Testament era Hebrews are not thought to have had the capability to manufacture zinc (needed to make brass) and so it is likely that 'nehoshet' refers to copper and its alloys with tin, now called bronze. In the King James Version, there is no use of the word 'bronze' and 'nehoshet' was translated as 'brass'. Modern translations use 'bronze'. Bronze (nehoshet) was used widely in the Tabernacle for items such as the bronze altar (Exodus Ch.27), bronze laver (Exodus Ch.30), utensils, and mirror (Exodus Ch.38). It was mentioned in the account of Moses holding up a bronze snake on a pole in Numbers Ch.21. In First Kings, it is mentioned that Hiram was very skilled in working with bronze, and he made many furnishings for Solomon's Temple including pillars, capitals, stands, wheels, bowls, and plates, some of which were highly decorative (see I Kings 7:13-47). Bronze was also widely used as battle armor and helmet, as in the battle of David and Goliath in I Samuel 17:5-6;38 (also see II Chron. 12:10).
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Benelux
The Benelux Union (; ; ; ) or Benelux is a politico-economic union, alliance and formal international intergovernmental cooperation of three neighbouring states in Western Europe: Belgium, the Netherlands, and Luxembourg. The name is a portmanteau formed from joining the first few letters of each country's name and was first used to name the customs agreement that initiated the union (signed in 1944). It is now used more generally to refer to the geographic, economic, and cultural grouping of the three countries. The Benelux is an economically dynamic and densely populated region, with 5.6% of the European population (29.55 million residents) and 7.9% of the joint EU GDP (€36,000/resident) on 1.7% of the whole surface of the EU. In 2015, 37% of the total number of EU cross-border workers worked in the Benelux; 35,000 Belgian residents work in Luxembourg, while 37,000 others cross the border to work in the Netherlands each day. In addition, 12,000 Dutch and close to a thousand Luxembourg residents work in Belgium. The main institutions of the Union are the Committee of Ministers, the Council of the Union, the General Secretariat, the Interparliamentary Consultative Council and the Benelux Court of Justice while the Benelux Office for Intellectual Property covers the same land but is not part of the Benelux Union. The Benelux General Secretariat is located in Brussels. It is the central platform of the Benelux Union cooperation. It handles the secretariat of the Committee of Ministers, the Council of Benelux Union and the sundry committees and working parties. The General Secretariat provides day-to-day support for the Benelux cooperation on the substantive, procedural, diplomatic and logistical levels. The Secretary-General is Frans Weekers from the Netherlands and there are two deputies: Deputy Secretary-General Michel-Etienne Tilemans from Belgium and Deputy Secretary-General Jean-Claude Meyer from Luxembourg. The presidency of the Benelux is held in turn by the three countries for a period of one year. Luxembourg holds the presidency for 2025. About 80 percent of the Benelux population speaks Dutch, about 20 percent speaks French and one percent Luxembourgish as their native language. A small minority under one percent are native German speakers. History. In 1944, exiled representatives of the three countries signed the London Customs Convention, the treaty that established the Benelux Customs Union. Ratified in 1947, the treaty was in force from 1948 until it was superseded by the Benelux Economic Union. The initial form of economic cooperation expanded steadily over time, leading to the signing of the treaty establishing the Benelux Economic Union ("Benelux Economische Unie", "Union Économique Benelux") on 3 February 1958 in The Hague, which came into force on 1 November 1960. Initially, the purpose of cooperation among the three partners was to put an end to customs barriers at their borders and ensure free movement of persons, capital, services, and goods between the three countries. This treaty was the first example of international economic integration in Europe since the Second World War. The three countries therefore foreshadowed and provided the model for future European integration, such as the European Coal and Steel Community, the European Economic Community (EEC), and the European Community–European Union (EC–EU). The three partners also launched the Schengen process, which came into operation in 1985. Benelux cooperation has been constantly adapted and now goes much further than mere economic cooperation, extending to new and topical policy areas connected with security, sustainable development, and the economy. In 1965, the treaty establishing a Benelux Court of Justice was signed. It entered into force in 1974. The court, composed of judges from the highest courts of the three states, has to guarantee the uniform interpretation of common legal rules. This international judicial institution is located in Luxembourg. Renewal of the agreement. The 1958 Treaty between the Benelux countries establishing the Benelux Economic Union was limited to a period of 50 years. During the following years, and even more so after the creation of the European Union, the Benelux cooperation focused on developing other fields of activity within a constantly changing international context. At the end of the 50 years, the governments of the three Benelux countries decided to renew the agreement, taking into account the new aspects of the Benelux-cooperation – such as security – and the new federal government structure of Belgium. The original establishing treaty, set to expire in 2010, was replaced by a new legal framework (called the Treaty revising the Treaty establishing the Benelux Economic Union), which was signed on 17 June 2008. The new treaty has no set time limit and the name of the "Benelux Economic Union" changed to "Benelux Union" to reflect the broad scope on the union. The main objectives of the treaty are the continuation and enlargement of the cooperation between the three member states within a larger European context. The renewed treaty explicitly foresees the possibility that the Benelux countries will cooperate with other European member states or with regional cooperation structures. The new Benelux cooperation focuses on three main topics: internal market and economic union, sustainability, justice and internal affairs. The number of structures in the renewed Treaty has been reduced and thus simplified. Benefits of the Benelux cooperation. The Benelux Union also serves as a testing ground for European cooperation. Initiatives such as diploma recognition and cross-border truck inspections set an example for further European harmonization. Benelux pilot projects 2025. Activities since 2008. Benelux seeks region-to-region cooperation, be it with France and Germany (North Rhine-Westphalia) or beyond with the Baltic States, the Nordic Council, the Visegrad countries, or even further. In 2018, a renewed political declaration was adopted between Benelux and North Rhine-Westphalia to give cooperation a further impetus. The Benelux is particularly active in the field of intellectual property. The three countries established a Benelux Trademarks Office and a Benelux Designs Office, both situated in The Hague. In 2005, they concluded a treaty establishing the Benelux Office for Intellectual Property, which replaced both offices upon its entry into force on 1 September 2006. This organisation is the official body for the registration of trademarks and designs in the Benelux. In addition, it offers the possibility to formally record the existence of ideas, concepts, designs, prototypes and the like. Some examples of recent Benelux initiatives include: automatic level recognition of diplomas and degrees within the Benelux for bachelor's and master's programs in 2015, and for all other degrees in 2018; common road inspections in 2014; and a Benelux pilot with digital consignment notes (e-CMR) in 2017; a new Benelux Treaty on Police Cooperation in 2018, providing for direct access to each other's police databases and population registers within the limits of national legislation, and allowing some police forces to cross borders in some situations. The Benelux is also committed to working together on adaptation to climate change. A joint political declaration in July 2020 called on the European Commission to prioritise cycling in European climate policy and Sustainable Transport strategies, to co-finance the construction of cycling infrastructure, and to provide funds to stimulate cycling policy. On 5 June 2018, the Benelux Treaty celebrated its 60 years of existence. In 2018, a Benelux Youth Parliament was created. In addition to cooperation based on a Treaty, there is also political cooperation in the Benelux context, including summits of the Benelux government leaders. In 2019 a Benelux summit was held in Luxembourg. In 2020, a Benelux summit was held – online, due to the COVID-19 pandemic – under Dutch Presidency on 7 October between the prime ministers. As of 1 January 2017, a new arrangement for NATO Air Policing started for the airspace of Belgium, the Netherlands and Luxemburg (Benelux). The Belgian Air Component and the Royal Netherlands Air Force will take four-month turns to ensure that Quick Reaction Alert (QRA) fighter jets are available at all times to be launched under NATO control. Cooperation with other geopolitical regions. The Benelux countries also work together in the so-called Pentalateral Energy Forum, a regional cooperation group formed of five members—the Benelux states, France, Germany, Austria, and Switzerland. Formed on 6 June 2007, the ministers for energy from the various countries represent a total of 200 million residents and 40% of the European electricity network. In 2017 the members of the Benelux, the Baltic Assembly, three members of the Nordic Council (Sweden, Denmark and Finland), and all the other countries EU member states, sought to increase cooperation in the Digital Single Market, as well as discussing social matters, the Economic and Monetary Union of the European Union, immigration and defence cooperation. Foreign relations in the wake of Russia's annexation of Crimea and the 2017 Turkish constitutional referendum were also on the agenda. Since 2008 the Benelux Union works together with the German Land (state) North Rhine-Westphalia. In 2018 Benelux Union signed a declaration with France to strengthen cross-border cooperation. Politics. Benelux institutions. Under the 2008 treaty there are five Benelux institutions: the Benelux Committee of Ministers, the Benelux Council, the Benelux Parliament, the Benelux Court of Justice, the Benelux Secretariat General. Beside these five institutions, the Benelux Organisation for Intellectual Property is also an independent organisation. Benelux Committee of Ministers: The Committee of Ministers is the supreme decision-making body of the Benelux. It includes at least one representative at ministerial level from the three countries. Its composition varies according to its agenda. The ministers determine the orientations and priorities of Benelux cooperation. The presidency of the Committee rotates between the three countries on an annual basis. Benelux Council: The council is composed of senior officials from the relevant ministries. Its composition varies according to its agenda. The council's main task is to prepare the dossiers for the ministers. Benelux InterParliamentary Consultative Council: The Benelux Parliament (officially referred to as an "Interparliamentary Consultative Council") was created in 1955. This parliamentary assembly is composed of 49 members from the respective national parliaments (21 members of the Dutch parliament, 21 members of the Belgian national and regional parliaments, and 7 members of the Luxembourg parliament). Its members inform and advise their respective governments on all Benelux matters. On 20 January 2015, the governments of the three countries, including, as far as Belgium is concerned, the community and regional governments, signed in Brussels the Treaty of the Benelux Interparliamentary Assembly. This treaty entered into force on 1 August 2019. This superseded the 1955 Convention on the Consultative Interparliamentary Council for the Benelux. The official name has been largely obsolete in daily practice for a number of years: both internally in the Benelux and in external references, the name Benelux Parliament has been used "de facto" for a number of years now. Benelux Court of Justice: The Benelux Court of Justice is an international court. Its mission is to promote uniformity in the application of Benelux legislation. When faced with difficulty interpreting a common Benelux legal rule, national courts must seek an interpretive ruling from the Benelux Court, which subsequently renders a binding decision. The members of the Court are appointed from among the judges of the 'Cour de cassation' of Belgium, the 'Hoge Raad of the Netherlands' and the 'Cour de cassation' of Luxembourg. Benelux General Secretariat: The General Secretariat, which is based in Brussels, forms the cooperation platform of the Benelux Union. It acts as the secretariat of the Committee of Ministers, the council and various commissions and working groups. The General Secretariat has years of expertise in the area of Benelux cooperation and is familiar with the policy agreements and differences between the three countries. Building on what already been achieved, the General Secretariat puts its knowledge, network and experience at the service of partners and stakeholders who endorse its mission. It initiates, supports and monitors cooperation results in the areas of economy, sustainability and security. The Secretary General of the Benelux is Frans Weekers (NL), the Deputy Secretary General is Michel-Etienne Tilemans (BE) and Jean-Claude Meyer (LU) Benelux works together on the basis of an annual plan embedded in a four-year joint work programme. Benelux legal instruments. The Benelux Union involves intergovernmental cooperation. The Treaty establishing the Benelux Union explicitly provides that the Benelux Committee of Ministers can resort to four legal instruments (art. 6, paragraph 2, under a), f), g) and h)): 1. Decisions Decisions are legally binding regulations for implementing the Treaty establishing the Benelux Union or other Benelux treaties. Their legally binding force concerns the Benelux states (and their sub-state entities), which have to implement them. However, they have no direct effect towards individual citizens or companies (notwithstanding any indirect protection of their rights based on such decisions as a source of international law). Only national provisions implementing a decision can directly create rights and obligations for citizens or companies. 2. Agreements The Committee of Ministers can draw up agreements, which are then submitted to the Benelux states (and/or their sub-state entities) for signature and subsequent parliamentary ratification. These agreements can deal with any subject matter, also in policy areas that are not yet covered by cooperation in the framework of the Benelux Union. These are in fact traditional treaties, with the same direct legally binding force towards both authorities and citizens or companies. The negotiations do however take place in the established context of the Benelux working groups and institutions, rather than on an ad hoc basis. 3. Recommendations Recommendations are non-binding orientations, adopted at ministerial level, which underpin the functioning of the Benelux Union. These (policy) orientations may not be legally binding, but given their adoption at the highest political level and their legal basis vested directly in the Treaty, they do entail a strong moral obligation for any authority concerned in the Benelux countries. 4. Directives Directives of the Committee of Ministers are mere inter-institutional instructions towards the Benelux Council and/or the Secretariat-General, for which they are binding. This instrument has so far only been used occasionally, basically in order to organize certain activities within a Benelux working group or to give them impetus. All four instruments require the unanimous approval of the members of the Committee of Ministers (and, in the case of agreements, subsequent signature and ratification at national level).
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Boston Herald
The Boston Herald is an American conservative daily newspaper whose primary market is Boston, Massachusetts, and its surrounding area. It was founded in 1846 and is one of the oldest daily newspapers in the United States. It has been awarded eight Pulitzer Prizes in its history, including four for editorial writing and three for photography before it was converted to tabloid format in 1981. In December 2017, the "Herald" filed for bankruptcy. On February 14, 2018, Digital First Media successfully bid $11.9 million to purchase the company in a bankruptcy auction; the acquisition was completed on March 19, 2018. As of August 2018, the paper had approximately 110 total employees, compared to about 225 before the sale. History. The "Herald" history traces back through two lineages, the "Daily Advertiser" and the old "Boston Herald", and two media moguls, William Randolph Hearst and Rupert Murdoch. Founding. The original "Boston Herald" was founded in 1846 by a group of Boston printers jointly under the name of John A. French & Company. The paper was published as a single two-sided sheet, selling for one cent. Its first editor, William O. Eaton, just 22 years old, said "The "Herald" will be independent in politics and religion; liberal, industrious, enterprising, critically concerned with literacy and dramatic matters, and diligent in its mission to report and analyze the news, local and global." In 1847, the "Boston Herald" absorbed the Boston "American Eagle". "The Boston Herald and Boston Journal". In October 1917, John H. Higgins, the publisher and treasurer of the Boston Herald bought out its next door neighbor "The Boston Journal" and created "The Boston Herald and Boston Journal" "The American Traveler". Even earlier than the "Herald", the weekly "American Traveler" was founded in 1825 as a bulletin for stagecoach listings. The "Boston Evening Traveller". The "Boston Evening Traveler" was founded in 1845. The " Boston Evening Traveler" was the successor to the weekly "American Traveler" and the semi-weekly "Boston Traveler". In 1912, the "Herald" acquired the "Traveler", continuing to publish both under their own names. For many years, the newspaper was controlled by many of the investors in United Shoe Machinery Corporation. After a newspaper strike in 1967, Herald-Traveler Corp. suspended the afternoon "Traveler" and absorbed the evening edition into the Herald to create the "Boston Herald Traveler." "The Boston Daily Advertiser". The "Boston Daily Advertiser" was established in 1813 in Boston by Nathan Hale. The paper grew to prominence throughout the 19th century, taking over other Boston area papers. In 1832 The Advertiser took over control of "The Boston Patriot", and then in 1840 it took over and absorbed "The Boston Gazette". The paper was purchased by William Randolph Hearst in 1917. In 1920 the "Advertiser" was merged with "The Boston Record", initially the combined newspaper was called the "Boston Advertiser" however when the combined newspaper became an illustrated tabloid in 1921 it was renamed "The Boston American". Hearst Corp. continued using the name "Advertiser" for its Sunday paper until the early 1970s. "The Boston Record". On September 3, 1884, "The Boston Evening Record" was started by the "Boston Advertiser" as a campaign newspaper. The "Record" was so popular that it was made a permanent publication. "The Boston American". In 1904, William Randolph Hearst began publishing his own newspaper in Boston called "The American". Hearst ultimately ended up purchasing the "Daily Advertiser" in 1917. By 1938, the "Daily Advertiser" had changed to the "Daily Record", and "The American" had become the "Sunday Advertiser". A third paper owned by Hearst, called the "Afternoon Record", which had been renamed the "Evening American", merged in 1961 with the "Daily Record" to form the "Record American". The "Sunday Advertiser" and "Record American" would ultimately be merged in 1972 into "The Boston Herald Traveler" a line of newspapers that stretched back to the old "Boston Herald". "The Boston Herald Traveler". In 1946, Herald-Traveler Corporation acquired Boston radio station WHDH. Two years later, WHDH-FM was licensed, and on November 26, 1957, WHDH-TV made its debut as an ABC affiliate on channel 5. In 1961, WHDH-TV's affiliation switched to CBS. The television station operated for years beginning some time after under temporary authority from the Federal Communications Commission. Controversy arose over luncheon meetings the newspaper's chief executive purportedly had with John C. Doerfer, chairman of the FCC between 1957 and 1960, who served as a commissioner during the original licensing process. (Some Boston broadcast historians accuse "The Boston Globe" of being covertly behind the proceeding as a sort of vendetta for not getting a license—The "Herald Traveler" was Republican in sympathies, and the "Globe" then had a firm policy of not endorsing political candidates, although Doerfer's history at the FCC also lent suspicions.) The FCC ordered comparative hearings, and in 1969 a competing applicant, Boston Broadcasters, Inc., was granted a construction permit to replace WHDH-TV on channel 5. Herald-Traveler Corporation fought the decision in court—by this time, revenues from channel 5 were all but keeping the newspaper afloat—but lost its final appeal. On March 19, 1972, WHDH-TV was forced to surrender channel 5 to the new WCVB-TV. "The Boston Herald Traveler and Record American". Without a television station to subsidize the newspaper, the "Herald Traveler" was no longer able to remain in business, and the newspaper was sold to Hearst Corporation, which published the rival all-day newspaper, the "Record American". The two papers were merged to become an all-day paper called the "Boston Herald Traveler and Record American" in the morning and "Record American and Boston Herald Traveler" in the afternoon. The first editions published under the new combined name were those of June 19, 1972. The afternoon edition was soon dropped and the unwieldy name shortened to "Boston Herald American", with the Sunday edition called the "Sunday Herald Advertiser". The "Herald American" was printed in broadsheet format, and failed to target a particular readership; where the "Record American" had been a typical city tabloid, the "Herald Traveler" was a Republican paper. Murdoch purchases "The Herald American". The "Herald American" converted to tabloid format in September 1981, but Hearst faced steep declines in circulation and advertising. The company announced it would close the "Herald American"—making Boston a one-newspaper town—on December 3, 1982. When the deadline came, Australian-born media baron Rupert Murdoch was negotiating to buy the paper and save it. He closed on the deal after 31 hours of talks with Hearst and newspaper unions—and five hours after Hearst had sent out notices to newsroom employees telling them they were terminated. The newspaper announced its own survival the next day with a full-page headline: "You Bet We're Alive!" The "Boston Herald". Murdoch changed the paper's name back to the "Boston Herald". The "Herald" continued to grow, expanding its coverage and increasing its circulation until 2001, when nearly all newspapers fell victim to declining circulations and revenue. Independent ownership. In February 1994, Murdoch's News Corporation was forced to sell the paper, in order that its subsidiary Fox Television Stations could legally consummate its purchase of Fox affiliate WFXT (Channel 25) because Massachusetts Senator Ted Kennedy included language in an appropriations bill barring one company from owning a newspaper and television station in the same market. Patrick J. Purcell, who was the publisher of the "Boston Herald" and a former News Corporation executive, purchased the "Herald" and established it as an independent newspaper. Several years later, Purcell would give the "Herald" a suburban presence it never had by purchasing the money-losing Community Newspaper Company from Fidelity Investments. Although the companies merged under the banner of Herald Media, Inc., the suburban papers maintained their distinct editorial and marketing identity. After years of operating profits at Community Newspaper and losses at the "Herald", Purcell in 2006 sold the suburban chain to newspaper conglomerate Liberty Group Publishing of Illinois, which soon after changed its name to GateHouse Media. The deal, which also saw GateHouse acquiring "The Patriot Ledger" and "The Enterprise" respectively in south suburban Quincy and Brockton, netted $225 million for Purcell, who vowed to use the funds to clear the "Herald"'s debt and reinvest in the Paper. Boston Herald Radio. On August 5, 2013, the "Herald" launched an internet radio station named Boston Herald Radio, which includes shows hosted by much of the "Herald" staff. The station's morning lineup is simulcast on 830 AM WCRN from 10 am Eastern time to 12 noon Eastern time. Bankruptcy. In December 2017, the "Herald" announced plans to sell itself to GateHouse Media after filing for chapter 11 bankruptcy protection. The deal was scheduled to be completed by February 2018, with the new company streamlining and having layoffs in coming months. However, in early January 2018, another potential buyer, Revolution Capital Group of Los Angeles, filed a bid with the federal bankruptcy court; the "Herald" reported in a press release that "the court requires BHI [Boston Herald, Inc.] to hold an auction to allow all potential buyers an opportunity to submit competing offers." Digital First Media acquisition. In February 2018, acquisition of the "Herald" by Digital First Media for almost $12 million was approved by the bankruptcy court judge in Delaware. The new owner, DFM, said they would be keeping 175 of the approximately 240 employees the "Herald" had when it sought bankruptcy protection in December 2017. The acquisition was completed on March 19, 2018. The Herald and parent DFM were criticized for ending the ten-year printing contract with competitor "The Boston Globe", moving printing from Taunton, Massachusetts, to Rhode Island and its "dehumanizing cost-cutting efforts" in personnel. In June, some design and advertising layoffs were expected, with work moving to a sister paper, "The Denver Post". The "consolidation" took effect in August, with nine jobs eliminated. In late August 2018, it was announced that the "Herald" would move its offices from Boston's Seaport District to Braintree, Massachusetts, in late November or early December. On October 27, 2020, the "Boston Herald" endorsed Donald Trump for the 2020 U.S. Presidential Election. In July 2024, the newspaper laid off three employees. It is not publicly known how many people still work at the "Boston Herald", but the newsroom in 2020 consisted of 24 employees. A few years prior, the paper employed 240 people. References. Boston Herald July 29, 1998
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Babe Ruth
George Herman "Babe" Ruth (February 6, 1895 – August 16, 1948) was an American professional baseball player whose career in Major League Baseball (MLB) spanned 22 seasons, from 1914 through 1935. Nicknamed "the Bambino" and "the Sultan of Swat", he began his MLB career as a star left-handed pitcher for the Boston Red Sox, but achieved his greatest fame as a slugging outfielder for the New York Yankees. Ruth is regarded as one of the greatest sports heroes in American culture and is considered by many to be the greatest baseball player of all time. In 1936, Ruth was elected to the Baseball Hall of Fame as one of its "first five" inaugural members. At age seven, Ruth was sent to St. Mary's Industrial School for Boys, a reformatory where he was mentored by Brother Matthias Boutlier of the Xaverian Brothers, the school's disciplinarian and a capable baseball player. In 1914, Ruth was signed to play Minor League baseball for the Baltimore Orioles but was soon sold to the Red Sox. By 1916, he had built a reputation as an outstanding pitcher who sometimes hit long home runs, a feat unusual for any player in the dead-ball era. Although Ruth twice won 23 games in a season as a pitcher and was a member of three World Series championship teams with the Red Sox, he wanted to play every day and was allowed to convert to an outfielder. With regular playing time, he broke the MLB single-season home run record in 1919 with 29. After that season, Red Sox owner Harry Frazee sold Ruth to the Yankees amid controversy. The trade fueled Boston's subsequent 86-year championship drought and popularized the "Curse of the Bambino" superstition. In his 15 years with the Yankees, Ruth helped the team win seven American League (AL) pennants and four World Series championships. His big swing led to escalating home run totals that not only drew fans to the ballpark and boosted the sport's popularity but also helped usher in baseball's live-ball era, which evolved from a low-scoring game of strategy to a sport where the home run was a major factor. As part of the Yankees' vaunted "Murderers' Row" lineup of 1927, Ruth hit 60 home runs, which extended his own MLB single-season record by a single home run. Ruth's last season with the Yankees was 1934, and he retired after a short stint with the Boston Braves the following year. In his career, he led the AL in home runs twelve times. During Ruth's career, he was the target of intense press and public attention for his baseball exploits and off-field penchants for drinking and womanizing. After his retirement as a player, he was denied the opportunity to manage a major league club, most likely because of poor behavior during parts of his playing career. In his final years, Ruth made many public appearances, especially in support of American efforts in World War II. In 1946, he became ill with nasopharyngeal cancer and died from the disease two years later. Ruth remains a major figure in American culture. Early life. George Herman Ruth Jr. was born on February 6, 1895, at 216 Emory Street in the Pigtown neighborhood of Baltimore, in a house which belonged to his maternal grandfather Pius Schamberger, a German immigrant and trade unionist. Ruth's parents, Katherine (née Schamberger) and George Herman Ruth Sr., were both of German ancestry. According to the 1880 census, his parents were both born in Maryland. His paternal grandparents were from Prussia and Hanover, Germany. Ruth Sr. worked a series of jobs that included lightning rod salesman and streetcar operator. The elder Ruth then became a counterman in a family-owned combination grocery and saloon business on Frederick Street. Only one of young Ruth's seven siblings, his younger sister Mamie, survived infancy. Many details of Ruth's childhood are unknown, including the date of his parents' marriage. As a child, Ruth spoke German. When Ruth was a toddler, the family moved to 339 South Woodyear Street, not far from the rail yards; by the time he was six years old, his father had a saloon with an upstairs apartment at 426 West Camden Street. Details are equally scanty about why Ruth was sent at the age of seven to St. Mary's Industrial School for Boys, a reformatory and orphanage. However, according to Julia Ruth Stevens' recount in 1999, because George Sr. was a saloon owner in Baltimore and had given Ruth little supervision growing up, he became a delinquent. Ruth was sent to St. Mary's because George Sr. ran out of ideas to discipline and mentor his son. As an adult, Ruth admitted that as a youth he ran the streets, rarely attended school, and drank beer when his father was not looking. Some accounts say that following a violent incident at his father's saloon, the city authorities decided that this environment was unsuitable for a small child. Ruth entered St. Mary's on June 13, 1902. He was recorded as "incorrigible" and spent much of the next 12 years there. Although St. Mary's boys received an education, students were also expected to learn work skills and help operate the school, particularly once the boys turned 12. Ruth became a shirtmaker and was also proficient as a carpenter. He would adjust his own shirt collars, rather than having a tailor do so, even during his well-paid baseball career. The boys, aged 5 to 21, did most of the work around the facility, from cooking to shoemaking, and renovated St. Mary's in 1912. The food was simple, and the Xaverian Brothers who ran the school insisted on strict discipline; corporal punishment was common. Ruth's nickname there was "Niggerlips", as he had large facial features and was darker than most boys at the all-white reformatory. Ruth was sometimes allowed to rejoin his family or was placed at St. James's Home, a supervised residence with work in the community, but he was always returned to St. Mary's. He was rarely visited by his family; his mother died when he was 12 and, by some accounts, he was permitted to leave St. Mary's only to attend the funeral. How Ruth came to play baseball there is uncertain: according to one account, his placement at St. Mary's was due in part to repeatedly breaking Baltimore's windows with long hits while playing street ball; by another, he was told to join a team on his first day at St. Mary's by the school's athletic director, Brother Herman, becoming a catcher even though left-handers rarely play that position. During his time there he also played third base and shortstop, again unusual for a left-hander, and was forced to wear mitts and gloves made for right-handers. He was encouraged in his pursuits by the school's Prefect of Discipline, Brother Matthias Boutlier, a native of Nova Scotia. A large man, Brother Matthias was greatly respected by the boys both for his strength and for his fairness. For the rest of his life, Ruth would praise Brother Matthias, and his running and hitting styles closely resembled his teacher's. Ruth stated, "I think I was born as a hitter the first day I ever saw him hit a baseball." The older man became a mentor and role model to Ruth; biographer Robert W. Creamer commented on the closeness between the two: The school's influence remained with Ruth in other ways. He was a lifelong Catholic who would sometimes attend Mass after carousing all night, and he became a well-known member of the Knights of Columbus. He would visit orphanages, schools, and hospitals throughout his life, often avoiding publicity. He was generous to St. Mary's as he became famous and rich, donating money and his presence at fundraisers, and spending $5,000 to buy Brother Matthias a Cadillac in 1926—subsequently replacing it when it was destroyed in an accident. Nevertheless, his biographer Leigh Montville suggests that many of the off-the-field excesses of Ruth's career were driven by the deprivations of his time at St. Mary's. Most of the boys at St. Mary's played baseball in organized leagues at different levels of proficiency. Ruth later estimated that he played 200 games a year as he steadily climbed the ladder of success. Although he played all positions at one time or another, he gained stardom as a pitcher. According to Brother Matthias, Ruth was standing to one side laughing at the bumbling pitching efforts of fellow students, and Matthias told him to go in and see if he could do better. Ruth had become the best pitcher at St. Mary's, and when he was 18 in 1913, he was allowed to leave the premises to play weekend games on teams that were drawn from the community. He was mentioned in several newspaper articles, for both his pitching prowess and ability to hit long home runs. Professional baseball. Minor leagues: Baltimore Orioles. In early 1914, Ruth signed a professional baseball contract with Jack Dunn, who owned and managed the minor-league Baltimore Orioles, an International League team. The circumstances of Ruth's signing are not known with certainty. By some accounts, Dunn was urged to attend a game between an all-star team from St. Mary's and one from another Xaverian facility, Mount St. Mary's College. Some versions have Ruth running away before the eagerly awaited game, to be punished, and then returning to pitch St. Mary's to victory as Dunn watched. Others have Washington Senators pitcher Joe Engel, a Mount St. Mary's graduate, pitching in an alumni game after watching a preliminary contest between the college's freshmen and a team from St. Mary's, including Ruth. Engel watched Ruth play, then told Dunn about him at a chance meeting in Washington. Ruth, in his autobiography, stated only that he worked out for Dunn for a half hour, and was signed. According to biographer Kal Wagenheim, there were legal difficulties to be straightened out as Ruth was supposed to remain at the school until he turned 21, though SportsCentury stated in a documentary that Ruth had already been discharged from St. Mary's when he turned 19, and earned a monthly salary of $100. The train journey to spring training in Fayetteville, North Carolina, in early March was likely Ruth's first outside the Baltimore area. The rookie ballplayer was the subject of various pranks by veteran players, who were probably also the source of his famous nickname. There are various accounts of how Ruth came to be called "Babe", but most center on his being referred to as "Dunnie's babe" (or some variant). SportsCentury reported that his nickname was gained because he was the new "darling" or "project" of Dunn, not only because of Ruth's raw talent, but also because of his lack of knowledge of the proper etiquette of eating out in a restaurant, being in a hotel, or being on a train. "Babe" was, at that time, a common nickname in baseball, with perhaps the most famous to that point being Pittsburgh Pirates pitcher and 1909 World Series hero Babe Adams, who appeared younger than his actual age. Ruth made his first appearance as a professional ballplayer in an inter-squad game on March 7, 1914. He played shortstop and pitched the last two innings of a 15–9 victory. In his second at-bat, Ruth hit a long home run to right field; the blast was locally reported to be longer than a legendary shot hit by Jim Thorpe in Fayetteville. Ruth made his first appearance against a team in organized baseball in an exhibition game versus the major-league Philadelphia Phillies. Ruth pitched the middle three innings and gave up two runs in the fourth, but then settled down and pitched a scoreless fifth and sixth innings. In a game against the Phillies the following afternoon, Ruth entered during the sixth inning and did not allow a run the rest of the way. The Orioles scored seven runs in the bottom of the eighth inning to overcome a 6–0 deficit, and Ruth was the winning pitcher. Once the regular season began, Ruth was a star pitcher who was also dangerous at the plate. The team performed well, yet received almost no attention from the Baltimore press. A third major league, the Federal League, had begun play, and the local franchise, the Baltimore Terrapins, restored that city to the major leagues for the first time since 1902. Few fans visited Oriole Park, where Ruth and his teammates labored in relative obscurity. Ruth may have been offered a bonus and a larger salary to jump to the Terrapins; when rumors to that effect swept Baltimore, giving Ruth the most publicity he had experienced to date, a Terrapins official denied it, stating it was their policy not to sign players under contract to Dunn. The competition from the Terrapins caused Dunn to sustain large losses. Although by late June the Orioles were in first place, having won over two-thirds of their games, the paid attendance dropped as low as 150. Dunn explored a possible move by the Orioles to Richmond, Virginia, as well as the sale of a minority interest in the club. These possibilities fell through, leaving Dunn with little choice other than to sell his best players to major league teams to raise money. He offered Ruth to the reigning World Series champions, Connie Mack's Philadelphia Athletics, but Mack had his own financial problems. The Cincinnati Reds and New York Giants expressed interest in Ruth, but Dunn sold his contract, along with those of pitchers Ernie Shore and Ben Egan, to the Boston Red Sox of the American League (AL) on July 4. The sale price was announced as $25,000 but other reports lower the amount to half that, or possibly $8,500 plus the cancellation of a $3,000 loan. Ruth remained with the Orioles for several days while the Red Sox completed a road trip, and reported to the team in Boston on July 11. Boston Red Sox (1914–1919). Developing star. On July 11, 1914, Ruth arrived in Boston with Egan and Shore. Ruth later told the story of how that morning he had met Helen Woodford, who would become his first wife. She was a 16-year-old waitress at Landers Coffee Shop, and Ruth related that she served him when he had breakfast there. Other stories, though, suggested that the meeting occurred on another day, and perhaps under other circumstances. Regardless of when he began to court his first wife, he won his first game as a pitcher for the Red Sox that afternoon, 4–3, over the Cleveland Naps. His catcher was Bill Carrigan, who was also the Red Sox manager. Shore was given a start by Carrigan the next day; he won that and his second start and thereafter was pitched regularly. Ruth lost his second start, and was thereafter little used. In his major league debut as a batter, Ruth went 0-for-2 against left-hander Willie Mitchell, striking out in his first at bat before being removed for a pinch hitter in the seventh inning. Ruth was not much noticed by the fans, as Bostonians watched the Red Sox's crosstown rivals, the Braves, begin a legendary comeback that would take them from last place on the Fourth of July to the 1914 World Series championship. Egan was traded to Cleveland after two weeks on the Boston roster. During his time with the Red Sox, he kept an eye on the inexperienced Ruth, much as Dunn had in Baltimore. When he was traded, no one took his place as supervisor. Ruth's new teammates considered him brash and would have preferred him as a rookie to remain quiet and inconspicuous. When Ruth insisted on taking batting practice despite being both a rookie who did not play regularly and a pitcher, he arrived to find his bats sawed in half. His teammates nicknamed him "the Big Baboon", a name the swarthy Ruth, who had disliked the nickname "Niggerlips" at St. Mary's, detested. Ruth had received a raise on promotion to the major leagues and quickly acquired tastes for fine food, liquor, and women, among other temptations. Manager Carrigan allowed Ruth to pitch two exhibition games in mid-August. Although Ruth won both against minor-league competition, he was not restored to the pitching rotation. It is uncertain why Carrigan did not give Ruth additional opportunities to pitch. There are legends—filmed for the screen in "The Babe Ruth Story" (1948)—that the young pitcher had a habit of signaling his intent to throw a curveball by sticking out his tongue slightly, and that he was easy to hit until this changed. Creamer pointed out that it is common for inexperienced pitchers to display such habits, and the need to break Ruth of his would not constitute a reason to not use him at all. The biographer suggested that Carrigan was unwilling to use Ruth because of the rookie's poor behavior. On July 30, 1914, Boston owner Joseph Lannin had purchased the minor-league Providence Grays, members of the International League. The Providence team had been owned by several people associated with the Detroit Tigers, including star hitter Ty Cobb, and as part of the transaction, a Providence pitcher was sent to the Tigers. To soothe Providence fans upset at losing a star, Lannin announced that the Red Sox would soon send a replacement to the Grays. This was intended to be Ruth, but his departure for Providence was delayed when Cincinnati Reds owner Garry Herrmann claimed him by waiver. After Lannin wrote to Herrmann explaining that the Red Sox wanted Ruth in Providence so he could develop as a player, and would not release him to a major league club, Herrmann allowed Ruth to be sent to the minors. Carrigan later stated that Ruth was not sent down to Providence to make him a better player, but to help the Grays win the International League pennant (league championship). Ruth joined the Grays on August 18, 1914. After Dunn's deals, the Baltimore Orioles managed to hold on to first place until August 15, after which they continued to fade, leaving the pennant race between Providence and Rochester. Ruth was deeply impressed by Providence manager "Wild Bill" Donovan, previously a star pitcher with a 25–4 win–loss record for Detroit in 1907; in later years, he credited Donovan with teaching him much about pitching. Ruth was often called upon to pitch, in one stretch starting (and winning) four games in eight days. On September 5 at Maple Leaf Park in Toronto, Ruth pitched a one-hit 9–0 victory, and hit his first professional home run, his only one as a minor leaguer, off Ellis Johnson. Recalled to Boston after Providence finished the season in first place, he pitched and won a game for the Red Sox against the New York Yankees on October 2, getting his first major league hit, a double. Ruth finished the season with a record of 2–1 as a major leaguer and 23–8 in the International League (for Baltimore and Providence). Once the season concluded, Ruth married Helen in Ellicott City, Maryland. Creamer speculated that they did not marry in Baltimore, where the newlyweds boarded with George Ruth Sr., to avoid possible interference from those at St. Mary's—both bride and groom were not yet of age and Ruth remained on parole from that institution until his 21st birthday. In March 1915, Ruth reported to Hot Springs, Arkansas, for his first major league spring training. Despite a relatively successful first season, he was not slated to start regularly for the Red Sox, who already had two "superb" left-handed pitchers, according to Creamer: the established stars Dutch Leonard, who had broken the record for the lowest earned run average (ERA) in a single season; and Ray Collins, a 20-game winner in both 1913 and 1914. Ruth was ineffective in his first start, taking the loss in the third game of the season. Injuries and ineffective pitching by other Boston pitchers gave Ruth another chance, and after some good relief appearances, Carrigan allowed Ruth another start, and he won a rain-shortened seven inning game. Ten days later, the manager had him start against the New York Yankees at the Polo Grounds. Ruth took a 3–2 lead into the ninth, but lost the game 4–3 in 13 innings. Ruth, hitting ninth as was customary for pitchers, hit a massive home run into the upper deck in right field off of Jack Warhop. At the time, home runs were rare in baseball, and Ruth's majestic shot awed the crowd. The winning pitcher, Warhop, would in August 1915 conclude a major league career of eight seasons, undistinguished but for being the first major league pitcher to give up a home run to Babe Ruth. Carrigan was sufficiently impressed by Ruth's pitching to give him a spot in the starting rotation. Ruth finished the 1915 season 18–8 as a pitcher; as a hitter, he batted .315 and had four home runs. The Red Sox won the AL pennant, but with the pitching staff healthy, Ruth was not called upon to pitch in the 1915 World Series against the Philadelphia Phillies. Boston won in five games. Ruth was used as a pinch hitter in Game Five, but grounded out against Phillies ace Grover Cleveland Alexander. Despite his success as a pitcher, Ruth was acquiring a reputation for long home runs; at Sportsman's Park against the St. Louis Browns, a Ruth hit soared over Grand Avenue, breaking the window of a Chevrolet dealership. In 1916, attention focused on Ruth's pitching as he engaged in repeated pitching duels with Washington Senators' ace Walter Johnson. The two met five times during the season with Ruth winning four and Johnson one (Ruth had a no decision in Johnson's victory). Two of Ruth's victories were by the score of 1–0, one in a 13-inning game. Of the 1–0 shutout decided without extra innings, AL president Ban Johnson stated, "That was one of the best ball games I have ever seen." For the season, Ruth went 23–12, with a 1.75 ERA and nine shutouts, both of which led the league. Ruth's nine shutouts in 1916 set a league record for left-handers that would remain unmatched until Ron Guidry tied it in 1978. The Red Sox won the pennant and World Series again, this time defeating the Brooklyn Robins (as the Dodgers were then known) in five games. Ruth started and won Game 2, 2–1, in 14 innings. Until another game of that length was played in 2005, this was the longest World Series game, and Ruth's pitching performance is still the longest postseason complete game victory. Carrigan retired as player and manager after 1916, returning to his native Maine to be a businessman. Ruth, who played under four managers who are in the National Baseball Hall of Fame, always maintained that Carrigan, who is not enshrined there, was the best skipper he ever played for. There were other changes in the Red Sox organization that offseason, as Lannin sold the team to a three-man group headed by New York theatrical promoter Harry Frazee. Jack Barry was hired by Frazee as manager. Emergence as a hitter. Ruth pitched a league-leading 35 complete games and went 24–13 with a 2.01 ERA and six shutouts in 1917, but the Sox finished in second place in the league, nine games behind the Chicago White Sox in the standings. On June 23 at Washington, when home plate umpire 'Brick' Owens called the first four pitches as balls, Ruth was ejected from the game and threw a punch at him, and was later suspended for ten days and fined $100. Ernie Shore was called in to relieve Ruth, and was allowed eight warm-up pitches. The runner who had reached base on the walk was caught stealing, and Shore retired all 26 batters he faced to win the game. Shore's feat was listed as a perfect game for many years. In 1991, Major League Baseball's (MLB) Committee on Statistical Accuracy amended it to be listed as a combined no-hitter. In 1917, Ruth was used little as a batter, other than for his plate appearances while pitching, and hit .325 with two home runs. The United States' entry into World War I occurred at the start of the season and overshadowed baseball. Conscription was introduced in September 1917, and most baseball players in the big leagues were of draft age. This included Barry, who was a player-manager, and who joined the Naval Reserve in an attempt to avoid the draft, only to be called up after the 1917 season. Frazee hired International League President Ed Barrow as Red Sox manager. Barrow had spent the previous 30 years in a variety of baseball jobs, though he never played the game professionally. With the major leagues shorthanded because of the war, Barrow had many holes in the Red Sox lineup to fill. Ruth also noticed these vacancies in the lineup. He was dissatisfied in the role of a pitcher who appeared every four or five days and wanted to play every day at another position. Barrow used Ruth at first base and in the outfield during the exhibition season, but he restricted him to pitching as the team moved toward Boston and the season opener. At the time, Ruth was possibly the best left-handed pitcher in baseball, and allowing him to play another position was an experiment that could have backfired. Inexperienced as a manager, Barrow had player Harry Hooper advise him on baseball game strategy. Hooper urged his manager to allow Ruth to play another position when he was not pitching, arguing to Barrow, who had invested in the club, that the crowds were larger on days when Ruth played, as they were attracted by his hitting. In early May, Barrow gave in; Ruth promptly hit home runs in four consecutive games (one an exhibition), the last off of Walter Johnson. For the first time in his career (disregarding pinch-hitting appearances), Ruth was assigned a place in the batting order higher than ninth. Although Barrow predicted that Ruth would beg to return to pitching the first time he experienced a batting slump, that did not occur. Barrow used Ruth primarily as an outfielder in the war-shortened 1918 season. Ruth hit .300, with 11 home runs, enough to secure him a share of the major league home run title with Tilly Walker of the Philadelphia Athletics. He was still occasionally used as a pitcher, and had a 13–7 record with a 2.22 ERA. On July 8, in a scoreless game, with a runner on first base Ruth hit a ball out of the ballpark to drive in the game-winning run; this was recorded as a triple, since the rules at that time considered the game over once the winning run scored. In 1968 the Special Baseball Records Committee unanimously ruled this, along with 36 other hits, a home run, but in part due to the perceived importance of preserving Ruth's home run total at 714, in 1969 the committee reversed this decision. In 1918, the Red Sox won their third pennant in four years and faced the Chicago Cubs in the World Series, which began on September 5, the earliest date in history. The season had been shortened because the government had ruled that baseball players who were eligible for the military would have to be inducted or work in critical war industries, such as armaments plants. Ruth pitched and won Game One for the Red Sox, a 1–0 shutout. Before Game Four, Ruth injured his left hand in a fight but pitched anyway. He gave up seven hits and six walks, but was helped by outstanding fielding behind him and by his own batting efforts, as a fourth-inning triple by Ruth gave his team a 2–0 lead. The Cubs tied the game in the eighth inning, but the Red Sox scored to take a 3–2 lead again in the bottom of that inning. After Ruth gave up a hit and a walk to start the ninth inning, he was relieved on the mound by Joe Bush. To keep Ruth and his bat in the game, he was sent to play left field. Bush retired the side to give Ruth his second win of the Series, and the third and last World Series pitching victory of his career, against no defeats, in three pitching appearances. Ruth's effort gave his team a three-games-to-one lead, and two days later the Red Sox won their third Series in four years, four-games-to-two. Before allowing the Cubs to score in Game Four, Ruth pitched consecutive scoreless innings, a record for the World Series that stood for more than 40 years until 1961, broken by Whitey Ford. Ruth was prouder of that record than he was of any of his batting feats. With the World Series over, Ruth gained exemption from the war draft by accepting a nominal position with a Pennsylvania steel mill. Many industrial establishments took pride in their baseball teams and sought to hire major leaguers. The end of the war in November set Ruth free to play baseball without such contrivances. During the 1919 season, Ruth was used as a pitcher in only 17 of his 130 games and compiled a 9–5 record. Barrow used him as a pitcher mostly in the early part of the season, when the Red Sox manager still had hopes of a second consecutive pennant. By late June, the Red Sox were clearly out of the race, and Barrow had no objection to Ruth concentrating on his hitting, if only because it drew people to the ballpark. Ruth had hit a home run against the Yankees on Opening Day, and another during a month-long batting slump that soon followed. Relieved of his pitching duties, Ruth began an unprecedented spell of slugging home runs, which gave him widespread public and press attention. Even his failures were seen as majestic—one sportswriter said, "When Ruth misses a swipe at the ball, the stands quiver." Two home runs by Ruth on July 5, and one in each of two consecutive games a week later, raised his season total to 11, tying his career best from 1918. The first record to fall was the AL single-season mark of 16, set by Ralph "Socks" Seybold in 1902. Ruth matched that on July 29, then pulled ahead toward the major league record of 25, set by Buck Freeman in 1899. By the time Ruth reached this in early September, writers had discovered that Ned Williamson of the 1884 Chicago White Stockings had hit 27—though in a ballpark where the distance to right field was only . On September 20, "Babe Ruth Day" at Fenway Park, Ruth won the game with a home run in the bottom of the ninth inning, tying Williamson. He broke the record four days later against the Yankees at the Polo Grounds, and hit one more against the Senators to finish with 29. The home run at Washington made Ruth the first major league player to hit a home run at all eight ballparks in his league. In spite of Ruth's hitting heroics, the Red Sox finished sixth, games behind the league champion White Sox. In his six seasons with Boston, he won 89 games and recorded a 2.19 ERA. He had a four-year stretch where he was second in the AL in wins and ERA behind Walter Johnson, and Ruth had a winning record against Johnson in head-to-head matchups. Sale to New York. As an out-of-towner from New York City, Frazee had been regarded with suspicion by Boston's sportswriters and baseball fans when he bought the team. He won them over with success on the field and a willingness to build the Red Sox by purchasing or trading for players. He offered the Senators $60,000 for Walter Johnson, but Washington owner Clark Griffith was unwilling. Even so, Frazee was successful in bringing other players to Boston, especially as replacements for players in the military. This willingness to spend for players helped the Red Sox secure the 1918 title. The 1919 season saw record-breaking attendance, and Ruth's home runs for Boston made him a national sensation. In March 1919 Ruth was reported as having accepted a three-year contract for a total of $27,000, after protracted negotiations. Nevertheless, on December 26, 1919, Frazee sold Ruth's contract to the New York Yankees. Not all the circumstances concerning the sale are known, but brewer and former congressman Jacob Ruppert, the New York team's principal owner, reportedly asked Yankee manager Miller Huggins what the team needed to be successful. "Get Ruth from Boston", Huggins supposedly replied, noting that Frazee was perennially in need of money to finance his theatrical productions. An often-told story is that Frazee needed money, and sold Ruth to finance the musical "No, No, Nanette"; that play did not open until 1925, by which time Frazee had sold the Red Sox, but was based on a Frazee-produced play, "My Lady Friends", which opened in 1919. There were also other financial pressures on Frazee, despite his team's success. Ruth, fully aware of baseball's popularity and his role in it, wanted to renegotiate his contract, signed before the 1919 season for $10,000 per year through 1921. He demanded that his salary be doubled, or he would sit out the season and cash in on his popularity through other ventures. Ruth's salary demands were causing other players to ask for more money. Additionally, Frazee still owed Lannin as much as $125,000 from the purchase of the club. Although Ruppert and his co-owner, Colonel Tillinghast Huston, were both wealthy, and had aggressively purchased and traded for players in 1918 and 1919 to build a winning team, Ruppert faced losses in his brewing interests as Prohibition was implemented, and if their team left the Polo Grounds, where the Yankees were the tenants of the New York Giants, building a stadium in New York would be expensive. Nevertheless, when Frazee, who moved in the same social circles as Huston, hinted to the colonel that Ruth was available for the right price, the Yankees owners quickly pursued the purchase. Frazee sold the rights to Babe Ruth for $100,000, the largest sum ever paid for a baseball player. The deal also involved a $350,000 loan from Ruppert to Frazee, secured by a mortgage on Fenway Park. Once it was agreed, Frazee informed Barrow, who, stunned, told the owner that he was getting the worse end of the bargain. Cynics have suggested that Barrow may have played a larger role in the Ruth sale, as less than a year after, he became the Yankee general manager, and in the following years made a number of purchases of Red Sox players from Frazee. The $100,000 price included $25,000 in cash, and notes for the same amount due November 1 in 1920, 1921, and 1922; Ruppert and Huston assisted Frazee in selling the notes to banks for immediate cash. The transaction was contingent on Ruth signing a new contract, which was quickly accomplished—Ruth agreed to fulfill the remaining two years on his contract, but was given a $20,000 bonus, payable over two seasons. The deal was announced on January 6, 1920. Reaction in Boston was mixed: some fans were embittered at the loss of Ruth; others conceded that Ruth had become difficult to deal with. "The New York Times" suggested that "The short right field wall at the Polo Grounds should prove an easy target for Ruth next season and, playing seventy-seven games at home, it would not be surprising if Ruth surpassed his home run record of twenty-nine circuit clouts next Summer." According to Reisler, "The Yankees had pulled off the sports steal of the century." According to Marty Appel in his history of the Yankees, the transaction, "changed the fortunes of two high-profile franchises for decades". The Red Sox, winners of five of the first 16 World Series, those played between 1903 and 1919, would not win another pennant until 1946, or another World Series until 2004, a drought attributed in baseball superstition to Frazee's sale of Ruth and sometimes dubbed the "Curse of the Bambino". Conversely, the Yankees had not won the AL championship prior to their acquisition of Ruth. They won seven AL pennants and four World Series with him, and lead baseball with 41 pennants and 27 World Series titles in their history. New York Yankees (1920–1934). Initial success (1920–1923). When Ruth signed with the Yankees, his transition from a pitcher to a power-hitting outfielder was complete. His fifteen-season Yankee career consisted of over 2,000 games, and Ruth broke many batting records while making only five widely scattered appearances on the mound, winning all of them. At the end of April 1920, the Yankees were 4–7, with the Red Sox leading the league with a 10–2 mark. Ruth had done little, having injured himself swinging the bat. Both situations began to change on May 1, when Ruth hit a tape measure home run that sent the ball completely out of the Polo Grounds, a feat believed to have been previously accomplished only by Shoeless Joe Jackson. The Yankees won, 6–0, taking three out of four from the Red Sox. Ruth hit his second home run on May 2, and by the end of the month had set a major league record for home runs in a month with 11, and promptly broke it with 13 in June. Fans responded with record attendance figures. On May 16, Ruth and the Yankees drew 38,600 to the Polo Grounds, a record for the ballpark, and 15,000 fans were turned away. Large crowds jammed stadiums to see Ruth play when the Yankees were on the road. The home runs kept on coming. Ruth tied his own record of 29 on July 15 and broke it with home runs in both games of a doubleheader four days later. By the end of July, he had 37, but his pace slackened somewhat after that. Nevertheless, on September 4, he both tied and broke the organized baseball record for home runs in a season, snapping Perry Werden's 1895 mark of 44 in the minor Western League. The Yankees played well as a team, battling for the league lead early in the summer, but slumped in August in the AL pennant battle with Chicago and Cleveland. The pennant and the World Series were won by Cleveland, who surged ahead after the Black Sox Scandal broke on September 28 and led to the suspension of many of Chicago's top players, including Shoeless Joe Jackson. The Yankees finished third, but drew 1.2 million fans to the Polo Grounds, the first time a team had drawn a seven-figure attendance. The rest of the league sold 600,000 more tickets, many fans there to see Ruth, who led the league with 54 home runs, 158 runs, and 137 runs batted in (RBIs). In 1920 and afterwards, Ruth was aided in his power hitting by the fact that A.J. Reach Company—the maker of baseballs used in the major leagues—was using a more efficient machine to wind the yarn found within the baseball. The new baseballs went into play in 1920 and ushered the start of the live-ball era; the number of home runs across the major leagues increased by 184 over the previous year. Baseball statistician Bill James pointed out that while Ruth was likely aided by the change in the baseball, there were other factors at work, including the gradual abolition of the spitball (accelerated after the death of Ray Chapman, struck by a pitched ball thrown by Mays in August 1920) and the more frequent use of new baseballs (also a response to Chapman's death). Nevertheless, James theorized that Ruth's 1920 explosion might have happened in 1919, had a full season of 154 games been played rather than 140, had Ruth refrained from pitching 133 innings that season, and if he were playing at any other home field but Fenway Park, where he hit only 9 of 29 home runs. Yankees business manager Harry Sparrow had died early in the 1920 season. Ruppert and Huston hired Barrow to replace him. The two men quickly made a deal with Frazee for New York to acquire some of the players who would be mainstays of the early Yankee pennant-winning teams, including catcher Wally Schang and pitcher Waite Hoyt. The 21-year-old Hoyt became close to Ruth: In the offseason, Ruth spent some time in Havana, Cuba, where he was said to have lost $35,000 () betting on horse races. Ruth hit home runs early and often in the 1921 season, during which he broke Roger Connor's mark for home runs in a career, 138. Each of the almost 600 home runs Ruth hit in his career after that extended his own record. After a slow start, the Yankees were soon locked in a tight pennant race with Cleveland, winners of the 1920 World Series. On September 15, Ruth hit his 55th home run, breaking his year-old single-season record. In late September, the Yankees visited Cleveland and won three out of four games, giving them the upper hand in the race, and clinched their first pennant a few days later. Ruth finished the regular season with 59 home runs, batting .378 and with a slugging percentage of .846. Ruth's 177 runs scored, 119 extra-base hits, and 457 total bases set modern-era records that still stand . The Yankees had high expectations when they met the New York Giants in the 1921 World Series, every game of which was played in the Polo Grounds. The Yankees won the first two games with Ruth in the lineup. However, Ruth badly scraped his elbow during Game 2 when he slid into third base (he had walked and stolen both second and third bases). After the game, he was told by the team physician not to play the rest of the series. Despite this advice, he did play in the next three games, and pinch-hit in Game Eight of the best-of-nine series, but the Yankees lost, five games to three. Ruth hit .316, drove in five runs and hit his first World Series home run. After the Series, Ruth and teammates Bob Meusel and Bill Piercy participated in a barnstorming tour in the Northeast. A rule then in force prohibited World Series participants from playing in exhibition games during the offseason, the purpose being to prevent Series participants from replicating the Series and undermining its value. Baseball Commissioner Kenesaw Mountain Landis suspended the trio until May 20, 1922, and fined them their 1921 World Series checks. In August 1922, the rule was changed to allow limited barnstorming for World Series participants, with Landis's permission required. On March 4, 1922, Ruth signed a new contract for three years at $52,000 a year (). This was more than two times the largest sum ever paid to a ballplayer up to that point and it represented 40% of the team's player payroll. Despite his suspension, Ruth was named the Yankees' new on-field captain prior to the 1922 season. During the suspension, he worked out with the team in the morning and played exhibition games with the Yankees on their off days. He and Meusel returned on May 20 to a sellout crowd at the Polo Grounds, but Ruth batted 0-for-4 and was booed. On May 25, he was thrown out of the game for throwing dust in umpire George Hildebrand's face, then climbed into the stands to confront a heckler. Ban Johnson ordered him fined, suspended, and stripped of position as team captain. In his shortened season, Ruth appeared in 110 games, batted .315, with 35 home runs, and drove in 99 runs, but the 1922 season was a disappointment in comparison to his two previous dominating years. Despite Ruth's off-year, the Yankees managed to win the pennant and faced the New York Giants in the World Series for the second consecutive year. In the Series, Giants manager John McGraw instructed his pitchers to throw him nothing but curveballs, and Ruth never adjusted. Ruth had just two hits in 17 at bats, and the Yankees lost to the Giants for the second straight year, by 4–0 (with one tie game). Sportswriter Joe Vila called him, "an exploded phenomenon". After the season, Ruth was a guest at an Elks Club banquet, set up by Ruth's agent with Yankee team support. There, each speaker, concluding with future New York mayor Jimmy Walker, censured him for his poor behavior. An emotional Ruth promised reform, and, to the surprise of many, followed through. When he reported to spring training, he was in his best shape as a Yankee, weighing only . The Yankees' status as tenants of the Giants at the Polo Grounds had become increasingly uneasy, and in 1922, Giants owner Charles Stoneham said the Yankees' lease, expiring after that season, would not be renewed. Ruppert and Huston had long contemplated a new stadium, and had taken an option on property at 161st Street and River Avenue in the Bronx. Yankee Stadium was completed in time for the home opener on April 18, 1923, at which Ruth hit the first home run in what was quickly dubbed "the House that Ruth Built". The ballpark was designed with Ruth in mind: although the venue's left-field fence was further from home plate than at the Polo Grounds, Yankee Stadium's right-field fence was closer, making home runs easier to hit for left-handed batters. To spare Ruth's eyes, right field—his defensive position—was not pointed into the afternoon sun, as was traditional; left fielder Meusel soon developed headaches from squinting toward home plate. During the 1923 season, the Yankees were never seriously challenged and won the AL pennant by 17 games. Ruth finished the season with a career-high .393 batting average and 41 home runs, which tied Cy Williams for the most in the major-leagues that year. Ruth hit a career-high 45 doubles in 1923, and he reached base 379 times, then a major league record. For the third straight year, the Yankees faced the Giants in the World Series, which Ruth dominated. He batted .368, walked eight times, scored eight runs, hit three home runs and slugged 1.000 during the series, as the Yankees christened their new stadium with their first World Series championship, four games to two. Batting title and "bellyache" (1924–1925). In 1924, the Yankees were favored to become the first team to win four consecutive pennants. Plagued by injuries, they found themselves in a battle with the Senators. Although the Yankees won 18 of 22 at one point in September, the Senators beat out the Yankees by two games. Ruth hit .378, winning his only AL batting title, with a league-leading 46 home runs. Ruth did not look like an athlete; he was described as "toothpicks attached to a piano", with a big upper body but thin wrists and legs. Ruth had kept up his efforts to stay in shape in 1923 and 1924, but by early 1925 weighed nearly . His annual visit to Hot Springs, Arkansas, where he exercised and took saunas early in the year, did him no good as he spent much of the time carousing in the resort town. He became ill while there, and relapsed during spring training. Ruth collapsed in Asheville, North Carolina, as the team journeyed north. He was put on a train for New York, where he was briefly hospitalized. A rumor circulated that he had died, prompting British newspapers to print a premature obituary. In New York, Ruth collapsed again and was found unconscious in his hotel bathroom. He was taken to a hospital where he had multiple convulsions. After sportswriter W. O. McGeehan wrote that Ruth's illness was due to binging on hot dogs and soda pop before a game, it became known as "the bellyache heard 'round the world". However, the exact cause of his ailment has never been confirmed and remains a mystery. Glenn Stout, in his history of the Yankees, writes that the Ruth legend is "still one of the most sheltered in sports"; he suggests that alcohol was at the root of Ruth's illness, pointing to the fact that Ruth remained six weeks at St. Vincent's Hospital but was allowed to leave, under supervision, for workouts with the team for part of that time. He concludes that the hospitalization was behavior-related. Playing just 98 games, Ruth had his worst season as a Yankee; he finished with a .290 average and 25 home runs. The Yankees finished next to last in the AL with a 69–85 record, their last season with a losing record until 1965. Murderers' Row (1926–1928). Ruth spent part of the offseason of 1925–26 working out at Artie McGovern's gym, where he got back into shape. Barrow and Huggins had rebuilt the team and surrounded the veteran core with good young players like Tony Lazzeri and Lou Gehrig, but the Yankees were not expected to win the pennant. Ruth returned to his normal production during 1926, when he batted .372 with 47 home runs and 146 RBIs. The Yankees built a 10-game lead by mid-June and coasted to win the pennant by three games. The St. Louis Cardinals had won the National League with the lowest winning percentage for a pennant winner to that point (.578) and the Yankees were expected to win the World Series easily. Although the Yankees won the opener in New York, St. Louis took Games Two and Three. In Game Four, Ruth hit three home runs—the first time this had been done in a World Series game—to lead the Yankees to victory. In the fifth game, Ruth caught a ball as he crashed into the fence. The play was described by baseball writers as a defensive gem. New York took that game, but Grover Cleveland Alexander won Game Six for St. Louis to tie the Series at three games each, then got very drunk. He was nevertheless inserted into Game Seven in the seventh inning and shut down the Yankees to win the game, 3–2, and win the Series. Ruth had hit his fourth home run of the Series earlier in the game and was the only Yankee to reach base off Alexander; he walked in the ninth inning before being thrown out to end the game when he attempted to steal second base. Although Ruth's attempt to steal second is often deemed a baserunning blunder, Creamer pointed out that the Yankees' chances of tying the game would have been greatly improved with a runner in scoring position. The 1926 World Series was also known for Ruth's promise to Johnny Sylvester, a hospitalized 11-year-old boy. Ruth promised the child that he would hit a home run on his behalf. Sylvester had been injured in a fall from a horse, and a friend of Sylvester's father gave the boy two autographed baseballs signed by Yankees and Cardinals. The friend relayed a promise from Ruth (who did not know the boy) that he would hit a home run for him. After the Series, Ruth visited the boy in the hospital. When the matter became public, the press greatly inflated it, and by some accounts, Ruth allegedly saved the boy's life by visiting him, emotionally promising to hit a home run, and doing so. Ruth's 1926 salary of $52,000 was far more than any other baseball player, but he made at least twice as much in other income, including $100,000 from 12 weeks of vaudeville. The 1927 New York Yankees team is considered one of the greatest squads to ever take the field. Known as Murderers' Row because of the power of its lineup, the team clinched first place on Labor Day, won a then-AL-record 110 games and took the AL pennant by 19 games. There was no suspense in the pennant race, and the nation turned its attention to Ruth's pursuit of his own single-season home run record of 59 round trippers. Ruth was not alone in this chase. Teammate Lou Gehrig proved to be a slugger who was capable of challenging Ruth for his home run crown; he tied Ruth with 24 home runs late in June. Through July and August, the dynamic duo was never separated by more than two home runs. Gehrig took the lead, 45–44, in the first game of a doubleheader at Fenway Park early in September; Ruth responded with two blasts of his own to take the lead, as it proved permanently—Gehrig finished with 47. Even so, as of September 6, Ruth was still several games off his 1921 pace, and going into the final series against the Senators, had only 57. He hit two in the first game of the series, including one off of Paul Hopkins, facing his first major league batter, to tie the record. The following day, September 30, he broke it with his 60th homer, in the eighth inning off Tom Zachary to break a 2–2 tie. "Sixty! Let's see some son of a bitch try to top that one", Ruth exulted after the game. In addition to his career-high 60 home runs, Ruth batted .356, drove in 164 runs and slugged .772. In the 1927 World Series, the Yankees swept the Pittsburgh Pirates in four games; the National Leaguers were disheartened after watching the Yankees take batting practice before Game One, with ball after ball leaving Forbes Field. According to Appel, "The 1927 New York Yankees. Even today, the words inspire awe... all baseball success is measured against the '27 team." The following season started off well for the Yankees, who led the league in the early going. But the Yankees were plagued by injuries, erratic pitching and inconsistent play. The Philadelphia Athletics, rebuilding after some lean years, erased the Yankees' big lead and even took over first place briefly in early September. The Yankees, however, regained first place when they beat the Athletics three out of four games in a pivotal series at Yankee Stadium later that month, and clinched the pennant in the final weekend of the season. Ruth's play in 1928 mirrored his team's performance. He got off to a hot start and on August 1, he had 42 home runs. This put him ahead of his 60 home run pace from the previous season. He then slumped for the latter part of the season, and he hit just twelve home runs in the last two months. Ruth's batting average also fell to .323, well below his career average. Nevertheless, he ended the season with 54 home runs. The Yankees swept the favored Cardinals in four games in the World Series, with Ruth batting .625 and hitting three home runs in Game Four, including one off Alexander. "Called shot" and final Yankee years (1929–1934). Before the 1929 season, Ruppert (who had bought out Huston in 1923) announced that the Yankees would wear uniform numbers to allow fans at cavernous Yankee Stadium to easily identify the players. The Cardinals and Indians had each experimented with uniform numbers; the Yankees were the first to use them on both home and away uniforms. Ruth batted third and was given number 3. According to a long-standing baseball legend, the Yankees adopted their now-iconic pinstriped uniforms in hopes of making Ruth look slimmer. In truth, though, they had been wearing pinstripes since 1915. Although the Yankees started well, the Athletics soon proved they were the better team in 1929, splitting two series with the Yankees in the first month of the season, then taking advantage of a Yankee losing streak in mid-May to gain first place. Although Ruth performed well, the Yankees were not able to catch the Athletics—Connie Mack had built another great team. Tragedy struck the Yankees late in the year as manager Huggins died at 51 of erysipelas, a bacterial skin infection, on September 25, only ten days after he had last directed the team. Despite their past differences, Ruth praised Huggins and described him as a "great guy". The Yankees finished second, 18 games behind the Athletics. Ruth hit .345 during the season, with 46 home runs and 154 RBIs. On October 17, the Yankees hired Bob Shawkey as manager; he was their fourth choice. Ruth had politicked for the job of player-manager, but Ruppert and Barrow never seriously considered him for the position. Stout deemed this the first hint Ruth would have no future with the Yankees once he retired as a player. Shawkey, a former Yankees player and teammate of Ruth, would prove unable to command Ruth's respect. On January 7, 1930, salary negotiations between the Yankees and Ruth quickly broke down. Having just concluded a three-year contract at an annual salary of $70,000, Ruth promptly rejected both the Yankees' initial proposal of $70,000 for one year and their 'final' offer of two years at seventy-five—the latter figure equaling the annual salary of then US President Herbert Hoover; instead, Ruth demanded at least $85,000 and three years. When asked why he thought he was "worth more than the President of the United States," Ruth responded: "Say, if I hadn't been sick last summer, I'd have broken hell out of that home run record! Besides, the President gets a four-year contract. I'm only asking for three." Exactly two months later, a compromise was reached, with Ruth settling for two years at an unprecedented $80,000 per year. Ruth's salary was more than 2.4 times greater than the next-highest salary that season, a record margin . In 1930, Ruth hit .359 with 49 home runs (his best in his years after 1928) and 153 RBIs, and pitched his first game in nine years, a complete game victory. Nevertheless, the Athletics won their second consecutive pennant and World Series, as the Yankees finished in third place, sixteen games back. At the end of the season, Shawkey was fired and replaced with Cubs manager Joe McCarthy, though Ruth again unsuccessfully sought the job. McCarthy was a disciplinarian, but chose not to interfere with Ruth, who did not seek conflict with the manager. The team improved in 1931, but was no match for the Athletics, who won 107 games, games in front of the Yankees. Ruth, for his part, hit .373, with 46 home runs and 163 RBIs. He had 31 doubles, his most since 1924. In the 1932 season, the Yankees went 107–47 and won the pennant. Ruth's effectiveness had decreased somewhat, but he still hit .341 with 41 home runs and 137 RBIs. Nevertheless, he was sidelined twice because of injuries during the season. The Yankees faced the Cubs, McCarthy's former team, in the 1932 World Series. There was bad blood between the two teams as the Yankees resented the Cubs only awarding half a World Series share to Mark Koenig, a former Yankee. The games at Yankee Stadium had not been sellouts; both were won by the home team, with Ruth collecting two singles, but scoring four runs as he was walked four times by the Cubs pitchers. In Chicago, Ruth was resentful at the hostile crowds that met the Yankees' train and jeered them at the hotel. The crowd for Game Three included New York Governor Franklin D. Roosevelt, the Democratic candidate for president, who sat with Chicago Mayor Anton Cermak. Many in the crowd threw lemons at Ruth, a sign of derision, and others (as well as the Cubs themselves) shouted abuse at Ruth and other Yankees. They were briefly silenced when Ruth hit a three-run home run off Charlie Root in the first inning, but soon revived, and the Cubs tied the score at 4–4 in the fourth inning, partly due to Ruth's fielding error in the outfield. When Ruth came to the plate in the top of the fifth, the Chicago crowd and players, led by pitcher Guy Bush, were screaming insults at Ruth. With the count at two balls and one strike, Ruth gestured, possibly in the direction of center field, and after the next pitch (a strike), may have pointed there with one hand. Ruth hit the fifth pitch over the center field fence; estimates were that it traveled nearly . Whether or not Ruth intended to indicate where he planned to (and did) hit the ball (Charlie Devens, who, in 1999, was interviewed as Ruth's surviving teammate in that game, did not think so), the incident has gone down in legend as Babe Ruth's called shot. The Yankees won Game Three, and the following day clinched the Series with another victory. During that game, Bush hit Ruth on the arm with a pitch, causing words to be exchanged and provoking a game-winning Yankee rally. Ruth remained productive in 1933. He batted .301, with 34 home runs, 103 RBIs, and a league-leading 114 walks, as the Yankees finished in second place, seven games behind the Senators. Athletics manager Connie Mack selected him to play right field in the first Major League Baseball All-Star Game, held on July 6, 1933, at Comiskey Park in Chicago. He hit the first home run in the All-Star Game's history, a two-run blast against Bill Hallahan during the third inning, which helped the AL win the game 4–2. During the final game of the 1933 season, as a publicity stunt organized by his team, Ruth was called upon and pitched a complete game victory against the Red Sox, his final appearance as a pitcher. Despite unremarkable pitching numbers, Ruth had a 5–0 record in five games for the Yankees, raising his career totals to 94–46. In 1934, Ruth played in his last full season with the Yankees. By this time, years of high living were starting to catch up with him. His conditioning had deteriorated to the point that he could no longer field or run. He accepted a pay cut to $35,000 from Ruppert, but he was still the highest-paid player in the major leagues. He could still handle a bat, recording a .288 batting average with 22 home runs, and on July 13, 1934, he hit his 700th career home run. However, Reisler described these statistics as "merely mortal" by Ruth's previous standards. Ruth was selected to the AL All-Star team for the second consecutive year, even though he was in the twilight of his career. During the game, New York Giants pitcher Carl Hubbell struck out Ruth and four other future Hall-of-Famers consecutively. The Yankees finished second again, seven games behind the Tigers. Boston Braves (1935). By this time, Ruth knew he was nearly finished as a player. He desired to remain in baseball as a manager. He was often spoken of as a possible candidate as managerial jobs opened up, but in 1932, when he was mentioned as a contender for the Red Sox position, Ruth stated that he was not yet ready to leave the field. There were rumors that Ruth was a likely candidate each time when the Cleveland Indians, Cincinnati Reds, and Detroit Tigers were looking for a manager, but nothing came of them. Just before the 1934 season, Ruppert offered to make Ruth the manager of the Yankees' top minor-league team, the Newark Bears, but he was talked out of it by his wife, Claire, and his business manager, Christy Walsh. Tigers owner Frank Navin seriously considered acquiring Ruth and making him player-manager. However, Ruth insisted on delaying the meeting until he came back from a trip to Hawaii. Navin was unwilling to wait. Ruth opted to go on his trip, despite Barrow advising him that he was making a mistake; in any event, Ruth's asking price was too high for the notoriously tight-fisted Navin. The Tigers' job ultimately went to Mickey Cochrane. Early in the 1934 season, Ruth made no secret of his desire to manage the Yankees. However, that job was never a serious possibility. Ruppert always supported McCarthy, who would remain in his position for another 12 seasons. The relationship between Ruth and McCarthy had been lukewarm at best, and Ruth's open campaigning to replace him further chilled their interpersonal relations. By the end of the season, Ruth hinted that he would retire unless Ruppert named him manager of the Yankees. When the time came, Ruppert wanted Ruth to leave the team without drama or hard feelings. During the 1934–35 offseason, Ruth circled the world with his wife; the trip included a barnstorming tour of the Far East. At his final stop in the United Kingdom before returning home, Ruth was introduced to cricket by Australian player Alan Fairfax, and after having little luck in a cricketer's stance, he stood as a baseball batter and launched some massive shots around the field, destroying the bat in the process. Although Fairfax regretted that he could not have the time to make Ruth a cricket player, Ruth had lost any interest in such a career upon learning that the best batsmen made only about $40 per week. Also during the offseason, Ruppert had been sounding out the other clubs in hopes of finding one that would be willing to take Ruth as a manager and/or a player. However, the only serious offer came from Athletics owner-manager Connie Mack, who gave some thought to stepping down as manager in favor of Ruth. However, Mack later dropped the idea, saying that Ruth's wife would be running the team in a month if Ruth ever took over. While the barnstorming tour was underway, Ruppert began negotiating with Boston Braves owner Judge Emil Fuchs, who wanted Ruth as a gate attraction. The Braves had enjoyed modest recent success, finishing fourth in the National League in both 1933 and 1934, but the team drew poorly at the box office. Unable to afford the rent at Braves Field, Fuchs had considered holding dog races there when the Braves were not at home, only to be turned down by Landis. After a series of phone calls, letters, and meetings, the Yankees traded Ruth to the Braves on February 26, 1935. Ruppert had stated that he would not release Ruth to go to another team as a full-time player. For this reason, it was announced that Ruth would become a team vice president and would be consulted on all club transactions, in addition to playing. He was also made assistant manager to Braves skipper Bill McKechnie. In a long letter to Ruth a few days before the press conference, Fuchs promised Ruth a share in the Braves' profits, with the possibility of becoming co-owner of the team. Fuchs also raised the possibility of Ruth succeeding McKechnie as manager, perhaps as early as 1936. Ruppert called the deal "the greatest opportunity Ruth ever had". There was considerable attention as Ruth reported for spring training. He did not hit his first home run of the spring until after the team had left Florida, and was beginning the road north in Savannah. He hit two in an exhibition game against the Bears. Amid much press attention, Ruth played his first home game in Boston in over 16 years. Before an opening-day crowd of over 25,000, including five of New England's six state governors, Ruth accounted for all the Braves' runs in a 4–2 win over the New York Giants, hitting a two-run home run, singling to drive in a third run and later in the inning scoring the fourth. Although age and weight had slowed him, he made a running catch in left field that sportswriters deemed the defensive highlight of the game. Ruth had two hits in the second game of the season, but it quickly went downhill both for him and the Braves from there. The season soon settled down to a routine of Ruth performing poorly on the few occasions he even played at all. As April passed into May, Ruth's physical deterioration became even more pronounced. While he remained productive at the plate early on, he could do little else. His conditioning had become so poor that he could barely trot around the bases. He made so many errors that three Braves pitchers told McKechnie they would not take the mound if he was in the lineup. Before long, Ruth stopped hitting as well. He grew increasingly annoyed that McKechnie ignored most of his advice. McKechnie later said that Ruth's presence made enforcing discipline nearly impossible. Ruth soon realized that Fuchs had deceived him, and had no intention of making him manager or giving him any significant off-field duties. He later said his only duties as vice president consisted of making public appearances and autographing tickets. Ruth also found out that far from giving him a share of the profits, Fuchs wanted him to invest some of "his" money in the team in a last-ditch effort to improve its balance sheet. As it turned out, Fuchs and Ruppert had both known all along that Ruth's non-playing positions were meaningless. By the end of the first month of the season, Ruth concluded he was finished even as a part-time player. As early as May 12, he asked Fuchs to let him retire. Ultimately, Fuchs persuaded Ruth to remain at least until after the Memorial Day doubleheader in Philadelphia. In the interim was a western road trip, at which the rival teams had scheduled days to honor him. In Chicago and St. Louis, Ruth performed poorly, and his batting average sank to .155, with only two additional home runs for a total of three on the season. In the first two games in Pittsburgh, Ruth had only one hit, though a long fly caught by Paul Waner probably would have been a home run in any other ballpark besides Forbes Field. Ruth played in the third game of the Pittsburgh series on May 25, 1935, and added one more tale to his playing legend. Ruth went 4-for-4, including three home runs, though the Braves lost the game 11–7. The last two were off Ruth's old Cubs nemesis, Guy Bush. The final home run, both of the game and of Ruth's career, sailed out of the park over the right field upper deck–the first time anyone had hit a fair ball completely out of Forbes Field. Ruth was urged to make this his last game, but he had given his word to Fuchs to stay on through Memorial Day and played in Cincinnati and Philadelphia. The first game of the doubleheader in Philadelphia—the Braves lost both—would be his final major league appearance. Ruth retired on June 2 after an argument with Fuchs. He finished 1935 with a .181 average—easily his worst as a full-time position player—and the final six of his 714 home runs. The Braves, 10–27 when Ruth left, finished 38–115, at .248 the worst winning percentage in modern National League history. Insolvent like his team, Fuchs gave up control of the Braves before the end of the season; the National League took over the franchise at the end of the year. Career statistics. At the time of his retirement, Ruth held many baseball batting records. These include the career records for home runs (714), slugging percentage (0.690), runs batted in (2,213), bases on balls (2,062) and on-base percentage (.474). He still remains in the top ten of many statistical rankings. Hitting Pitching Retirement. Although Fuchs had given Ruth his unconditional release, no major league team expressed an interest in hiring him in any capacity. Ruth still hoped to be hired as a manager if he could not play anymore, but only one managerial position, Cleveland, became available between Ruth's retirement and the end of the 1937 season. Asked if he had considered Ruth for the job, Indians owner Alva Bradley replied negatively. Of the five members in the inaugural class of Baseball Hall of Fame in 1936 (Ty Cobb, Honus Wagner, Christy Mathewson, Walter Johnson and Ruth), only Ruth was not given an offer to manage a baseball team. Team owners and general managers assessed Ruth's flamboyant personal habits as a reason to exclude him from a managerial job; Barrow said of him, "How can he manage other men when he can't even manage himself?" Creamer believed Ruth was unfairly treated in never being given an opportunity to manage a major league club. The author believed there was not necessarily a relationship between personal conduct and managerial success, noting that John McGraw, Billy Martin, and Bobby Valentine were winners despite character flaws. Ruth played much golf and in a few exhibition baseball games, where he demonstrated a continuing ability to draw large crowds. This appeal contributed to the Dodgers hiring him as first base coach in 1938. When Ruth was hired, Brooklyn general manager Larry MacPhail made it clear that Ruth would not be considered for the manager's job if, as expected, Burleigh Grimes retired at the end of the season. Although much was said about what Ruth could teach the younger players, in practice, his duties were to appear on the field in uniform and encourage base runners—he was not called upon to relay signs. In August, shortly before the baseball rosters expanded, Ruth sought an opportunity to return as an active player in a pinch hitting role. Ruth often took batting practice before games and felt that he could take on the limited role. Grimes denied his request, citing Ruth's poor vision in his right eye, his inability to run the bases, and the risk of an injury to Ruth. Ruth got along well with everyone except team captain Leo Durocher, who was hired as Grimes' replacement at season's end. Ruth then left his job as a first base coach and would never again work in any capacity in the game of baseball. On July 4, 1939, Ruth spoke on Lou Gehrig Appreciation Day at Yankee Stadium as members of the 1927 Yankees and a sellout crowd turned out to honor the first baseman, who was forced into premature retirement by ALS, which would kill him two years later. The next week, Ruth went to Cooperstown, New York, for the formal opening of the Baseball Hall of Fame. Three years earlier, he was one of the first five players elected to the hall. As radio broadcasts of baseball games became popular, Ruth sought a job in that field, arguing that his celebrity and knowledge of baseball would assure large audiences, but he received no offers. During World War II, he made many personal appearances to advance the war effort, including his last appearance as a player at Yankee Stadium, in a 1943 exhibition for the Army-Navy Relief Fund. He hit a long fly ball off Walter Johnson; the blast left the field, curving foul, but Ruth circled the bases anyway. In 1946, he made a final effort to gain a job in baseball when he contacted new Yankees boss MacPhail, but he was sent a rejection letter. In 1999, Ruth's granddaughter, Linda Tosetti, and his daughter, Julia Ruth Stevens, said that Babe's inability to land a managerial role with the Yankees caused him to feel hurt and slump into a severe depression. Ruth started playing golf when he was 20 and continued playing the game throughout his life. His appearance at many New York courses drew spectators and headlines. Rye Golf Club was among the courses he played with teammate Lyn Lary in June 1933. With birdies on 3 holes, Ruth posted the best score. In retirement, he became one of the first celebrity golfers participating in charity tournaments, including one where he was pitted against Ty Cobb. Personal life. Ruth met Helen Woodford, by some accounts, in a coffee shop in Boston, where she was a waitress. They married as teenagers on October 17, 1914. Although Ruth later claimed to have been married in Elkton, Maryland, records show that they were married at St. Paul's Catholic Church in Ellicott City. They adopted a daughter, Dorothy, in 1921. Ruth and Helen separated around 1925 reportedly because of Ruth's repeated infidelities and neglect. They appeared in public as a couple for the last time during the 1926 World Series. Helen died in January 1929 at age 31 in a fire in a house in Watertown, Massachusetts owned by Edward Kinder, a dentist with whom she had been living as "Mrs. Kinder". In her book, "My Dad, the Babe", Dorothy claimed that she was Ruth's biological child by a mistress named Juanita Jennings. In 1980, Juanita, who was at the time very ill, admitted this to Dorothy and Dorothy's sister, Julia. On April 17, 1929, three months after the death of his first wife, Ruth married actress and model Claire Merritt Hodgson and adopted her daughter Julia. It was the second and final marriage for both parties. Claire, unlike Helen, was well-travelled and educated, and put structure into Ruth's life, like Miller Huggins did for him on the field. By one account, Julia and Dorothy were, through no fault of their own, the reason for the seven-year rift in Ruth's relationship with teammate Lou Gehrig. Sometime in 1932, during a conversation that she assumed was private, Gehrig's mother remarked, "It's a shame [Claire] doesn't dress Dorothy as nicely as she dresses her own daughter." When the comment got back to Ruth, he angrily told Gehrig to tell his mother to mind her own business. Gehrig, in turn, took offense at what he perceived as Ruth's comment about his mother. The two men reportedly never spoke off the field until they reconciled at Yankee Stadium on Lou Gehrig Appreciation Day, July 4, 1939, shortly after Gehrig's retirement from baseball. Although Ruth was married throughout most of his baseball career, when team co-owner Tillinghast 'Cap' Huston asked him to tone down his lifestyle, Ruth replied, "I'll promise to go easier on drinking and to get to bed earlier, but not for you, fifty thousand dollars, or two-hundred and fifty thousand dollars will I give up women. They're too much fun." A detective that the Yankees hired to follow him one night in Chicago reported that Ruth had been with six women. Ping Bodie said that he was not Ruth's roommate while traveling; "I room with his suitcase". Before the start of the 1922 season, Ruth had signed a three-year contract at $52,000 per year with an option to renew for two additional years. His performance during the 1922 season had been disappointing, attributed in part to his drinking and late-night hours. After the end of the 1922 season, he was asked to sign a contract addendum with a morals clause. Ruth and Ruppert signed it on November 11, 1922. It called for Ruth to abstain entirely from the use of intoxicating liquors, and to not stay up later than 1:00 a.m. during the training and playing season without permission of the manager. Ruth was also enjoined from any action or misbehavior that would compromise his ability to play baseball. Ruth was a self described Democrat. In 1928, Ruth campaigned for Democratic U.S. presidential nominee Al Smith. Cancer and death (1946–1948). As early as the war years, doctors had cautioned Ruth to take better care of his health, and he grudgingly followed their advice, limiting his drinking and not going on a proposed trip to support the troops in the South Pacific. In 1946, Ruth began experiencing severe pain over his left eye and had difficulty swallowing. In November 1946, Ruth entered French Hospital in New York for tests, which revealed that he had an inoperable malignant tumor at the base of his skull and in his neck. The malady was a lesion known as nasopharyngeal carcinoma, or lymphoepithelioma. A physician who reviewed Ruth's autopsy in 1998 concluded that Ruth's lifelong use of tobacco "probably played a part" in his cancer. His name and fame gave him access to experimental treatments, and he was one of the first cancer patients to receive both drugs and radiation treatment simultaneously. Having lost , he was discharged from the hospital in February and went to Florida to recuperate. He returned to New York and Yankee Stadium after the season started. The new commissioner, Happy Chandler (Judge Landis had died in 1944), proclaimed April 27, 1947, Babe Ruth Day around the major leagues, with the most significant observance to be at Yankee Stadium. A number of teammates and others spoke in honor of Ruth, who briefly addressed the crowd of almost 60,000. By then, his voice was a soft whisper with a very low, raspy tone. Around this time, developments in chemotherapy offered some hope for Ruth. The doctors had not told Ruth he had cancer because of his family's fear that he might do himself harm. They treated him with pterolyl triglutamate (Teropterin), a folic acid derivative; he may have been the first human subject. Ruth showed dramatic improvement during the summer of 1947, so much so that his case was presented by his doctors at a scientific meeting, without using his name. He was able to travel around the country, doing promotional work for the Ford Motor Company on American Legion Baseball. He appeared again at another day in his honor at Yankee Stadium in September, but was not well enough to pitch in an old-timers game as he had hoped. The improvement was only a temporary remission, and by late 1947, Ruth was unable to help with the writing of his autobiography, "The Babe Ruth Story", which was almost entirely ghostwritten. In and out of the hospital in Manhattan, he left for Florida in February 1948, doing what activities he could. After six weeks he returned to New York to appear at a book-signing party. He also traveled to California to witness the filming of the movie based on the book. On June 5, 1948, a "gaunt and hollowed-out" Ruth visited Yale University to donate a manuscript of "The Babe Ruth Story" to its library. At Yale, he met with future president George H. W. Bush, who was the captain of the Yale baseball team. On June 13, Ruth visited Yankee Stadium for the final time in his life, appearing at the 25th-anniversary celebrations of "The House that Ruth Built". By this time he had lost much weight and had difficulty walking. Introduced along with his surviving teammates from 1923, Ruth used a bat as a cane. Nat Fein's photo of Ruth taken from behind, standing near home plate and facing "Ruthville" (right field) became one of baseball's most famous and widely circulated photographs, and won the Pulitzer Prize. Ruth made one final trip on behalf of American Legion Baseball. He then entered Memorial Hospital, where he would die. He was never told he had cancer; however, before his death, he surmised it. He was able to leave the hospital for a few short trips, including a final visit to Baltimore. On July 26, 1948, Ruth left the hospital to attend the premiere of the film "The Babe Ruth Story". Shortly thereafter, he returned to the hospital for the final time. He was barely able to speak. Ruth's condition gradually grew worse, and only a few visitors were permitted to see him, one of whom was National League president and future Commissioner of Baseball Ford C. Frick. "Ruth was so thin it was unbelievable. He had been such a big man and his arms were just skinny little bones, and his face was so haggard", Frick said years later. Thousands of New Yorkers, including many children, stood vigil outside the hospital during Ruth's final days. On August 16, 1948, at 8:01 p.m., Ruth died in his sleep at the age of 53. His funeral service took place over three days. His open casket was placed on display in the rotunda of Yankee Stadium, where it remained for two days; 77,000 people filed past to pay him tribute. His Requiem Mass was celebrated by Francis Cardinal Spellman at St. Patrick's Cathedral; a crowd estimated at 75,000 waited outside. Ruth is buried with his second wife, Claire, on a hillside in Section 25 at the Gate of Heaven Cemetery in Hawthorne, New York. Memorial and museum. On April 19, 1949, the Yankees unveiled a granite monument in Ruth's honor in center field of Yankee Stadium. The monument was located in the field of play next to a flagpole and similar tributes to Huggins and Gehrig until the stadium was remodeled from 1974 to 1975, which resulted in the outfield fences moving inward and enclosing the monuments from the playing field. This area was known thereafter as Monument Park. Yankee Stadium, "the House that Ruth Built", was replaced after the 2008 season with a new Yankee Stadium across the street from the old one; Monument Park was subsequently moved to the new venue behind the center field fence. Ruth's uniform number 3 has been retired by the Yankees, and he is one of five Yankees players or managers to have a granite monument within the stadium. In 1974, Ruth's birthplace in Baltimore was renovated and opened to the public as the Babe Ruth Birthplace and Museum. The museum houses a collection of artifacts from Ruth's life, including some rare baseball cards and the earliest known signature of Ruth, from when he was still pitching in the schoolyard. Ruth's widow, Claire, his two daughters, Dorothy and Julia, and his sister, Mamie, helped select and install exhibits for the museum. Impact. Ruth was the first baseball star to be the subject of overwhelming public adulation. Baseball had been known for star players such as Ty Cobb and "Shoeless Joe" Jackson, but both men had uneasy relations with fans. In Cobb's case, the incidents were sometimes marked by violence. Ruth's biographers agreed that he benefited from the timing of his ascension to "Home Run King". The country had been hit hard by both the war and the 1918 flu pandemic and longed for something to help put these traumas behind it. Ruth also resonated in a country which felt, in the aftermath of the war, that it took second place to no one. Montville argued that Ruth was a larger-than-life figure who was capable of unprecedented athletic feats in the nation's largest city. Ruth became an icon of the social changes that marked the early 1920s. In his history of the Yankees, Glenn Stout writes that "Ruth was New York incarnate—uncouth and raw, flamboyant and flashy, oversized, out of scale, and absolutely unstoppable". During his lifetime, Ruth became a symbol of the United States. During World War II, Japanese soldiers yelled in English, "To hell with Babe Ruth", to anger American soldiers. Ruth replied that he hoped "every Jap that mention[ed] my name gets shot". Creamer recorded that "Babe Ruth transcended sport and moved far beyond the artificial limits of baselines and outfield fences and sports pages". Wagenheim stated, "He appealed to a deeply rooted American yearning for the definitive climax: clean, quick, unarguable." According to Glenn Stout, "Ruth's home runs were [an] exalted, uplifting experience that meant more to fans than any runs they were responsible for. A Babe Ruth home run was an event unto itself, one that meant anything was possible." Although Ruth was not just a power hitter—he was the Yankees' best bunter, and an excellent outfielder—Ruth's penchant for hitting home runs altered how baseball is played. Prior to 1920, home runs were unusual, and managers tried to win games by getting a runner on base and bringing him around to score through such means as the stolen base, the bunt, and the hit and run. Advocates of what was dubbed "inside baseball", such as Giants manager McGraw, disliked the home run, considering it a blot on the purity of the game. According to sportswriter W. A. Phelon, after the 1920 season, Ruth's breakout performance that season and the response in excitement and attendance, "settled, for all time to come, that the American public is nuttier over the Home Run than the Clever Fielding or the Hitless Pitching. Viva el Home Run and two times viva Babe Ruth, exponent of the home run, and overshadowing star." Bill James states, "When the owners discovered that the fans "liked" to see home runs, and when the foundations of the games were simultaneously imperiled by disgrace [in the Black Sox Scandal], then there was no turning back." While a few, such as McGraw and Cobb, decried the passing of the old-style play, teams quickly began to seek and develop sluggers. According to sportswriter Grantland Rice, only two sports figures of the 1920s approached Ruth in popularity—boxer Jack Dempsey and racehorse Man o' War. One of the factors that contributed to Ruth's broad appeal was the uncertainty about his family and early life. Ruth appeared to exemplify the American success story, that even an uneducated, unsophisticated youth, without any family wealth or connections, can do something better than anyone else in the world. Montville writes that "the fog [surrounding his childhood] will make him forever accessible, universal. He will be the patron saint of American possibility." Similarly, the fact that Ruth played in the pre-television era, when a relatively small portion of his fans had the opportunity to see him play, allowed his legend to grow through word of mouth and the hyperbole of sports reporters. Reisler states that recent sluggers who surpassed Ruth's 60-home run mark, such as Mark McGwire and Barry Bonds, generated much less excitement than when Ruth repeatedly broke the single-season home run record in the 1920s. Ruth dominated a relatively small sports world, while Americans of the present era have many sports available to watch. Legacy. Creamer describes Ruth as "a unique figure in the social history of the United States". Thomas Barthel describes him as one of the first celebrity athletes; numerous biographies have portrayed him as "larger than life". A dominant figure in a field, whether within or outside sports, is often referred to as "the Babe Ruth" of that field. Similarly, "Ruthian" has come to mean in sports, "colossal, dramatic, prodigious, magnificent; with great power". He was the first athlete to make more money from endorsements and other off-the-field activities than from his sport. In 2006, Montville stated that more books have been written about Ruth than any other member of the Baseball Hall of Fame. At least five of these books (including Creamer's and Wagenheim's) were written in 1973 and 1974 to capitalize on the increase in public interest in Ruth as Hank Aaron approached his career home run mark, which he broke on April 8, 1974. Montville suggested that Ruth is probably even more popular today than he was then. The long ball era that Ruth started continues in baseball: owners build ballparks to encourage home runs. In various surveys and rankings, Ruth has been named the greatest baseball player of all time. In 1998, "The Sporting News" ranked him number one on the list of "Baseball's 100 Greatest Players". In 1999, baseball fans named Ruth to the Major League Baseball All-Century Team. He was named baseball's Greatest Player Ever in a ballot commemorating the 100th anniversary of professional baseball in 1969. The Associated Press reported in 1993 that Muhammad Ali was tied with Babe Ruth as the most recognized athlete in America. In 1999, the Associated Press named Ruth the greatest athlete of the 20th century, while an ESPN poll that same year ranked him as the second-greatest North American athlete of the century, behind Michael Jordan. In 1983, the United States Postal Service honored Ruth with a twenty-cent stamp. In 2022, "The Sporting News" named Ruth on their "New York Mount Rushmore of Sports". Several of the most expensive items of sports memorabilia and baseball memorabilia ever sold at auction are associated with Ruth. The jersey Ruth wore when hitting his "called shot" home run in the 1932 World Series sold in 2024 for a record $24 million. A Ruth's 1920 Yankees jersey that sold for $4.4 million in 2012 (equivalent to $ million in ) was, for several years, one of the most expensive piece of sports memorabilia ever sold. The bat with which he hit the first home run at Yankee Stadium is in "The Guinness Book of World Records" as the most expensive baseball bat sold at auction, having fetched $1.265 million on December 2, 2004 (equivalent to $ million in ). Other bats used by Ruth sold for $1.6 million in 2022 and $1.85 million in 2023. A hat of Ruth's from the 1934 season set a record for a baseball cap when David Wells sold it at auction for $537 thousand in 2012. In 2017, Charlie Sheen sold Ruth's 1927 World Series ring for $2 million, a record for a championship ring. One lasting legacy of the craze over Ruth may be the Baby Ruth candy bar. The original company to market the confectionery, the Curtiss Candy Company, maintained that the bar was named after Ruth Cleveland, daughter of former president Grover Cleveland. She died in 1904 and the bar was first marketed in 1921, at the height of the craze over Ruth. He later sought to market candy bearing his name; he was refused a trademark because of the Baby Ruth bar. The Ruth estate licensed his likeness for use in an advertising campaign for Baby Ruth in 1995. In 2005, Baby Ruth became the official candy bar of Major League Baseball. In 2018, Ruth was posthumously awarded the Presidential Medal of Freedom by President Donald Trump; his grandson Tom Stevens accepted the award on his behalf. Montville describes the continuing relevance of Babe Ruth in American culture: External links.
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Barge
A barge is typically a flat-bottomed vessel which does not have its own means of mechanical propulsion. Original use was on inland waterways, while modern use is on both inland and marine water environments. The first modern barges were pulled by tugs, but on inland waterways, most are pushed by pusher boats, or other vessels. The term "barge" has a rich history, and therefore there are many types of barges. History of the barge. Etymology. "Barge" is attested from 1300, from Old French "barge", from Vulgar Latin "barga". The word originally could refer to any small boat; the modern meaning arose around 1480. "Bark" "small ship" is attested from 1420, from Old French "barque", from Vulgar Latin "barca" (400 AD). A more precise meaning (see Barque) arose in the 17th century and often takes the French spelling for disambiguation. Both are probably derived from the Latin "barica", from Greek "baris" "Egyptian boat", from Coptic "bari" "small boat", hieroglyphic Egyptian and similar "ba-y-r" for "basket-shaped boat". By extension, the term "embark" literally means to board the kind of boat called a "barque". British river barges. 18th century. In Great Britain, a merchant barge was originally a flat bottomed merchant vessel for use on navigable rivers. Most of these barges had sails. For traffic on the River Severn, the barge was described thus: "The lesser sort are called barges and frigates, being from forty to sixty feet in length, having a single mast and square sail, and carrying from twenty to forty tons burthen." The larger vessels were called trows. On the River Irwell, there was reference to barges passing below Barton Aqueduct with their mast and sails standing. Early barges on the Thames were called west country barges. 19th century. In the United Kingdom, the word barge had many meanings by the 1890s, and these varied locally. On the Mersey, a barge was called a 'Flat', on the Thames a Lighter or barge, and on the Humber a 'Keel'. A Lighter had neither mast nor rigging. A keel did have a single mast with sails. Barge and lighter were used indiscriminately. A local distinction was that any flat that was not propelled by steam was a barge, although it might be a sailing flat. The term Dumb barge was probably taken into use to end the confusion. The term Dumb barge surfaced in the early nineteenth century. It first denoted the use of a barge as a mooring platform in a fixed place. As it went up and down with the tides, it made a very convenient mooring place for steam vessels. Within a few decades, the term dumb barge evolved and came to mean: 'a vessel propelled by oars only'. By the 1890s, Dumb barge was still used only on the Thames. By 1880, barges on British rivers and canals were often towed by steam tugboats. On the Thames, many dumb barges still relied on their poles, oars and the tide. Others dumb barges made use of about 50 tugboats to tow them to their destinations. While many coal barges were towed, many dumb barges that handled single parcels were not. The Thames barge and Dutch barge today. On the British river system and larger waterways, the Thames sailing barge, and Dutch barge and unspecified other styles of barge, are still known as barges. The term Dutch barge is nowadays often used to refer to an accommodation ship, but originally refers to the slightly larger Dutch version of the Thames sailing barge. British canals: narrowboats and widebeams. During the Industrial Revolution, a substantial network of canals was developed in Great Britain from 1750 onward. Whilst the largest of these could accommodate ocean-going vessels, e.g. the later Manchester Ship Canal, a complex network of smaller canals was also developed. These smaller canals had locks, bridges and tunnels that were at minimum only wide at the waterline. On wider sections, standard barges and other vessels could trade, but full access to the network necessitated the parallel development of the narrowboat, which usually had a beam a couple of inches less to allow for clearance, e.g. . It was soon realized that the narrow locks were too limiting, and later locks were therefore doubled in width to . This led to the development of the widebeam canal boat. The narrowboat (one word) definition in the "Oxford English Dictionary" is: The narrowboats were initially also known as barges, and the new canals were constructed with an adjacent towpath along which draft horses walked, towing the barges. These types of canal craft are so specific that on the British canal system the term 'barge' is no longer used to describe narrowboats and widebeams. Narrowboats and widebeams are still seen on canals, mostly for leisure cruising, and now engine-powered. Crew and pole. The people who moved barges were known as lightermen. Poles are used on barges to fend off other nearby vessels or a wharf. These are often called 'pike poles'. The long pole used to maneuver or propel a barge has given rise to the saying "I wouldn't touch that [subject/thing] with a barge pole." The 19th century American barge. In the United States a barge was not a sailing vessel by the end of the 19th century. Indeed, barges were often created by cutting down (razeeing) sailing vessels. In New York this was an accepted meaning of the term barge. The somewhat smaller scow was built as such, but the scow also had its sailing counterpart the sailing scow. The modern barge. The iron barge. The innovation that led to the modern barge was the use of iron barges towed by a steam tugboat. These were first used to transport grain and other bulk products. From about 1840 to 1870 the towed iron barge was quickly introduced on the Rhine, Danube, Don, Dniester, and rivers in Egypt, India and Australia. Many of these barges were built in Great Britain. Nowadays 'barge' generally refers to a dumb barge. In Europe, a Dumb barge is: "An inland waterway transport freight vessel designed to be towed which does not have its own means of mechanical propulsion". In America, a barge is generally pushed. Modern use. Barges are used today for transporting low-value bulk items, as the cost of hauling goods that way is very low and for larger project cargo, such as offshore wind turbine blades. Barges are also used for very heavy or bulky items; a typical American barge measures , and can carry up to about of cargo. The most common European barges measure and can carry up to about . As an example, on June 26, 2006, in the US a catalytic cracking unit reactor was shipped by barge from the Tulsa Port of Catoosa in Oklahoma to a refinery in Pascagoula, Mississippi. Extremely large objects are normally shipped in sections and assembled after delivery, but shipping an assembled unit reduces costs and avoids reliance on construction labor at the delivery site, which in the case of the reactor was still recovering from Hurricane Katrina. Of the reactor's journey, only about were traveled overland, from the final port to the refinery. The Transportation Institute at Texas A&M found that inland barge transportation in the US produces far fewer emissions of carbon dioxide for each ton of cargo moved compared to transport by truck or rail. According to the study, transporting cargo by barge produces 43% less greenhouse gas emissions than rail and more than 800% less than trucks. Environmentalists claim that in areas where barges, tugboats and towboats idle may produce more emissions like in the locks and dams of the Mississippi River. Self-propelled barges may be used for traveling downstream or upstream in placid waters; they are operated as an unpowered barge, with the assistance of a tugboat, when traveling upstream in faster waters. Canal barges are usually made for the particular canal in which they will operate. Unpowered vessels—barges—may be used for other purposes, such as large accommodation vessels, towed to where they are needed and stationed there as long as necessary. An example is the Bibby Stockholm. Types. In the United States, "deck barge" may refer to flat deck barges, work flats, fuel flats or flats. Smaller flats are used in shipyards to permit workers to access vessels in drydocks.
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Bill Schelter
William Frederick Schelter (1947 – July 30, 2001) was a professor of mathematics at The University of Texas at Austin and a Lisp developer and programmer. Schelter is credited with the development of the GNU Common Lisp (GCL) implementation of Common Lisp and the GPL'd version of the computer algebra system Macsyma called Maxima. Schelter authored Austin Kyoto Common Lisp (AKCL) under contract with IBM. AKCL formed the foundation for Axiom, another computer algebra system. AKCL eventually became GNU Common Lisp. He is also credited with the first port of the GNU C compiler to the Intel 386 architecture, used in the original implementation of the Linux kernel. Schelter obtained his Ph.D. at McGill University in 1972. His mathematical specialties were noncommutative ring theory and computational algebra and its applications, including automated theorem proving in geometry. In the summer of 2001, age 54, he died suddenly of a heart attack while traveling in Russia.
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British English
British English is the set of varieties of the English language native to the United Kingdom, especially Great Britain. More narrowly, it can refer specifically to the English language in England, or, more broadly, to the collective dialects of English throughout the United Kingdom taken as a single umbrella variety, for instance additionally incorporating Scottish English, Welsh English, and Northern Irish English. Tom McArthur in the Oxford Guide to World English acknowledges that British English shares "all the ambiguities and tensions [with] the word 'British' and as a result can be used and interpreted in two ways, more broadly or more narrowly, within a range of blurring and ambiguity". Variations exist in formal (both written and spoken) English in the United Kingdom. For example, the adjective "wee" is almost exclusively used in parts of Scotland, north-east England, Northern Ireland, Ireland, and occasionally Yorkshire, whereas the adjective "little" is predominant elsewhere. Nevertheless, there is a meaningful degree of uniformity in written English within the United Kingdom, and this could be described by the term "British English". The forms of spoken English, however, vary considerably more than in most other areas of the world where English is spoken and so a uniform concept of British English is more difficult to apply to the spoken language. Globally, countries that are former British colonies or members of the Commonwealth tend to follow British English, as is the case for English used by European Union institutions. The United Nations also uses British English with Oxford spelling. In China, both British English and American English are taught. The UK government actively teaches and promotes English around the world and operates in over 100 countries. History. Origins. English is a West Germanic language that originated from the Anglo-Frisian dialects brought to Britain by Germanic settlers from various parts of what is now northwest Germany and the northern Netherlands. The resident population at this time was generally speaking Common Brittonic—the insular variety of Continental Celtic, which was influenced by the Roman occupation. This group of languages (Welsh, Cornish, Cumbric) cohabited alongside English into the modern period, but due to their remoteness from the Germanic languages, influence on English was notably limited. However, the degree of influence remains debated, and it has recently been argued that its grammatical influence accounts for the substantial innovations noted between English and the other West Germanic languages. Initially, Old English was a diverse group of dialects, reflecting the varied origins of the Anglo-Saxon kingdoms of England. One of these dialects, Late West Saxon, eventually came to dominate. The original Old English was then influenced by two waves of invasion: the first was by speakers of the Scandinavian branch of the Germanic family, who settled in parts of Britain in the eighth and ninth centuries; the second was the Normans in the 11th century, who spoke Old Norman and ultimately developed an English variety of this called Anglo-Norman. These two invasions caused English to become "mixed" to some degree (though it was never a truly mixed language in the strictest sense of the word; mixed languages arise from the cohabitation of speakers of different languages, who develop a hybrid tongue for basic communication). The more idiomatic, concrete and descriptive English is, the more it is from Anglo-Saxon origins. The more intellectual and abstract English is, the more it contains Latin and French influences, e.g. swine (like the Germanic ) is the animal in the field bred by the occupied Anglo-Saxons and pork (like the French ) is the animal at the table eaten by the occupying Normans. Another example is the Anglo-Saxon meaning cow, and the French meaning beef. Cohabitation with the Scandinavians resulted in a significant grammatical simplification and lexical enrichment of the Anglo-Frisian core of English; the later Norman occupation led to the grafting onto that Germanic core of a more elaborate layer of words from the Romance branch of the European languages. This Norman influence entered English largely through the courts and government. Thus, English developed into a "borrowing" language of great flexibility and with a huge vocabulary. Dialects. Dialects and accents vary amongst the four countries of the United Kingdom, as well as within the countries themselves. The major divisions are normally classified as English English (or English as spoken in England (which is itself broadly grouped into Southern English, West Country, East and West Midlands English and Northern English), Northern Irish English (in Northern Ireland), Welsh English (not to be confused with the Welsh language), and Scottish English (not to be confused with the Scots language or Scottish Gaelic). Each group includes a range of dialects, some markedly different from others. The various British dialects also differ in the words that they have borrowed from other languages. Around the middle of the 15th century, there were points where within the 5 major dialects there were almost 500 ways to spell the word "though". Research. Following its last major survey of English Dialects (1949–1950), the University of Leeds has started work on a new project. In May 2007 the Arts and Humanities Research Council awarded a grant to Leeds to study British regional dialects. The team are sifting through a large collection of examples of regional slang words and phrases turned up by the "Voices project" run by the BBC, in which they invited the public to send in examples of English still spoken throughout the country. The BBC Voices project also collected hundreds of news articles about how the British speak English from swearing through to items on language schools. This information will also be collated and analysed by Johnson's team both for content and for where it was reported. "Perhaps the most remarkable finding in the Voices study is that the English language is as diverse as ever, despite our increased mobility and constant exposure to other accents and dialects through TV and radio". When discussing the award of the grant in 2007, Leeds University stated: English regional. Most people in Britain speak with a regional accent or dialect. However, about 2% of Britons speak with an accent called Received Pronunciation (also called "the King's English", "Oxford English" and "BBC English"), that is essentially region-less. It derives from a mixture of the Midlands and Southern dialects spoken in London in the early modern period. It is frequently used as a model for teaching English to foreign learners. In the South East, there are significantly different accents; the Cockney accent spoken by some East Londoners is strikingly different from Received Pronunciation (RP). Cockney rhyming slang can be (and was initially intended to be) difficult for outsiders to understand, although the extent of its use is often somewhat exaggerated. Londoners speak with a mixture of accents, depending on ethnicity, neighbourhood, class, age, upbringing, and sundry other factors. Estuary English has been gaining prominence in recent decades: it has some features of RP and some of Cockney. Immigrants to the UK in recent decades have brought many more languages to the country and particularly to London. Surveys started in 1979 by the Inner London Education Authority discovered over 125 languages being spoken domestically by the families of the inner city's schoolchildren. Notably Multicultural London English, a sociolect that emerged in the late 20th century spoken mainly by young, working-class people in multicultural parts of London. Since the mass internal migration to Northamptonshire in the 1940s and given its position between several major accent regions, it has become a source of various accent developments. In Northampton the older accent has been influenced by overspill Londoners. There is an accent known locally as the Kettering accent, which is a transitional accent between the East Midlands and East Anglian. It is the last southern Midlands accent to use the broad "a" in words like "bath" or "grass" (i.e. or ). Conversely "crass" or "plastic" use a slender "a". A few miles northwest in Leicestershire the slender "a" becomes more widespread generally. In the town of Corby, north, one can find Corbyite which, unlike the Kettering accent, is largely influenced by the West Scottish accent. Features. Phonological features characteristic of British English revolve around the pronunciation of the letter R, as well as the dental plosive T and some diphthongs specific to this dialect. T-glottalling. Once regarded as a Cockney feature, in a number of forms of spoken British English, has become commonly realised as a glottal stop when it is in the intervocalic position, in a process called T-glottalisation. National media, being based in London, have seen the glottal stop spreading more widely than it once was in word endings, "not" being heard as "no" and "bottle of water" being heard as "bole of waer". It is still stigmatised when used in word-medial positions, such as "later". Other consonants subject to this usage in Cockney English are "p", as in paer and "k" as in baer. R-dropping. In most areas of England and Wales, outside the West Country and other near-by counties of the UK, the consonant R is not pronounced if not followed by a vowel, lengthening the preceding vowel instead. This phenomenon is known as non-rhoticity. In these same areas, a tendency exists to insert an R between a word ending in a vowel and a next word beginning with a vowel. This is called the intrusive R. It could be understood as a merger, in that words that once ended in an R and words that did not are no longer treated differently. This is also due to London-centric influences. Examples of R-dropping are "car" and "sugar", where the R is not pronounced. Diphthongisation. British dialects differ on the extent of diphthongisation of long vowels, with southern varieties extensively turning them into diphthongs, and with northern dialects normally preserving many of them. As a comparison, North American varieties could be said to be in-between. North. Long vowels /iː/ and /uː/ are usually preserved, and in several areas also /oː/ and /eː/, as in go and say (unlike other varieties of English, that change them to [oʊ] and [eɪ] respectively). Some areas go as far as not diphthongising medieval /iː/ and /uː/, that give rise to modern /aɪ/ and /aʊ/; that is, for example, in the traditional accent of Newcastle upon Tyne, 'out' will sound as 'oot', and in parts of Scotland and North-West England, 'my' will be pronounced as 'me'. South. Long vowels /iː/ and /uː/ are diphthongised to [ɪi] and [ʊu] respectively (or, more technically, [ʏʉ], with a raised tongue), so that ee and oo in feed and food are pronounced with a movement. The diphthong [oʊ] is also pronounced with a greater movement, normally [əʊ], [əʉ] or [əɨ]. People in groups. Dropping a morphological grammatical number, in collective nouns, is stronger in British English than North American English. This is to treat them as plural when once grammatically singular, a perceived natural number prevails, especially when applying to institutional nouns and groups of people. The noun 'police', for example, undergoes this treatment: A football team can be treated likewise: This tendency can be observed in texts produced already in the 19th century. For example, Jane Austen, a British author, writes in Chapter 4 of "Pride and Prejudice", published in 1813: However, in Chapter 16, the grammatical number is used. Negatives. Some dialects of British English use negative concords, also known as double negatives. Rather than changing a word or using a positive, words like nobody, not, nothing, and never would be used in the same sentence. While this does not occur in Standard English, it does occur in non-standard dialects. The double negation follows the idea of two different morphemes, one that causes the double negation, and one that is used for the point or the verb. Standard British English. Standard English in the United Kingdom, as in other English-speaking nations, is widely enforced in schools and by social norms for formal contexts but not by any singular authority; for instance, there is no institution equivalent to the with French or the Royal Spanish Academy with Spanish. Standard British English differs notably in certain vocabulary, grammar, and pronunciation features from standard American English and certain other standard English varieties around the world. British and American spelling also differ in minor ways. The accent, or pronunciation system, of standard British English, based in southeastern England, has been known for over a century as Received Pronunciation (RP). However, due to language evolution and changing social trends, some linguists argue that RP is losing prestige or has been replaced by another accent, one that the linguist Geoff Lindsey for instance calls Standard Southern British English. Other scholars suggest that more regionally-oriented standard accents are emerging in England. Outside of England, namely in Scotland and Northern Ireland, RP exerts very little influence, particularly in the 21st century. RP, while long established as the standard English accent around the globe due to the spread of the British Empire, is distinct from the standard English pronunciation in some parts of the world; most prominently, RP notably contrasts with standard North American accents. As of the 21st century, dictionaries such as the "Oxford English Dictionary", the "Longman Dictionary of Contemporary English", the "Chambers Dictionary", and the "Collins Dictionary" record actual usage rather than attempting to prescribe it. In addition, vocabulary and usage change with time; words are freely borrowed from other languages and other varieties of English, and neologisms are frequent. History of standardisation. For historical reasons dating back to the rise of London in the ninth century, the form of language spoken in London and the East Midlands became standard English within the Court, and ultimately became the basis for generally accepted use in the law, government, literature and education in Britain. The standardisation of British English is thought to be from both dialect levelling and a thought of social superiority. Speaking in the Standard dialect created class distinctions; those who did not speak the standard English would be considered of a lesser class or social status and often discounted or considered of a low intelligence. Another contribution to the standardisation of British English was the introduction of the printing press to England in the mid-15th century. In doing so, William Caxton enabled a common language and spelling to be dispersed among the entirety of England at a much faster rate. "Samuel Johnson's A Dictionary of the English Language" (1755) was a large step in the English-language spelling reform, where the purification of language focused on standardising both speech and spelling. By the early 20th century, British authors had produced numerous books intended as guides to English grammar and usage, a few of which achieved sufficient acclaim to have remained in print for long periods and to have been reissued in new editions after some decades. These include, most notably of all, Fowler's "Modern English Usage" and "The Complete Plain Words" by Sir Ernest Gowers. Detailed guidance on many aspects of writing British English for publication is included in style guides issued by various publishers including "The Times" newspaper, the "Oxford University Press" and the "Cambridge University Press". "The Oxford University Press" guidelines were originally drafted as a single broadsheet page by Horace Henry Hart, and were at the time (1893) the first guide of their type in English; they were gradually expanded and eventually published, first as "Hart's Rules", and in 2002 as part of "The Oxford Manual of Style". Comparable in authority and stature to "The Chicago Manual of Style" for published American English, the Oxford Manual is a fairly exhaustive standard for published British English that writers can turn to in the absence of specific guidance from their publishing house. Relationship with Commonwealth English. British English is the basis of, and very similar to, Commonwealth English. Commonwealth English is English as spoken and written in the Commonwealth countries, though often with some local variation. This includes English spoken in Australia, Malta, New Zealand, Nigeria, and South Africa. It also includes South Asian English used in South Asia, in English varieties in Southeast Asia, and in parts of Africa. Canadian English is based on British English, but has more influence from American English, often grouped together due to their close proximity. British English, for example, is the closest English to Indian English, but Indian English has extra vocabulary and some English words are assigned different meanings.
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Battle
A battle is an occurrence of combat in warfare between opposing military units of any number or size. A war usually consists of multiple battles. In general, a battle is a military engagement that is well defined in duration, area, and force commitment. An engagement with only limited commitment between the forces and without decisive results is sometimes called a skirmish. The word "battle" can also be used infrequently to refer to an entire operational campaign, although this usage greatly diverges from its conventional or customary meaning. Generally, the word "battle" is used for such campaigns if referring to a protracted combat encounter in which either one or both of the combatants had the same methods, resources, and strategic objectives throughout the encounter. Some prominent examples of this would be the Battle of the Atlantic, Battle of Britain, and the Battle of France, all in World War II. Wars and military campaigns are guided by military strategy, whereas battles take place on a level of planning and execution known as operational mobility. German strategist Carl von Clausewitz stated that "the employment of battles ... to achieve the object of war" was the essence of strategy. Etymology. Battle is a loanword from the Old French , first attested in 1297, from Late Latin , meaning "exercise of soldiers and gladiators in fighting and fencing", from Late Latin (taken from Germanic) "beat", from which the English word battery is also derived via Middle English . Characteristics. The defining characteristic of the fight as a concept in military science has changed with the variations in the organisation, employment and technology of military forces. The English military historian John Keegan suggested an ideal definition of battle as "something which happens between two armies leading to the moral then physical disintegration of one or the other of them" but the origins and outcomes of battles can rarely be summarized so neatly. Battle in the 20th and 21st centuries is defined as the combat between large components of the forces in a military campaign, used to achieve military objectives. Where the duration of the battle is longer than a week, it is often for reasons of planning called an operation. Battles can be planned, encountered or forced by one side when the other is unable to withdraw from combat. A battle always has as its purpose the reaching of a mission goal by use of military force. A victory in the battle is achieved when one of the opposing sides forces the other to abandon its mission and surrender its forces, routs the other (i.e., forces it to retreat or renders it militarily ineffective for further combat operations) or annihilates the latter, resulting in their deaths or capture. A battle may end in a Pyrrhic victory, which ultimately favors the defeated party. If no resolution is reached in a battle, it can result in a stalemate. A conflict in which one side is unwilling to reach a decision by a direct battle using conventional warfare often becomes an insurgency. Until the 19th century the majority of battles were of short duration, many lasting a part of a day. (The Battle of Preston (1648), the Battle of Nations (1813) and the Battle of Gettysburg (1863) were exceptional in lasting three days.) This was mainly due to the difficulty of supplying armies in the field or conducting night operations. The means of prolonging a battle was typically with siege warfare. Improvements in transport and the sudden evolving of trench warfare, with its siege-like nature during the First World War in the 20th century, lengthened the duration of battles to days and weeks. This created the requirement for unit rotation to prevent combat fatigue, with troops preferably not remaining in a combat area of operations for more than a month. The use of the term "battle" in military history has led to its misuse when referring to almost any scale of combat, notably by strategic forces involving hundreds of thousands of troops that may be engaged in either one battle at a time (Battle of Leipzig) or operations (Battle of Wuhan). The space a battle occupies depends on the range of the weapons of the combatants. A "battle" in this broader sense may be of long duration and take place over a large area, as in the case of the Battle of Britain or the Battle of the Atlantic. Until the advent of artillery and aircraft, battles were fought with the two sides within sight, if not reach, of each other. The depth of the battlefield has also increased in modern warfare with inclusion of the supporting units in the rear areas; supply, artillery, medical personnel etc. often outnumber the front-line combat troops. Battles are made up of a multitude of individual combats, skirmishes and small engagements and the combatants will usually only experience a small part of the battle. To the infantryman, there may be little to distinguish between combat as part of a minor raid or a big offensive, nor is it likely that he anticipates the future course of the battle; few of the British infantry who went over the top on the first day on the Somme, 1 July 1916, would have anticipated that the battle would last five months. Some of the Allied infantry who had just dealt a crushing defeat to the French at the Battle of Waterloo fully expected to have to fight again the next day (at the Battle of Wavre). Battlespace. Battlespace is a unified strategic concept to integrate and combine armed forces for the military theatre of operations, including air, information, land, sea and space. It includes the environment, factors and conditions that must be understood to apply combat power, protect the force or complete the mission, comprising enemy and friendly armed forces; facilities; weather; terrain; and the electromagnetic spectrum. Factors. Battles are decided by various factors, the number and quality of combatants and equipment, the skill of commanders and terrain are among the most prominent. Weapons and armour can be decisive; on many occasions armies have achieved victory through more advanced weapons than those of their opponents. An extreme example was in the Battle of Omdurman, in which a large army of Sudanese Mahdists armed in a traditional manner were destroyed by an Anglo-Egyptian force equipped with Maxim machine guns and artillery. On some occasions, simple weapons employed in an unorthodox fashion have proven advantageous; Swiss pikemen gained many victories through their ability to transform a traditionally defensive weapon into an offensive one. Zulus in the early 19th century were victorious in battles against their rivals in part because they adopted a new kind of spear, the iklwa. Forces with inferior weapons have still emerged victorious at times, for example in the Wars of Scottish Independence. Disciplined troops are often of greater importance; at the Battle of Alesia, the Romans were greatly outnumbered but won because of superior training. Battles can also be determined by terrain. Capturing high ground has been the main tactic in innumerable battles. An army that holds the high ground forces the enemy to climb and thus wear themselves down. Areas of jungle and forest, with dense vegetation act as force-multipliers, of benefit to inferior armies. Terrain may have lost importance in modern warfare, due to the advent of aircraft, though the terrain is still vital for camouflage, especially for guerrilla warfare. Generals and commanders also play an important role, Hannibal, Julius Caesar, Khalid ibn Walid, Subutai and Napoleon Bonaparte were all skilled generals and their armies were extremely successful at times. An army that can trust the commands of their leaders with conviction in its success invariably has a higher morale than an army that doubts its every move. The British in the naval Battle of Trafalgar owed its success to the reputation of Admiral Lord Nelson. Types. Battles can be fought on land, at sea, and in the air. Naval battles have occurred since before the 5th century BC. Air battles have been far less common, due to their late conception, the most prominent being the Battle of Britain in 1940. Since the Second World War, land or sea battles have come to rely on air support. During the Battle of Midway, five aircraft carriers were sunk without either fleet coming into direct contact. Battles are usually hybrids of different types listed above. A "decisive battle" is one with political effects, determining the course of the war such as the Battle of Smolensk or bringing hostilities to an end, such as the Battle of Hastings or the Battle of Hattin. A decisive battle can change the balance of power or boundaries between countries. The concept of the "decisive battle" became popular with the publication in 1851 of Edward Creasy's "The Fifteen Decisive Battles of the World". British military historians J.F.C. Fuller ("The Decisive Battles of the Western World") and B.H. Liddell Hart ("Decisive Wars of History"), among many others, have written books in the style of Creasy's work. Land. There is an obvious difference in the way battles have been fought. Early battles were probably fought between rival hunting bands as unorganized crowds. During the Battle of Megiddo, the first reliably documented battle in the fifteenth century BC, both armies were organised and disciplined; during the many wars of the Roman Empire, barbarians continued to use mob tactics. As the Age of Enlightenment dawned, armies began to fight in highly disciplined lines. Each would follow the orders from their officers and fight as a unit instead of individuals. Armies were divided into regiments, battalions, companies and platoons. These armies would march, line up and fire in divisions. Native Americans, on the other hand, did not fight in lines, using guerrilla tactics. American colonists and European forces continued using disciplined lines into the American Civil War. A new style arose from the 1850s to the First World War, known as trench warfare, which also led to tactical radio. Chemical warfare also began in 1915. By the Second World War, the use of the smaller divisions, platoons and companies became much more important as precise operations became vital. Instead of the trench stalemate of 1915–1917, in the Second World War, battles developed where small groups encountered other platoons. As a result, elite squads became much more recognized and distinguishable. Maneuver warfare also returned with an astonishing pace with the advent of the tank, replacing the cannon of the Enlightenment Age. Artillery has since gradually replaced the use of frontal troops. Modern battles resemble those of the Second World War, along with indirect combat through the use of aircraft and missiles which has come to constitute a large portion of wars in place of battles, where battles are now mostly reserved for capturing cities. Naval. One significant difference of modern naval battles, as opposed to earlier forms of combat is the use of marines, which introduced amphibious warfare. Today, a marine is actually an infantry regiment that sometimes fights solely on land and is no longer tied to the navy. A good example of an ancient naval battle is the Battle of Salamis. Most ancient naval battles were fought by fast ships using the battering ram to sink opposing fleets or steer close enough for boarding in hand-to-hand combat. Troops were often used to storm enemy ships as used by Romans and pirates. This tactic was usually used by civilizations that could not beat the enemy with ranged weaponry. Another invention in the late Middle Ages was the use of Greek fire by the Byzantines, which was used to set enemy fleets on fire. Empty demolition ships utilized the tactic to crash into opposing ships and set it afire with an explosion. After the invention of cannons, naval warfare became useful as support units for land warfare. During the 19th century, the development of mines led to a new type of naval warfare. The ironclad, first used in the American Civil War, resistant to cannons, soon made the wooden ship obsolete. The invention of military submarines, during World War I, brought naval warfare to both above and below the surface. With the development of military aircraft during World War II, battles were fought in the sky as well as below the ocean. Aircraft carriers have since become the central unit in naval warfare, acting as a mobile base for lethal aircraft. Aerial. Although the use of aircraft has for the most part always been used as a supplement to land or naval engagements, since their first major military use in World War I aircraft have increasingly taken on larger roles in warfare. During World War I, the primary use was for reconnaissance, and small-scale bombardment. Aircraft began becoming much more prominent in the Spanish Civil War and especially World War II. Aircraft design began specializing, primarily into two types: bombers, which carried explosive payloads to bomb land targets or ships; and fighter-interceptors, which were used to either intercept incoming aircraft or to escort and protect bombers (engagements between fighter aircraft were known as dog fights). Some of the more notable aerial battles in this period include the Battle of Britain and the Battle of Midway. Another important use of aircraft came with the development of the helicopter, which first became heavily used during the Vietnam War, and still continues to be widely used today to transport and augment ground forces. Today, direct engagements between aircraft are rare – the most modern fighter-interceptors carry much more extensive bombing payloads, and are used to bomb precision land targets, rather than to fight other aircraft. Anti-aircraft batteries are used much more extensively to defend against incoming aircraft than interceptors. Despite this, aircraft today are much more extensively used as the primary tools for both army and navy, as evidenced by the prominent use of helicopters to transport and support troops, the use of aerial bombardment as the "first strike" in many engagements, and the replacement of the battleship with the aircraft carrier as the center of most modern navies. Naming. Battles are usually named after some feature of the battlefield geography, such as a town, forest or river, commonly prefixed "Battle of...". Occasionally battles are named after the date on which they took place, such as The Glorious First of June. In the Middle Ages it was considered important to settle on a suitable name for a battle which could be used by the chroniclers. After Henry V of England defeated a French army on October 25, 1415, he met with the senior French herald and they agreed to name the battle after the nearby castle and so it was called the Battle of Agincourt. In other cases, the sides adopted different names for the same battle, such as the Battle of Gallipoli which is known in Turkey as the Battle of Çanakkale. During the American Civil War, the Union tended to name the battles after the nearest watercourse, such as the Battle of Wilsons Creek and the Battle of Stones River, whereas the Confederates favoured the nearby towns, as in the Battles of Chancellorsville and Murfreesboro. Occasionally both names for the same battle entered the popular culture, such as the First Battle of Bull Run and the Second Battle of Bull Run, which are also referred to as the First and Second Battles of Manassas. Sometimes in desert warfare, there is no nearby town name to use; map coordinates gave the name to the Battle of 73 Easting in the First Gulf War. Some place names have become synonymous with battles, such as the Passchendaele, Pearl Harbor, the Alamo, Thermopylae and Waterloo. Military operations, many of which result in battle, are given codenames, which are not necessarily meaningful or indicative of the type or the location of the battle. Operation Market Garden and Operation Rolling Thunder are examples of battles known by their military codenames. When a battleground is the site of more than one battle in the same conflict, the instances are distinguished by ordinal number, such as the First and Second Battles of Bull Run. An extreme case are the twelve Battles of the Isonzo—First to Twelfth—between Italy and Austria-Hungary during the First World War. Some battles are named for the convenience of military historians so that periods of combat can be neatly distinguished from one another. Following the First World War, the British Battles Nomenclature Committee was formed to decide on standard names for all battles and subsidiary actions. To the soldiers who did the fighting, the distinction was usually academic; a soldier fighting at Beaumont Hamel on November 13, 1916, was probably unaware he was taking part in what the committee named the Battle of the Ancre. Many combats are too small to be battles; terms such as "action", "affair", "skirmish", "firefight", "raid", or "offensive patrol" are used to describe small military encounters. These combats often take place within the time and space of a battle and while they may have an objective, they are not necessarily "decisive". Sometimes the soldiers are unable to immediately gauge the significance of the combat; in the aftermath of the Battle of Waterloo, some British officers were in doubt as to whether the day's events merited the title of "battle" or would be called an "action". Effects. Battles affect the individuals who take part, as well as the political actors. Personal effects of battle range from mild psychological issues to permanent and crippling injuries. Some battle-survivors have nightmares about the conditions they encountered or abnormal reactions to certain sights or sounds and some experience flashbacks. Physical effects of battle can include scars, amputations, lesions, loss of bodily functions, blindness, paralysis and death. Battles affect politics; a decisive battle can cause the losing side to surrender, while a Pyrrhic victory such as the Battle of Asculum can cause the winning side to reconsider its goals. Battles in civil wars have often decided the fate of monarchs or political factions. Famous examples include the Wars of the Roses, as well as the Jacobite risings. Battles affect the commitment of one side or the other to the continuance of a war, for example the Battle of Inchon and the Battle of Huế during the Tet Offensive.
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Berry Berenson
Berinthia "Berry" Berenson-Perkins ( Berenson; April 14, 1948 – September 11, 2001) was an American actress, model and photographer. She was the widow of actor Anthony Perkins. She died in the September 11 attacks, as a passenger on American Airlines Flight 11. It crashed into the North Tower of the World Trade Center in New York City. Early life. Berry Berenson was born in Murray Hill, Manhattan, New York City. Her mother was born Maria-Luisa Yvonne Radha de Wendt de Kerlor, better known as Gogo Schiaparelli, a socialite of Italian, Swiss, & French ancestry. Her father, Robert Lawrence Berenson, was an American career diplomat turned shipping executive. He was of Russian-Jewish and Polish-Jewish descent, and his family's original surname was Valvrojenski. Berenson's maternal grandmother was the Italian-born fashion designer Elsa Schiaparelli, and her maternal grandfather was Wilhelm de Wendt de Kerlor, a Theosophist and psychic medium. Her elder sister, Marisa Berenson, became a well-known model and actress. She also was a great-grandniece of Giovanni Schiaparelli, an Italian astronomer who believed he had discovered canals on Mars, and a second cousin, once removed, of art expert Bernard Berenson (1865–1959), and his sister Senda Berenson (1868–1954), an athlete and educator who was one of the first two women elected to the Basketball Hall of Fame. Career. Following a brief modeling career in the late 1960s, Berenson became a freelance photographer. In 1972, Berenson's fiancé Richard Bernstein was hired as the cover artist for Andy Warhol's "Interview" magazine. Berenson would recruit models for the cover and photograph them, and Bernstein illustrated the images. By 1973, her photographs had been published in "Life", "Glamour", "Vogue" and "Newsweek". Berenson studied acting at New York's The American Place Theatre with Wynn Handman along with Richard Gere, Philip Anglim, Penelope Milford, Robert Ozn, Ingrid Boulting and her sister Marisa. As an actress, Berenson starred opposite her husband Anthony Perkins in the 1978 Alan Rudolph film "Remember My Name". She also appeared with Jeff Bridges in the 1979 film "Winter Kills", and with Malcolm McDowell in "Cat People" (1982). Personal life. Berenson was engaged to artist Richard Bernstein. In 1972, Berenson had an affair with actor Anthony Perkins and they married on August 9, 1973, in Wellfleet, Massachusetts while she was three months pregnant. The couple raised two sons: actor-director Oz Perkins and folk/rock singer-songwriter Elvis Perkins. Although Perkins was gay, they remained married until Perkins died from AIDS-related complications on September 12, 1992. Death. Berenson died on September 11, 2001, a day before the ninth anniversary of Perkins’ death, as she was returning home to Los Angeles from a vacation on Cape Cod. She and the other passengers and crew aboard American Airlines Flight 11 died when the plane was hijacked and deliberately crashed into the North Tower of the World Trade Center during the September 11 attacks on the US. At the National September 11 Memorial & Museum, Berenson's name is inscribed on Panel N-76 at the North Pool.
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Botany
Botany, also called plant science, is the branch of natural science and biology studying plants, especially their anatomy, taxonomy, and ecology. A botanist or plant scientist is a scientist who specialises in this field. "Plant" and "botany" may be defined more narrowly to include only land plants and their study, which is also known as phytology. Phytologists or botanists (in the strict sense) study approximately 410,000 species of land plants, including some 391,000 species of vascular plants (of which approximately 369,000 are flowering plants) and approximately 20,000 bryophytes. Botany originated as prehistoric herbalism to identify and later cultivate plants that were edible, poisonous, and medicinal, making it one of the first endeavours of human investigation. Medieval physic gardens, often attached to monasteries, contained plants possibly having medicinal benefit. They were forerunners of the first botanical gardens attached to universities, founded from the 1540s onwards. One of the earliest was the Padua botanical garden. These gardens facilitated the academic study of plants. Efforts to catalogue and describe their collections were the beginnings of plant taxonomy and led in 1753 to the binomial system of nomenclature of Carl Linnaeus that remains in use to this day for the naming of all biological species. In the 19th and 20th centuries, new techniques were developed for the study of plants, including methods of optical microscopy and live cell imaging, electron microscopy, analysis of chromosome number, plant chemistry and the structure and function of enzymes and other proteins. In the last two decades of the 20th century, botanists exploited the techniques of molecular genetic analysis, including genomics and proteomics and DNA sequences to classify plants more accurately. Modern botany is a broad subject with contributions and insights from most other areas of science and technology. Research topics include the study of plant structure, growth and differentiation, reproduction, biochemistry and primary metabolism, chemical products, development, diseases, evolutionary relationships, systematics, and plant taxonomy. Dominant themes in 21st-century plant science are molecular genetics and epigenetics, which study the mechanisms and control of gene expression during differentiation of plant cells and tissues. Botanical research has diverse applications in providing staple foods, materials such as timber, oil, rubber, fibre and drugs, in modern horticulture, agriculture and forestry, plant propagation, breeding and genetic modification, in the synthesis of chemicals and raw materials for construction and energy production, in environmental management, and the maintenance of biodiversity. Etymology. The term "botany" comes from the Ancient Greek word ' () meaning "pasture", "herbs" "grass", or "fodder"; ' is in turn derived from "" (Greek: ), "to feed" or "to graze". Traditionally, botany has also included the study of fungi and algae by mycologists and phycologists respectively, with the study of these three groups of organisms remaining within the sphere of interest of the International Botanical Congress. History. Early botany. Botany originated as herbalism, the study and use of plants for their possible medicinal properties. The early recorded history of botany includes many ancient writings and plant classifications. Examples of early botanical works have been found in ancient texts from India dating back to before 1100 BCE, Ancient Egypt, in archaic Avestan writings, and in works from China purportedly from before 221 BCE. Modern botany traces its roots back to Ancient Greece specifically to Theophrastus (–287 BCE), a student of Aristotle who invented and described many of its principles and is widely regarded in the scientific community as the "Father of Botany". His major works, "Enquiry into Plants" and "On the Causes of Plants", constitute the most important contributions to botanical science until the Middle Ages, almost seventeen centuries later. Another work from Ancient Greece that made an early impact on botany is , a five-volume encyclopedia about preliminary herbal medicine written in the middle of the first century by Greek physician and pharmacologist Pedanius Dioscorides. was widely read for more than 1,500 years. Important contributions from the medieval Muslim world include Ibn Wahshiyya's "Nabatean Agriculture", Abū Ḥanīfa Dīnawarī's (828–896) the "Book of Plants", and Ibn Bassal's "The Classification of Soils". In the early 13th century, Abu al-Abbas al-Nabati, and Ibn al-Baitar (d. 1248) wrote on botany in a systematic and scientific manner. In the mid-16th century, botanical gardens were founded in a number of Italian universities. The Padua botanical garden in 1545 is usually considered to be the first which is still in its original location. These gardens continued the practical value of earlier "physic gardens", often associated with monasteries, in which plants were cultivated for suspected medicinal uses. They supported the growth of botany as an academic subject. Lectures were given about the plants grown in the gardens. Botanical gardens came much later to northern Europe; the first in England was the University of Oxford Botanic Garden in 1621. German physician Leonhart Fuchs (1501–1566) was one of "the three German fathers of botany", along with theologian Otto Brunfels (1489–1534) and physician Hieronymus Bock (1498–1554) (also called Hieronymus Tragus). Fuchs and Brunfels broke away from the tradition of copying earlier works to make original observations of their own. Bock created his own system of plant classification. Physician Valerius Cordus (1515–1544) authored a botanically and pharmacologically important herbal "Historia Plantarum" in 1544 and a pharmacopoeia of lasting importance, the "Dispensatorium" in 1546. Naturalist Conrad von Gesner (1516–1565) and herbalist John Gerard (1545 – ) published herbals covering the supposed medicinal uses of plants. Naturalist Ulisse Aldrovandi (1522–1605) was considered the "father of natural history", which included the study of plants. In 1665, using an early microscope, Polymath Robert Hooke discovered cells (a term he coined) in cork, and a short time later in living plant tissue. Early modern botany. During the 18th century, systems of plant identification were developed comparable to dichotomous keys, where unidentified plants are placed into taxonomic groups (e.g. family, genus and species) by making a series of choices between pairs of characters. The choice and sequence of the characters may be artificial in keys designed purely for identification (diagnostic keys) or more closely related to the natural or phyletic order of the taxa in synoptic keys. By the 18th century, new plants for study were arriving in Europe in increasing numbers from newly discovered countries and the European colonies worldwide. In 1753, Carl Linnaeus published his Species Plantarum, a hierarchical classification of plant species that remains the reference point for modern botanical nomenclature. This established a standardised binomial or two-part naming scheme where the first name represented the genus and the second identified the species within the genus. For the purposes of identification, Linnaeus's "Systema Sexuale" classified plants into 24 groups according to the number of their male sexual organs. The 24th group, "Cryptogamia", included all plants with concealed reproductive parts, mosses, liverworts, ferns, algae and fungi. Increasing knowledge of plant anatomy, morphology and life cycles led to the realisation that there were more natural affinities between plants than the artificial sexual system of Linnaeus. Adanson (1763), de Jussieu (1789), and Candolle (1819) all proposed various alternative natural systems of classification that grouped plants using a wider range of shared characters and were widely followed. The Candollean system reflected his ideas of the progression of morphological complexity and the later Bentham & Hooker system, which was influential until the mid-19th century, was influenced by Candolle's approach. Darwin's publication of the "Origin of Species" in 1859 and his concept of common descent required modifications to the Candollean system to reflect evolutionary relationships as distinct from mere morphological similarity. In the 19th century botany was a socially acceptable hobby for upper-class women. These women would collect and paint flowers and plants from around the world with scientific accuracy. The paintings were used to record many species that could not be transported or maintained in other environments. Marianne North illustrated over 900 species in extreme detail with watercolor and oil paintings. Her work and many other women's botany work was the beginning of popularizing botany to a wider audience. Botany was greatly stimulated by the appearance of the first "modern" textbook, Matthias Schleiden's "", published in English in 1849 as "Principles of Scientific Botany". Schleiden was a microscopist and an early plant anatomist who co-founded the cell theory with Theodor Schwann and Rudolf Virchow and was among the first to grasp the significance of the cell nucleus that had been described by Robert Brown in 1831. In 1855, Adolf Fick formulated Fick's laws that enabled the calculation of the rates of molecular diffusion in biological systems. Late modern botany. Building upon the gene-chromosome theory of heredity that originated with Gregor Mendel (1822–1884), August Weismann (1834–1914) proved that inheritance only takes place through gametes. No other cells can pass on inherited characters. The work of Katherine Esau (1898–1997) on plant anatomy is still a major foundation of modern botany. Her books "Plant Anatomy" and "Anatomy of Seed Plants" have been key plant structural biology texts for more than half a century. The discipline of plant ecology was pioneered in the late 19th century by botanists such as Eugenius Warming, who produced the hypothesis that plants form communities, and his mentor and successor Christen C. Raunkiær whose system for describing plant life forms is still in use today. The concept that the composition of plant communities such as temperate broadleaf forest changes by a process of ecological succession was developed by Henry Chandler Cowles, Arthur Tansley and Frederic Clements. Clements is credited with the idea of climax vegetation as the most complex vegetation that an environment can support and Tansley introduced the concept of ecosystems to biology. Building on the extensive earlier work of Alphonse de Candolle, Nikolai Vavilov (1887–1943) produced accounts of the biogeography, centres of origin, and evolutionary history of economic plants. Particularly since the mid-1960s there have been advances in understanding of the physics of plant physiological processes such as transpiration (the transport of water within plant tissues), the temperature dependence of rates of water evaporation from the leaf surface and the molecular diffusion of water vapour and carbon dioxide through stomatal apertures. These developments, coupled with new methods for measuring the size of stomatal apertures, and the rate of photosynthesis have enabled precise description of the rates of gas exchange between plants and the atmosphere. Innovations in statistical analysis by Ronald Fisher, Frank Yates and others at Rothamsted Experimental Station facilitated rational experimental design and data analysis in botanical research. The discovery and identification of the auxin plant hormones by Kenneth V. Thimann in 1948 enabled regulation of plant growth by externally applied chemicals. Frederick Campion Steward pioneered techniques of micropropagation and plant tissue culture controlled by plant hormones. The synthetic auxin 2,4-dichlorophenoxyacetic acid or 2,4-D was one of the first commercial synthetic herbicides. 20th century developments in plant biochemistry have been driven by modern techniques of organic chemical analysis, such as spectroscopy, chromatography and electrophoresis. With the rise of the related molecular-scale biological approaches of molecular biology, genomics, proteomics and metabolomics, the relationship between the plant genome and most aspects of the biochemistry, physiology, morphology and behaviour of plants can be subjected to detailed experimental analysis. The concept originally stated by Gottlieb Haberlandt in 1902 that all plant cells are totipotent and can be grown "in vitro" ultimately enabled the use of genetic engineering experimentally to knock out a gene or genes responsible for a specific trait, or to add genes such as GFP that report when a gene of interest is being expressed. These technologies enable the biotechnological use of whole plants or plant cell cultures grown in bioreactors to synthesise pesticides, antibiotics or other pharmaceuticals, as well as the practical application of genetically modified crops designed for traits such as improved yield. Modern morphology recognises a continuum between the major morphological categories of root, stem (caulome), leaf (phyllome) and trichome. Furthermore, it emphasises structural dynamics. Modern systematics aims to reflect and discover phylogenetic relationships between plants. Modern molecular phylogenetics largely ignores morphological characters, relying on DNA sequences as data. Molecular analysis of DNA sequences from most families of flowering plants enabled the Angiosperm Phylogeny Group to publish in 1998 a phylogeny of flowering plants, answering many of the questions about relationships among angiosperm families and species. The theoretical possibility of a practical method for identification of plant species and commercial varieties by DNA barcoding is the subject of active current research. Branches of botany. Botany is divided along several axes. Some subfields of botany relate to particular groups of organisms. Divisions related to the broader historical sense of botany include "bacteriology", "mycology" (or "fungology"), and "phycology" – respectively, the study of bacteria, fungi, and algae – with "lichenology" as a subfield of mycology. The narrower sense of botany as the study of embryophytes (land plants) is called "phytology". "Bryology" is the study of mosses (and in the broader sense also liverworts and hornworts). "Pteridology" (or "filicology") is the study of ferns and allied plants. A number of other taxa of ranks varying from family to subgenus have terms for their study, including "agrostology" (or "graminology") for the study of grasses, "synantherology" for the study of composites, and "batology" for the study of brambles. Study can also be divided by guild rather than clade or grade. For example, "dendrology" is the study of woody plants. Many divisions of biology have botanical subfields. These are commonly denoted by prefixing the word plant (e.g. plant taxonomy, plant ecology, plant anatomy, plant morphology, plant systematics), or prefixing or substituting the prefix phyto- (e.g. phytochemistry, phytogeography). The study of fossil plants is called "palaeobotany". Other fields are denoted by adding or substituting the word botany (e.g. systematic botany). "Phytosociology" is a subfield of plant ecology that classifies and studies communities of plants. The intersection of fields from the above pair of categories gives rise to fields such as "bryogeography", the study of the distribution of mosses. Different parts of plants also give rise to their own subfields, including "xylology", "carpology" (or "fructology"), and "palynology", these being the study of wood, fruit and pollen/spores respectively. Botany also overlaps on the one hand with agriculture, horticulture and silviculture, and on the other hand with medicine and pharmacology, giving rise to fields such as "agronomy", "horticultural botany", "phytopathology", and "phytopharmacology". Scope and importance. The study of plants is vital because they underpin almost all animal life on Earth by generating a large proportion of the oxygen and food that provide humans and other organisms with aerobic respiration with the chemical energy they need to exist. Plants, algae and cyanobacteria are the major groups of organisms that carry out photosynthesis, a process that uses the energy of sunlight to convert water and carbon dioxide into sugars that can be used both as a source of chemical energy and of organic molecules that are used in the structural components of cells. As a by-product of photosynthesis, plants release oxygen into the atmosphere, a gas that is required by nearly all living things to carry out cellular respiration. In addition, they are influential in the global carbon and water cycles and plant roots bind and stabilise soils, preventing soil erosion. Plants are crucial to the future of human society as they provide food, oxygen, biochemicals, and products for people, as well as creating and preserving soil. Historically, all living things were classified as either animals or plants and botany covered the study of all organisms not considered animals. Botanists examine both the internal functions and processes within plant organelles, cells, tissues, whole plants, plant populations and plant communities. At each of these levels, a botanist may be concerned with the classification (taxonomy), phylogeny and evolution, structure (anatomy and morphology), or function (physiology) of plant life. The strictest definition of "plant" includes only the "land plants" or embryophytes, which include seed plants (gymnosperms, including the pines, and flowering plants) and the free-sporing cryptogams including ferns, clubmosses, liverworts, hornworts and mosses. Embryophytes are multicellular eukaryotes descended from an ancestor that obtained its energy from sunlight by photosynthesis. They have life cycles with alternating haploid and diploid phases. The sexual haploid phase of embryophytes, known as the gametophyte, nurtures the developing diploid embryo sporophyte within its tissues for at least part of its life, even in the seed plants, where the gametophyte itself is nurtured by its parent sporophyte. Other groups of organisms that were previously studied by botanists include bacteria (now studied in bacteriology), fungi (mycology) – including lichen-forming fungi (lichenology), non-chlorophyte algae (phycology), and viruses (virology). However, attention is still given to these groups by botanists, and fungi (including lichens) and photosynthetic protists are usually covered in introductory botany courses. Palaeobotanists study ancient plants in the fossil record to provide information about the evolutionary history of plants. Cyanobacteria, the first oxygen-releasing photosynthetic organisms on Earth, are thought to have given rise to the ancestor of plants by entering into an endosymbiotic relationship with an early eukaryote, ultimately becoming the chloroplasts in plant cells. The new photosynthetic plants (along with their algal relatives) accelerated the rise in atmospheric oxygen started by the cyanobacteria, changing the ancient oxygen-free, reducing, atmosphere to one in which free oxygen has been abundant for more than 2 billion years. Among the important botanical questions of the 21st century are the role of plants as primary producers in the global cycling of life's basic ingredients: energy, carbon, oxygen, nitrogen and water, and ways that our plant stewardship can help address the global environmental issues of resource management, conservation, human food security, biologically invasive organisms, carbon sequestration, climate change, and sustainability. Human nutrition. Virtually all staple foods come either directly from primary production by plants, or indirectly from animals that eat them. Plants and other photosynthetic organisms are at the base of most food chains because they use the energy from the sun and nutrients from the soil and atmosphere, converting them into a form that can be used by animals. This is what ecologists call the first trophic level. The modern forms of the major staple foods, such as hemp, teff, maize, rice, wheat and other cereal grasses, pulses, bananas and plantains, as well as hemp, flax and cotton grown for their fibres, are the outcome of prehistoric selection over thousands of years from among wild ancestral plants with the most desirable characteristics. Botanists study how plants produce food and how to increase yields, for example through plant breeding, making their work important to humanity's ability to feed the world and provide food security for future generations. Botanists also study weeds, which are a considerable problem in agriculture, and the biology and control of plant pathogens in agriculture and natural ecosystems. Ethnobotany is the study of the relationships between plants and people. When applied to the investigation of historical plant–people relationships ethnobotany may be referred to as archaeobotany or palaeoethnobotany. Some of the earliest plant-people relationships arose between the indigenous people of Canada in identifying edible plants from inedible plants. This relationship the indigenous people had with plants was recorded by ethnobotanists. Plant biochemistry. Plant biochemistry is the study of the chemical processes used by plants. Some of these processes are used in their primary metabolism like the photosynthetic Calvin cycle and crassulacean acid metabolism. Others make specialised materials like the cellulose and lignin used to build their bodies, and secondary products like resins and aroma compounds. Plants and various other groups of photosynthetic eukaryotes collectively known as "algae" have unique organelles known as chloroplasts. Chloroplasts are thought to be descended from cyanobacteria that formed endosymbiotic relationships with ancient plant and algal ancestors. Chloroplasts and cyanobacteria contain the blue-green pigment chlorophyll "a". Chlorophyll "a" (as well as its plant and green algal-specific cousin chlorophyll "b") absorbs light in the blue-violet and orange/red parts of the spectrum while reflecting and transmitting the green light that we see as the characteristic colour of these organisms. The energy in the red and blue light that these pigments absorb is used by chloroplasts to make energy-rich carbon compounds from carbon dioxide and water by oxygenic photosynthesis, a process that generates molecular oxygen (O2) as a by-product. The light energy captured by chlorophyll "a" is initially in the form of electrons (and later a proton gradient) that is used to make molecules of ATP and NADPH which temporarily store and transport energy. Their energy is used in the light-independent reactions of the Calvin cycle by the enzyme rubisco to produce molecules of the 3-carbon sugar glyceraldehyde 3-phosphate (G3P). Glyceraldehyde 3-phosphate is the first product of photosynthesis and the raw material from which glucose and almost all other organic molecules of biological origin are synthesised. Some of the glucose is converted to starch which is stored in the chloroplast. Starch is the characteristic energy store of most land plants and algae, while inulin, a polymer of fructose is used for the same purpose in the sunflower family Asteraceae. Some of the glucose is converted to sucrose (common table sugar) for export to the rest of the plant. Unlike in animals (which lack chloroplasts), plants and their eukaryote relatives have delegated many biochemical roles to their chloroplasts, including synthesising all their fatty acids, and most amino acids. The fatty acids that chloroplasts make are used for many things, such as providing material to build cell membranes out of and making the polymer cutin which is found in the plant cuticle that protects land plants from drying out. Plants synthesise a number of unique polymers like the polysaccharide molecules cellulose, pectin and xyloglucan from which the land plant cell wall is constructed. Vascular land plants make lignin, a polymer used to strengthen the secondary cell walls of xylem tracheids and vessels to keep them from collapsing when a plant sucks water through them under water stress. Lignin is also used in other cell types like sclerenchyma fibres that provide structural support for a plant and is a major constituent of wood. Sporopollenin is a chemically resistant polymer found in the outer cell walls of spores and pollen of land plants responsible for the survival of early land plant spores and the pollen of seed plants in the fossil record. It is widely regarded as a marker for the start of land plant evolution during the Ordovician period. The concentration of carbon dioxide in the atmosphere today is much lower than it was when plants emerged onto land during the Ordovician and Silurian periods. Many monocots like maize and the pineapple and some dicots like the Asteraceae have since independently evolved pathways like Crassulacean acid metabolism and the carbon fixation pathway for photosynthesis which avoid the losses resulting from photorespiration in the more common carbon fixation pathway. These biochemical strategies are unique to land plants. Medicine and materials. Phytochemistry is a branch of plant biochemistry primarily concerned with the chemical substances produced by plants during secondary metabolism. Some of these compounds are toxins such as the alkaloid coniine from hemlock. Others, such as the essential oils peppermint oil and lemon oil are useful for their aroma, as flavourings and spices (e.g., capsaicin), and in medicine as pharmaceuticals as in opium from opium poppies. Many medicinal and recreational drugs, such as tetrahydrocannabinol (active ingredient in cannabis), caffeine, morphine and nicotine come directly from plants. Others are simple derivatives of botanical natural products. For example, the pain killer aspirin is the acetyl ester of salicylic acid, originally isolated from the bark of willow trees, and a wide range of opiate painkillers like heroin are obtained by chemical modification of morphine obtained from the opium poppy. Popular stimulants come from plants, such as caffeine from coffee, tea and chocolate, and nicotine from tobacco. Most alcoholic beverages come from fermentation of carbohydrate-rich plant products such as barley (beer), rice (sake) and grapes (wine). Native Americans have used various plants as ways of treating illness or disease for thousands of years. This knowledge Native Americans have on plants has been recorded by enthnobotanists and then in turn has been used by pharmaceutical companies as a way of drug discovery. Plants can synthesise coloured dyes and pigments such as the anthocyanins responsible for the red colour of red wine, yellow weld and blue woad used together to produce Lincoln green, indoxyl, source of the blue dye indigo traditionally used to dye denim and the artist's pigments gamboge and rose madder. Sugar, starch, cotton, linen, hemp, some types of rope, wood and particle boards, papyrus and paper, vegetable oils, wax, and natural rubber are examples of commercially important materials made from plant tissues or their secondary products. Charcoal, a pure form of carbon made by pyrolysis of wood, has a long history as a metal-smelting fuel, as a filter material and adsorbent and as an artist's material and is one of the three ingredients of gunpowder. Cellulose, the world's most abundant organic polymer, can be converted into energy, fuels, materials and chemical feedstock. Products made from cellulose include rayon and cellophane, wallpaper paste, biobutanol and gun cotton. Sugarcane, rapeseed and soy are some of the plants with a highly fermentable sugar or oil content that are used as sources of biofuels, important alternatives to fossil fuels, such as biodiesel. Sweetgrass was used by Native Americans to ward off bugs like mosquitoes. These bug repelling properties of sweetgrass were later found by the American Chemical Society in the molecules phytol and coumarin. Plant ecology. Plant ecology is the science of the functional relationships between plants and their habitats – the environments where they complete their life cycles. Plant ecologists study the composition of local and regional floras, their biodiversity, genetic diversity and fitness, the adaptation of plants to their environment, and their competitive or mutualistic interactions with other species. Some ecologists even rely on empirical data from indigenous people that is gathered by ethnobotanists. This information can relay a great deal of information on how the land once was thousands of years ago and how it has changed over that time. The goals of plant ecology are to understand the causes of their distribution patterns, productivity, environmental impact, evolution, and responses to environmental change. Plants depend on certain edaphic (soil) and climatic factors in their environment but can modify these factors too. For example, they can change their environment's albedo, increase runoff interception, stabilise mineral soils and develop their organic content, and affect local temperature. Plants compete with other organisms in their ecosystem for resources. They interact with their neighbours at a variety of spatial scales in groups, populations and communities that collectively constitute vegetation. Regions with characteristic vegetation types and dominant plants as well as similar abiotic and biotic factors, climate, and geography make up biomes like tundra or tropical rainforest. Herbivores eat plants, but plants can defend themselves and some species are parasitic or even carnivorous. Other organisms form mutually beneficial relationships with plants. For example, mycorrhizal fungi and rhizobia provide plants with nutrients in exchange for food, ants are recruited by ant plants to provide protection, honey bees, bats and other animals pollinate flowers and humans and other animals act as dispersal vectors to spread spores and seeds. Plants, climate and environmental change. Plant responses to climate and other environmental changes can inform our understanding of how these changes affect ecosystem function and productivity. For example, plant phenology can be a useful proxy for temperature in historical climatology, and the biological impact of climate change and global warming. Palynology, the analysis of fossil pollen deposits in sediments from thousands or millions of years ago allows the reconstruction of past climates. Estimates of atmospheric concentrations since the Palaeozoic have been obtained from stomatal densities and the leaf shapes and sizes of ancient land plants. Ozone depletion can expose plants to higher levels of ultraviolet radiation-B (UV-B), resulting in lower growth rates. Moreover, information from studies of community ecology, plant systematics, and taxonomy is essential to understanding vegetation change, habitat destruction and species extinction. Genetics. Inheritance in plants follows the same fundamental principles of genetics as in other multicellular organisms. Gregor Mendel discovered the genetic laws of inheritance by studying inherited traits such as shape in "Pisum sativum" (peas). What Mendel learned from studying plants has had far-reaching benefits outside of botany. Similarly, "jumping genes" were discovered by Barbara McClintock while she was studying maize. Nevertheless, there are some distinctive genetic differences between plants and other organisms. Species boundaries in plants may be weaker than in animals, and cross species hybrids are often possible. A familiar example is peppermint, "Mentha" × "piperita", a sterile hybrid between "Mentha aquatica" and spearmint, "Mentha spicata". The many cultivated varieties of wheat are the result of multiple inter- and intra-specific crosses between wild species and their hybrids. Angiosperms with monoecious flowers often have self-incompatibility mechanisms that operate between the pollen and stigma so that the pollen either fails to reach the stigma or fails to germinate and produce male gametes. This is one of several methods used by plants to promote outcrossing. In many land plants the male and female gametes are produced by separate individuals. These species are said to be dioecious when referring to vascular plant sporophytes and dioicous when referring to bryophyte gametophytes. Charles Darwin in his 1878 book The Effects of Cross and Self-Fertilization in the Vegetable Kingdom at the start of chapter XII noted "The first and most important of the conclusions which may be drawn from the observations given in this volume, is that generally cross-fertilisation is beneficial and self-fertilisation often injurious, at least with the plants on which I experimented." An important adaptive benefit of outcrossing is that it allows the masking of deleterious mutations in the genome of progeny. This beneficial effect is also known as hybrid vigor or heterosis. Once outcrossing is established, subsequent switching to inbreeding becomes disadvantageous since it allows expression of the previously masked deleterious recessive mutations, commonly referred to as inbreeding depression. Unlike in higher animals, where parthenogenesis is rare, asexual reproduction may occur in plants by several different mechanisms. The formation of stem tubers in potato is one example. Particularly in arctic or alpine habitats, where opportunities for fertilisation of flowers by animals are rare, plantlets or bulbs, may develop instead of flowers, replacing sexual reproduction with asexual reproduction and giving rise to clonal populations genetically identical to the parent. This is one of several types of apomixis that occur in plants. Apomixis can also happen in a seed, producing a seed that contains an embryo genetically identical to the parent. Most sexually reproducing organisms are diploid, with paired chromosomes, but doubling of their chromosome number may occur due to errors in cytokinesis. This can occur early in development to produce an autopolyploid or partly autopolyploid organism, or during normal processes of cellular differentiation to produce some cell types that are polyploid (endopolyploidy), or during gamete formation. An allopolyploid plant may result from a hybridisation event between two different species. Both autopolyploid and allopolyploid plants can often reproduce normally, but may be unable to cross-breed successfully with the parent population because there is a mismatch in chromosome numbers. These plants that are reproductively isolated from the parent species but live within the same geographical area, may be sufficiently successful to form a new species. Some otherwise sterile plant polyploids can still reproduce vegetatively or by seed apomixis, forming clonal populations of identical individuals. Durum wheat is a fertile tetraploid allopolyploid, while bread wheat is a fertile hexaploid. The commercial banana is an example of a sterile, seedless triploid hybrid. Common dandelion is a triploid that produces viable seeds by apomictic seed. As in other eukaryotes, the inheritance of endosymbiotic organelles like mitochondria and chloroplasts in plants is non-Mendelian. Chloroplasts are inherited through the male parent in gymnosperms but often through the female parent in flowering plants. Molecular genetics. A considerable amount of new knowledge about plant function comes from studies of the molecular genetics of model plants such as the Thale cress, "Arabidopsis thaliana", a weedy species in the mustard family (Brassicaceae). The genome or hereditary information contained in the genes of this species is encoded by about 135 million base pairs of DNA, forming one of the smallest genomes among flowering plants. "Arabidopsis" was the first plant to have its genome sequenced, in 2000. The sequencing of some other relatively small genomes, of rice ("Oryza sativa") and "Brachypodium distachyon", has made them important model species for understanding the genetics, cellular and molecular biology of cereals, grasses and monocots generally. Model plants such as "Arabidopsis thaliana" are used for studying the molecular biology of plant cells and the chloroplast. Ideally, these organisms have small genomes that are well known or completely sequenced, small stature and short generation times. Corn has been used to study mechanisms of photosynthesis and phloem loading of sugar in plants. The single celled green alga "Chlamydomonas reinhardtii", while not an embryophyte itself, contains a green-pigmented chloroplast related to that of land plants, making it useful for study. A red alga "Cyanidioschyzon merolae" has also been used to study some basic chloroplast functions. Spinach, peas, soybeans and a moss "Physcomitrella patens" are commonly used to study plant cell biology. "Agrobacterium tumefaciens", a soil rhizosphere bacterium, can attach to plant cells and infect them with a callus-inducing Ti plasmid by horizontal gene transfer, causing a callus infection called crown gall disease. Schell and Van Montagu (1977) hypothesised that the Ti plasmid could be a natural vector for introducing the Nif gene responsible for nitrogen fixation in the root nodules of legumes and other plant species. Today, genetic modification of the Ti plasmid is one of the main techniques for introduction of transgenes to plants and the creation of genetically modified crops. Epigenetics. Epigenetics is the study of heritable changes in gene function that cannot be explained by changes in the underlying DNA sequence but cause the organism's genes to behave (or "express themselves") differently. One example of epigenetic change is the marking of the genes by DNA methylation which determines whether they will be expressed or not. Gene expression can also be controlled by repressor proteins that attach to silencer regions of the DNA and prevent that region of the DNA code from being expressed. Epigenetic marks may be added or removed from the DNA during programmed stages of development of the plant, and are responsible, for example, for the differences between anthers, petals and normal leaves, despite the fact that they all have the same underlying genetic code. Epigenetic changes may be temporary or may remain through successive cell divisions for the remainder of the cell's life. Some epigenetic changes have been shown to be heritable, while others are reset in the germ cells. Epigenetic changes in eukaryotic biology serve to regulate the process of cellular differentiation. During morphogenesis, totipotent stem cells become the various pluripotent cell lines of the embryo, which in turn become fully differentiated cells. A single fertilised egg cell, the zygote, gives rise to the many different plant cell types including parenchyma, xylem vessel elements, phloem sieve tubes, guard cells of the epidermis, etc. as it continues to divide. The process results from the epigenetic activation of some genes and inhibition of others. Unlike animals, many plant cells, particularly those of the parenchyma, do not terminally differentiate, remaining totipotent with the ability to give rise to a new individual plant. Exceptions include highly lignified cells, the sclerenchyma and xylem which are dead at maturity, and the phloem sieve tubes which lack nuclei. While plants use many of the same epigenetic mechanisms as animals, such as chromatin remodelling, an alternative hypothesis is that plants set their gene expression patterns using positional information from the environment and surrounding cells to determine their developmental fate. Epigenetic changes can lead to paramutations, which do not follow the Mendelian heritage rules. These epigenetic marks are carried from one generation to the next, with one allele inducing a change on the other. Plant evolution. The chloroplasts of plants have a number of biochemical, structural and genetic similarities to cyanobacteria, (commonly but incorrectly known as "blue-green algae") and are thought to be derived from an ancient endosymbiotic relationship between an ancestral eukaryotic cell and a . The algae are a polyphyletic group and are placed in various divisions, some more closely related to plants than others. There are many differences between them in features such as cell wall composition, biochemistry, pigmentation, chloroplast structure and nutrient reserves. The algal division Charophyta, sister to the green algal division Chlorophyta, is considered to contain the ancestor of true plants. The Charophyte class Charophyceae and the land plant sub-kingdom Embryophyta together form the monophyletic group or clade Streptophytina. Nonvascular land plants are embryophytes that lack the vascular tissues xylem and phloem. They include mosses, liverworts and hornworts. Pteridophytic vascular plants with true xylem and phloem that reproduced by spores germinating into free-living gametophytes evolved during the Silurian period and diversified into several lineages during the late Silurian and early Devonian. Representatives of the lycopods have survived to the present day. By the end of the Devonian period, several groups, including the lycopods, sphenophylls and progymnosperms, had independently evolved "megaspory" – their spores were of two distinct sizes, larger megaspores and smaller microspores. Their reduced gametophytes developed from megaspores retained within the spore-producing organs (megasporangia) of the sporophyte, a condition known as endospory. Seeds consist of an endosporic megasporangium surrounded by one or two sheathing layers (integuments). The young sporophyte develops within the seed, which on germination splits to release it. The earliest known seed plants date from the latest Devonian Famennian stage. Following the evolution of the seed habit, seed plants diversified, giving rise to a number of now-extinct groups, including seed ferns, as well as the modern gymnosperms and angiosperms. Gymnosperms produce "naked seeds" not fully enclosed in an ovary; modern representatives include conifers, cycads, "Ginkgo", and Gnetales. Angiosperms produce seeds enclosed in a structure such as a carpel or an ovary. Ongoing research on the molecular phylogenetics of living plants appears to show that the angiosperms are a sister clade to the gymnosperms. Plant physiology. Plant physiology encompasses all the internal chemical and physical activities of plants associated with life. Chemicals obtained from the air, soil and water form the basis of all plant metabolism. The energy of sunlight, captured by oxygenic photosynthesis and released by cellular respiration, is the basis of almost all life. Photoautotrophs, including all green plants, algae and cyanobacteria gather energy directly from sunlight by photosynthesis. Heterotrophs including all animals, all fungi, all completely parasitic plants, and non-photosynthetic bacteria take in organic molecules produced by photoautotrophs and respire them or use them in the construction of cells and tissues. Respiration is the oxidation of carbon compounds by breaking them down into simpler structures to release the energy they contain, essentially the opposite of photosynthesis. Molecules are moved within plants by transport processes that operate at a variety of spatial scales. Subcellular transport of ions, electrons and molecules such as water and enzymes occurs across cell membranes. Minerals and water are transported from roots to other parts of the plant in the transpiration stream. Diffusion, osmosis, and active transport and mass flow are all different ways transport can occur. Examples of elements that plants need to transport are nitrogen, phosphorus, potassium, calcium, magnesium, and sulfur. In vascular plants, these elements are extracted from the soil as soluble ions by the roots and transported throughout the plant in the xylem. Most of the elements required for plant nutrition come from the chemical breakdown of soil minerals. Sucrose produced by photosynthesis is transported from the leaves to other parts of the plant in the phloem and plant hormones are transported by a variety of processes. Plant hormones. Plants are not passive, but respond to external signals such as light, touch, and injury by moving or growing towards or away from the stimulus, as appropriate. Tangible evidence of touch sensitivity is the almost instantaneous collapse of leaflets of "Mimosa pudica", the insect traps of Venus flytrap and bladderworts, and the pollinia of orchids. The hypothesis that plant growth and development is coordinated by plant hormones or plant growth regulators first emerged in the late 19th century. Darwin experimented on the movements of plant shoots and roots towards light and gravity, and concluded "It is hardly an exaggeration to say that the tip of the radicle . . acts like the brain of one of the lower animals . . directing the several movements". About the same time, the role of auxins (from the Greek , to grow) in control of plant growth was first outlined by the Dutch scientist Frits Went. The first known auxin, indole-3-acetic acid (IAA), which promotes cell growth, was only isolated from plants about 50 years later. This compound mediates the tropic responses of shoots and roots towards light and gravity. The finding in 1939 that plant callus could be maintained in culture containing IAA, followed by the observation in 1947 that it could be induced to form roots and shoots by controlling the concentration of growth hormones were key steps in the development of plant biotechnology and genetic modification. Cytokinins are a class of plant hormones named for their control of cell division (especially cytokinesis). The natural cytokinin zeatin was discovered in corn, "Zea mays", and is a derivative of the purine adenine. Zeatin is produced in roots and transported to shoots in the xylem where it promotes cell division, bud development, and the greening of chloroplasts. The gibberelins, such as gibberelic acid are diterpenes synthesised from acetyl CoA via the mevalonate pathway. They are involved in the promotion of germination and dormancy-breaking in seeds, in regulation of plant height by controlling stem elongation and the control of flowering. Abscisic acid (ABA) occurs in all land plants except liverworts, and is synthesised from carotenoids in the chloroplasts and other plastids. It inhibits cell division, promotes seed maturation, and dormancy, and promotes stomatal closure. It was so named because it was originally thought to control abscission. Ethylene is a gaseous hormone that is produced in all higher plant tissues from methionine. It is now known to be the hormone that stimulates or regulates fruit ripening and abscission, and it, or the synthetic growth regulator ethephon which is rapidly metabolised to produce ethylene, are used on industrial scale to promote ripening of cotton, pineapples and other climacteric crops. Another class of phytohormones is the jasmonates, first isolated from the oil of "Jasminum grandiflorum" which regulates wound responses in plants by unblocking the expression of genes required in the systemic acquired resistance response to pathogen attack. In addition to being the primary energy source for plants, light functions as a signalling device, providing information to the plant, such as how much sunlight the plant receives each day. This can result in adaptive changes in a process known as photomorphogenesis. Phytochromes are the photoreceptors in a plant that are sensitive to light. Plant anatomy and morphology. Plant anatomy is the study of the structure of plant cells and tissues, whereas plant morphology is the study of their external form. All plants are multicellular eukaryotes, their DNA stored in nuclei. The characteristic features of plant cells that distinguish them from those of animals and fungi include a primary cell wall composed of the polysaccharides cellulose, hemicellulose and pectin, larger vacuoles than in animal cells and the presence of plastids with unique photosynthetic and biosynthetic functions as in the chloroplasts. Other plastids contain storage products such as starch (amyloplasts) or lipids (elaioplasts). Uniquely, streptophyte cells and those of the green algal order Trentepohliales divide by construction of a phragmoplast as a template for building a cell plate late in cell division. The bodies of vascular plants including clubmosses, ferns and seed plants (gymnosperms and angiosperms) generally have aerial and subterranean subsystems. The shoots consist of stems bearing green photosynthesising leaves and reproductive structures. The underground vascularised roots bear root hairs at their tips and generally lack chlorophyll. Non-vascular plants, the liverworts, hornworts and mosses do not produce ground-penetrating vascular roots and most of the plant participates in photosynthesis. The sporophyte generation is nonphotosynthetic in liverworts but may be able to contribute part of its energy needs by photosynthesis in mosses and hornworts. The root system and the shoot system are interdependent – the usually nonphotosynthetic root system depends on the shoot system for food, and the usually photosynthetic shoot system depends on water and minerals from the root system. Cells in each system are capable of creating cells of the other and producing adventitious shoots or roots. Stolons and tubers are examples of shoots that can grow roots. Roots that spread out close to the surface, such as those of willows, can produce shoots and ultimately new plants. In the event that one of the systems is lost, the other can often regrow it. In fact it is possible to grow an entire plant from a single leaf, as is the case with plants in "Streptocarpus" sect. "Saintpaulia", or even a single cell – which can dedifferentiate into a callus (a mass of unspecialised cells) that can grow into a new plant. In vascular plants, the xylem and phloem are the conductive tissues that transport resources between shoots and roots. Roots are often adapted to store food such as sugars or starch, as in sugar beets and carrots. Stems mainly provide support to the leaves and reproductive structures, but can store water in succulent plants such as cacti, food as in potato tubers, or reproduce vegetatively as in the stolons of strawberry plants or in the process of layering. Leaves gather sunlight and carry out photosynthesis. Large, flat, flexible, green leaves are called foliage leaves. Gymnosperms, such as conifers, cycads, "Ginkgo", and gnetophytes are seed-producing plants with open seeds. Angiosperms are seed-producing plants that produce flowers and have enclosed seeds. Woody plants, such as azaleas and oaks, undergo a secondary growth phase resulting in two additional types of tissues: wood (secondary xylem) and bark (secondary phloem and cork). All gymnosperms and many angiosperms are woody plants. Some plants reproduce sexually, some asexually, and some via both means. Although reference to major morphological categories such as root, stem, leaf, and trichome are useful, one has to keep in mind that these categories are linked through intermediate forms so that a continuum between the categories results. Furthermore, structures can be seen as processes, that is, process combinations. Systematic botany. Systematic botany is part of systematic biology, which is concerned with the range and diversity of organisms and their relationships, particularly as determined by their evolutionary history. It involves, or is related to, biological classification, scientific taxonomy and phylogenetics. Biological classification is the method by which botanists group organisms into categories such as genera or species. Biological classification is a form of scientific taxonomy. Modern taxonomy is rooted in the work of Carl Linnaeus, who grouped species according to shared physical characteristics. These groupings have since been revised to align better with the Darwinian principle of common descent – grouping organisms by ancestry rather than superficial characteristics. While scientists do not always agree on how to classify organisms, molecular phylogenetics, which uses DNA sequences as data, has driven many recent revisions along evolutionary lines and is likely to continue to do so. The dominant classification system is called Linnaean taxonomy. It includes ranks and binomial nomenclature. The nomenclature of botanical organisms is codified in the International Code of Nomenclature for algae, fungi, and plants (ICN) and administered by the International Botanical Congress. Kingdom Plantae belongs to Domain Eukaryota and is broken down recursively until each species is separately classified. The order is: Kingdom; Phylum (or Division); Class; Order; Family; Genus (plural "genera"); Species. The scientific name of a plant represents its genus and its species within the genus, resulting in a single worldwide name for each organism. For example, the tiger lily is "Lilium columbianum". "Lilium" is the genus, and "columbianum" the specific epithet. The combination is the name of the species. When writing the scientific name of an organism, it is proper to capitalise the first letter in the genus and put all of the specific epithet in lowercase. Additionally, the entire term is ordinarily italicised (or underlined when italics are not available). The evolutionary relationships and heredity of a group of organisms is called its phylogeny. Phylogenetic studies attempt to discover phylogenies. The basic approach is to use similarities based on shared inheritance to determine relationships. As an example, species of "Pereskia" are trees or bushes with prominent leaves. They do not obviously resemble a typical leafless cactus such as an "Echinocactus". However, both "Pereskia" and "Echinocactus" have spines produced from areoles (highly specialised pad-like structures) suggesting that the two genera are indeed related. Judging relationships based on shared characters requires care, since plants may resemble one another through convergent evolution in which characters have arisen independently. Some euphorbias have leafless, rounded bodies adapted to water conservation similar to those of globular cacti, but characters such as the structure of their flowers make it clear that the two groups are not closely related. The cladistic method takes a systematic approach to characters, distinguishing between those that carry no information about shared evolutionary history – such as those evolved separately in different groups (homoplasies) or those left over from ancestors (plesiomorphies) – and derived characters, which have been passed down from innovations in a shared ancestor (apomorphies). Only derived characters, such as the spine-producing areoles of cacti, provide evidence for descent from a common ancestor. The results of cladistic analyses are expressed as cladograms: tree-like diagrams showing the pattern of evolutionary branching and descent. From the 1990s onwards, the predominant approach to constructing phylogenies for living plants has been molecular phylogenetics, which uses molecular characters, particularly DNA sequences, rather than morphological characters like the presence or absence of spines and areoles. The difference is that the genetic code itself is used to decide evolutionary relationships, instead of being used indirectly via the characters it gives rise to. Clive Stace describes this as having "direct access to the genetic basis of evolution." As a simple example, prior to the use of genetic evidence, fungi were thought either to be plants or to be more closely related to plants than animals. Genetic evidence suggests that the true evolutionary relationship of multicelled organisms is as shown in the cladogram below – fungi are more closely related to animals than to plants. In 1998, the Angiosperm Phylogeny Group published a phylogeny for flowering plants based on an analysis of DNA sequences from most families of flowering plants. As a result of this work, many questions, such as which families represent the earliest branches of angiosperms, have now been answered. Investigating how plant species are related to each other allows botanists to better understand the process of evolution in plants. Despite the study of model plants and increasing use of DNA evidence, there is ongoing work and discussion among taxonomists about how best to classify plants into various taxa. Technological developments such as computers and electron microscopes have greatly increased the level of detail studied and speed at which data can be analysed. Symbols. A few symbols are in current use in botany. A number of others are obsolete; for example, Linnaeus used planetary symbols (Mars) for biennial plants, (Jupiter) for herbaceous perennials and (Saturn) for woody perennials, based on the planets' orbital periods of 2, 12 and 30 years; and Willd used (Saturn) for neuter in addition to (Mercury) for hermaphroditic. The following symbols are still used: ♀ female ♂ male ⚥ hermaphrodite/bisexual ⚲ vegetative (asexual) reproduction ◊ sex unknown ☉ annual ⚇ biennial ♾ perennial ☠ poisonous 🛈 further information × crossbred hybrid + grafted hybrid
4184
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https://en.wikipedia.org/wiki?curid=4184
Bacillus thuringiensis
Bacillus thuringiensis (or Bt) is a gram-positive, soil-dwelling bacterium, the most commonly used biological pesticide worldwide. "B. thuringiensis" also occurs naturally in the gut of caterpillars of various types of moths and butterflies, as well as on leaf surfaces, aquatic environments, animal feces, insect-rich environments, flour mills and grain-storage facilities. It has also been observed to parasitize moths such as "Cadra calidella"—in laboratory experiments working with "C. calidella", many of the moths were diseased due to this parasite. During sporulation, many Bt strains produce crystal proteins (proteinaceous inclusions), called delta endotoxins, that have insecticidal action. This has led to their use as insecticides, and more recently to genetically modified crops using Bt genes, such as Bt corn. Many crystal-producing Bt strains, though, do not have insecticidal properties. Bacillus thuringiensis israelensis (Bti) was discovered in 1976 by Israeli researchers Yoel Margalith and B. Goldberg in the Negev Desert of Israel. While investigating mosquito breeding sites in the region, they isolated a bacterial strain from a stagnant pond that exhibited potent larvicidal activity against various mosquito species, including "Anopheles", "Culex", and "Aedes". This subspecies, "israelensis", is now commonly used for the biological control of mosquitoes and fungus gnats due to its effectiveness and environmental safety. As a toxic mechanism, "cry" proteins bind to specific receptors on the membranes of mid-gut (epithelial) cells of the targeted pests, resulting in their rupture. Other organisms (including humans, other animals and non-targeted insects) that lack the appropriate receptors in their gut cannot be affected by the "cry" protein, and therefore are not affected by Bt. Taxonomy and discovery. In 1902, "B. thuringiensis" was first discovered in silkworms by Japanese sericultural engineer . He named it "B. sotto", using the Japanese word , here referring to bacillary paralysis. In 1911, German microbiologist Ernst Berliner rediscovered it when he isolated it as the cause of a disease called "" in flour moth caterpillars in Thuringia (hence the specific name "thuringiensis", "Thuringian"). "B. sotto" would later be reassigned as "B. thuringiensis" var. "sotto". In 1976, Robert A. Zakharyan reported the presence of a plasmid in a strain of "B. thuringiensis" and suggested the plasmid's involvement in endospore and crystal formation. "B. thuringiensis" is closely related to "B. cereus", a soil bacterium, and "B. anthracis", the cause of anthrax; the three organisms differ mainly in their plasmids. Like other members of the genus, all three are capable of producing endospores. Species group placement. "B. thuringiensis" is placed in the "Bacillus cereus" group which is variously defined as: seven closely related species: "B. cereus" "sensu stricto" ("B. cereus"), "B. anthracis", "B. thuringiensis", "B. mycoides", "B. pseudomycoides", and "B. cytotoxicus"; or as six species in a "Bacillus cereus" sensu lato: "B. weihenstephanensis", "B. mycoides", "B. pseudomycoides", "B. cereus", "B. thuringiensis", and "B. anthracis". Within this grouping "B.t." is more closely related to "B.ce." It is more distantly related to "B.w.", "B.m.", "B.p.", and "B.cy." Subspecies. There are several dozen recognized subspecies of "B. thuringiensis". Subspecies commonly used as insecticides include "B. thuringiensis" subspecies "kurstaki" (Btk), subspecies "israelensis" (Bti) and (Bta). Some Bti lineages are clonal. Genetics. Some strains are known to carry the same genes that produce enterotoxins in "B. cereus", and so it is possible that the entire "B. cereus" sensu lato group may have the potential to be enteropathogens. The proteins that "B. thuringiensis" is most known for are encoded by "cry" genes. In most strains of "B. thuringiensis", these genes are located on a plasmid (in other words "cry" is not a chromosomal gene in most strains). If these plasmids are lost it becomes indistinguishable from "B. cereus" as "B. thuringiensis" has no other species characteristics. Plasmid exchange has been observed both naturally and experimentally both within "B.t." and between "B.t." and two congeners, "B. cereus" and "B. mycoides". plcR is an indispensable transcription regulator of most virulence factors, its absence greatly reducing virulence and toxicity. Some strains do naturally complete their life cycle with an inactivated plcR. It is half of a two-gene operon along with the heptapeptide . papR is part of quorum sensing in "B. thuringiensis". Various strains including "Btk" ATCC 33679 carry plasmids belonging to the wider pXO1-like family. (The pXO1 family being a "B. cereus"-common family with members of ≈330kb length. They differ from pXO1 by replacement of the pXO1 pathogenicity island.) The insect parasite "Btk" HD73 carries a pXO2-like plasmid (pBT9727) lacking the 35kb pathogenicity island of pXO2 itself, and in fact having no identifiable virulence factors. (The pXO2 family does not have replacement of the pathogenicity island, instead simply lacking that part of pXO2.) The genomes of the "B. cereus" group may contain two types of introns, dubbed group I and group II. "B.t" strains have variously 0–5 group Is and 0–13 group IIs. There is still insufficient information to determine whether chromosome-plasmid coevolution to enable adaptation to particular environmental niches has occurred or is even possible. Common with "B. cereus" but so far not found elsewhere – including in other members of the species group – are the efflux pump BC3663, the "N"-acyl--amino-acid amidohydrolase BC3664, and the methyl-accepting chemotaxis protein BC5034. Proteome. It has a similar proteome diversity to its close relative "B. cereus". Into the BT Cotton protein is 'Crystal protein'. Mechanism of insecticidal action. Upon sporulation, "B. thuringiensis" forms crystals of two types of proteinaceous insecticidal delta endotoxins (δ-endotoxins) called crystal proteins or Cry proteins, which are encoded by "cry" genes, and Cyt proteins. Cry toxins have specific activities against insect species of the orders Lepidoptera (moths and butterflies), Diptera (flies and mosquitoes), Coleoptera (beetles) and Hymenoptera (wasps, bees, ants and sawflies), as well as against nematodes. A specific example of "B. thuringiensis" use against beetles is the fight against Colorado Potato Beetles in potato crops. Thus, "B. thuringiensis" serves as an important reservoir of Cry toxins for production of biological insecticides and insect-resistant genetically modified crops. When insects ingest toxin crystals, their alkaline digestive tracts denature the insoluble crystals, making them soluble and thus amenable to being cut with proteases found in the insect gut, which liberate the toxin from the crystal. The Cry toxin is then inserted into the insect gut cell membrane, paralyzing the digestive tract and forming a pore. The insect stops eating and starves to death; live Bt bacteria may also colonize the insect, which can contribute to death. Death occurs within a few hours or weeks. The midgut bacteria of susceptible larvae may be required for "B. thuringiensis" insecticidal activity. A "B. thuringiensis" small RNA called BtsR1 can silence the Cry5Ba toxin expression when outside the host by binding to the RBS site of the Cry5Ba toxin transcript to avoid nematode behavioral defenses. The silencing results in an increase of the bacteria ingestion by "C. elegans". The expression of BtsR1 is then reduced after ingestion, resulting in Cry5Ba toxin production and host death. In 1996 another class of insecticidal proteins in Bt was discovered: the vegetative insecticidal proteins (Vip; ). Vip proteins do not share sequence homology with Cry proteins, in general do not compete for the same receptors, and some kill different insects than do Cry proteins. In 2000, a novel subgroup of Cry protein, designated parasporin, was discovered from non-insecticidal "B. thuringiensis" isolates. The proteins of parasporin group are defined as "B. thuringiensis" and related bacterial parasporal proteins that are not hemolytic, but capable of preferentially killing cancer cells. As of January 2013, parasporins comprise six subfamilies: PS1 to PS6. Use of spores and proteins in pest control. Spores and crystalline insecticidal proteins produced by "B. thuringiensis" have been used to control insect pests since the 1920s and are often applied as liquid sprays and donut pellets. They are now used as specific insecticides under trade names such as DiPel, Thuricide, and Mosquito Dunks. Because of their specificity, these pesticides are regarded as environmentally friendly, with little or no effect on humans, wildlife, pollinators, and most other beneficial insects, and are used in organic farming; however, the manuals for these products do contain many environmental and human health warnings, and a 2012 European regulatory peer review of five approved strains found, while data exist to support some claims of low toxicity to humans and the environment, the data are insufficient to justify many of these claims. New strains of Bt are developed and introduced over time as insects develop resistance to Bt, or the desire occurs to force mutations to modify organism characteristics, or to use homologous recombinant genetic engineering to improve crystal size and increase pesticidal activity, or broaden the host range of Bt and obtain more effective formulations. Each new strain is given a unique number and registered with the U.S. EPA and allowances may be given for genetic modification depending on "its parental strains, the proposed pesticide use pattern, and the manner and extent to which the organism has been genetically modified". Formulations of Bt that are approved for organic farming in the US are listed at the website of the Organic Materials Review Institute (OMRI) and several university extension websites offer advice on how to use Bt spore or protein preparations in organic farming. Use of Bt genes in genetic engineering of plants for pest control. The Belgian company Plant Genetic Systems (now part of Bayer CropScience) was the first company (in 1985) to develop genetically modified crops (tobacco) with insect tolerance by expressing "cry" genes from "B. thuringiensis"; the resulting crops contain delta endotoxin. The Bt tobacco was never commercialized; tobacco plants are used to test genetic modifications since they are easy to manipulate genetically and are not part of the food supply. Usage. In 1995, were approved safe by the Environmental Protection Agency, making it the first human-modified pesticide-producing crop to be approved in the US, though many plants produce pesticides naturally, including tobacco, coffee plants, cocoa, cotton and black walnut. This was the 'New Leaf' potato, and it was removed from the market in 2001 due to lack of interest. In 1996, was approved, which killed the European corn borer and related species; subsequent Bt genes were introduced that killed corn rootworm larvae. The Bt genes engineered into crops and approved for release include, singly and stacked: Cry1A.105, CryIAb, CryIF, Cry2Ab, Cry3Bb1, Cry34Ab1, Cry35Ab1, mCry3A, and VIP, and the engineered crops include corn and cotton. Corn genetically modified to produce VIP was first approved in the US in 2010. In India, by 2014, more than seven million cotton farmers, occupying twenty-six million acres, had adopted . Monsanto developed a and the glyphosate-resistance gene for the Brazilian market, which completed the Brazilian regulatory process in 2010. - specifically "Populus" hybrids - have been developed. They do suffer lesser leaf damage from insect herbivory. The results have not been entirely positive however: The intended result - better timber yield - was not achieved, with no growth advantage despite that reduction in herbivore damage; one of their major pests still preys upon the transgenic trees; and besides that, their leaf litter decomposes differently due to the transgenic toxins, resulting in alterations to the aquatic insect populations nearby. Safety studies. The use of Bt toxins as plant-incorporated protectants prompted the need for extensive evaluation of their safety for use in foods and potential unintended impacts on the environment. Dietary risk assessment. Concerns over the safety of consumption of genetically modified plant materials that contain Cry proteins have been addressed in extensive dietary risk assessment studies. As a toxic mechanism, "cry" proteins bind to specific receptors on the membranes of mid-gut (epithelial) cells of the targeted pests, resulting in their rupture. While the target pests are exposed to the toxins primarily through leaf and stalk material, Cry proteins are also expressed in other parts of the plant, including trace amounts in maize kernels which are ultimately consumed by both humans and animals. However, other organisms (including humans, other animals and non-targeted insects) that lack the appropriate receptors in their gut cannot be affected by the "cry" protein, and therefore are not affected by Bt. Toxicology studies. Animal models have been used to assess human health risk from consumption of products containing Cry proteins. The United States Environmental Protection Agency recognizes mouse acute oral feeding studies where doses as high as 5,000 mg/kg body weight resulted in no observed adverse effects. Research on other known toxic proteins suggests that , further suggesting that Bt toxins are not toxic to mammals. The results of toxicology studies are further strengthened by the lack of observed toxicity from decades of use of "B. thuringiensis" and its crystalline proteins as an insecticidal spray. Allergenicity studies. Introduction of a new protein raised concerns regarding the potential for allergic responses in sensitive individuals. Bioinformatic analysis of known allergens has indicated there is no concern of allergic reactions as a result of consumption of Bt toxins. Additionally, skin prick testing using purified Bt protein resulted in no detectable production of toxin-specific IgE antibodies, even in atopic patients. Digestibility studies. Studies have been conducted to evaluate the fate of Bt toxins that are ingested in foods. Bt toxin proteins have been shown to digest within minutes of exposure to simulated gastric fluids. The instability of the proteins in digestive fluids is an additional indication that Cry proteins are unlikely to be allergenic, since most known food allergens resist degradation and are ultimately absorbed in the small intestine. Persistence in environment. Concerns over possible environmental impact from accumulation of Bt toxins from plant tissues, pollen dispersal, and direct secretion from roots have been investigated. Bt toxins may persist in soil for over 200 days, with half-lives between 1.6 and 22 days. Much of the toxin is initially degraded rapidly by microorganisms in the environment, while some is adsorbed by organic matter and persists longer. Some studies, in contrast, claim that the toxins do not persist in the soil. Bt toxins are less likely to accumulate in bodies of water, but pollen shed or soil runoff may deposit them in an aquatic ecosystem. Fish species are not susceptible to Bt toxins if exposed. Impact on non-target organisms. The toxic nature of Bt proteins has an adverse impact on many major crop pests, but some ecological risk assessments has been conducted to ensure safety of beneficial non-target organisms that may come into contact with the toxins. Toxicity for the monarch butterfly, has been shown to not reach dangerous levels. Most soil-dwelling organisms, potentially exposed to Bt toxins through root exudates, are probably not impacted by the growth of Bt crops. Insect resistance. Multiple insects have developed a resistance to "B. thuringiensis". In November 2009, Monsanto scientists found the pink bollworm had become resistant to the first-generation Bt cotton in parts of Gujarat, India - that generation expresses one Bt gene, "Cry1Ac". This was the first instance of Bt resistance confirmed by Monsanto anywhere in the world. Monsanto responded by introducing a second-generation cotton with multiple Bt proteins, which was rapidly adopted. Bollworm resistance to first-generation Bt cotton was also identified in Australia, China, Spain, and the United States. Additionally, resistance to Bt was documented in field population of diamondback moth in Hawaii, the continental US, and Asia. Studies in the cabbage looper have suggested that a mutation in the membrane transporter ABCC2 can confer resistance to Bt "Cry1Ac". Secondary pests. Several studies have documented surges in "sucking pests" (which are not affected by Bt toxins) within a few years of adoption of Bt cotton. In China, the main problem has been with mirids, which have in some cases "completely eroded all benefits from Bt cotton cultivation". The increase in sucking pests depended on local temperature and rainfall conditions and increased in half the villages studied. The increase in insecticide use for the control of these secondary insects was far smaller than the reduction in total insecticide use due to Bt cotton adoption. Another study in five provinces in China found the reduction in pesticide use in Bt cotton cultivars is significantly lower than that reported in research elsewhere, consistent with the hypothesis suggested by recent studies that more pesticide sprayings are needed over time to control emerging secondary pests, such as aphids, spider mites, and lygus bugs. Similar problems have been reported in India, with both mealy bugs and aphids although a survey of small Indian farms between 2002 and 2008 concluded Bt cotton adoption has led to higher yields and lower pesticide use, decreasing over time. Controversies. The controversies surrounding Bt use are among the many genetically modified food controversies more widely. Lepidopteran toxicity. The most publicised problem associated with Bt crops is the claim that pollen from Bt maize could kill the monarch butterfly. The paper produced a public uproar and demonstrations against Bt maize; however by 2001 several follow-up studies coordinated by the USDA had asserted that "the most common types of Bt maize pollen are not toxic to monarch larvae in concentrations the insects would encounter in the fields." Similarly, "B. thuringiensis" has been widely used for controlling "Spodoptera littoralis" larvae growth due to their detrimental pest activities in Africa and Southern Europe. However, "S. littoralis" showed resistance to many strains of "B. thuriginesis" and were only effectively controlled by a few strains. Wild maize genetic mixing. A study published in "Nature" in 2001 reported Bt-containing maize genes were found in maize in its center of origin, Oaxaca, Mexico. Another "Nature" paper published in 2002 claimed that the previous paper's conclusion was the result of an artifact caused by an inverse polymerase chain reaction and that "the evidence available is not sufficient to justify the publication of the original paper." A significant controversy happened over the paper and "Nature"s unprecedented notice. A subsequent large-scale study in 2005 failed to find any evidence of genetic mixing in Oaxaca. A 2007 study found the "transgenic proteins expressed in maize were found in two (0.96%) of 208 samples from farmers' fields, located in two (8%) of 25 sampled communities." Mexico imports a substantial amount of maize from the U.S., and due to formal and informal seed networks among rural farmers, many potential routes are available for transgenic maize to enter into food and feed webs. One study found small-scale (about 1%) introduction of transgenic sequences in sampled fields in Mexico; it did not find evidence for or against this introduced genetic material being inherited by the next generation of plants. That study was immediately criticized, with the reviewer writing, "Genetically, any given plant should be either non-transgenic or transgenic, therefore for leaf tissue of a single transgenic plant, a GMO level close to 100% is expected. In their study, the authors chose to classify leaf samples as transgenic despite GMO levels of about 0.1%. We contend that results such as these are incorrectly interpreted as positive and are more likely to be indicative of contamination in the laboratory." Colony collapse disorder. As of 2007, a new phenomenon called colony collapse disorder (CCD) began affecting bee hives all over North America. Initial speculation on possible causes included new parasites, pesticide use, and the use of Bt transgenic crops. The Mid-Atlantic Apiculture Research and Extension Consortium found no evidence that pollen from Bt crops is adversely affecting bees. According to the USDA, "Genetically modified (GM) crops, most commonly Bt corn, have been offered up as the cause of CCD. But there is no correlation between where GM crops are planted and the pattern of CCD incidents. Also, GM crops have been widely planted since the late 1990s, but CCD did not appear until 2006. In addition, CCD has been reported in countries that do not allow GM crops to be planted, such as Switzerland. German researchers have noted in one study a possible correlation between exposure to Bt pollen and compromised immunity to "Nosema"." The actual cause of CCD was unknown in 2007, and scientists believe it may have multiple exacerbating causes. Beta-exotoxins. Some isolates of "B. thuringiensis" produce a class of insecticidal small molecules called beta-exotoxin, the common name for which is thuringiensin. A consensus document produced by the OECD says: "Beta-exotoxins are known to be toxic to humans and almost all other forms of life and its presence is prohibited in "B. thuringiensis" microbial products". Thuringiensins are nucleoside analogues. They inhibit RNA polymerase activity, a process common to all forms of life, in rats and bacteria alike. Other hosts. This bacterium is an opportunistic pathogen of animals other than insects, causing necrosis, pulmonary infection, and/or food poisoning. It is unknown how common this is, because these infections are always taken to be "B. cereus" infections and are rarely tested for the "Cry" and "Cyt" proteins that are the only factor distinguishing "B. thuringiensis" from "B. cereus". New nomenclature for pesticidal proteins (Bt toxins). "Bacillus thuringiensis" is no longer the sole source of pesticidal proteins. The Bacterial Pesticidal Protein Resource Center (BPPRC) provides information on the rapidly expanding field of pesticidal proteins for academics, regulators, and research and development personnel.
4185
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https://en.wikipedia.org/wiki?curid=4185
Bacteriophage
A bacteriophage (), also known informally as a phage (), is a virus that infects and replicates within bacteria. The term is derived . Bacteriophages are composed of proteins that encapsulate a DNA or RNA genome, and may have structures that are either simple or elaborate. Their genomes may encode as few as four genes (e.g. MS2) and as many as hundreds of genes. Phages replicate within the bacterium following the injection of their genome into its cytoplasm. Bacteriophages are among the most common and diverse entities in the biosphere. Bacteriophages are ubiquitous viruses, found wherever bacteria exist. It is estimated there are more than 1031 bacteriophages on the planet, more than every other organism on Earth, including bacteria, combined. Viruses are the most abundant biological entity in the water column of the world's oceans, and the second largest component of biomass after prokaryotes, where up to 9x108 virions per millilitre have been found in microbial mats at the surface, and up to 70% of marine bacteria may be infected by bacteriophages. Bacteriophages were used from the 1920s as an alternative to antibiotics in the former Soviet Union and Central Europe, as well as in France and Brazil. They are seen as a possible therapy against multi-drug-resistant strains of many bacteria. Bacteriophages are known to interact with the immune system both indirectly via bacterial expression of phage-encoded proteins and directly by influencing innate immunity and bacterial clearance. Phage–host interactions are becoming increasingly important areas of research. Classification. Bacterial viruses lack common ancestry and, for that reason, are classified in many unrelated taxa, listed hereafter: The taxonomy of the aforementioned taxa can be visualized as follows, with bacterial virus taxa in bold: History. In 1896, Ernest Hanbury Hankin reported that something in the waters of the Ganges and Yamuna rivers in India had a marked antibacterial action against cholera and it could pass through a very fine porcelain filter. In 1915, British bacteriologist Frederick Twort, superintendent of the Brown Institution of London, discovered a small agent that infected and killed bacteria. He believed the agent must be one of the following: Twort's research was interrupted by the onset of World War I, as well as a shortage of funding and the discoveries of antibiotics. Independently, French-Canadian microbiologist Félix d'Hérelle, working at the Pasteur Institute in Paris, announced on 3 September 1917 that he had discovered "an invisible, antagonistic microbe of the dysentery bacillus". For d'Hérelle, there was no question as to the nature of his discovery: "In a flash I had understood: what caused my clear spots was in fact an invisible microbe... a virus parasitic on bacteria." D'Hérelle called the virus a bacteriophage, a bacterium-eater (from the Greek "", meaning "to devour"). He also recorded a dramatic account of a man suffering from dysentery who was restored to good health by the bacteriophages. It was d'Hérelle who conducted much research into bacteriophages and introduced the concept of phage therapy. In 1919, in Paris, France, d'Hérelle conducted the first clinical application of a bacteriophage, with the first reported use in the United States being in 1922. Nobel prizes awarded for phage research. In 1969, Max Delbrück, Alfred Hershey, and Salvador Luria were awarded the Nobel Prize in Physiology or Medicine for their discoveries of the replication of viruses and their genetic structure. Specifically the work of Hershey, as contributor to the Hershey–Chase experiment in 1952, provided convincing evidence that DNA, not protein, was the genetic material of life. Delbrück and Luria carried out the Luria–Delbrück experiment which demonstrated statistically that mutations in bacteria occur randomly and thus follow Darwinian rather than Lamarckian principles. Uses. Phage therapy. Phages were discovered to be antibacterial agents and were used in the former Soviet Republic of Georgia (pioneered there by Giorgi Eliava with help from the co-discoverer of bacteriophages, Félix d'Hérelle) during the 1920s and 1930s for treating bacterial infections. D'Herelle "quickly learned that bacteriophages are found wherever bacteria thrive: in sewers, in rivers that catch waste runoff from pipes, and in the stools of convalescent patients." They had widespread use, including treatment of soldiers in the Red Army. However, they were abandoned for general use in the West for several reasons: The use of phages has continued since the end of the Cold War in Russia, Georgia, and elsewhere in Central and Eastern Europe. The first regulated, randomized, double-blind clinical trial was reported in the "Journal of Wound Care" in June 2009, which evaluated the safety and efficacy of a bacteriophage cocktail to treat infected venous ulcers of the leg in human patients. The FDA approved the study as a Phase I clinical trial. The study's results demonstrated the safety of therapeutic application of bacteriophages, but did not show efficacy. The authors explained that the use of certain chemicals that are part of standard wound care (e.g. lactoferrin or silver) may have interfered with bacteriophage viability. Shortly after that, another controlled clinical trial in Western Europe (treatment of ear infections caused by "Pseudomonas aeruginosa") was reported in the journal "Clinical Otolaryngology" in August 2009. The study concludes that bacteriophage preparations were safe and effective for treatment of chronic ear infections in humans. Additionally, there have been numerous animal and other experimental clinical trials evaluating the efficacy of bacteriophages for various diseases, such as infected burns and wounds, and cystic fibrosis-associated lung infections, among others. On the other hand, phages of "Inoviridae" have been shown to complicate biofilms involved in pneumonia and cystic fibrosis and to shelter the bacteria from drugs meant to eradicate disease, thus promoting persistent infection. Meanwhile, bacteriophage researchers have been developing engineered viruses to overcome antibiotic resistance, and engineering the phage genes responsible for coding enzymes that degrade the biofilm matrix, phage structural proteins, and the enzymes responsible for lysis of the bacterial cell wall. There have been results showing that T4 phages that are small in size and short-tailed can be helpful in detecting "E. coli" in the human body. Therapeutic efficacy of a phage cocktail was evaluated in a mouse model with nasal infection of multi-drug-resistant (MDR) "A. baumannii". Mice treated with the phage cocktail showed a 2.3-fold higher survival rate compared to those untreated at seven days post-infection. In 2017, a 68-year-old diabetic patient with necrotizing pancreatitis complicated by a pseudocyst infected with MDR "A. baumannii" strains was being treated with a cocktail of Azithromycin, Rifampicin, and Colistin for 4 months without results and overall rapidly declining health. Because discussion had begun of the clinical futility of further treatment, an Emergency Investigational New Drug (eIND) was filed as a last effort to at the very least gain valuable medical data from the situation, and approved, so he was subjected to phage therapy using a percutaneously (PC) injected cocktail containing nine different phages that had been identified as effective against the primary infection strain by rapid isolation and testing techniques (a process which took under a day). This proved effective for a very brief period, although the patient remained unresponsive and his health continued to worsen; soon isolates of a strain of "A. baumannii" were being collected from drainage of the cyst that showed resistance to this cocktail, and a second cocktail which was tested to be effective against this new strain was added, this time by intravenous (IV) injection as it had become clear that the infection was more pervasive than originally thought. Once on the combination of the IV and PC therapy the patient's downward clinical trajectory reversed, and within two days he had awoken from his coma and become responsive. As his immune system began to function he had to be temporarily removed from the cocktail because his fever was spiking to over , but after two days the phage cocktails were re-introduced at levels he was able to tolerate. The original three-antibiotic cocktail was replaced by minocycline after the bacterial strain was found not to be resistant to this and he rapidly regained full lucidity, although he was not discharged from the hospital until roughly 145 days after phage therapy began. Towards the end of the therapy it was discovered that the bacteria had become resistant to both of the original phage cocktails, but they were continued because they seemed to be preventing minocycline resistance from developing in the bacterial samples collected so were having a useful synergistic effect. Other. Food industry. Phages have increasingly been used to safen food products and to forestall spoilage bacteria. Since 2006, the United States Food and Drug Administration (FDA) and United States Department of Agriculture (USDA) have approved several bacteriophage products. LMP-102 (Intralytix) was approved for treating ready-to-eat (RTE) poultry and meat products. In that same year, the FDA approved LISTEX (developed and produced by Micreos) using bacteriophages on cheese to kill "Listeria monocytogenes" bacteria, in order to give them generally recognized as safe (GRAS) status. In July 2007, the same bacteriophage were approved for use on all food products. In 2011 USDA confirmed that LISTEX is a clean label processing aid and is included in USDA. Research in the field of food safety is continuing to see if lytic phages are a viable option to control other food-borne pathogens in various food products. Water indicators. Bacteriophages, including those specific to "Escherichia coli", have been employed as indicators of fecal contamination in water sources. Due to their shared structural and biological characteristics, coliphages can serve as proxies for viral fecal contamination and the presence of pathogenic viruses such as rotavirus, norovirus, and HAV. Research conducted on wastewater treatment systems has revealed significant disparities in the behavior of coliphages compared to fecal coliforms, demonstrating a distinct correlation with the recovery of pathogenic viruses at the treatment's conclusion. Establishing a secure discharge threshold, studies have determined that discharges below 3000 PFU/100 mL are considered safe in terms of limiting the release of pathogenic viruses. Diagnostics. In 2011, the FDA cleared the first bacteriophage-based product for in vitro diagnostic use. The KeyPath MRSA/MSSA Blood Culture Test uses a cocktail of bacteriophage to detect "Staphylococcus aureus" in positive blood cultures and determine methicillin resistance or susceptibility. The test returns results in about five hours, compared to two to three days for standard microbial identification and susceptibility test methods. It was the first accelerated antibiotic-susceptibility test approved by the FDA. Counteracting bioweapons and toxins. Government agencies in the West have for several years been looking to Georgia and the former Soviet Union for help with exploiting phages for counteracting bioweapons and toxins, such as anthrax and botulism. Developments are continuing among research groups in the U.S. Other uses include spray application in horticulture for protecting plants and vegetable produce from decay and the spread of bacterial disease. Other applications for bacteriophages are as biocides for environmental surfaces, e.g., in hospitals, and as preventative treatments for catheters and medical devices before use in clinical settings. The technology for phages to be applied to dry surfaces, e.g., uniforms, curtains, or even sutures for surgery now exists. Clinical trials reported in "Clinical Otolaryngology" show success in veterinary treatment of pet dogs with otitis. Bacterium sensing and identification. The sensing of phage-triggered ion cascades (SEPTIC) bacterium sensing and identification method uses the ion emission and its dynamics during phage infection and offers high specificity and speed for detection. Phage display. Phage display is a different use of phages involving a library of phages with a variable peptide linked to a surface protein. Each phage genome encodes the variant of the protein displayed on its surface (hence the name), providing a link between the peptide variant and its encoding gene. Variant phages from the library may be selected through their binding affinity to an immobilized molecule (e.g., botulism toxin) to neutralize it. The bound, selected phages can be multiplied by reinfecting a susceptible bacterial strain, thus allowing them to retrieve the peptides encoded in them for further study. Antimicrobial drug discovery. Phage proteins often have antimicrobial activity and may serve as leads for peptidomimetics, i.e. drugs that mimic peptides. Phage-ligand technology makes use of phage proteins for various applications, such as binding of bacteria and bacterial components (e.g. endotoxin) and lysis of bacteria. Basic research. Bacteriophages are important model organisms for studying principles of evolution and ecology. Detriments. Dairy industry. Bacteriophages present in the environment can cause cheese to not ferment. In order to avoid this, mixed-strain starter cultures and culture rotation regimes can be used. Genetic engineering of culture microbes – especially "Lactococcus lactis" and "Streptococcus thermophilus" – have been studied for genetic analysis and modification to improve phage resistance. This has especially focused on plasmid and recombinant chromosomal modifications. Some research has focused on the potential of bacteriophages as antimicrobial against foodborne pathogens and biofilm formation within the dairy industry. As the spread of antibiotic resistance is a main concern within the dairy industry, phages can serve as a promising alternative. Replication. The life cycle of bacteriophages tends to be either a lytic cycle or a lysogenic cycle. In addition, some phages display pseudolysogenic behaviors. With "lytic phages" such as the T4 phage, bacterial cells are broken open (lysed) and destroyed after immediate replication of the virion. As soon as the cell is destroyed, the phage progeny can find new hosts to infect. Lytic phages are more suitable for phage therapy. Some lytic phages undergo a phenomenon known as lysis inhibition, where completed phage progeny will not immediately lyse out of the cell if extracellular phage concentrations are high. This mechanism is not identical to that of the temperate phage going dormant and usually is temporary. In contrast, the "lysogenic cycle" does not result in immediate lysing of the host cell. Those phages able to undergo lysogeny are known as temperate phages. Their viral genome will integrate with host DNA and replicate along with it, relatively harmlessly, or may even become established as a plasmid. The virus remains dormant until host conditions deteriorate, perhaps due to depletion of nutrients, then, the endogenous phages (known as prophages) become active. At this point they initiate the reproductive cycle, resulting in lysis of the host cell. As the lysogenic cycle allows the host cell to continue to survive and reproduce, the virus is replicated in all offspring of the cell. An example of a bacteriophage known to follow the lysogenic cycle and the lytic cycle is the phage lambda of "E. coli." Sometimes prophages may provide benefits to the host bacterium while they are dormant by adding new functions to the bacterial genome, in a phenomenon called lysogenic conversion. Examples are the conversion of harmless strains of "Corynebacterium diphtheriae" or "Vibrio cholerae" by bacteriophages to highly virulent ones that cause diphtheria or cholera, respectively. Strategies to combat certain bacterial infections by targeting these toxin-encoding prophages have been proposed. Attachment and penetration. Bacterial cells are protected by a cell wall of polysaccharides, which are important virulence factors protecting bacterial cells against both immune host defenses and antibiotics. Host growth conditions also influence the ability of the phage to attach and invade them. As phage virions do not move independently, they must rely on random encounters with the correct receptors when in solution, such as blood, lymphatic circulation, irrigation, soil water, etc. Myovirus bacteriophages use a hypodermic syringe-like motion to inject their genetic material into the cell. After contacting the appropriate receptor, the tail fibers flex to bring the base plate closer to the surface of the cell. This is known as reversible binding. Once attached completely, irreversible binding is initiated and the tail contracts, possibly with the help of ATP present in the tail, injecting genetic material through the bacterial membrane. The injection is accomplished through a sort of bending motion in the shaft by going to the side, contracting closer to the cell and pushing back up. Podoviruses lack an elongated tail sheath like that of a myovirus, so instead, they use their small, tooth-like tail fibers enzymatically to degrade a portion of the cell membrane before inserting their genetic material. Synthesis of proteins and nucleic acid. Within minutes, bacterial ribosomes start translating viral mRNA into protein. For RNA-based phages, RNA replicase is synthesized early in the process. Proteins modify the bacterial RNA polymerase so it preferentially transcribes viral mRNA. The host's normal synthesis of proteins and nucleic acids is disrupted, and it is forced to manufacture viral products instead. These products go on to become part of new virions within the cell, helper proteins that contribute to the assemblage of new virions, or proteins involved in cell lysis. In 1972, Walter Fiers (University of Ghent, Belgium) was the first to establish the complete nucleotide sequence of a gene and in 1976, of the viral genome of bacteriophage MS2. Some dsDNA bacteriophages encode ribosomal proteins, which are thought to modulate protein translation during phage infection. Virion assembly. In the case of the T4 phage, the construction of new virus particles involves the assistance of helper proteins that act catalytically during phage morphogenesis. The base plates are assembled first, with the tails being built upon them afterward. The head capsids, constructed separately, will spontaneously assemble with the tails. During assembly of the phage T4 virion, the morphogenetic proteins encoded by the phage genes interact with each other in a characteristic sequence. Maintaining an appropriate balance in the amounts of each of these proteins produced during viral infection appears to be critical for normal phage T4 morphogenesis. The DNA is packed efficiently within the heads. The whole process takes about 15 minutes. Early studies of bactioriophage T4 (1962–1964) provided an opportunity to gain understanding of virtually all of the genes that are essential for growth of the bacteriophage under laboratory conditions. These studies were made possible by the availability of two classes of conditional lethal mutants. One class of such mutants was referred to as amber mutants. The other class of conditional lethal mutants was referred to as temperature-sensitive mutants Studies of these two classes of mutants led to considerable insight into the functions and interactions of the proteins employed in the machinery of DNA replication, repair and recombination, and on how viruses are assembled from protein and nucleic acid components (molecular morphogenesis). Release of virions. Phages may be released via cell lysis, by extrusion, or, in a few cases, by budding. Lysis, by tailed phages, is achieved by an enzyme called endolysin, which attacks and breaks down the cell wall peptidoglycan. An altogether different phage type, the filamentous phage, makes the host cell continually secrete new virus particles. Released virions are described as free, and, unless defective, are capable of infecting a new bacterium. Budding is associated with certain "Mycoplasma" phages. In contrast to virion release, phages displaying a lysogenic cycle do not kill the host and instead become long-term residents as prophages. Communication. Research in 2017 revealed that the bacteriophage Φ3T makes a short viral protein that signals other bacteriophages to lie dormant instead of killing the host bacterium. Arbitrium is the name given to this protein by the researchers who discovered it. Genome structure. Given the millions of different phages in the environment, phage genomes come in a variety of forms and sizes. RNA phages such as MS2 have the smallest genomes, with only a few kilobases. However, some DNA phages such as T4 may have large genomes with hundreds of genes; the size and shape of the capsid varies along with the size of the genome. The largest bacteriophage genomes reach a size of 735 kb.Bacteriophage genomes can be highly mosaic, i.e. the genome of many phage species appear to be composed of numerous individual modules. These modules may be found in other phage species in different arrangements. Mycobacteriophages, bacteriophages with mycobacterial hosts, have provided excellent examples of this mosaicism. In these mycobacteriophages, genetic assortment may be the result of repeated instances of site-specific recombination and illegitimate recombination (the result of phage genome acquisition of bacterial host genetic sequences). Evolutionary mechanisms shaping the genomes of bacterial viruses vary between different families and depend upon the type of the nucleic acid, characteristics of the virion structure, as well as the mode of the viral life cycle. Some marine roseobacter phages, also known as roseophages, contain deoxyuridine (dU) instead of deoxythymidine (dT) in their genomic DNA. There is some evidence that this unusual component is a mechanism to evade bacterial defense mechanisms such as restriction endonucleases and CRISPR/Cas systems which evolved to recognize and cleave sequences within invading phages, thereby inactivating them. Other phages have long been known to use unusual nucleotides. In 1963, Takahashi and Marmur identified a "Bacillus" phage that has dU substituting dT in its genome, and in 1977, Kirnos et al. identified a cyanophage containing 2-aminoadenine (Z) instead of adenine (A). Systems biology. The field of systems biology investigates the complex networks of interactions within an organism, usually using computational tools and modeling. For example, a phage genome that enters into a bacterial host cell may express hundreds of phage proteins which will affect the expression of numerous host genes or the host's metabolism. All of these complex interactions can be described and simulated in computer models. For instance, infection of "Pseudomonas aeruginosa" by the temperate phage PaP3 changed the expression of 38% (2160/5633) of its host's genes. Many of these effects are probably indirect, hence the challenge becomes to identify the direct interactions among bacteria and phage. Several attempts have been made to map protein–protein interactions among phage and their host. For instance, bacteriophage lambda was found to interact with its host, "E. coli", by dozens of interactions. Again, the significance of many of these interactions remains unclear, but these studies suggest that there most likely are several key interactions and many indirect interactions whose role remains uncharacterized. Host resistance and anti-phage defense. Bacteriophages are a major threat to bacteria and prokaryotes have evolved numerous mechanisms to block infection (host resistance) or to block the replication of bacteriophages within host cells (anti-phage defense). Some examples include Bacteriophage–host symbiosis. Temperate phages are bacteriophages that integrate their genetic material into the host as extrachromosomal episomes or as a prophage during a lysogenic cycle. Some temperate phages can confer fitness advantages to their host in numerous ways, including giving antibiotic resistance through the transfer or introduction of antibiotic resistance genes (ARGs), protecting hosts from phagocytosis, protecting hosts from secondary infection through superinfection exclusion, enhancing host pathogenicity, or enhancing bacterial metabolism or growth. Bacteriophage–host symbiosis may benefit bacteria by providing selective advantages while passively replicating the phage genome. In the environment. Metagenomics has allowed the in-water detection of bacteriophages that was not possible previously. Also, bacteriophages have been used in hydrological tracing and modelling in river systems, especially where surface water and groundwater interactions occur. The use of phages is preferred to the more conventional dye marker because they are significantly less absorbed when passing through ground waters and they are readily detected at very low concentrations. Non-polluted water may contain approximately 2×108 bacteriophages per ml. Bacteriophages are thought to contribute extensively to horizontal gene transfer in natural environments, principally via transduction, but also via transformation. Metagenomics-based studies also have revealed that viromes from a variety of environments harbor antibiotic-resistance genes, including those that could confer multidrug resistance. Recent findings have mapped the complex and intertwined arsenal of anti-phage defense tools in environmental bacteria. In humans. Although phages do not infect humans, there are countless phage particles in the human body, given the extensive human microbiome. One's phage population has been called the human phageome, including the "healthy gut phageome" (HGP) and the "diseased human phageome" (DHP). The active phageome of a healthy human (i.e., actively replicating as opposed to nonreplicating, integrated prophage) has been estimated to comprise dozens to thousands of different viruses. There is evidence that bacteriophages and bacteria interact in the human gut microbiome both antagonistically and beneficially. Preliminary studies have indicated that common bacteriophages are found in 62% of healthy individuals on average, while their prevalence was reduced by 42% and 54% on average in patients with ulcerative colitis (UC) and Crohn's disease (CD). Abundance of phages may also decline in the elderly. The most common phages in the human intestine, found worldwide, are crAssphages. CrAssphages are transmitted from mother to child soon after birth, and there is some evidence suggesting that they may be transmitted locally. Each person develops their own unique crAssphage clusters. CrAss-like phages also may be present in primates besides humans. Commonly studied bacteriophages. Among the countless phages, only a few have been studied in detail, including some historically important phage that were discovered in the early days of microbial genetics. These, especially the T-phage, helped to discover important principles of gene structure and function.
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Bactericide
A bactericide or bacteriocide, sometimes abbreviated Bcidal, is a substance which kills bacteria. Bactericides are disinfectants, antiseptics, or antibiotics. However, material surfaces can also have bactericidal properties based solely on their physical surface structure, as for example biomaterials like insect wings. Disinfectants. The most used disinfectants are those applying Antiseptics. As antiseptics (i.e., germicide agents that can be used on human or animal body, skin, mucosae, wounds and the like), few of the above-mentioned disinfectants can be used, under proper conditions (mainly concentration, pH, temperature and toxicity toward humans and animals). Among them, some important are Others are generally not applicable as safe antiseptics, either because of their corrosive or toxic nature. Antibiotics. Bactericidal antibiotics kill bacteria; bacteriostatic antibiotics slow their growth or reproduction. Bactericidal antibiotics that inhibit cell wall synthesis: the beta-lactam antibiotics (penicillin derivatives (penams), cephalosporins (cephems), monobactams, and carbapenems) and vancomycin. Also bactericidal are daptomycin, fluoroquinolones, metronidazole, nitrofurantoin, co-trimoxazole, telithromycin. Aminoglycosidic antibiotics are usually considered bactericidal, although they may be bacteriostatic with some organisms. As of 2004, the distinction between bactericidal and bacteriostatic agents appeared to be clear according to the basic/clinical definition, but this only applies under strict laboratory conditions and it is important to distinguish microbiological and clinical definitions. The distinction is more arbitrary when agents are categorized in clinical situations. The supposed superiority of bactericidal agents over bacteriostatic agents is of little relevance when treating the vast majority of infections with gram-positive bacteria, particularly in patients with uncomplicated infections and noncompromised immune systems. Bacteriostatic agents have been effectively used for treatment that are considered to require bactericidal activity. Furthermore, some broad classes of antibacterial agents considered bacteriostatic can exhibit bactericidal activity against some bacteria on the basis of in vitro determination of MBC/MIC values. At high concentrations, bacteriostatic agents are often bactericidal against some susceptible organisms. The ultimate guide to treatment of any infection must be clinical outcome. Surfaces. Material surfaces can exhibit bactericidal properties because of their crystallographic surface structure. Somewhere in the mid-2000s it was shown that metallic nanoparticles can kill bacteria. The effect of a silver nanoparticle for example depends on its size with a preferential diameter of about 1–10 nm to interact with bacteria. In 2013, cicada wings were found to have a selective anti-gram-negative bactericidal effect based on their physical surface structure. Mechanical deformation of the more or less rigid nanopillars found on the wing releases energy, striking and killing bacteria within minutes, hence called a mechano-bactericidal effect. In 2020 researchers combined cationic polymer adsorption and femtosecond laser surface structuring to generate a bactericidal effect against both gram-positive "Staphylococcus aureus" and gram-negative "Escherichia coli" bacteria on borosilicate glass surfaces, providing a practical platform for the study of the bacteria-surface interaction.
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Brion Gysin
Brion Gysin (19 January 1916 – 13 July 1986) was a British-Canadian painter, writer, sound poet, performance artist and inventor of experimental devices. He is best known for his use of the cut-up technique, alongside his close friend, the novelist William S. Burroughs. With the engineer Ian Sommerville he also invented the Dreamachine, a flicker device designed as an art object to be viewed with the eyes closed. It was in painting and drawing, however, that Gysin devoted his greatest efforts, creating calligraphic works inspired by cursive Japanese "grass" script and Arabic script. Burroughs later stated that "Brion Gysin was the only man I ever respected." Biography. Early years. John Clifford Brian Gysin was born at the Canadian military hospital in Taplow, Buckinghamshire, England. His mother, Stella Margaret Martin, was a Canadian from Deseronto, Ontario. His father, Leonard Gysin, a captain with the Canadian Expeditionary Force, was killed in action eight months after his son's birth. Stella returned to Canada and settled in Edmonton, Alberta where her son became "the only Catholic day-boy at an Anglican boarding school". Leaving that school at the age of fifteen, Gysin was sent next to Downside School in Stratton-on-the-Fosse, near Bath in England, a prestigious school for boys run by Benedictine monks. Despite attending both Anglican and Roman Catholic schools, Gysin was already an atheist when he left St Joseph's. Surrealism. In 1934, he moved to Paris to study "La Civilisation Française", an open course given at the Sorbonne where he made literary and artistic contacts through Marie Berthe Aurenche, Max Ernst's second wife. He joined the Surrealist Group and began associating with Valentine Hugo, Leonor Fini, Salvador Dalí, Picasso and Dora Maar. A year later, he had his first exhibition at the "Galérie Quatre Chemins" in Paris with Ernst, Picasso, Hans Arp, Hans Bellmer, Victor Brauner, Giorgio de Chirico, Dalí, Marcel Duchamp, René Magritte, Man Ray and Yves Tanguy. On the day of the preview, however, he was expelled from the Surrealist Group by André Breton, who ordered the poet Paul Éluard to take down his pictures. Gysin was 19 years old. His biographer, John Geiger, suggests the arbitrary expulsion "had the effect of a curse. Years later, he blamed other failures on the Breton incident. It gave rise to conspiracy theories about the powerful interests who seek control of the art world. He gave various explanations for the expulsion, the more elaborate involving 'insubordination' or "lèse majesté" towards Breton". After World War II. After serving in the U.S. army during World War II, Gysin published a biography of Josiah "Uncle Tom" Henson titled, "To Master, a Long Goodnight: The History of Slavery in Canada" (1946). A gifted draughtsman, he took an 18-month course learning the Japanese language (including calligraphy) that would greatly influence his artwork. In 1949, he was among the first Fulbright Fellows. His goal was to research, at the University of Bordeaux and in the Archivo de Indias in Seville, Spain, the history of slavery, a project that he later abandoned. He moved to Tangier, Morocco, after visiting the city with novelist and composer Paul Bowles in 1950. In 1952/3 he met the travel writer and sexual adventurer Anne Cumming and they remained friends until his death. Morocco and the Beat Hotel. In 1954 in Tangier, Gysin opened a restaurant called The 1001 Nights, with his friend Mohamed Hamri, who was the cook. Gysin hired the Master Musicians of Jajouka from the village of Jajouka to perform alongside entertainment that included acrobats, a dancing boy and fire eaters. The musicians performed there for an international clientele that included William S. Burroughs. Gysin lost the business in 1958, and the restaurant closed permanently. That same year, Gysin returned to Paris, taking lodgings in a flophouse located at 9 rue Gît-le-Cœur that would become famous as the Beat Hotel. Working on a drawing, he discovered a Dada technique by accident: William Burroughs and I first went into techniques of writing, together, back in room No. 15 of the Beat Hotel during the cold Paris spring of 1958... Burroughs was more intent on Scotch-taping his photos together into one great continuum on the wall, where scenes faded and slipped into one another, than occupied with editing the monster manuscript... "Naked Lunch" appeared and Burroughs disappeared. He kicked his habit with Apomorphine and flew off to London to see Dr Dent, who had first turned him on to the cure. While cutting a mount for a drawing in room No. 15, I sliced through a pile of newspapers with my Stanley blade and thought of what I had said to Burroughs some six months earlier about the necessity for turning painters' techniques directly into writing. I picked up the raw words and began to piece together texts that later appeared as "First Cut-Ups" in "Minutes to Go" (Two Cities, Paris 1960). When Burroughs returned from London in September 1959, Gysin not only shared his discovery with his friend but the new techniques he had developed for it. Burroughs then put the techniques to use while completing "Naked Lunch" and the experiment dramatically changed the landscape of American literature. Gysin helped Burroughs with the editing of several of his novels including "Interzone", and wrote a script for a film version of "Naked Lunch", which was never produced. The pair collaborated on a large manuscript for Grove Press titled "The Third Mind", but it was determined that it would be impractical to publish it as originally envisioned. The book later published under that title incorporates little of this material. Interviewed for "The Guardian" in 1997, Burroughs explained that Gysin was "the only man that I've ever respected in my life. I've admired people, I've liked them, but he's the only man I've ever respected." In 1969, Gysin completed his finest novel, "The Process", a work judged by critic Robert Palmer as "a classic of 20th century modernism". A consummate innovator, Gysin altered the cut-up technique to produce what he called permutation poems in which a single phrase was repeated several times with the words rearranged in a different order with each reiteration. An example of this is "I don't dig work, man / Man, work I don't dig." Many of these permutations were derived using a random sequence generator in an early computer program written by Ian Sommerville. Commissioned by the BBC in 1960 to produce material for broadcast, Gysin's results included "Pistol Poem", which was created by recording a gun firing at different distances and then splicing the sounds. That year, the piece was subsequently used as a theme for the Paris performance of Le Domaine Poetique, a showcase for experimental works by people like Gysin, François Dufrêne, Bernard Heidsieck, and Henri Chopin. With Sommerville, he built the Dreamachine in 1961. Described as "the first art object to be seen with the eyes closed", the flicker device uses alpha waves in the 8–16 Hz range to produce a change of consciousness in receptive viewers. Later years. In April 1974, while sitting at a social engagement, Gysin had a very noticeable rectal bleeding. In May he wrote to Burroughs complaining he was not feeling well. A short time later he was diagnosed with colon cancer and began to receive cobalt treatment. Between December 1974 and April 1975, Gysin had to undergo several surgeries, among them a very traumatic colostomy, that drove him to extreme depression and to a suicide attempt. Later, in "Fire: Words by Day – Images by Night" (1975), a crudely lucid text, he would describe the horrendous ordeal he went through. In 1985 Gysin was made an American Commander of the French Ordre des Arts et des Lettres. He'd begun to work extensively with noted jazz soprano saxophonist Steve Lacy. They recorded an album in 1986 with French musician Ramuntcho Matta, featuring Gysin singing/rapping his own texts, with performances by Lacy, Don Cherry, Elli Medeiros, Lizzy Mercier Descloux and more. The album was reissued on CD in 1993 by Crammed Discs, under the title "Self-Portrait Jumping". Death. On 13 July 1986 Brion Gysin died of lung cancer. Anne Cumming arranged his funeral and for his ashes to be scattered at the Caves of Hercules in Morocco. An obituary by Robert Palmer published in "The New York Times" described him as a man who "threw off the sort of ideas that ordinary artists would parlay into a lifetime career, great clumps of ideas, as casually as a locomotive throws off sparks". Later that year a heavily edited version of his novel, "The Last Museum", was published posthumously by Faber & Faber (London) and by Grove Press (New York). As a joke, Gysin had contributed a recipe for marijuana fudge to a cookbook by Alice B. Toklas; it was included for publication, becoming famous under the name Alice B. Toklas brownies. Burroughs on the Gysin cut-up. In a 1966 interview by Conrad Knickerbocker for "The Paris Review", William S. Burroughs explained that Brion Gysin was, to his knowledge, "the first to create cut-ups": A friend, Brion Gysin, an American poet and painter, who has lived in Europe for thirty years, was, as far as I know, the first to create cut-ups. His cut-up poem, "Minutes to Go", was broadcast by the BBC and later published in a pamphlet. I was in Paris in the summer of 1960; this was after the publication there of "Naked Lunch". I became interested in the possibilities of this technique, and I began experimenting myself. Of course, when you think of it, "The Waste Land" was the first great cut-up collage, and Tristan Tzara had done a bit along the same lines. Dos Passos used the same idea in 'The Camera Eye' sequences in "USA". I felt I had been working toward the same goal; thus it was a major revelation to me when I actually saw it being done. Influence. According to José Férez Kuri, author of "Brion Gysin: Tuning in to the Multimedia Age" (2003) and co-curator of a major retrospective of the artist's work at The Edmonton Art Gallery in 1998, Gysin's wide range of "radical ideas would become a source of inspiration for artists of the Beat Generation, as well as for their successors (among them David Bowie, Mick Jagger, Keith Haring, and Laurie Anderson)". Other artists include Genesis P-Orridge, John Zorn (as displayed on the 2013's Dreamachines album) and Brian Jones. Selected bibliography. Gysin is the subject of John Geiger's biography, "Nothing Is True Everything Is Permitted: The Life of Brion Gysin", and features in "Chapel of Extreme Experience: A Short History of Stroboscopic Light and the Dream Machine", also by Geiger. "Man From Nowhere: Storming the Citadels of Enlightenment with William Burroughs and Brion Gysin", a biographical study of Burroughs and Gysin with a collection of homages to Gysin, was authored by Joe Ambrose, Frank Rynne, and Terry Wilson with contributions by Marianne Faithfull, John Cale, William S. Burroughs, John Giorno, Stanley Booth, Bill Laswell, Mohamed Hamri, Keith Haring and Paul Bowles. A monograph on Gysin was published in 2003 by Thames and Hudson. Works. Prose Radio Cinema Music Painting
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BCG vaccine
The Bacillus Calmette–Guérin (BCG) vaccine is a vaccine primarily used against tuberculosis (TB). It is named after its inventors Albert Calmette and Camille Guérin. In countries where tuberculosis or leprosy is common, one dose is recommended in healthy babies as soon after birth as possible. In areas where tuberculosis is not common, only children at high risk are typically immunized, while suspected cases of tuberculosis are individually tested for and treated. Adults who do not have tuberculosis and have not been previously immunized, but are frequently exposed, may be immunized, as well. BCG also has some effectiveness against Buruli ulcer infection and other nontuberculous mycobacterial infections. Additionally, it is sometimes used as part of the treatment of bladder cancer. Rates of protection against tuberculosis infection vary widely and protection lasts up to 20 years. Among children, it prevents about 20% from getting infected and among those who do get infected, it protects half from developing disease. The vaccine is injected into the skin. No evidence shows that additional doses are beneficial. Serious side effects are rare. Redness, swelling, and mild pain often occur at the injection site. A small ulcer may also form with some scarring after healing. Side effects are more common and potentially more severe in those with immunosuppression. Although no harmful effects on the fetus have been observed, there is insufficient evidence about the safety of BCG vaccination during pregnancy. Therefore, the vaccine is not recommended for use during pregnancy. The vaccine was originally developed from "Mycobacterium bovis", which is commonly found in cattle. While it has been weakened, it is still live. The BCG vaccine was first used medically in 1921. It is on the World Health Organization's List of Essential Medicines. , the vaccine is given to about 100 million children per year globally. However, it is not commonly administered in the United States. Medical uses. Tuberculosis. The main use of BCG is for vaccination against tuberculosis. BCG vaccine can be administered after birth intradermally. BCG vaccination can cause a false positive Mantoux test. The most controversial aspect of BCG is the variable efficacy found in different clinical trials, which appears to depend on geography. Trials in the UK consistently show a 60 to 80% protective effect. Still, those trials conducted elsewhere have shown no protective effect, and efficacy appears to fall the closer one gets to the equator. A 1994 systematic review found that BCG reduces the risk of getting tuberculosis by about 50%. Differences in effectiveness depend on region, due to factors such as genetic differences in the populations, changes in environment, exposure to other bacterial infections, and conditions in the laboratory where the vaccine is grown, including genetic differences between the strains being cultured and the choice of growth medium. A systematic review and meta-analysis conducted in 2014 demonstrated that the BCG vaccine reduced infections by 19–27% and reduced progression to active tuberculosis by 71%. The studies included in this review were limited to those that used interferon gamma release assay. The duration of protection of BCG is not clearly known. In those studies showing a protective effect, the data are inconsistent. The MRC study showed protection waned to 59% after 15 years and to zero after 20 years; however, a study looking at Native Americans immunized in the 1930s found evidence of protection even 60 years after immunization, with only slightly waning in efficacy. BCG seems to have its greatest effect in preventing miliary tuberculosis or tuberculosis meningitis, so it is still extensively used even in countries where efficacy against pulmonary tuberculosis is negligible. The 100th anniversary of the BCG vaccine was in 2021. It remains the only vaccine licensed against tuberculosis, which is an ongoing pandemic. Tuberculosis elimination is a goal of the World Health Organization (WHO). The development of new vaccines with greater efficacy against adult pulmonary tuberculosis may be needed to make substantial progress. Efficacy. Several possible reasons for the variable efficacy of BCG in different countries have been proposed. None has been proven, some have been disproved, and none can explain the lack of efficacy in low tuberculosis-burden countries (US) and high tuberculosis-burden countries (India). The reasons for variable efficacy have been discussed at length in a WHO document on BCG. Mycobacteria. BCG has protective effects against some nontuberculosis mycobacteria. Cancer. BCG has been one of the most successful immunotherapies. BCG vaccine has been the "standard of care for patients with bladder cancer (NMIBC)" since 1977. By 2014, more than eight different considered biosimilar agents or strains used to treat nonmuscle-invasive bladder cancer. Method of administration. A pre-injection tuberculin skin test is usually carried out before administering the BCG vaccine. A reactive tuberculin skin test is a contraindication to BCG due to the risk of severe local inflammation and scarring; it does not indicate immunity. BCG is also contraindicated in certain people who have IL-12 receptor pathway defects. BCG is given as a single intradermal injection at the insertion of the deltoid. If BCG is accidentally given subcutaneously, then a local abscess may form (a "BCG-oma") that can sometimes ulcerate, and may require treatment with antibiotics immediately, otherwise without treatment it could spread the infection, causing severe damage to vital organs. An abscess is not always associated with incorrect administration, and it is one of the more common complications that can occur with the vaccination. Numerous medical studies on the treatment of these abscesses with antibiotics have been done with varying results, but the consensus is once pus is aspirated and analysed, provided no unusual bacilli are present, the abscess will generally heal on its own in a matter of weeks. The characteristic raised scar that BCG immunization leaves is often used as proof of prior immunization. This scar must be distinguished from that of smallpox vaccination, which it may resemble. When given for bladder cancer, the vaccine is not injected through the skin but is instilled into the bladder through the urethra using a soft catheter. Adverse effects. BCG immunization generally causes some pain and scarring at the site of injection. The main adverse effects are keloids—large, raised scars. The insertion to the deltoid muscle is most frequently used because the local complication rate is smallest when that site is used. Nonetheless, the buttock is an alternative site of administration because it provides better cosmetic outcomes. BCG vaccine should be given intradermally. If given subcutaneously, it may induce local infection and spread to the regional lymph nodes, causing either suppurative (production of pus) or nonsuppurative lymphadenitis. Conservative management is usually adequate for nonsuppurative lymphadenitis. If suppuration occurs, it may need needle aspiration. For unresolved suppuration, surgical excision may be required. Evidence for the treatment of these complications is scarce. Uncommonly, breast and gluteal abscesses can occur due to haematogenous (carried by the blood) and lymphangiomatous spread. Regional bone infection (BCG osteomyelitis or osteitis) and disseminated BCG infection are rare complications of BCG vaccination, but potentially life-threatening. Systemic antituberculous therapy may be helpful in severe complications. When BCG is used for bladder cancer, around 2.9% of treated patients discontinue immunotherapy due to a genitourinary or systemic BCG-related infection, however while symptomatic bladder BCG infection is frequent, the involvement of other organs is very uncommon. When systemic involvement occurs, liver and lungs are the first organs to be affected (1 week [median] after the last BCG instillation). If BCG is accidentally given to an immunocompromised patient (e.g., an infant with severe combined immune deficiency), it can cause disseminated or life-threatening infection. The documented incidence of this happening is less than one per million immunizations given. In 2007, the WHO stopped recommending BCG for infants with HIV, even if the risk of exposure to tuberculosis is high, because of the risk of disseminated BCG infection (which is roughly 400 per 100,000 in that higher risk context). Usage. The person's age and the frequency with which BCG is given have always varied from country to country. The WHO recommends childhood BCG for all countries with a high incidence of tuberculosis and/or high leprosy burden. This is a partial list of historic and active BCG practices around the globe. A complete atlas of past and present practice has been generated. As of 2022, 155 countries offer the BCG vaccine in their schedule. Manufacture. BCG is prepared from a strain of the attenuated (virulence-reduced) live bovine tuberculosis bacillus, "Mycobacterium bovis", that has lost its ability to cause disease in humans. It is specially subcultured in a culture medium, usually Middlebrook 7H9. Because the living bacilli evolve to make the best use of available nutrients, they become less well-adapted to human blood and can no longer induce disease when introduced into a human host. Still, they are similar enough to their wild ancestors to provide some immunity against human tuberculosis. The BCG vaccine can be anywhere from 0 to 80% effective in preventing tuberculosis for 15 years; however, its protective effect appears to vary according to geography and the lab in which the vaccine strain was grown. Several companies make BCG, sometimes using different genetic strains of the bacterium. This may result in different product characteristics. OncoTICE, used for bladder instillation for bladder cancer, was developed by Organon Laboratories (since acquired by Schering-Plough, and in turn acquired by Merck & Co.). A similar application is the product of Onko BCG of the Polish company Biomed-Lublin, which owns the Brazilian substrain M. bovis BCG Moreau which is less reactogenic than vaccines including other BCG strains. Pacis BCG, made from the Montréal (Institut Armand-Frappier) strain, was first marketed by Urocor in about 2002. Urocor was since acquired by Dianon Systems. Evans Vaccines (a subsidiary of PowderJect Pharmaceuticals). Statens Serum Institut in Denmark has marketed a BCG vaccine prepared using Danish strain 1331. The production of BCG Danish strain 1331 and its distribution was later undertaken by AJVaccines company since the ownership transfer of SSI's vaccine production business to AJ Vaccines Holding A/S which took place on 16 January 2017. Japan BCG Laboratory markets its vaccine, based on the Tokyo 172 substrain of Pasteur BCG, in 50 countries worldwide. According to a UNICEF report published in December 2015, on BCG vaccine supply security, global demand increased in 2015 from 123 to 152.2 million doses. To improve security and to [diversify] sources of affordable and flexible supply," UNICEF awarded seven new manufacturers contracts to produce BCG. Along with supply availability from existing manufacturers, and a "new WHO prequalified vaccine" the total supply will be "sufficient to meet both suppressed 2015 demand carried over to 2016, as well as total forecast demand through 2016–2018." Supply shortage. In 2011, the Sanofi Pasteur plant flooded, causing problems with mold. The facility, located in Toronto, Ontario, Canada, produced BCG vaccine products made with substrain Connaught such as a tuberculosis vaccine and ImmuCYST, a BCG immunotherapeutic and bladder cancer drug. By April 2012 the FDA had found dozens of documented problems with sterility at the plant including mold, nesting birds and rusted electrical conduits. The resulting closure of the plant for over two years caused shortages of bladder cancer and tuberculosis vaccines. On 29 October 2014 Health Canada gave the permission for Sanofi to resume production of BCG. A 2018 analysis of the global supply concluded that the supplies are adequate to meet forecast BCG vaccine demand, but that risks of shortages remain, mainly due to dependence of 75 percent of WHO pre-qualified supply on just two suppliers. Dried. Some BCG vaccines are freeze dried and become fine powder. Sometimes the powder is sealed with vacuum in a glass ampoule. Such a glass ampoule has to be opened slowly to prevent the airflow from blowing out the powder. Then the powder has to be diluted with saline water before injecting. History. The history of BCG is tied to that of smallpox. By 1865 Jean Antoine Villemin had demonstrated that rabbits could be infected with tuberculosis from humans; by 1868 he had found that rabbits could be infected with tuberculosis from cows and that rabbits could be infected with tuberculosis from other rabbits. Thus, he concluded that tuberculosis was transmitted via some unidentified microorganism (or "virus", as he called it). In 1882 Robert Koch regarded human and bovine tuberculosis as identical. But in 1895, Theobald Smith presented differences between human and bovine tuberculosis, which he reported to Koch. By 1901 Koch distinguished "Mycobacterium bovis" from "Mycobacterium tuberculosis". Following the success of vaccination in preventing smallpox, established during the 18th century, scientists thought to find a corollary in tuberculosis by drawing a parallel between bovine tuberculosis and cowpox: it was hypothesized that infection with bovine tuberculosis might protect against infection with human tuberculosis. In the late 19th century, clinical trials using "M. bovis" were conducted in Italy with disastrous results, because "M. bovis" was found to be just as virulent as "M. tuberculosis". Albert Calmette, a French physician and bacteriologist, and his assistant and later colleague, Camille Guérin, a veterinarian, were working at the Institut Pasteur de Lille (Lille, France) in 1908. Their work included subculturing virulent strains of the tuberculosis bacillus and testing different culture media. They noted a glycerin-bile-potato mixture grew bacilli that seemed less virulent and changed the course of their research to see if repeated subculturing would produce a strain that was attenuated enough to be considered for use as a vaccine. The BCG strain was isolated after subculturing 239 times during 13 years from a virulent strain on glycerine potato medium. The research continued throughout World War I until 1919 when the now avirulent bacilli were unable to cause tuberculosis disease in research animals. Calmette and Guerin transferred to the Paris Pasteur Institute in 1919. The BCG vaccine was first used in humans in 1921. Public acceptance was slow, and the Lübeck disaster, in particular, did much to harm it. Between 1929 and 1933 in Lübeck, 251 infants were vaccinated in the first 10 days of life; 173 developed tuberculosis and 72 died. It was subsequently discovered that the BCG administered there had been contaminated with a virulent strain that was being stored in the same incubator, which led to legal action against the vaccine's manufacturers. Dr. R. G. Ferguson, working at the Fort Qu'Appelle Sanatorium in Saskatchewan, was among the pioneers in developing the practice of vaccination against tuberculosis. In Canada, more than 600 children from residential schools were used as involuntary participants in BCG vaccine trials between 1933 and 1945. In 1928, the BCG vaccine was adopted by the Health Committee of the League of Nations (predecessor to the World Health Organization (WHO)). Because of opposition, however, it only became widely used after World War II. From 1945 to 1948, relief organizations (International Tuberculosis Campaign or Joint Enterprises) vaccinated over eight million babies in Eastern Europe and prevented the predicted typical increase of tuberculosis after a major war. The BCG vaccine is very efficacious against tuberculous meningitis in the pediatric age group, but its efficacy against pulmonary tuberculosis appears variable. Some countries have removed the BCG vaccine from routine vaccination. Two countries that have never used it routinely are the United States and the Netherlands (in both countries, it is felt that having a reliable Mantoux test and therefore being able to accurately detect active disease is more beneficial to society than vaccinating against a relatively rare condition). Other names include "Vaccin Bilié de Calmette et Guérin vaccine" and "Bacille de Calmette et Guérin vaccine". Research. Tentative evidence exists for a beneficial non-specific effect of BCG vaccination on overall mortality in low-income countries, or for its reducing other health problems including sepsis and respiratory infections when given early, with greater benefit the earlier it is used. In rhesus macaques, BCG shows improved rates of protection when given intravenously. Some risks must be evaluated before it can be translated to humans. The University of Oxford Jenner Institute is conducting a study comparing the efficacy of injected versus inhaled BCG vaccine in already-vaccinated adults. Type 1 diabetes. , BCG vaccine is in the early stages of being studied in type 1 diabetes (T1D). COVID-19. Use of the BCG vaccine may provide protection against COVID-19. However, epidemiologic observations in this respect are ambiguous. The WHO does not recommend its use for prevention . , 20 BCG trials are in various clinical stages. , the results are extremely mixed. A 15-month trial involving people thrice-vaccinated over the two years before the pandemic shows positive results in preventing infection in BCG-naive people with type 1 diabetes. On the other hand, a 5-month trial shows that re-vaccinating with BCG does not help prevent infection in healthcare workers. Both of these trials were double-blind randomized controlled trials.
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Common buzzard
The common buzzard (Buteo buteo) is a medium-to-large bird of prey which has a large range. It is a member of the genus "Buteo" in the family Accipitridae. The species lives in most of Europe and extends its breeding range across much of the Palearctic as far as northwestern China (Tian Shan), far western Siberia and northwestern Mongolia. Over much of its range, it is a year-round resident. However, buzzards from the colder parts of the Northern Hemisphere as well as those that breed in the eastern part of their range typically migrate south for the northern winter, many journeying as far as South Africa. The common buzzard is an opportunistic predator that can take a wide variety of prey, but it feeds mostly on small mammals, especially rodents such as voles. It typically hunts from a perch. Like most accipitrid birds of prey, it builds a nest, typically in trees in this species, and is a devoted parent to a relatively small brood of young. The common buzzard appears to be the most common diurnal raptor in Europe, as estimates of its total global population run well into the millions. Taxonomy. The first formal description of the common buzzard was by the Swedish naturalist Carl Linnaeus in 1758 in the tenth edition of his "Systema Naturae" under the binomial name "Falco buteo". The genus "Buteo" was introduced by the French naturalist Bernard Germain de Lacépède in 1799 by tautonymy with the specific name of this species. The word "buteo" is Latin for a buzzard. It should not be confused with the Turkey vulture, which is sometimes called a buzzard in American English. The Buteoninae subfamily originated from and is most diversified in the Americas, with occasional broader radiations that led to common buzzards and other Eurasian and African buzzards. The common buzzard is a member of the genus "Buteo", a group of medium-sized raptors with robust bodies and broad wings. The "Buteo" species of Eurasia and Africa are usually commonly referred to as "buzzards" while those in the Americas are called hawks. Under current classification, the genus includes approximately 28 species, the second most diverse of all extant accipitrid genera behind only "Accipiter". DNA testing shows that the common buzzard is fairly closely related to the red-tailed hawk ("Buteo jamaicensis") of North America, which occupies a similar ecological niche to the buzzard in that continent. The two species may belong to the same species complex. Three buzzards in Africa are likely closely related to the common buzzard based on genetic materials, the Mountain buzzard ("Buteo oreophilus"), Forest buzzards ("Buteo trizonatus") and the Madagascar buzzard ("Buteo brachypterus"), to the point where it has been questioned whether they are sufficiently distinct to qualify as full species. However, the distinctiveness of these African buzzards has generally been supported. Genetic studies have further indicated that the modern buzzards of Eurasia and Africa are a relatively young group, showing that they diverged at about 300,000 years ago. Nonetheless, fossils dating earlier than 5 million year old (the late Miocene period) showed "Buteo" species were present in Europe much earlier than that would imply, although it cannot be stated to a certainty that these would have been related to the extant buzzards. Subspecies and species splits. Some 16 subspecies have been described in the past and up to 11 are often considered valid, although some authorities accept as few as seven. Common buzzard subspecies fall into two groups. The western "buteo" group is mainly resident or short-distance migrants and includes: The eastern "vulpinus" group includes: At one time, races of the common buzzard were thought to range as far in Asia as a breeding bird well into the Himalayas and as far east as northeastern China, Russia to the Sea of Okhotsk, and all the islands of the Kurile Islands and of Japan, despite both the Himalayan and eastern birds showing a natural gap in distribution from the next nearest breeding common buzzard. However, DNA testing has revealed that the buzzards of these populations probably belong to different species. Most authorities now accept these buzzards as full species: the eastern buzzard ("Buteo japonicus"; with three subspecies of its own) and the Himalayan buzzard ("Buteo refectus"). Buzzards found on the islands of Cape Verde off of the coast of western Africa, once referred to as the subspecies "B. b. bannermani", and Socotra Island off of the northern peninsula of Arabia, once referred to as the rarely recognized subspecies "B. b. socotrae", are now generally thought not to belong to the common buzzard. DNA testing has indicated that these insular buzzards are actually more closely related to the long-legged buzzard ("Buteo rufinus") than to the common buzzard. Subsequently, some researchers have advocated full species status for the Cape Verde population, but the placement of these buzzards is generally deemed unclear. Description. The common buzzard is a medium to large sized raptor that is highly variable in plumage. Most buzzards are distinctly round headed with a somewhat slender bill, relatively long wings that either reach or fall slightly short of the tail tip when perched, a fairly short tail, and somewhat short and mainly bare tarsi. They can appear fairly compact in overall appearance but may also appear large relative to other more common raptorial birds such as kestrels and sparrowhawks. The common buzzard measures between in length with a wingspan. Females average about 2–7% larger than males linearly and weigh about 15% more. Body mass can show considerable variation. Buzzards from Great Britain alone can vary from in males, while females there can range from . In Europe, most typical buzzards are dark brown above and on the upperside of the head and mantle, but can become paler and warmer brown with worn plumage. The flight feathers on perched European buzzards are always brown in the nominate subspecies ("B. b. buteo"). Usually the tail will usually be narrowly barred grey-brown and dark brown with a pale tip and a broad dark subterminal band but the tail in palest birds can show a varying amount a white and reduced subterminal band or even appear almost all white. In European buzzards, the underside coloring can be variable but most typically show a brown-streaked white throat with a somewhat darker chest. A pale U across breast is often present; followed by a pale line running down the belly which separates the dark areas on breast-side and flanks. These pale areas tend to have highly variable markings that tend to form irregular bars. Juvenile buzzards are quite similar to adult in the nominate race, being best told apart by having a paler eye, a narrower subterminal band on the tail and underside markings that appear as streaks rather than bars. Furthermore, juveniles may show variable creamy to rufous fringes to upperwing coverts but these also may not be present. Seen from below in flight, buzzards in Europe typically have a dark trailing edge to the wings. If seen from above, one of the best marks is their broad dark subterminal tail band. Flight feathers of typical European buzzards are largely greyish, the aforementioned dark wing linings at front with contrasting paler band along the median coverts. In flight, paler individuals tend to show dark carpal patches that can appears as blackish arches or commas but these may be indistinct in darker individuals or can appear light brownish or faded in paler individuals. Juvenile nominate buzzards are best told apart from adults in flight by the lack of a distinct subterminal band (instead showing fairly even barring throughout) and below by having less sharp and brownish rather than blackish trailing wing edge. Juvenile buzzards show streaking paler parts of under wing and body showing rather than barring as do adults. Beyond the typical mid-range brownish buzzard, birds in Europe can range from almost uniform black-brown above to mainly white. Extreme dark individuals may range from chocolate brown to blackish with almost no pale showing but a variable, faded U on the breast and with or without faint lighter brown throat streaks. Extreme pale birds are largely whitish with variable widely spaced streaks or arrowheads of light brown about the mid-chest and flanks and may or may not show dark feather-centres on the head, wing-coverts and sometimes all but part of mantle. Individuals can show nearly endless variation of colours and hues in between these extremes and the common buzzard is counted among the most variably plumage diurnal raptors for this reason. One study showed that this variation may actually be the result of diminished single-locus genetic diversity. Beyond the nominate form ("B. b. buteo") that occupies most of the common buzzard's European range, a second main, widely distributed subspecies is known as the steppe buzzard ("B. b. vulpinus"). The steppe buzzard race shows three main colour morphs, each of which can be predominant in a region of breeding range. It is more distinctly polymorphic rather than just individually very variable like the nominate race. This may be because, unlike the nominate buzzard, the steppe buzzard is highly migratory. Polymorphism has been linked with migratory behaviour. The most common type of steppe buzzard is the rufous morph which gives this subspecies its scientific name ("vulpes" is Latin for "fox"). This morph comprises a majority of birds seen in passage east of the Mediterranean. Rufous morph buzzards are a paler grey-brown above than most nominate "B. b. buteo". Compared to the nominate race, rufous "vulpinus" show a patterning not dissimilar but generally far more rufous-toned on head, the fringes to mantle wing coverts and, especially, on the tail and the underside. The head is grey-brown with rufous tinges usually while the tail is rufous and can vary from almost unmarked to thinly dark-barred with a subterminal band. The underside can be uniformly pale to dark rufous, barred heavily or lightly with rufous or with dusky barring, usually with darker individuals showing the U as in nominate but with a rufous hue. The pale morph of the steppe buzzard is commonest in the west of its subspecies range, predominantly seen in winter and migration at the various land bridge of the Mediterranean. As in the rufous morph, the pale morph "vulpinus" is grey-brown above but the tail is generally marked with thin dark bars and a subterminal band, only showing rufous near the tip. The underside in the pale morph is greyish-white with dark grey-brown or somewhat streaked head to chest and barred belly and chest, occasionally showing darker flanks that can be somewhat rufous. Dark morph "vulpinus" tend to be found in the east and southeast of the subspecies range and are easily outnumbered by rufous morph while largely using similar migration points. Dark morph individuals vary from grey-brown to much darker blackish-brown, and have a tail that is dark grey or somewhat mixed grey and rufous, is distinctly marked with dark barring and has a broad, black subterminal band. Dark morph "vulpinus" have a head and underside that is mostly uniform dark, from dark brown to blackish-brown to almost pure black. Rufous morph juveniles are often distinctly paler in ground colour (ranging even to creamy-grey) than adults with distinct barring below actually increased in pale morph type juvenile. Pale and rufous morph juveniles can only be distinguished from each other in extreme cases. Dark morph juveniles are more similar to adult dark morph "vulpinus" but often show a little whitish streaking below, and like all other races have lighter coloured eyes and more evenly barred tails than adults. Steppe buzzards tend to appear smaller and more agile in flight than nominate whose wing beats can look slower and clumsier. In flight, rufous morph "vulpinus" have their whole body and underwing varying from uniform to patterned rufous (if patterning present, it is variable, but can be on chest and often thighs, sometimes flanks, pale band across median coverts), while the under-tail usually paler rufous than above. Whitish flight feathers are more prominent than in nominate and more marked contrast with the bold dark brown band along the trailing edges. Markings of pale "vulpinus" as seen in flight are similar to rufous morph (such as paler wing markings) but more greyish both on wings and body. In dark morph "vulpinus" the broad black trailing edges and colour of body make whitish areas of inner wing stand out further with an often bolder and blacker carpal patch than in other morphs. As in nominate, juvenile "vulpinus" (rufous/pale) tend to have much less distinct trailing edges, general streaking on body and along median underwing coverts. Dark morph "vulpinus" resemble adult in flight more so than other morphs. Similar species. The common buzzard is often confused with other raptors especially in flight or at a distance. Inexperienced and over-enthusiastic observers have even mistaken darker birds for the far larger and differently proportioned golden eagle ("Aquila chrysaetos") and also dark birds for western marsh harrier ("Circus aeruginosus") which also flies in a dihedral but is obviously relatively much longer and slenderer winged and tailed and with far different flying methods. Also buzzards may possibly be confused with dark or light morph booted eagles ("Hieraeetus pennatus"), which are similar in size, but the eagle flies on level, parallel-edged wings which usually appear broader, has a longer squarer tail, with no carpal patch in pale birds and all dark flight feathers but for whitish wedge on inner primaries in dark morph ones. Pale individuals are sometimes also mistaken with pale morph short-toed eagles ("Circaetus gallicus") which are much larger with a considerably bigger head, longer wings (which are usually held evenly in flight rather than in a dihedral) and paler underwing lacking any carpal patch or dark wing lining. More serious identification concerns lie in other "Buteo" species and in flight with honey buzzards, which are quite different looking when seen perched at close range. The European honey buzzard ("Pernis apivorus") is thought in engage in mimicry of more powerful raptors, in particular, juveniles may mimic the plumage of the more powerful common buzzard. While less individually variable in Europe, the honey buzzard is more extensive polymorphic on underparts than even the common buzzard. The most common morph of the adult European honey buzzard is heavily and rufous barred on the underside, quite different from the common buzzard, however the brownish juvenile much more resembles an intermediate common buzzard. Honey buzzards flap with distinctively slower and more even wing beats than common buzzard. The wings are also lifted higher on each upstroke, creating a more regular and mechanical effect, furthermore their wings are held slightly arched when soaring but not in a V. On the honey buzzard, the head appears smaller, the body thinner, the tail longer and the wings narrower and more parallel edged. The steppe buzzard race is particularly often mistaken for juvenile European honey buzzards, to the point where early observers of raptor migration in Israel considered distant individuals indistinguishable. However, when compared to a steppe buzzard, the honey buzzard has distinctly darker secondaries on the underwing with fewer and broader bars and more extensive black wing-tips (whole fingers) contrasting with a less extensively pale hand. Found in the same range as the steppe buzzard in some parts of southern Siberia as well as (with wintering steppes) in southwestern India, the Oriental honey buzzard ("Pernis ptilorhynchus") is larger than both the European honey buzzard and the common buzzard. The oriental species is with more similar in body plan to common buzzards, being relatively broader winged, shorter tailed and more amply-headed (though the head is still relatively small) relative to the European honey buzzard, but all plumages lack carpal patches. In much of Europe, the common buzzard is the only type of buzzard. However, the subarctic breeding rough-legged buzzard ("Buteo lagopus") comes down to occupy much of the northern part of the continent during winter in the same haunts as the common buzzard. However, the rough-legged buzzard is typically larger and distinctly longer-winged with feathered legs, as well as having a white based tail with a broad subterminal band. Rough-legged buzzards have slower wing beats and hover far more frequently than do common buzzards. The carpal patch marking on the under-wing are also bolder and blacker on all paler forms of rough-legged hawk. Many pale morph rough-legged buzzards have a bold, blackish band across the belly against contrasting paler feathers, a feature which rarely appears in individual common buzzard. Usually the face also appears somewhat whitish in most pale morphs of rough-legged buzzards, which is true of only extremely pale common buzzards. Dark morph rough-legged buzzards are usually distinctly darker (ranging to almost blackish) than even extreme dark individuals of common buzzards in Europe and still have the distinct white-based tail and broad subterminal band of other roughlegs. In eastern Europe and much of the Asian range of common buzzards, the long-legged buzzard ("Buteo rufinus") may live alongside the common species. As in the steppe buzzard race, the long-legged buzzard has three main colour morphs that are more or less similar in hue. In both the steppe buzzard race and long-legged buzzard, the main colour is overall fairly rufous. More so than steppe buzzards, long-legged buzzards tend to have a distinctly paler head and neck compared to other feathers, and, more distinctly, a normally unbarred tail. Furthermore, the long-legged buzzard is usually a rather larger bird, often considered fairly eagle-like in appearance (although it does appear gracile and small-billed even compared to smaller true eagles), an effect enhanced by its longer tarsi, somewhat longer neck and relatively elongated wings. The flight style of the latter species is deeper, slower and more aquiline, with much more frequent hovering, showing a more protruding head and a slightly higher V held in a soar. The smaller North African and Arabian race of long-legged buzzard ("B. r. cirtensis") is more similar in size and nearly all colour characteristics to steppe buzzard, extending to the heavily streaked juvenile plumage, in some cases such birds can be distinguished only by their proportions and flight patterns which remain unchanged. Hybridization with the latter race ("B. r. cirtensis") and nominate common buzzards has been observed in the Strait of Gibraltar, a few such birds have been reported potentially in the southern Mediterranean due to mutually encroaching ranges, which are blurring possibly due to climate change. Wintering steppe buzzards may live alongside mountain buzzards and especially with forest buzzard while wintering in Africa. The juveniles of steppe and forest buzzards are more or less indistinguishable and only told apart by proportions and flight style, the latter species being smaller, more compact, having a smaller bill, shorter legs and shorter and thinner wings than a steppe buzzard. However, size is not diagnostic unless side by side as the two buzzards overlap in this regard. Most reliable are the species wing proportions and their flight actions. Forest buzzard have more flexible wing beats interspersed with glides, additionally soaring on flatter wings and apparently never engage in hovering. Adult forest buzzards compared to the typical adult steppe buzzard (rufous morph) are also similar, but the forest typically has a whiter underside, sometimes mostly plain white, usually with heavy blotches or drop-shaped marks on abdomen, with barring on thighs, more narrow tear-shaped on chest and more spotted on leading edges of underwing, usually lacking marking on the white U across chest (which is otherwise similar but usually broader than that of "vulpinus"). In comparison, the mountain buzzard, which is more similar in size to the steppe buzzard and slightly larger than the forest buzzard, is usually duller brown above than a steppe buzzard and is more whitish below with distinctive heavy brown blotches from breasts to the belly, flanks and wing linings while juvenile mountain buzzard is buffy below with smaller and streakier markings. The steppe buzzard when compared to another African species, the red-necked buzzard ("Buteo auguralis"), which has red tail similar to "vulpinus", is distinct in all other plumage aspects despite their similar size. The latter buzzard has a streaky rufous head and is white below with a contrasting bold dark chest in adult plumage and, in juvenile plumage, has heavy, dark blotches on the chest and flanks with pale wing-linings. Jackal and augur buzzards ("Buteo rufofuscus" & "augur"), also both rufous on the tail, are larger and bulkier than steppe buzzards and have several distinctive plumage characteristics, most notably both having their own striking, contrasting patterns of black-brown, rufous and cream. Distribution and habitat. The common buzzard is found throughout several islands in the eastern Atlantic islands, including the Canary Islands and Azores and almost throughout Europe. It is today found in Ireland and in nearly every part of Scotland, Wales and England. In mainland Europe, remarkably, there are no substantial gaps without breeding common buzzards from Portugal and Spain to Greece, Estonia, Belarus and Ukraine, though are present mainly only in the breeding season in much of the eastern half of the latter three countries. They are also present in all larger Mediterranean islands such as Corsica, Sardinia, Sicily and Crete. Further north in Scandinavia, they are found mainly in southeastern Norway (though also some points in southwestern Norway close to the coast and one section north of Trondheim), just over the southern half of Sweden and hugging over the Gulf of Bothnia to Finland where they live as a breeding species over nearly two-thirds of the land. The common buzzard reaches its northern limits as a breeder in far eastern Finland and over the border to European Russia, continuing as a breeder over to the narrowest straits of the White Sea and nearly to the Kola Peninsula. In these northern quarters, the common buzzard is present typically only in summer but is a year-around resident of a hearty bit of southern Sweden and some of southern Norway. Outside of Europe, it is a resident of northern Turkey (largely close to the Black Sea) otherwise occurring mainly as a passage migrant or winter visitor in the remainder of Turkey, Georgia, sporadically but not rarely in Azerbaijan and Armenia, northern Iran (largely hugging the Caspian Sea) to northern Turkmenistan. Further north though its absent from either side of the northern Caspian Sea, the common buzzard is found in much of western Russia (though exclusively as a breeder) including all of the Central Federal District and the Volga Federal District, all but the northernmost parts of the Northwestern and Ural Federal Districts and nearly the southern half of the Siberian Federal District, its farthest easterly occurrence as a breeder. It also found in northern Kazakhstan, Kyrgyzstan, far northwestern China (Tien Shan) and northwestern Mongolia. Non-breeding populations occur, either as migrants or wintering birds, in southwestern India, Israel, Lebanon, Syria, Egypt (northeastern), northern Tunisia (and far northwestern Algeria), northern Morocco, near the coasts of The Gambia, Senegal and far southwestern Mauritania and Ivory Coast (and bordering Burkina Faso). In eastern and central Africa, it is found in winter from southeastern Sudan, Eritrea, about two-thirds of Ethiopia, much of Kenya (though apparently absent from the northeast and northwest), Uganda, southern and eastern Democratic Republic of the Congo, and more or less the entirety of southern Africa from Angola across to Tanzania down the remainder of the continent (but for an apparent gap along the coast from southwestern Angola to northwestern South Africa). Habitat. The common buzzard generally inhabits the interface of woodlands and open grounds; most typically the species lives in forest edge, small woods or shelterbelts with adjacent grassland, arables or other farmland. It acquits to open moorland as long as there is some trees for perch hunting and nesting use. The woods they inhabit may be coniferous, temperate broadleaf and mixed forests and temperate deciduous forest with occasional preferences for the local dominant tree. It is absent from treeless tundra, as well as the Subarctic where the species almost entirely gives way to the rough-legged buzzard. The common buzzard is sporadic or rare in treeless steppe but can occasionally migrate through it (despite its name, the steppe buzzard subspecies breeds primarily in the wooded fringes of the steppe). The species may be found to some extent in both in mountainous or flat country. Although adaptable to and sometimes seen in wetlands and in coastal areas, buzzards are often considered more of an upland species and neither appear to be regularly attracted to or to strongly avoid bodies of waters in non-migratory times. Buzzards in well-wooded areas of eastern Poland largely used large, mature stands of trees that were more humid, richer and denser than prevalent in surrounding area, but showed preference for those within of openings. Mostly resident buzzards live in lowlands and foothills, but they can live in timbered ridges and uplands as well as rocky coasts, sometimes nesting on cliff ledges rather than trees. Buzzards may live from sea level to elevations of , breeding mostly below but they can winter to an elevation of and migrates easily to . In the mountainous Italian Apennines, buzzard nests were at a mean elevation of and were, relative to the surrounding area, further from human developed areas (i.e. roads) and nearer to valley bottoms in rugged, irregularly topographed places, especially ones that faced northeast. Common buzzards are fairly adaptable to agricultural lands but will show can show regional declines in apparent response to agriculture. Changes to more extensive agricultural practices were shown to reduce buzzard populations in western France where reduction of "hedgerows, woodlots and grasslands areas" caused a decline of buzzards and in Hampshire, England where more extensive grazing by free-range cattle and horses led to declines of buzzards, probably largely due to the seeming reduction of small mammal populations there. On the contrary, buzzards in central Poland adapted to removal of pine trees and reduction of rodent prey by changing nest sites and prey for a time with no strong change in their local numbers. Extensive urbanization seems to negatively affect buzzards, this species being generally less adaptable to urban areas than their New World counterparts, the red-tailed hawk. Although peri-urban areas can actually increase potential prey populations in a location at times, individual buzzard mortality, nest disturbances and nest site habitat degradation rises significantly in such areas. Common buzzards are fairly adaptive to rural areas as well as suburban areas with parks and large gardens, in addition to such areas if they're near farms. Behaviour. The common buzzard is a typical "Buteo" in much of its behaviour. It is most often seen either soaring at varying heights or perched prominently on tree tops, bare branches, telegraph poles, fence posts, rocks or ledges, or alternately well inside tree canopies. Buzzards will also stand and forage on the ground. In resident populations, it may spend more than half of its day inactively perched. Furthermore, it has been described a "sluggish and not very bold" bird of prey. It is a gifted soarer once aloft and can do so for extended periods but can appear laborious and heavy in level flight, more so nominate buzzards than steppe buzzards. Particularly in migration, as was recorded in the case of steppe buzzards' movement over Israel, buzzards readily adjust their direction, tail and wing placement and flying height to adjust for the surrounding environment and wind conditions. In Israel, migrant buzzards rarely soar all that high (maximum above ground) due to the lack of mountain ridges that in other areas typically produce flyways; however tail-winds are significant and allow birds to cover a mean of . Migration. The common buzzard is aptly described as a partial migrant. The autumn and spring movements of buzzards are subject to extensive variation, even down to the individual level, based on a region's food resources, competition (both from other buzzards and other predators), extent of human disturbance and weather conditions. Short-distance movements are the norm for juveniles and some adults in autumn and winter, but more adults in central Europe and the British Isles remain on their year-around residence than do not. Even for first year juvenile buzzards dispersal may not take them very far. In England, 96% of first-years moved in winter to less than from their natal site. Southwestern Poland was recorded to be a fairly important wintering grounds for central European buzzards in early spring that apparently travelled from somewhat farther north, in winter average density was a locally high 2.12 individual per square kilometer. Habitat and prey availability seemed to be the primary drivers of habitat selection in fall for European buzzards. In northern Germany, buzzards were recorded to show preferences in fall for areas fairly distant from nesting site, with a large quantity of vole-holes and more widely dispersed perches. In Bulgaria, the mean wintering density was 0.34 individual per square kilometer, and buzzards showed a preference for agricultural over forested areas. Similar habitat preferences were recorded in northeastern Romania, where buzzard density was 0.334–0.539 individuals per square kilometer. The nominate buzzards of Scandinavia are somewhat more strongly migratory than most central European populations. However, birds from Sweden show some variation in migratory behaviours. A maximum of 41,000 individuals have been recorded at one of the main migration sites within southern Sweden in Falsterbo. In southern Sweden, winter movements and migration was studied via observation of buzzard colour. White individuals were substantially more common in southern Sweden rather than further north in their Swedish range. The southern population migrates earlier than intermediate to dark buzzards, in both adults and juveniles. A larger proportion of juveniles than of adults migrate in the southern population. Especially adults in the southern population are resident to a higher degree than more northerly breeders. The entire population of the steppe buzzard is strongly migratory, covering substantial distances during migration. In no part of the range do steppe buzzards use the same summering and wintering grounds. Steppe buzzards are slightly gregarious in migration, and travel in variously sized flocks. This race migrates in September to October often from Asia Minor to the Cape of Africa in about a month but does not cross water, following around the Winam Gulf of Lake Victoria rather than crossing the several kilometer wide gulf. Similarly, they will funnel along both sides of the Black Sea. Migratory behavior of steppe buzzards mirrors those of broad-winged & Swainson's hawks ("Buteo platypterus" & "swainsoni") in every significant way as similar long-distance migrating "Buteos", including trans-equatorial movements, avoidance of large bodies of waters and flocking behaviour. Migrating steppe buzzards will rise up with the morning thermals and can cover an average of hundreds of miles a day using the available currents along mountain ridges and other topographic features. The spring migration for steppe buzzards peaks around March–April, but the latest "vulpinus" arrive in their breeding grounds by late April or early May. Distances covered by migrating steppe buzzards in one way flights from northern Europe (i.e. Finland or Sweden) to southern Africa have ranged over within a season . For the steppe buzzards from eastern and northern Europe and western Russia (which compromise a majority of all steppe buzzards), peak migratory numbers occur in differing areas in autumn, when the largest recorded movements occurs through Asia Minor such as Turkey, than in spring, when the largest recorded movement are to the south in the Middle East, especially Israel. The two migratory movements barely differ overall until they reach the Middle East and east Africa, where the largest volume of migrants in autumn occurs at the southern part of the Red Sea, around Djibouti and Yemen, while the main volume in spring is in the northernmost strait, around Egypt and Israel. In autumn, numbers of steppe buzzards recorded in migration have ranged up to 32,000 (recorded 1971) in northwestern Turkey (Bosporus) and in northeastern Turkey (Black Sea) up to 205,000 (recorded 1976). Further down in migration, autumn numbers of up to 98,000 have been recorded in passage in Djibouti. Between 150,000 and nearly 466,000 Steppe Buzzard have been recorded migrating through Israel during spring, making this not only the most abundant migratory raptor here but one of the largest raptor migrations anywhere in the world. Migratory movements of southern Africa buzzards largely occur along the major mountain ranges, such as the Drakensberg and Lebombo Mountains. Wintering steppe buzzards occur far more irregularly in Transvaal than Cape region in winter. The onset of migratory movement for steppe buzzards back to the breeding grounds in southern Africa is mainly in March, peaking in the second week. Steppe buzzard molt their feathers rapidly upon arrival at wintering grounds and seems to split their flight feather molt between breeding ground in Eurasia and wintering ground in southern Africa, the molt pausing during migration. In last 50 years, it was recorded that nominate buzzards are typically migrating shorter distances and wintering further north, possibly in response to climate change, resulting in relatively smaller numbers of them at migration sites. They are also extending their breeding range possibly reducing/supplanting steppe buzzards. Vocalizations. Resident populations of common buzzards tend to vocalize all year around, whereas migrants tend to vocalize only during the breeding season. Both nominate buzzards and steppe buzzards (and their numerous related subspecies within their types) tend to have similar voices. The main call of the species is a plaintive, far-carrying "pee-yow" or "peee-oo", used as both contact call and more excitedly in aerial displays. Their call is sharper, more ringing when used in aggression, tends to be more drawn-out and wavering when chasing intruders, sharper, more yelping when as warning when approaching the nest or shorter and more explosive when called in alarm. Other variations of their vocal performances include a cat-like "mew", uttered repeatedly on the wing or when perched, especially in display; a repeated "mah" has been recorded as uttered by pairs answering each other, further chuckles and croaks have also been recorded at nests. Juveniles can usually be distinguished by the discordant nature of their calls compared to those of adults. Dietary biology. The common buzzard is a generalist predator which hunts a wide variety of prey given the opportunity. Their prey spectrum extents to a wide variety of vertebrates including mammals, birds (from any age from eggs to adult birds), reptiles, amphibians and, rarely, fish, as well as to various invertebrates, mostly insects. Young animals are often attacked, largely the nidifugous young of various vertebrates. In total well over 300 prey species are known to be taken by common buzzards. Furthermore, prey size can vary from tiny beetles, caterpillars and ants to large adult grouse and rabbits up to nearly twice their body mass. Mean body mass of vertebrate prey was estimated at in Belarus. At times, they will also subsist partially on carrion, usually of dead mammals or fish. However, dietary studies have shown that they mostly prey upon small mammals, largely small rodents. Like many temperate zone raptorial birds of varied lineages, voles are an essential part of the common buzzard's diet. This bird's preference for the interface between woods and open areas frequently puts them in ideal vole habitat. Hunting in relatively open areas has been found to increase hunting success whereas more complete shrub cover lowered success. A majority of prey is taken by dropping from perch, and is normally taken on ground. Alternately, prey may be hunted in a low flight. This species tends not to hunt in a spectacular stoop but generally drops gently then gradually accelerate at bottom with wings held above the back. Sometimes, the buzzard also forages by random glides or soars over open country, wood edges or clearings. Perch hunting may be done preferentially but buzzards fairly regularly also hunt from a ground position when the habitat demands it. Outside the breeding season, as many 15–30 buzzards have been recorded foraging on ground in a single large field, especially juveniles. Normally the rarest foraging type is hovering. A study from Great Britain indicated that hovering does not seem to increase hunting success. Mammals. A high diversity of rodents may be taken given the chance, as around 60 species of rodent have been recorded in the foods of common buzzards. It seems clear that voles are the most significant prey type for European buzzards. Nearly every study from the continent makes reference to the importance, in particular, of the two most numerous and widely distributed European voles: the common vole ("Microtus arvalis") and the somewhat more northerly ranging field vole ("Microtus agrestis"). In southern Scotland, field voles were the best-represented species in pellets, accounting for 32.1% of 581 pellets. In southern Norway, field voles were again the main food in years with peak vole numbers, accounting for 40.8% of 179 prey items in 1985 and 24.7% of 332 prey items in 1994. Altogether, rodents amount to 67.6% and 58.4% of the foods in these respective peak vole years. However, in low vole population years, the contribution of rodents to the diet was minor. As far west as the Netherlands, common voles were the most regular prey, amounting to 19.6% of 6624 prey items in a very large study. Common voles were the main foods recorded in central Slovakia, accounting for 26.5% of 606 prey items. The common vole, or other related vole species at times, were the main foods as well in Ukraine (17.2% of 146 prey items) ranging east to Russia in the Privolshky Steppe Nature Reserve (41.8% of 74 prey items) and in Samara (21.4% of 183 prey items). Other records from Russia and Ukraine show voles ranging from slightly secondary prey to as much as 42.2% of the diet. In Belarus, voles, including "Microtus" species and bank voles ("Myodes glareolus"), accounted for 34.8% of the biomass on average in 1065 prey items from different study areas over 4 years. At least 12 species of the genus "Microtus" are known to be hunted by common buzzards and even this is probably conservative, moreover similar species like lemmings will be taken if available. Other rodents are taken largely opportunistically rather than by preference. Several wood mice ("Apodemus ssp.") are known to be taken quite frequently but given their preference for activity in deeper woods than the field-forest interfaces preferred, they are rarely more than secondary food items. An exception was in Samara where the yellow-necked mouse ("Apodemus flavicollis"), one of the largest of its genus at , made up 20.9%, putting it just behind the common vole in importance. Similarly, tree squirrels are readily taken but rarely important in the foods of buzzards in Europe, as buzzards apparently prefer to avoid taking prey from trees nor do they possess the agility typically necessary to capture significant quantities of tree squirrels. All four ground squirrels that range (mostly) into eastern Europe are also known to be common buzzard prey but little quantitative analysis has gone into how significant such predator-prey relations are. Rodent prey taken have ranged in size from the Eurasian harvest mouse ("Micromys minutus") to the non-native, muskrat ("Ondatra zibethicus"). Other rodents taken either seldom or in areas where the food habits of buzzards are spottily known include flying squirrels, marmots (presumably very young if taken alive), chipmunks, spiny rats, hamsters, mole-rats, gerbils, jirds and jerboas and occasionally hearty numbers of dormice, although these are nocturnal. Surprisingly little research has gone into the diets of wintering steppe buzzards in southern Africa, considering their numerous status there. However, it has been indicated that the main prey remains consist of rodents such as the four-striped grass mouse ("Rhabdomys pumilio") and Cape mole-rats ("Georychus capensis"). Other than rodents, two other groups of mammals can be counted as significant to the diet of common buzzards. One of these main prey types of import in the diets of common buzzards are leporids or lagomorphs, especially the European rabbit ("Oryctolagus cuniculus") where it is found in numbers in a wild or feral state. In all dietary studies from Scotland, rabbits were highly important to the buzzard's diet. In southern Scotland, rabbits constituted 40.8% of remains at nests and 21.6% of pellet contents, while lagomorphs (mainly rabbits but also some young hares) were present in 99% of remains in Moray, Scotland. The nutritional richness relative to the commonest prey elsewhere, such as voles, might account for the high productivity of buzzards here. For example, clutch sizes were twice as large on average where rabbits were common (Moray) than were where they were rare (Glen Urquhart). In northern Ireland, an area of interest because it is devoid of any native vole species, rabbits were again the main prey. Here, lagomorphs constituted 22.5% of prey items by number and 43.7% by biomass. While rabbits are non-native, albeit long-established, in the British Isles, in their native area of the Iberian peninsula, rabbits are similarly significant to the buzzard's diet. In Murcia, Spain, rabbits were the most common mammal in the diet, making up 16.8% of 167 prey items. In a large study from northeastern Spain, rabbits were dominant in the buzzard's foods, making up 66.5% of 598 prey items. In the Netherlands, European rabbits were second in number (19.1% of 6624 prey items) only to common voles and the largest contributor of biomass to nests (36.7%). Outside of these (at least historically) rabbit-rich areas, leverets of the common hare species found in Europe can be important supplemental prey. European hare ("Lepus europaeus") were the fourth most important prey species in central Poland and the third most significant prey species in Stavropol Krai, Russia. Buzzards normally attack the young of European rabbits and hares. Most of the rabbits taken by buzzard variously been estimated from , and infrequently up to in weight. Similarly, in different areas and the mean weight of brown hares taken in Finland was around . One young mountain hares ("Lepus timidus") taken in Norway was estimated to about . However, common buzzards are known to kill adult rabbits at times. This can be supported by remains of relatively large-sized tarsus bones of the rabbit, up to 64mm in length. The other significant mammalian prey type is insectivores, among which more than 20 species are known to be taken by this species, including nearly all the species of shrew, mole and hedgehog found in Europe. Moles are taken particularly often among this order, since as is the case with "vole-holes", buzzards probably tend to watch molehills in fields for activity and dive quickly from their perch when one of the subterranean mammals pops up. The most widely found mole in the buzzard's northern range is the European mole ("Talpa europaea") and this is one of the more important non-rodent prey items for the species. This species was present in 55% of 101 remains in Glen Urquhart, Scotland and was the second most common prey species (18.6%) in 606 prey items in Slovakia. In Bari, Italy, the Roman mole ("Talpa romana"), of similar size to the European species, was the leading identified mammalian prey, making up 10.7% of the diet. The full-size range of insectivores may be taken by buzzards, ranging from the world's smallest mammal (by weight), the Etruscan shrew ("Suncus etruscus") to arguably the heaviest insectivore, the European hedgehog ("Erinaceus europaeus"). Mammalian prey for common buzzards other than rodents, insectivores, and lagomorphs is rarely taken. Occasionally, some weasels such as least weasel ("Mustela nivalis") and stoat ("Mustela erminea") are taken, and remains of young pine martens ("Martes martes") and adult european polecats ("Mustela putorius") was found in buzzard nest. Numerous larger mammals, including medium-sized carnivores such as dogs, cats and foxes and various ungulates, are sometimes eaten as carrion by buzzards, mainly during lean winter months. Still-borns of deer are also visited with some frequency. Birds. When attacking birds, common buzzards chiefly prey on nestlings and fledglings of small to medium-sized birds, largely passerines but also a variety of gamebirds, but sometimes also injured, sickly or unwary but healthy adults. While capable of overpowering birds larger than itself, the common buzzard is usually considered to lack the agility necessary to capture many adult birds, even gamebirds which would presumably be weaker fliers considering their relatively heavy bodies and small wings. The amount of fledgling and younger birds preyed upon relative to adults is variable, however. For example, in the Italian Alps, 72% of birds taken were fledglings or recently fledged juveniles, 19% were nestlings and 8% were adults. On the contrary, in southern Scotland, even though the buzzards were taking relatively large bird prey, largely red grouse ("Lagopus lagopus scotica"), 87% of birds taken were reportedly adults. In total, as in many raptorial birds that are far from bird-hunting specialists, birds are the most diverse group in the buzzard's prey spectrum due to the sheer number and diversity of birds, few raptors do not hunt them at least occasionally. Nearly 150 species of bird have been identified in the common buzzard's diet. In general, despite many that are taken, birds usually take a secondary position in the diet after mammals. In northern Scotland, birds were fairly numerous in the foods of buzzards. The most often recorded avian prey and 2nd and 3rd most frequent prey species (after only field voles) in Glen Urquhart, were chaffinch ("Fringilla coelebs") and meadow pipits ("Anthus pratensis"), with the buzzards taking 195 fledglings of these species against only 90 adults. This differed from Moray where the most frequent avian prey and 2nd most frequent prey species behind the rabbit was the common wood pigeon ("Columba palumbus") and the buzzards took four times as many adults relative to fledglings. Birds were the primary food for common buzzards in the Italian Alps, where they made up 46% of the diet against mammal which accounted for 29% in 146 prey items. The leading prey species here were Eurasian blackbirds ("Turdus merula") and Eurasian jays ("Garrulus glandarius"), albeit largely fledglings were taken of both. Birds could also take the leading position in years with low vole populations in southern Norway, in particular thrushes, namely the blackbird, the song thrush ("Turdus philomelos") and the redwing ("Turdus iliacus"), which were collectively 22.1% of 244 prey items in 1993. In southern Spain, birds were equal in number to mammals in the diet, both at 38.3%, but most remains were classified as "unidentified medium-sized birds", although the most often identified species of those that apparently could be determined were Eurasian jays and red-legged partridges ("Alectoris rufa"). Similarly, in northern Ireland, birds were roughly equal in import to mammals but most were unidentified corvids. In Seversky Donets, Ukraine, birds and mammals both made up 39.3% of the foods of buzzards. Common buzzards may hunt nearly 80 species passerines and nearly all available gamebirds. Like many other largish raptors, gamebirds are attractive to hunt for buzzards due to their ground-dwelling habits. Buzzards were the most frequent predator in a study of juvenile pheasants in England, accounting for 4.3% of 725 deaths (against 3.2% by foxes, 0.7% by owls and 0.5% by other mammals). They also prey on a wide size range of birds, ranging down to Europe's smallest bird, the goldcrest ("Regulus regulus"). Very few individual birds hunted by buzzards weigh more than . However, there have been some particularly large avian kills by buzzards, including any that weigh more or , or about the largest average size of a buzzard, have including adults of mallard ("Anas platyrhynchos"), black grouse ("Tetrao tetrix"), ring-necked pheasant ("Phasianus colchicus"), common raven ("Corvus corax") and some of the larger gulls if ambushed on their nests. The largest avian kill by a buzzard, and possibly largest known overall for the species, was an adult female western capercaillie ("Tetrao urogallus") that weighed an estimated . At times, buzzards will hunt the young of large birds such as herons and cranes. Other assorted avian prey has included a few species of waterfowl, most available pigeons and doves, cuckoos, swifts, grebes, rails, nearly 20 assorted shorebirds, tubenoses, hoopoes, bee-eaters and several types of woodpecker. Birds with more conspicuous or open nesting areas or habits are more likely to have fledglings or nestlings attacked, such as water birds, while those with more secluded or inaccessible nests, such as pigeons/doves and woodpeckers, adults are more likely to be hunted. Reptiles and amphibians. The common buzzard may be the most regular avian predator of reptiles and amphibians in Europe apart from the sections where they are sympatric with the largely snake-eating short-toed eagle. In total, the prey spectrum of common buzzards include nearly 50 herpetological prey species. In studies from northern and southern Spain, the leading prey numerically were both reptilian, although in Biscay (northern Spain) the leading prey (19%) was classified as "unidentified snakes". In Murcia, the most numerous prey was the ocellated lizard ("Timon lepidus"), at 32.9%. In total, at Biscay and Murcia, reptiles accounted for 30.4% and 35.9% of the prey items, respectively. Findings were similar in a separate study from northeastern Spain, where reptiles amounted to 35.9% of prey. In Bari, Italy, reptiles were the main prey, making up almost exactly half of the biomass, led by the large green whip snake ("Hierophis viridiflavus"), at 24.2% of food mass. In Stavropol Krai, Russia, the sand lizard ("Lacerta agilis") was the main prey at 23.7% of 55 prey items. The slowworm ("Anguis fragilis"), a legless lizard, became the most numerous prey for the buzzards of southern Norway in low vole years, amounting to 21.3% of 244 prey items in 1993 and were also common even in the peak vole year of 1994 (19% of 332 prey items). More or less any snake in Europe is potential prey and the buzzard has been known to be uncharacteristically bold in going after and overpowering large snakes such as rat snakes, ranging up to nearly in length, and healthy, large vipers despite the danger of being struck by such prey. However, in at least one case, the corpse of a female buzzard was found envenomed over the body of an adder that it had killed. In some parts of range, the common buzzard acquires the habit of taking many frogs and toads. This was the case in the Mogilev Region of Belarus where the moor frog ("Rana arvalis") was the major prey (28.5%) over several years, followed by other frogs and toads amounting to 39.4% of the diet over the years. In central Scotland, the common toad ("Bufo bufo") was the most numerous prey species, accounting for 21.7% of 263 prey items, while the common frog ("Rana temporaria") made up a further 14.7% of the diet. Frogs made up about 10% of the diet in central Poland as well. Invertebrates and other prey. When common buzzards feed on invertebrates, these are chiefly earthworms, beetles and caterpillars in Europe and largely seemed to be preyed on by juvenile buzzards with less refined hunting skills or in areas with mild winters and ample swarming or social insects. In most dietary studies, invertebrates are at best a minor supplemental contributor to the buzzard's diet. Nonetheless, roughly a dozen beetle species have found in the foods of buzzards from Ukraine alone. In winter in northeastern Spain, it was found that the buzzards switched largely from the vertebrate prey typically taken during spring and summer to a largely insect-based diet. Most of this prey was unidentified but the most frequently identified were European mantis ("Mantis religiosa") and European mole cricket ("Gryllotalpa gryllotalpa"). In Ukraine, 30.8% of the food by number was found to be insects. Especially in winter quarters such as southern Africa, common buzzards are often attracted to swarming locusts and other orthopterans. In this way the steppe buzzard may mirror a similar long-distance migrant from the Americas, the Swainson's hawk, which feeds its young largely on nutritious vertebrates but switches to a largely insect-based once the reach their distant wintering grounds in South America. In Eritrea, 18 returning migrant steppe buzzards were seen to feed together on swarms of grasshoppers. For wintering steppe buzzards in Zimbabwe, one source went so far as to refer to them as primarily insectivorous, apparently being somewhat locally specialized to feeding on termites. Stomach contents in buzzards from Malawi apparently consisted largely of grasshoppers (alternately with lizards). Fish tend to be the rarest class of prey found in the common buzzard's foods. There are a couple cases of predation of fish detected in the Netherlands, while elsewhere they have been known to have fed upon eels and carp. Interspecies predatory relationships. Common buzzards co-occur with dozens of other raptorial birds through their breeding, resident and wintering grounds. There may be many other birds that broadly overlap in prey selection to some extent. Furthermore, their preference for interfaces of forest and field is used heavily by many birds of prey. Some of the most similar species by diet are the common kestrel ("Falco tinniculus"), hen harrier ("Circus cyaenus") and lesser spotted eagle ("Clanga clanga"), not to mention nearly every European species of owl, as all but two may locally prefer rodents such as voles in their diets. Diet overlap was found to be extensive between buzzards and red foxes ("Vulpes vulpes") in Poland, with 61.9% of prey selection overlapping by species although the dietary breadth of the fox was broader and more opportunistic. Both fox dens and buzzard roosts were found to be significantly closer to high vole areas relative to the overall environment here. The only other widely found European "Buteo", the rough-legged buzzard, comes to winter extensively with common buzzards. It was found in southern Sweden, habitat, hunting and prey selection often overlapped considerably. Rough-legged buzzards appear to prefer slightly more open habitat and took slightly fewer wood mice than common buzzard. Roughlegs also hover much more frequently and are more given to hunting in high winds. The two buzzards are aggressive towards one another and excluded each other from winter feeding territories in similar ways to the way they exclude conspecifics. In northern Germany, the buffer of their habitat preferences apparently accounted for the lack of effect on each other's occupancy between the two buzzard species. Despite a broad range of overlap, very little is known about the ecology of common and long-legged buzzards where they co-exist. However, it can be inferred from the long-legged species preference for predation on differing prey, such as blind mole-rats, ground squirrels, hamsters and gerbils, from the voles usually preferred by the common species, that serious competition for food is unlikely. A more direct negative effect has been found in buzzard's co-existence with northern goshawk ("Accipiter gentilis"). Despite the considerable discrepancy of the two species dietary habits, habitat selection in Europe is largely similar between buzzards and goshawks. Goshawks are slightly larger than buzzards and are more powerful, agile and generally more aggressive birds, and so they are considered dominant. In studies from Germany and Sweden, buzzards were found to be less disturbance sensitive than goshawks but were probably displaced into inferior nesting spots by the dominant goshawks. The exposure of buzzards to a dummy goshawk was found to decrease breeding success whereas there was no effect on breeding goshawks when they were exposed to a dummy buzzard. In many cases, in Germany and Sweden, goshawks displaced buzzards from their nests to take them over for themselves. In Poland, buzzards productivity was correlated to prey population variations, particularly voles which could vary from 10 to 80 per hectare, whereas goshawks were seemingly unaffected by prey variations; buzzards were found here to number 1.73 pair per against goshawk 1.63 pair per . In contrast, the slightly larger counterpart of buzzards in North America, the red-tailed hawk (which is also slightly larger than American goshawks, the latter averaging smaller than European ones) are more similar in diet to goshawks there. Redtails are not invariably dominated by goshawks and are frequently able to outcompete them by virtue of greater dietary and habitat flexibility. Furthermore, red-tailed hawks are apparently equally capable of killing goshawks as goshawks are of killing them (killings are more one-sided in buzzard-goshawk interactions in favour of the latter). Other raptorial birds, including many of similar or mildly larger size than common buzzards themselves, may dominate or displace the buzzard, especially with aims to take over their nests. Species such as the black kite ("Milvus migrans"), booted eagle ("Hieraeetus pennatus") and the lesser spotted eagle have been known to displace actively nesting buzzards, although in some cases the buzzards may attempt to defend themselves. The broad range of accipitrids that take over buzzard nests is somewhat unusual. More typically, common buzzards are victims of nest parasitism to owls and falcons, as neither of these other kinds of raptorial birds builds their own nests, but these may regularly take up occupancy on already abandoned or alternate nests rather than ones the buzzards are actively using. Even with birds not traditionally considered raptorial, such as common ravens, may compete for nesting sites with buzzards. In urban vicinities of southwestern England, it was found that peregrine falcons ("Falco peregrinus") were harassing buzzards so persistently, in many cases resulting in injury or death for the buzzards, the attacks tending to peak during the falcon's breeding seasons and tend to be focused on subadult buzzards. Despite often being dominated in nesting site confrontations by even similarly sized raptors, buzzards appear to be bolder in direct competition over food with other raptors outside of the context of breeding, and has even been known to displace larger birds of prey such as red kites ("Milvus milvus") and female buzzards may also dominate male goshawks (which are much smaller than the female goshawk) at disputed kills. Common buzzards are occasionally threatened by predation by other raptorial birds. Northern goshawks have been known to have preyed upon buzzards in a few cases. Much larger raptors are known to have killed a few buzzards as well, including steppe eagles ("Aquila nipalensis") on migrating steppe buzzards in Israel. Further instances of predation on buzzards have involved golden, eastern imperial ("Aquila heliaca"), Bonelli's ("Aquila fasciata") and white-tailed eagles ("Haliaeetus albicilla") in Europe. Besides preying on adult buzzard, white-tailed eagles have been known to raise buzzards with their own young. These are most likely cases of eagles carrying off young buzzard nestlings with the intention of predation but, for unclear reasons, not killing them. Instead the mother eagle comes to brood the young buzzard. Despite the difference of the two species diets, white-tailed eagles are surprisingly successful at raising young buzzards (which are conspicuously much smaller than their own nestlings) to fledging. Studies in Lithuania of white-tailed eagle diets found that predation on common buzzards was more frequent than anticipated, with 36 buzzard remains found in 11 years of study of the summer diet of the white-tailed eagles. While nestling buzzards were multiple times more vulnerable to predation than adult buzzards in the Lithuanian data, the region's buzzards expelled considerable time and energy during the late nesting period trying to protect their nests. The most serious predator of common buzzards, however, is almost certainly the Eurasian eagle-owl ("Bubo bubo"). This is a very large owl with a mean body mass about three to four times greater than that of a buzzard. The eagle-owl, despite often taking small mammals that broadly overlap with those selected by buzzards, is considered a "super-predator" that is a major threat to nearly all co-existing raptorial birds, capably destroying whole broods of other raptorial birds and dispatching adult raptors even as large as eagles. Due to their large numbers in edge habitats, common buzzards frequently feature heavily in the eagle-owl's diet. Eagle-owls, as will some other large owls, also readily expropriate the nests of buzzards. In the Czech Republic and in Luxembourg, the buzzard was the third and fifth most frequent prey species for eagle-owls, respectively. The reintroduction of eagle-owls to sections of Germany has been found to have a slight deleterious effect on the local occupancy of common buzzards. The only sparing factor is the temporal difference (the buzzard nesting later in the year than the eagle-owl) and buzzards may locally be able to avoid nesting near an active eagle-owl family. As the ecology of the wintering population is relatively little studied, a similar very large owl at the top of the avian food chain, the Verreaux's eagle-owl ("Bubo lacteus"), is the only known predator of wintering steppe buzzards in southern Africa. Despite not being known predators of buzzards, other large, vole-eating owls are known to displace or to be avoided by nesting buzzards, such as great grey owls ("Strix nebulosa") and Ural owls ("Strix uralensis"). Unlike with large birds of prey, next to nothing is known of mammalian predators of common buzzards, despite up to several nestlings and fledglings being likely depredated by mammals. Common buzzards themselves rarely present a threat to other raptorial birds but may occasionally kill a few of those of smaller size. The buzzard is a known predator of Eurasian sparrowhawks ("Accipiter nisus"), common kestrel and lesser kestrel ("Falco naumanni") . Perhaps surprisingly, given the nocturnal habits of this prey, the group of raptorial birds the buzzard is known to hunt most extensively is owls. Known owl prey has included Western barn owls ("Tyto alba"), European scops owls ("Otus scops"), tawny owls ("Strix aluco"), little owls ("Athene noctua"), boreal owls ("Aegolius funereus"), long-eared owls ("Asio otus") and short-eared owls ("Asio flammeus"). Despite their relatively large size, tawny owls are known to avoid buzzards as there are several records of them preying upon the owls. Breeding. Nesting territories and density. Home ranges of common buzzards are generally . The size of breeding territory seem to be generally correlated with food supply. In a German study, the range was with an average of . Some of the lowest pair densities of common buzzards seem to come from Russia. For instance, in Kerzhenets Nature Reserve, the recorded density was 0.6 pairs per and the average distance of nearest neighbors was . The Snowdonia region of northern Wales held a pair per with a mean nearest neighbor distance of ; in adjacent Migneint, pair occurrence was , with a mean distance of . In the Teno massif of the Canary Islands, the average density was estimated as 23 pairs per , similar to that of a middling continental population. On another set of islands, on Crete the density of pairs was lower at 5.7 pairs per ; here buzzards tend to have an irregular distribution, some in lower intensity harvest olive groves but their occurrence actually more common in agricultural than natural areas. In the Italian Alps, it was recorded in 1993–96 that there were from 28 to 30 pairs per . In central Italy, density average was lower at 19.74 pairs per . Higher density areas are known than those above. Two areas of the Midlands of England showed occupancies of 81 and 22 territorial pairs per . High buzzard densities there were associated with high proportions of unimproved pasture and mature woodland within the estimated territories. Similarly high densities of common buzzards were estimated in central Slovakia using two different methods, here indicating densities of 96 to 129 pairs per . Despite claims from the study of the English midlands were the highest known territory density for the species, a number ranging from 32 to 51 pairs in wooded area of merely in Czech Republic seems to surely exceed even those densities. The Czech study hypothesized that fragmentation of forest in human management of lands for wild sheep and deer, creating exceptional concentrations of prey such as voles, and lack of appropriate habitat in surrounding regions for the exceptionally high density. In the North-Estonian Neeruti landscape reserve (area 1250 ha), Marek Vahula found 9 populated nests in 1989 and 1990. One nest was found in 1982 and is apparently the oldest known nest that is still populated today. Common buzzards maintain their territories through flight displays. In Europe, territorial behaviour generally starts in February. However, displays are not uncommon throughout year in resident pairs, especially by males, and can elicit similar displays by neighbors. In them, common buzzards generally engage in high circling, spiraling upward on slightly raised wings. Mutual high circling by pairs sometimes go on at length, especially during the period prior to or during breeding season. In mutual displays, a pair may follow each other at in level flight. During the mutual displays, the male may engage in exaggerated deep flapping or zig-zag tumbling, apparently in response to the female being too distant. Two or three pairs may circle together at times and as many as 14 individual adults have been recorded over established display sites. Sky-dancing by common buzzards have been recorded in spring and autumn, typically by male but sometimes by female, nearly always with much calling. Their sky-dances are of the rollercoaster type, with upward sweep until they start to stall, but sometimes embellished with loops or rolls at the top. Next in the sky-dance, they dive on more or less closed wings before spreading them and shooting up again, upward sweeps of up to , with dive drops of up to at least . These dances may be repeated in series of 10 to 20. In the climax of the sky dance, the undulations become progressive shallower, often slowing and terminating directly onto a perch. Various other aerial displays include low contour flight or weaving among trees, frequently with deep beats and exaggerated upstrokes which show underwing pattern to rivals perched below. Talon grappling and occasionally cartwheeling downward with feet interlocked has been recorded in buzzards and, as in many raptors, is likely the physical culmination of the aggressive territorial display, especially between males. Despite the highly territorial nature of buzzards and their devotion to a single mate and breeding ground each summer, there is one case of a polyandrous trio of buzzards nesting in the Canary Islands. Nests. Common buzzards tend to build a bulky nest of sticks, twigs and often heather. Commonly, nests are up to across and deep. With reuse over years, the diameter can reach or exceed and weight of nests can reach over . Active nests tend to be lined with greenery, most often this consists of broad-leafed foliage but sometimes also includes rush or seaweed locally. Nest height in trees is commonly , usually by main trunk or main crutch of the tree. In Germany, trees used for nesting consisted mostly of red beeches ("Fagus sylvatica") (in 337 cases), whereas a further 84 were in assorted oaks. Buzzards were recorded to nest almost exclusively in pines in Spain at a mean height of . Trees are generally used for a nesting location but they will also utilize crags or bluffs if trees are unavailable. Buzzards in one English study were surprisingly partial to nesting on well-vegetated banks and due to the rich surrounding environment habitat and prey population, were actually more productive than nests located in other locations here. Furthermore, a few ground nests were recorded in high prey-level agricultural areas in the Netherlands. In the Italian Alps, 81% of 108 nests were on cliffs. The common buzzard generally lacks the propensity of its Nearctic counterpart, the red-tailed hawk, to occasionally nest on or near manmade structures (often in heavily urbanized areas) but in Spain some pairs recorded nesting along the perimeter of abandoned buildings. Pairs often have several nests but some pairs may use one over several consecutive years. Two to four alternate nests in a territory is typical for common buzzards, especially those breeding further north in their range. Reproduction and eggs. The breeding season commences at differing times based on latitude. Common buzzard breeding seasons may fall as early as January to April but typically the breeding season is March to July in much of Palearctic. In the northern stretches of the range the breeding season may last into May–August. Mating usually occurs on or near the nest and lasts about 15 seconds, typically occurring several times a day. Eggs are usually laid in 2 to 3-day intervals. The clutch size can range from to 2 to 6, a relatively large clutch for an accipitrid. More northerly and westerly buzzard usually bear larger clutches, which average nearer 3, than those further east and south. In Spain, the average clutch size is about 2 to 2.3. From 4 locations in different parts of Europe, 43% had clutch size of 2, 41% had size of 3, clutches of 1 and 4 each constituted about 8%. Laying dates are remarkably constant throughout Great Britain. There are, however, highly significant differences in clutch size between British study areas. These do not follow any latitudinal gradient and it is likely that local factors such as habitat and prey availability are more important determinants of clutch size. The eggs are white in ground colour, rather round in shape with sporadic red to brown markings sometimes lightly showing. In the nominate race, egg size is in height by in diameter with an average of in 600 eggs. In the race of "vulpinus", egg height is by with an average of in 303 eggs. Eggs are generally laid in late March to early April in extreme south, sometime in April in most of Europe, into May and possibly even early June in the extreme north. If eggs are lost to a predator (including humans) or fail in some other way, common buzzards do not usually lay replacement clutches but they have been recorded, even with 3 attempts of clutches by a single female. The female does most but not all of the incubating, doing so for a total of 33–35 days. The female remains at the nest brooding the young in the early stages with the male bringing all prey. At about 8–12 days, both the male and female will bring prey but the female continues to do all feeding until the young can tear up their own prey. Development of young. Once hatching commences, it may take 48 hours for the chick to chip out. Hatching may take place over 3–7 days, with new hatchlings averaging about in body mass. Often the youngest nestling dies from starvation, especially in broods of three or more. In nestlings, the first down replaces by longer, coarser down at about 7 days of age with the first proper feathers appearing at 12 to 15 days. The young are nearly fully feathered rather than downy at about a month of age and can start to feed themselves as well. The first attempts to leave the nest are often at about 40–50 days, averaging usually 40–45 in nominate buzzards in Europe, but more quickly on average at 40–42 in "vulpinus". Fledging occurs typically at 43–54 days but in extreme cases at as late 62 days. Sexual dimorphism is apparent in European fledglings, as females often scale about against in males. After leaving the nest, buzzards generally stay close by, but with migratory ones there is more definitive movement generally southbound. Full independence is generally sought 6 to 8 weeks after fledging. 1st year birds generally remain in wintering area for following summer but then return to near area of origin but then migrate south again without breeding. Radio-tracking suggests that most dispersal, even relatively early dispersals, by juvenile buzzards is undertaken independently rather than via exile by parents, as has been recorded in some other birds of prey. In common buzzards, generally speaking, siblings stay quite close to each other after dispersal from their parents and form something of a social group, although parents usually tolerate their presence on their territory until they are laying another clutch. However, the social group of siblings disbands at about a year of age. Juvenile buzzards are subordinate to adults during most encounters and tend to avoid direct confrontations and actively defended territories until they are of appropriate age (usually at least 2 years of age). This was the case as well for steppe buzzard juveniles wintering in southern Africa, although in some cases juveniles were able to successfully steal prey from adults there. Breeding success rates. Numerous factors may weigh into the breeding success of common buzzards. Chiefly among these are prey populations, habitat, disturbance and persecution levels and interspecies competition. In Germany, intra- and interspecific competition, plumage morph, laying date, precipitation levels and anthropogenic disturbances in the breeding territory, in declining order, were deemed to be the most significant bearers of breeding success. In an accompanying study, it was found that a mere 17% of adult birds of both sexes present in a German study area produced 50% of offspring, so breeding success may be lower than perceived and many adult buzzards for unknown causes may not attempt to breed at all. High breeding success was detected in Argyll, Scotland, due likely to hearty prey populations (rabbits) but also probably a lower local rate of persecution than elsewhere in the British isles. Here, the mean number of fledglings were 1.75 against 0.82–1.41 in other parts of Britain. It was found in the English Midlands that breeding success both by measure of clutch size and mean number of fledglings, was relatively high thanks again to high prey populations. Breeding success was lower farther from significant stands of trees in the Midlands and most nesting failures that could be determined occurred in the incubation stage, possibly in correlation with predation of eggs by corvids. More significant than even prey, late winter-early spring was found to be likely the primary driver of breeding success in buzzards from southern Norway. Here, even in peak vole years, nesting success could be considerably hampered by heavy snow at this crucial stage. In Norway, large clutches of 3+ were expected only in years with minimal snow cover, high vole populations and lighter rains in May–June. In the Italian Alps, the mean number of fledglings per pair was 1.07. 33.4% of nesting attempts were failures per a study in southwestern Germany, with an average of 1.06 of all nesting attempts and 1.61 for all successful attempt. In Germany, weather conditions and rodent populations seemed to be the primary drivers of nesting success. In Murcia part of Spain contrasted with Biscay to the north, higher levels of interspecific competition from booted eagles and northern goshawks did not appear to negatively affect breeding success due to more ample prey populations (rabbits again) in Murcia than in Biscay. In the Westphalia area of Germany, it was found that intermediate colour morphs were more productive than those that were darker or lighter. For reasons that are not entirely clear, apparently fewer parasites were found to afflict broods of intermediate plumaged buzzard less so than dark and light phenotypes, in particular higher melanin levels somehow were found to be more inviting to parasitic organism that effect the health of the buzzard's offspring. The composition of habitat and its relation to human disturbance were important variables for the dark and light phenotypes but were less important to intermediate individuals. Thus selection pressures resulting from different factors did not vary much between sexes but varied between the three phenotypes in the population. Breeding success in areas with wild European rabbits was considerably effected by rabbit myxomatosis and rabbit haemorrhagic disease, both of which have heavily depleted wild rabbit population. Breeding success in formerly rabbit-rich areas were recorded to decrease from as much as 2.6 to as little as 0.9 young per pair. Age of first breeding in several radio-tagged buzzards showed only a single male breeding as early as his 2nd summer (at about a year of age). Significantly more buzzards were found to start breeding at the 3 summer but breeding attempts can be individually erratic given the availability of habitat, food and mates. The mean life expectancy was estimated at 6.3 years in the late 1950s, but this was at a time of high persecution when humans were causing 50–80% of buzzard deaths. In a more modern context with regionally reduced persecution rates, the lifespan expected can be higher (possibly in excess of 10 years at times) but is still widely variable due to a wide variety of factors. Status. The common buzzard is one of the most numerous birds of prey in its range. Almost certainly, it is the most numerous diurnal bird of prey throughout Europe. Conservative estimates put the total population at no fewer than 700,000 pairs in Europe, which are more than twice the total estimates for the next four birds of prey estimated as most common: the Eurasian sparrowhawk (more than 340,000 pairs), the common kestrel (more than 330,000 pairs) and the northern goshawk (more than 160,000 pairs). Ferguson-Lees et al. roughly estimated that the total population of the common buzzard ranges to nearly 5 million pairs but at time was including the now split-off species of eastern and Himalayan buzzards in those numbers. These numbers may be excessive but the total population of common buzzards is certain to total well over seven figures. More recently, the IUCN estimated the common buzzard (sans the Himalayan and eastern subspecies) to number somewhere between 2.1 and 3.7 million birds, which would put this buzzard one of the most numerous of all accipitrid family members (estimates for Eurasian sparrowhawks, red-tailed hawks and northern goshawks also may range over 2 million). In 1991, other than their absence in Iceland, after having been extent as breeder by 1910, buzzards recolonized Ireland sometime in the 1950s and has increased by the 1990s to 26 pairs. Supplemental feeding has reportedly helped the Irish buzzard population to rebound, especially where rabbits have decreased. Most other countries have at least four figures of breeding pairs. As of the 1990s, other countries such as Great Britain, France, Switzerland, Czech Republic, Poland, Sweden, Belarus and Ukraine all numbered pairs well into five figures, while Germany had an estimated 140,000 pairs and European Russian may have held 500,000 pairs. Between 44,000 and 61,000 pairs nested in Great Britain by 2001 with numbers gradually increasing after past persecution, habitat alteration and prey reductions, making it by far the most abundant diurnal raptor there. In Westphalia, Germany, population of buzzards was shown to nearly triple over the last few decades. The Westphalian buzzards are possibly benefiting from increasingly warmer mean climate, which in turn is increasing vulnerability of voles. However, the rate of increase was significantly greater in males than in females, in part because of reintroduced Eurasian eagle-owls to the region preying on nests (including the brooding mother), which may in turn put undue pressure on the local buzzard population. At least 238 common buzzards killed through persecution were recovered in England from 1975 to 1989, largely through poisoning. Persecution did not significantly differ at any time due this span of years nor did the persecution rates decrease, nor did it when compared to rates of last survey of this in 1981. While some persecution persists in England, it is probably slightly less common today. The buzzard was found to be the most vulnerable raptor to power-line collision fatalities in Spain probably as it is one of the most common largish birds, and together with the common raven, it accounted for nearly a third of recorded electrocutions. Given its relative abundance, the common buzzard is held as an ideal bioindicator, as they are effected by a range of pesticide and metal contamination through pollution like other raptors but are largely resilient to these at the population levels. In turn, this allows biologists to study (and harvest if needed) the buzzards intensively and their environments without affecting their overall population. The lack of affect may be due to the buzzard's adaptability as well as its relatively short, terrestrially-based food chain, which exposes them to less risk of contamination and population depletions than raptors that prey more heavily on water-based prey (such as some large eagles) or other birds (such as falcons). Common buzzards are seldom vulnerable to egg-shell thinning from DDT as are other raptors but egg-shell thinning has been recorded. Other factors that negatively effect raptors have been studied in common buzzards are helminths, avipoxvirus and assorted other viruses.
4194
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https://en.wikipedia.org/wiki?curid=4194
Bohrium
Bohrium is a synthetic chemical element; it has symbol Bh and atomic number 107. It is named after Danish physicist Niels Bohr. As a synthetic element, it can be created in particle accelerators but is not found in nature. All known isotopes of bohrium are highly radioactive; the most stable known isotope is 270Bh with a half-life of approximately 2.4 minutes, though the unconfirmed 278Bh may have a longer half-life of about 11.5 minutes. In the periodic table, it is a d-block transactinide element. It is a member of the 7th period and belongs to the group 7 elements as the fifth member of the 6d series of transition metals. Chemistry experiments have confirmed that bohrium behaves as the heavier homologue to rhenium in group 7. The chemical properties of bohrium are characterized only partly, but they compare well with the chemistry of the other group 7 elements. History. Discovery. Two groups claimed discovery of the element. Evidence of bohrium was first reported in 1976 by a Soviet research team led by Yuri Oganessian, in which targets of bismuth-209 and lead-208 were bombarded with accelerated nuclei of chromium-54 and manganese-55, respectively. Two activities, one with a half-life of one to two milliseconds, and the other with an approximately five-second half-life, were seen. Since the ratio of the intensities of these two activities was constant throughout the experiment, it was proposed that the first was from the isotope bohrium-261 and that the second was from its daughter dubnium-257. Later, the dubnium isotope was corrected to dubnium-258, which indeed has a five-second half-life (dubnium-257 has a one-second half-life); however, the half-life observed for its parent is much shorter than the half-lives later observed in the definitive discovery of bohrium at Darmstadt in 1981. The IUPAC/IUPAP Transfermium Working Group (TWG) concluded that while dubnium-258 was probably seen in this experiment, the evidence for the production of its parent bohrium-262 was not convincing enough. In 1981, a German research team led by Peter Armbruster and Gottfried Münzenberg at the GSI Helmholtz Centre for Heavy Ion Research (GSI Helmholtzzentrum für Schwerionenforschung) in Darmstadt bombarded a target of bismuth-209 with accelerated nuclei of chromium-54 to produce 5 atoms of the isotope bohrium-262: This discovery was further substantiated by their detailed measurements of the alpha decay chain of the produced bohrium atoms to previously known isotopes of fermium and californium. The IUPAC/IUPAP Transfermium Working Group (TWG) recognised the GSI collaboration as official discoverers in their 1992 report. Proposed names. In September 1992, the German group suggested the name "nielsbohrium" with symbol "Ns" to honor the Danish physicist Niels Bohr. The Soviet scientists at the Joint Institute for Nuclear Research in Dubna, Russia had suggested this name be given to element 105 (which was finally called dubnium) and the German team wished to recognise both Bohr and the fact that the Dubna team had been the first to propose the cold fusion reaction, and simultaneously help to solve the controversial problem of the naming of element 105. The Dubna team agreed with the German group's naming proposal for element 107. There was an element naming controversy as to what the elements from 104 to 106 were to be called; the IUPAC adopted "unnilseptium" (symbol "Uns") as a temporary, systematic element name for this element. In 1994 a committee of IUPAC recommended that element 107 be named "bohrium", not "nielsbohrium", since there was no precedent for using a scientist's complete name in the naming of an element. This was opposed by the discoverers as there was some concern that the name might be confused with boron and in particular the distinguishing of the names of their respective oxyanions, "bohrate" and "borate". The matter was handed to the Danish branch of IUPAC which, despite this, voted in favour of the name "bohrium", and thus the name "bohrium" for element 107 was recognized internationally in 1997; the names of the respective oxyanions of boron and bohrium remain unchanged despite their homophony. Isotopes. Bohrium has no stable or naturally occurring isotopes. Several radioactive isotopes have been synthesized in the laboratory, either by fusing two atoms or by observing the decay of heavier elements. Twelve different isotopes of bohrium have been reported with atomic masses 260–262, 264–267, 270–272, 274, and 278, one of which, bohrium-262, has a known metastable state. All of these but the unconfirmed 278Bh decay only through alpha decay, although some unknown bohrium isotopes are predicted to undergo spontaneous fission. The lighter isotopes usually have shorter half-lives; half-lives of under 100 ms for 260Bh, 261Bh, 262Bh, and 262mBh were observed. 264Bh, 265Bh, 266Bh, and 271Bh are more stable at around 1 s, and 267Bh and 272Bh have half-lives of about 10 s. The heaviest isotopes are the most stable, with 270Bh and 274Bh having measured half-lives of about 2.4 min and 40 s respectively, and the even heavier unconfirmed isotope 278Bh appearing to have an even longer half-life of about 11.5 minutes. The most proton-rich isotopes with masses 260, 261, and 262 were directly produced by cold fusion, those with mass 262 and 264 were reported in the decay chains of meitnerium and roentgenium, while the neutron-rich isotopes with masses 265, 266, 267 were created in irradiations of actinide targets. The five most neutron-rich ones with masses 270, 271, 272, 274, and 278 (unconfirmed) appear in the decay chains of 282Nh, 287Mc, 288Mc, 294Ts, and 290Fl respectively. The half-lives of bohrium isotopes range from about ten milliseconds for 262mBh to about one minute for 270Bh and 274Bh, extending to about 11.5 minutes for the unconfirmed 278Bh, which may have one of the longest half-lives among reported superheavy nuclides. Predicted properties. Very few properties of bohrium or its compounds have been measured; this is due to its extremely limited and expensive production and the fact that bohrium (and its parents) decays very quickly. A few singular chemistry-related properties have been measured, but properties of bohrium metal remain unknown and only predictions are available. Chemical. Bohrium is the fifth member of the 6d series of transition metals and the heaviest member of group 7 in the periodic table, below manganese, technetium and rhenium. All the members of the group readily portray their group oxidation state of +7 and the state becomes more stable as the group is descended. Thus bohrium is expected to form a stable +7 state. Technetium also shows a stable +4 state whilst rhenium exhibits stable +4 and +3 states. Bohrium may therefore show these lower states as well. The higher +7 oxidation state is more likely to exist in oxyanions, such as perbohrate, , analogous to the lighter permanganate, pertechnetate, and perrhenate. Nevertheless, bohrium(VII) is likely to be unstable in aqueous solution, and would probably be easily reduced to the more stable bohrium(IV). The lighter group 7 elements are known to form volatile heptoxides M2O7 (M = Mn, Tc, Re), so bohrium should also form the volatile oxide Bh2O7. The oxide should dissolve in water to form perbohric acid, HBhO4. Rhenium and technetium form a range of oxyhalides from the halogenation of the oxide. The chlorination of the oxide forms the oxychlorides MO3Cl, so BhO3Cl should be formed in this reaction. Fluorination results in MO3F and MO2F3 for the heavier elements in addition to the rhenium compounds ReOF5 and ReF7. Therefore, oxyfluoride formation for bohrium may help to indicate eka-rhenium properties. Since the oxychlorides are asymmetrical, and they should have increasingly large dipole moments going down the group, they should become less volatile in the order TcO3Cl > ReO3Cl > BhO3Cl: this was experimentally confirmed in 2000 by measuring the enthalpies of adsorption of these three compounds. The values are for TcO3Cl and ReO3Cl are −51 kJ/mol and −61 kJ/mol respectively; the experimental value for BhO3Cl is −77.8 kJ/mol, very close to the theoretically expected value of −78.5 kJ/mol. Physical and atomic. Bohrium is expected to be a solid under normal conditions and assume a hexagonal close-packed crystal structure ("c"/"a" = 1.62), similar to its lighter congener rhenium. Early predictions by Fricke estimated its density at 37.1 g/cm3, but newer calculations predict a somewhat lower value of 26–27 g/cm3. The atomic radius of bohrium is expected to be around 128 pm. Due to the relativistic stabilization of the 7s orbital and destabilization of the 6d orbital, the Bh+ ion is predicted to have an electron configuration of [Rn] 5f14 6d4 7s2, giving up a 6d electron instead of a 7s electron, which is the opposite of the behavior of its lighter homologues manganese and technetium. Rhenium, on the other hand, follows its heavier congener bohrium in giving up a 5d electron before a 6s electron, as relativistic effects have become significant by the sixth period, where they cause among other things the yellow color of gold and the low melting point of mercury. The Bh2+ ion is expected to have an electron configuration of [Rn] 5f14 6d3 7s2; in contrast, the Re2+ ion is expected to have a [Xe] 4f14 5d5 configuration, this time analogous to manganese and technetium. The ionic radius of hexacoordinate heptavalent bohrium is expected to be 58 pm (heptavalent manganese, technetium, and rhenium having values of 46, 57, and 53 pm respectively). Pentavalent bohrium should have a larger ionic radius of 83 pm. Experimental chemistry. In 1995, the first report on attempted isolation of the element was unsuccessful, prompting new theoretical studies to investigate how best to investigate bohrium (using its lighter homologs technetium and rhenium for comparison) and removing unwanted contaminating elements such as the trivalent actinides, the group 5 elements, and polonium. In 2000, it was confirmed that although relativistic effects are important, bohrium behaves like a typical group 7 element. A team at the Paul Scherrer Institute (PSI) conducted a chemistry reaction using six atoms of 267Bh produced in the reaction between 249Bk and 22Ne ions. The resulting atoms were thermalised and reacted with a HCl/O2 mixture to form a volatile oxychloride. The reaction also produced isotopes of its lighter homologues, technetium (as 108Tc) and rhenium (as 169Re). The isothermal adsorption curves were measured and gave strong evidence for the formation of a volatile oxychloride with properties similar to that of rhenium oxychloride. This placed bohrium as a typical member of group 7. The adsorption enthalpies of the oxychlorides of technetium, rhenium, and bohrium were measured in this experiment, agreeing very well with the theoretical predictions and implying a sequence of decreasing oxychloride volatility down group 7 of TcO3Cl > ReO3Cl > BhO3Cl. 2 Bh + 3 + 2 HCl → 2 + The longer-lived heavy isotopes of bohrium, produced as the daughters of heavier elements, offer advantages for future radiochemical experiments. Although the heavy isotope 274Bh requires a rare and highly radioactive berkelium target for its production, the isotopes 272Bh, 271Bh, and 270Bh can be readily produced as daughters of more easily produced moscovium and nihonium isotopes.
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https://en.wikipedia.org/wiki?curid=4195
Barbara Olson
Barbara Kay Olson (née Bracher; December 27, 1955September 11, 2001) was an American lawyer and conservative television commentator who worked for CNN, Fox News Channel, and several other outlets. She was a passenger on American Airlines Flight 77 en route to a taping of Bill Maher's television show "Politically Incorrect" when it was flown into the Pentagon in the September 11 attacks. Early life. Olson was born Barbara Kay Bracher in Houston, Texas, on December 27, 1955. Her older sister, Toni Bracher-Lawrence, was a member of the Houston City Council from 2004 to 2010. She graduated from Waltrip High School. Personal life. She married Theodore Olson in 1996, becoming his third wife. Olson was a frequent critic of the Bill Clinton administration and wrote a book about then–First Lady Hillary Clinton, "Hell to Pay: The Unfolding Story of Hillary Rodham Clinton" (1999). Olson's second book, "The Final Days: The Last, Desperate Abuses of Power by the Clinton White House" was published posthumously. Death and legacy. Olson was a passenger on American Airlines Flight 77, on her way to a taping of "Politically Incorrect" in Los Angeles, when it was flown into the Pentagon in the September 11 attacks. Her original plan had been to fly to California on September 10, but she waited until the next day so that she could wake up with her husband on his birthday, September 11. At the National September 11 Memorial, Olson's name is located on Panel S-70 of the South Pool, along with those of other passengers of Flight 77. Three months after the attacks, Olson's remains were identified. She was buried at her family's retreat in Wisconsin. Since November of 2001, the Federalist Society has given a lecture honoring her at their annual National Lawyers Convention.
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https://en.wikipedia.org/wiki?curid=4196
Barnard's Star
Barnard's Star is a small red dwarf star in the constellation of Ophiuchus. At a distance of from Earth, it is the fourth-nearest-known individual star to the Sun after the three components of the Alpha Centauri system, and is the closest star in the northern celestial hemisphere. Its stellar mass is about 16% of the Sun's, and it has 19% of the Sun's diameter. Despite its proximity, the star has a dim apparent visual magnitude of +9.5 and is invisible to the unaided eye; it is much brighter in the infrared than in visible light. Barnard's Star is among the most studied red dwarfs because of its proximity and favorable location for observation near the celestial equator. Historically, research on Barnard's Star has focused on measuring its stellar characteristics, its astrometry, and also refining the limits of possible extrasolar planets. Although Barnard's Star is ancient, it still experiences stellar flare events, one being observed in 1998. Barnard's Star hosts a system of four close-orbiting, sub-Earth-mass planets; Barnard's Star b was discovered in 2024 and another three were confirmed in 2025. Previously, it was subject to multiple claims of much larger planets that were subsequently disproven. Discovery and naming. The star is named after Edward Emerson Barnard, an American astronomer who in 1916 measured its proper motion as 10.3 arcseconds per year relative to the Sun, the highest known for any star. The star had previously appeared on Harvard University photographic plates in 1888 and 1890. In 2016, the International Astronomical Union organized a Working Group on Star Names (WGSN) to catalogue and standardize proper names for stars. The WGSN approved the name "Barnard's Star" for this star on 1 February 2017 and it is now included in the List of IAU-approved Star Names. Description. Barnard's Star is a red dwarf of the dim spectral type M4 and is too faint to see without a telescope; its apparent magnitude is 9.5. At 7–12 billion years of age, Barnard's Star is considerably older than the Sun, which is 4.5 billion years old, and it might be among the oldest stars in the Milky Way galaxy. Barnard's Star has lost a great deal of rotational energy; the periodic slight changes in its brightness indicate that it rotates once in 130 days (the Sun rotates in 25). Given its age, Barnard's Star was long assumed to be quiescent in terms of stellar activity. In 1998, astronomers observed an intense stellar flare, showing that Barnard's Star is a flare star. Barnard's Star has the variable star designation V2500 Ophiuchi. In 2003, Barnard's Star presented the first detectable change in the radial velocity of a star caused by its motion. Further variability in the radial velocity of Barnard's Star was attributed to its stellar activity. The proper motion of Barnard's Star corresponds to a relative lateral speed of 90km/s. The 10.3 arcseconds it travels in a year amount to a quarter of a degree in a human lifetime, roughly half the angular diameter of the full Moon. The radial velocity of Barnard's Star is , as measured from the blueshift due to its motion toward the Sun. Combined with its proper motion and distance, this gives a "space velocity" (actual speed relative to the Sun) of . Barnard's Star will make its closest approach to the Sun around 11,800 CE, when it will approach to within about 3.75 light-years. Proxima Centauri is the closest star to the Sun at a position currently 4.24 light-years distant from it. However, despite Barnard's Star's even closer pass to the Sun in 11,800 CE, it will still not then be the nearest star, since by that time Proxima Centauri will have moved to a yet-nearer proximity to the Sun. At the time of the star's closest pass by the Sun, Barnard's Star will still be too dim to be seen with the naked eye, since its apparent magnitude will only have increased by one magnitude to about 8.5 by then, still being 2.5 magnitudes short of visibility to the naked eye. Barnard's Star has a mass of about 0.16 solar masses (), and a radius about 0.2 times that of the Sun. Thus, although Barnard's Star has roughly 150 times the mass of Jupiter (), its radius is only roughly 2 times larger, due to its much higher density. Its effective temperature is about 3,220 kelvin, and it has a luminosity of only 0.0034 solar luminosities. Barnard's Star is so faint that if it were at the same distance from Earth as the Sun is, it would appear only 100 times brighter than a full moon, comparable to the brightness of the Sun at 80 astronomical units. Barnard's Star has 10–32% of the solar metallicity. Metallicity is the proportion of stellar mass made up of elements heavier than helium and helps classify stars relative to the galactic population. Barnard's Star seems to be typical of the old, red dwarf population II stars, yet these are also generally metal-poor halo stars. While sub-solar, Barnard's Star's metallicity is higher than that of a halo star and is in keeping with the low end of the metal-rich disk star range; this, plus its high space motion, have led to the designation "intermediate population II star", between a halo and disk star. However, some recently published scientific papers have given much higher estimates for the metallicity of the star, very close to the Sun's level, between 75 and 125% of the solar metallicity. Planetary system. In August 2024, by using data from ESPRESSO spectrograph of the Very Large Telescope, the existence of an exoplanet with a minimum mass of and orbital period of 3.15 days was confirmed. This constituted the first convincing evidence for a planet orbiting Barnard's Star. Additionally, three other candidate low-mass planets were proposed in this study. All of these planets orbit closer to the star than the habitable zone. The confirmed planet is designated Barnard's Star b (or Barnard b), a re-use of the designation originally used for the refuted super-Earth candidate. An examination of TESS photometry revealed no planetary transits, implying that the system is not viewed edge-on. In March 2025, an independent follow-up study confirmed all four planets. The data ruled out planets with masses greater than in the habitable zone of Barnard's Star with 99% confidence. With a minimum mass of only , Barnard's Star e is the least massive exoplanet yet detected by the radial velocity method. The best-fit orbital solution implies the planets have slightly eccentric orbits, but simulations suggest that these orbits would be unstable while circular orbits remain stable, so the eccentricities may be overestimated. Previous planetary claims. Barnard's Star has been subject to multiple claims of planets that were later disproven. From the early 1960s to the early 1970s, Peter van de Kamp argued that planets orbited Barnard's Star. His specific claims of large gas giants were refuted in the mid-1970s after much debate. In November 2018, a candidate super-Earth planetary companion was reported to orbit Barnard's Star. It was believed to have a minimum mass of and orbit at . However, work presented in July 2021 refuted the existence of this planet. Astrometric planetary claims. For a decade from 1963 to about 1973, a substantial number of astronomers accepted a claim by Peter van de Kamp that he had detected, by using astrometry, a perturbation in the proper motion of Barnard's Star consistent with its having one or more planets comparable in mass with Jupiter. Van de Kamp had been observing the star from 1938, attempting, with colleagues at the Sproul Observatory at Swarthmore College, to find minuscule variations of one micrometre in its position on photographic plates consistent with orbital perturbations that would indicate a planetary companion; this involved as many as ten people averaging their results in looking at plates, to avoid systemic individual errors. Van de Kamp's initial suggestion was a planet having about at a distance of 4.4AU in a slightly eccentric orbit, and these measurements were apparently refined in a 1969 paper. Later that year, Van de Kamp suggested that there were two planets of 1.1 and . Other astronomers subsequently repeated Van de Kamp's measurements, and two papers in 1973 undermined the claim of a planet or planets. George Gatewood and Heinrich Eichhorn, at a different observatory and using newer plate measuring techniques, failed to verify the planetary companion. Another paper published by John L. Hershey four months earlier, also using the Swarthmore observatory, found that changes in the astrometric field of various stars correlated to the timing of adjustments and modifications that had been carried out on the refractor telescope's objective lens; the claimed planet was attributed to an artifact of maintenance and upgrade work. The affair has been discussed as part of a broader scientific review. Van de Kamp never acknowledged any error and published a further claim of two planets' existence as late as 1982; he died in 1995. Wulff Heintz, Van de Kamp's successor at Swarthmore and an expert on double stars, questioned his findings and began publishing criticisms from 1976 onwards. The two men were reported to have become estranged because of this. Refuted 2018 planetary claim. In November 2018, an international team of astronomers announced the detection by radial velocity of a candidate super-Earth orbiting in relatively close proximity to Barnard's Star. Led by Ignasi Ribas of Spain their work, conducted over two decades of observation, provided strong evidence of the planet's existence. However, the existence of the planet was refuted in 2021, when the radial velocity signal was found to originate from long-term activity on the star itself, related to its rotation. Further studies in the following years confirmed this result. Dubbed Barnard's Star b, the planet was thought to be near the stellar system's snow line, which is an ideal spot for the icy accretion of proto-planetary material. It was thought to orbit at 0.4AU every 233 days and had a proposed minimum mass of . The planet would have most likely been frigid, with an estimated surface temperature of about , and lie outside Barnard Star's presumed habitable zone. Direct imaging of the planet and its tell-tale light signature would have been possible in the decade after its discovery. Further faint and unaccounted-for perturbations in the system suggested there may be a second planetary companion even farther out. Refining planetary boundaries. For the more than four decades between van de Kamp's rejected claim and the eventual announcement of a planet candidate, Barnard's Star was carefully studied and the mass and orbital boundaries for possible planets were slowly tightened. M dwarfs such as Barnard's Star are more easily studied than larger stars in this regard because their lower masses render perturbations more obvious. Null results for planetary companions continued throughout the 1980s and 1990s, including interferometric work with the Hubble Space Telescope in 1999. Gatewood was able to show in 1995 that planets with were impossible around Barnard's Star, in a paper which helped refine the negative certainty regarding planetary objects in general. In 1999, the Hubble work further excluded planetary companions of with an orbital period of less than 1,000 days (Jupiter's orbital period is 4,332 days), while Kuerster determined in 2003 that within the habitable zone around Barnard's Star, planets are not possible with an ""M" sin "i" value greater than 7.5 times the mass of the Earth (), or with a mass greater than 3.1 times the mass of Neptune (much lower than van de Kamp's smallest suggested value). In 2013, a research paper was published that further refined planet mass boundaries for the star. Using radial velocity measurements, taken over a period of 25 years, from the Lick and Keck Observatories and applying Monte Carlo analysis for both circular and eccentric orbits, upper masses for planets out to 1,000-day orbits were determined. Planets above two Earth masses in orbits of less than 10 days were excluded, and planets of more than ten Earth masses out to a two-year orbit were also confidently ruled out. It was also discovered that the habitable zone of the star seemed to be devoid of roughly Earth-mass planets or larger, save for face-on orbits. Even though this research greatly restricted the possible properties of planets around Barnard's Star, it did not rule them out completely as terrestrial planets were always going to be difficult to detect. NASA's Space Interferometry Mission, which was to begin searching for extrasolar Earth-like planets, was reported to have chosen Barnard's Star as an early search target, however the mission was shut down in 2010. ESA's similar Darwin interferometry mission had the same goal, but was stripped of funding in 2007. The analysis of radial velocities that eventually led to the announcement of a candidate super-Earth orbiting Barnard's Star was also used to set more precise upper mass limits for possible planets, up to and within the habitable zone: a maximum of up to the inner edge and on the outer edge of the optimistic habitable zone, corresponding to orbital periods of up to 10 and 40 days respectively. Therefore, it appears that Barnard's Star indeed does not host Earth-mass planets or larger, in hot and temperate orbits, unlike other M-dwarf stars that commonly have these types of planets in close-in orbits. Stellar flares. 1998. In 1998 a stellar flare on Barnard's Star was detected based on changes in the spectral emissions on 17 July during an unrelated search for variations in the proper motion. Four years passed before the flare was fully analyzed, at which point it was suggested that the flare's temperature was 8,000K, more than twice the normal temperature of the star. Given the essentially random nature of flares, Diane Paulson, one of the authors of that study, noted that "the star would be fantastic for amateurs to observe". The flare was surprising because intense stellar activity is not expected in stars of such age. Flares are not completely understood, but are believed to be caused by strong magnetic fields, which suppress plasma convection and lead to sudden outbursts: strong magnetic fields occur in rapidly rotating stars, while old stars tend to rotate slowly. For Barnard's Star to undergo an event of such magnitude is thus presumed to be a rarity. Research on the star's periodicity, or changes in stellar activity over a given timescale, also suggest it ought to be quiescent; 1998 research showed weak evidence for periodic variation in the star's brightness, noting only one possible starspot over 130 days. Stellar activity of this sort has created interest in using Barnard's Star as a proxy to understand similar stars. It is hoped that photometric studies of its X-ray and UV emissions will shed light on the large population of old M dwarfs in the galaxy. Such research has astrobiological implications: given that the habitable zones of M dwarfs are close to the star, any planet located therein would be strongly affected by solar flares, stellar winds, and plasma ejection events. 2019. In 2019, two additional ultraviolet stellar flares were detected, each with far-ultraviolet energy of 3×1022 joules, together with one X-ray stellar flare with energy 1.6×1022 joules. The flare rate observed to date is enough to cause loss of 87 Earth atmospheres per billion years through thermal processes and ≈3 Earth atmospheres per billion years through ion loss processes on Barnard's Star b. Environment. Barnard's Star shares much the same neighborhood as the Sun. The neighbors of Barnard's Star are generally of red dwarf size, the smallest and most common star type. Its closest neighbor is currently the red dwarf Ross 154, at a distance of 1.66 parsecs (5.41 light-years). The Sun (5.98 light-years) and Alpha Centauri (6.47 light-years) are, respectively, the next closest systems. From Barnard's Star, the Sun would appear on the diametrically opposite side of the sky at coordinates RA=, Dec=, in the westernmost part of the constellation Monoceros. The absolute magnitude of the Sun is 4.83, and at a distance of 1.834 parsecs, it would be a first-magnitude star, as Pollux is from the Earth. Proposed exploration. Project Daedalus. Barnard's Star was studied as part of Project Daedalus. Undertaken between 1973 and 1978, the study suggested that rapid, uncrewed travel to another star system was possible with existing or near-future technology. Barnard's Star was chosen as a target partly because it was believed to have planets. The theoretical model suggested that a nuclear pulse rocket employing nuclear fusion (specifically, electron bombardment of deuterium and helium-3) and accelerating for four years could achieve a velocity of 12% of the speed of light. The star could then be reached in 50 years, within a human lifetime. Along with detailed investigation of the star and any companions, the interstellar medium would be examined and baseline astrometric readings performed. The initial Project Daedalus model sparked further theoretical research. In 1980, Robert Freitas suggested a more ambitious plan: a self-replicating spacecraft intended to search for and make contact with extraterrestrial life. Built and launched in Jupiter's orbit, it would reach Barnard's Star in 47 years under parameters similar to those of the original Project Daedalus. Once at the star, it would begin automated self-replication, constructing a factory, initially to manufacture exploratory probes and eventually to create a copy of the original spacecraft after 1,000 years.
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https://en.wikipedia.org/wiki?curid=4199
Bayer designation
A Bayer designation is a stellar designation in which a specific star is identified by a Greek or Latin letter followed by the genitive form of its parent constellation's Latin name. The original list of Bayer designations contained 1564 stars. The brighter stars were assigned their first systematic names by the German astronomer Johann Bayer in 1603, in his star atlas "Uranometria". Bayer catalogued only a few stars too far south to be seen from Germany, but later astronomers (including Nicolas-Louis de Lacaille and Benjamin Apthorp Gould) supplemented Bayer's catalog with entries for southern constellations. Scheme. Bayer assigned a lowercase Greek letter (alpha (α), beta (β), gamma (γ), etc.) or a Latin letter (A, b, c, etc.) to each star he catalogued, combined with the Latin name of the star's parent constellation in genitive (possessive) form. The constellation name is frequently abbreviated to a standard three-letter form. For example, Aldebaran in the constellation Taurus (the Bull) is designated "α Tauri" (abbreviated "α Tau", pronounced "Alpha Tauri"), which means "Alpha of the Bull". Bayer used Greek letters for the brighter stars, but the Greek alphabet has only twenty-four letters, while a single constellation may contain fifty or more stars visible to the naked eye. When the Greek letters ran out, Bayer continued with Latin letters: uppercase "A", followed by lowercase "b" through "z" (omitting "j" and "v", but "o" was included), for a total of another 24 letters. Bayer did not label "permanent" stars with uppercase letters (except for "A", which he used instead of "a" to avoid confusion with "α"). However, a number of stars in southern constellations have uppercase letter designations, like B Centauri and G Scorpii. These letters were assigned by later astronomers, notably Lacaille in his "Coelum Australe Stelliferum" and Gould in his "Uranometria Argentina". Lacaille followed Bayer's use of Greek letters, but this was insufficient for many constellations. He used first the lowercase letters, starting with "a", and if needed the uppercase letters, starting with "A", thus deviating somewhat from Bayer's practice. Lacaille used the Latin alphabet three times over in the large constellation Argo Navis, once for each of the three areas that are now the constellations of Carina, Puppis and Vela. That was still insufficient for the number of stars, so he also used uppercase Latin letters such as N Velorum and Q Puppis. Lacaille assigned uppercase letters between R and Z in several constellations, but these have either been dropped to allow the assignment of those letters to variable stars or have actually turned out to be variable. Order by magnitude class. In most constellations, Bayer assigned Greek and Latin letters to stars within a constellation in rough order of apparent brightness, from brightest to dimmest. The order is not necessarily a precise labeling from brightest to dimmest: in Bayer's day stellar brightness could not be measured precisely. Instead, stars were traditionally assigned to one of six magnitude classes (the brightest to first magnitude, the dimmest to sixth), and Bayer typically ordered stars within a constellation by class: all the first-magnitude stars (in some order), followed by all the second-magnitude stars, and so on. Within each magnitude class, Bayer made no attempt to arrange stars by relative brightness. As a result, the brightest star in each class did not always get listed first in Bayer's order—and the brightest star overall did not necessarily get the designation "Alpha". A good example is the constellation Gemini, where Pollux is Beta Geminorum and the slightly dimmer Castor is Alpha Geminorum. In addition, Bayer did not always follow the magnitude class rule; he sometimes assigned letters to stars according to their location within a constellation, or the order of their rising, or to historical or mythological details. Occasionally the order looks quite arbitrary. Of the 88 modern constellations, there are at least 30 in which Alpha is not the brightest star, and four of those lack a star labeled "Alpha" altogether. The constellations with no Alpha-designated star include Vela and Puppis—both formerly part of Argo Navis, whose Greek-letter stars were split among three constellations. Canopus, the former α Argus, is now α Carinae in the modern constellation Carina. Norma's Alpha and Beta were reassigned to Scorpius and re-designated N and H Scorpii respectively, leaving Norma with no Alpha. Francis Baily died before designating an Alpha in Leo Minor, so it also has no Alpha. (The star 46 Leonis Minoris would have been the obvious candidate.) Orion as an example. In Orion, Bayer first designated Betelgeuse and Rigel, the two 1st-magnitude stars (those of magnitude 1.5 or less), as Alpha and Beta from north to south, with Betelgeuse (the shoulder) coming ahead of Rigel (the foot), even though the latter is usually the brighter. (Betelgeuse is a variable star and can at its maximum occasionally outshine Rigel.) Bayer then repeated the procedure for the stars of the 2nd magnitude, labeling them from "gamma" through "zeta" in "top-down" (north-to-south) order. Letters as far as Latin "p" were used for stars of the sixth magnitude. Bayer's miscellaneous labels. Although Bayer did not use uppercase Latin letters (except "A") for "fixed stars", he did use them to label other items shown on his charts, such as neighboring constellations, "temporary stars", miscellaneous astronomical objects, or reference lines like the Tropic of Cancer. In Cygnus, for example, Bayer's fixed stars run through "g", and on this chart Bayer employs "H" through "P" as miscellaneous labels, mostly for neighboring constellations. Bayer did not intend such labels as catalog designations, but some have survived to refer to astronomical objects: P Cygni for example is still used as a designation for Nova Cyg 1600. Tycho's Star (SN 1572), another "temporary star", appears as B Cassiopeiae. In charts for constellations that did not exhaust the Greek letters, Bayer sometimes used the leftover Greek letters for miscellaneous labels as well. Revised designations. Ptolemy designated four stars as "border stars", each shared by two constellations: Alpheratz (in Andromeda and Pegasus), Elnath (in Taurus and Auriga), Nu Boötis (Nu1 and Nu2)(in Boötes and Hercules) and Fomalhaut (in Piscis Austrinus and Aquarius). Bayer assigned the first three of these stars a Greek letter from both constellations: , , and . (He catalogued Fomalhaut only once, as Alpha Piscis Austrini.) When the International Astronomical Union (IAU) assigned definite boundaries to the constellations in 1930, it declared that stars and other celestial objects can belong to only one constellation. Consequently, the redundant second designation in each pair above has dropped out of use. Bayer assigned two stars duplicate names by mistake: (duplicated as ) and (Kappa1 and Kappa2) (duplicated as ). He corrected these in a later atlas, and the duplicate names were no longer used. Other cases of multiple Bayer designations arose when stars named by Bayer in one constellation were transferred by later astronomers to a different constellation. Bayer's Gamma and Omicron Scorpii, for example, were later reassigned from Scorpius to Libra and given the new names Sigma and Upsilon Librae. (To add to the confusion, the star now known as Omicron Scorpii was not named by Bayer but was assigned the designation o Scorpii (Latin lowercase 'o') by Lacaille—which later astronomers misinterpreted as omicron once Bayer's omicron had been reassigned to Libra.) A few stars no longer lie (according to the modern constellation boundaries) within the constellation for which they are named. The proper motion of Rho Aquilae, for example, carried it across the boundary into Delphinus in 1992. A further complication is the use of numeric superscripts to distinguish neighboring stars that Bayer (or a later astronomer) labeled with a common letter. Usually these are double stars (mostly optical doubles rather than true binary stars), but there are some exceptions such as the chain of stars π1, π2, π3, π4, π5 and π6 Orionis. The most stars given the same Bayer designation but with an extra number attached to it is Psi Aurigae. (ψ1, ψ2, ψ3, ψ4, ψ5, ψ6, ψ7, ψ8, ψ9, ψ10, although according to the modern IAU constellation boundaries, ψ10 lies in Lynx).
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https://en.wikipedia.org/wiki?curid=4200
Boötes
Boötes ( ) is a constellation in the northern sky, located between 0° and +60° declination, and 13 and 16 hours of right ascension on the celestial sphere. The name comes from , which comes from 'herdsman' or 'plowman' (literally, 'ox-driver'; from "boûs" 'cow'). One of the 48 constellations described by the 2nd-century astronomer Ptolemy, Boötes is now one of the 88 modern constellations. It contains the fourth-brightest star in the night sky, the orange giant Arcturus. Epsilon Boötis, or Izar, is a colourful multiple star popular with amateur astronomers. Boötes is home to many other bright stars, including eight above the fourth magnitude and an additional 21 above the fifth magnitude, making a total of 29 stars easily visible to the naked eye. History and mythology. In ancient Babylon, the stars of Boötes were known as SHU.PA. They were apparently depicted as the god Enlil, who was the leader of the Babylonian pantheon and special patron of farmers. Boötes may have been represented by the animal foreleg constellation in ancient Egypt, resembling that of an ox sufficiently to have been originally proposed as the "foreleg of ox" by Berio. Homer mentions Boötes in the "Odyssey" as a celestial reference for navigation, describing it as "late-setting" or "slow to set". Exactly whom Boötes is supposed to represent in Greek mythology is not clear. According to one version, he was a son of Demeter, Philomenus, twin brother of Plutus, a plowman who drove the oxen in the constellation Ursa Major. This agrees with the constellation's name. The ancient Greeks saw the asterism now called the "Big Dipper" or "Plough" as a cart with oxen. Some myths say that Boötes invented the plow and was memorialized for his ingenuity as a constellation. Another myth associated with Boötes by Hyginus is that of Icarius, who was schooled as a grape farmer and winemaker by Dionysus. Icarius made wine so strong that those who drank it appeared poisoned, which caused shepherds to avenge their supposedly poisoned friends by killing Icarius. Maera, Icarius' dog, brought his daughter Erigone to her father's body, whereupon both she and the dog died by suicide. Zeus then chose to honor all three by placing them in the sky as constellations: Icarius as Boötes, Erigone as Virgo, and Maera as Canis Major or Canis Minor. Following another reading, the constellation is identified with Arcas and also referred to as Arcas and Arcturus, son of Zeus and Callisto. Arcas was brought up by his maternal grandfather Lycaon, to whom one day Zeus went and had a meal. To verify that the guest was really the king of the gods, Lycaon killed his grandson and prepared a meal made from his flesh. Zeus noticed and became very angry, transforming Lycaon into a wolf and giving life back to his son. In the meantime Callisto had been transformed into a she-bear by Zeus's wife Hera, who was angry at Zeus's infidelity. This is corroborated by the Greek name for Boötes, "Arctophylax", which means "Bear Watcher". Callisto, in the form of a bear was almost killed by her son, who was out hunting. Zeus rescued her, taking her into the sky where she became Ursa Major, "the Great Bear". Arcturus, the name of the constellation's brightest star, comes from the Greek word meaning "guardian of the bear". Sometimes Arcturus is depicted as leading the hunting dogs of nearby Canes Venatici and driving the bears of Ursa Major and Ursa Minor. Several former constellations were formed from stars now included in Boötes. Quadrans Muralis, the Quadrant, was a constellation created near Beta Boötis from faint stars. It was designated in 1795 by Jérôme Lalande, an astronomer who used a quadrant to perform detailed astronometric measurements. Lalande worked with Nicole-Reine Lepaute and others to predict the 1758 return of Halley's Comet. Quadrans Muralis was formed from the stars of eastern Boötes, western Hercules and Draco. It was originally called "Le Mural" by Jean Fortin in his 1795 "Atlas Céleste"; it was not given the name "Quadrans Muralis" until Johann Bode's 1801 "Uranographia". The constellation was quite faint, with its brightest stars reaching the 5th magnitude. Mons Maenalus, representing the Maenalus mountains, was created by Johannes Hevelius in 1687 at the foot of the constellation's figure. The mountain was named for the son of Lycaon, Maenalus. The mountain, one of Diana's hunting grounds, was also holy to Pan. Non-Western astronomy. The stars of Boötes were incorporated into many different Chinese constellations. Arcturus was part of the most prominent of these, variously designated as the celestial king's throne ("Tian Wang") or the Blue Dragon's horn ("Daijiao"); the name "Daijiao", meaning "great horn", is more common. Arcturus was given such importance in Chinese celestial mythology because of its status marking the beginning of the lunar calendar, as well as its status as the brightest star in the northern night sky. Two constellations flanked "Daijiao": "Yousheti" to the right and "Zuosheti" to the left; they represented companions that orchestrated the seasons. "Zuosheti" was formed from modern Zeta, Omicron and Pi Boötis, while "Yousheti" was formed from modern Eta, Tau and Upsilon Boötis. "Dixi", the Emperor's ceremonial banquet mat, was north of Arcturus, consisting of the stars 12, 11 and 9 Boötis. Another northern constellation was "Qigong", the Seven Dukes, which mostly straddled the Boötes-Hercules border. It included either Delta Boötis or Beta Boötis as its terminus. The other Chinese constellations made up of the stars of Boötes existed in the modern constellation's north; they are all representations of weapons. "Tianqiang", the spear, was formed from Iota, Kappa and Theta Boötis; "Genghe", variously representing a lance or shield, was formed from Epsilon, Rho and Sigma Boötis. There were also two weapons made up of a singular star. "Xuange", the halberd, was represented by Lambda Boötis, and "Zhaoyao", either the sword or the spear, was represented by Gamma Boötis. Two Chinese constellations have an uncertain placement in Boötes. "Kangchi", the lake, was placed south of Arcturus, though its specific location is disputed. It may have been placed entirely in Boötes, on either side of the Boötes-Virgo border, or on either side of the Virgo-Libra border. The constellation "Zhouding", a bronze tripod-mounted container used for food, was sometimes cited as the stars 1, 2 and 6 Boötis. However, it has also been associated with three stars in Coma Berenices. Boötes is also known to Native American cultures. In Yup'ik language, Boötes is "Taluyaq", literally "fish trap," and the funnel-shaped part of the fish trap is known as "Ilulirat." Characteristics. Boötes is a constellation bordered by Virgo to the south, Coma Berenices and Canes Venatici to the west, Ursa Major to the northwest, Draco to the northeast, and Hercules, Corona Borealis and Serpens Caput to the east. The three-letter abbreviation for the constellation, as adopted by the International Astronomical Union in 1922, is "Boo". The official constellation boundaries, as set by Belgian astronomer Eugène Delporte in 1930, are defined by a polygon of 16 segments. In the equatorial coordinate system, the right ascension coordinates of these borders lie between and , while the declination coordinates stretch from +7.36° to +55.1°. Covering 907 square degrees, Boötes culminates at midnight around 2 May and ranks 13th in area. Colloquially, its pattern of stars has been likened to a kite or ice cream cone. However, depictions of Boötes have varied historically. Aratus described him circling the north pole, herding the two bears. Later ancient Greek depictions, described by Ptolemy, have him holding the reins of his hunting dogs (Canes Venatici) in his left hand, with a spear, club, or staff in his right hand. After Hevelius introduced Mons Maenalus in 1681, Boötes was often depicted standing on the Peloponnese mountain. By 1801, when Johann Bode published his "Uranographia", Boötes had acquired a sickle, which was also held in his left hand. The placement of Arcturus has also been mutable through the centuries. Traditionally, Arcturus lay between his thighs, as Ptolemy depicted him. However, Germanicus Caesar deviated from this tradition by placing Arcturus "where his garment is fastened by a knot". Features. Stars. In his "Uranometria", Johann Bayer used the Greek letters alpha through to omega and then A to k to label what he saw as the most prominent 35 stars in the constellation, with subsequent astronomers splitting Kappa, Mu, Nu and Pi as two stars each. Nu is also the same star as Psi Herculis. John Flamsteed numbered 54 stars for the constellation. Located 36.7 light-years from Earth, Arcturus, or Alpha Boötis, is the brightest star in Boötes and the fourth-brightest star in the sky at an apparent magnitude of −0.05; It is also the brightest star north of the celestial equator, just shading out Vega and Capella. Its name comes from the Greek for "bear-keeper". An orange giant of spectral class K1.5III, Arcturus is an ageing star that has exhausted its core supply of hydrogen and cooled and expanded to a diameter of 27 solar diameters, equivalent to approximately 32 million kilometers. Though its mass is approximately one solar mass (), Arcturus shines with 133 times the luminosity of the Sun (). Bayer located Arcturus above the Herdman's left knee in his "Uranometria". Nearby Eta Boötis, or Muphrid, is the uppermost star denoting the left leg. It is a 2.68-magnitude star 37 light-years distant with a spectral class of G0IV, indicating it has just exhausted its core hydrogen and is beginning to expand and cool. It is 9 times as luminous as the Sun and has 2.7 times its diameter. Analysis of its spectrum reveals that it is a spectroscopic binary. Muphrid and Arcturus lie only 3.3 light-years away from each other. Viewed from Arcturus, Muphrid would have a visual magnitude of −2½, while Arcturus would be around visual magnitude −4½ when seen from Muphrid. Marking the herdsman's head is Beta Boötis, or Nekkar, a yellow giant of magnitude 3.5 and spectral type G8IIIa. Like Arcturus, it has expanded and cooled off the main sequence—likely to have lived most of its stellar life as a blue-white B-type main sequence star. Its common name comes from the Arabic phrase for "ox-driver". It is 219 light-years away and has a luminosity of . Located 86 light-years distant, Gamma Boötis, or Seginus, is a white giant star of spectral class A7III, with a luminosity 34 times and diameter 3.5 times that of the Sun. It is a Delta Scuti variable, ranging between magnitudes 3.02 and 3.07 every 7 hours. These stars are short period (six hours at most) pulsating stars that have been used as standard candles and as subjects to study asteroseismology. Delta Boötis is a wide double star with a primary of magnitude 3.5 and a secondary of magnitude 7.8. The primary is a yellow giant that has cooled and expanded to 10.4 times the diameter of the Sun. Of spectral class G8IV, it is around 121 light-years away, while the secondary is a yellow main sequence star of spectral type G0V. The two are thought to take 120,000 years to orbit each other. Mu Boötis, known as Alkalurops, is a triple star popular with amateur astronomers. It has an overall magnitude of 4.3 and is 121 light-years away. Its name is from the Arabic phrase for "club" or "staff". The primary appears to be of magnitude 4.3 and is blue-white. The secondary appears to be of magnitude 6.5, but is actually a close double star itself with a primary of magnitude 7.0 and a secondary of magnitude 7.6. The secondary and tertiary stars have an orbital period of 260 years. The primary has an absolute magnitude of 2.6 and is of spectral class F0. The secondary and tertiary stars are separated by 2 arcseconds; the primary and secondary are separated by 109.1 arcseconds at an angle of 171 degrees. Nu Boötis is an optical double star. The primary is an orange giant of magnitude 5.0 and the secondary is a white star of magnitude 5.0. The primary is 870 light-years away and the secondary is 430 light-years. Epsilon Boötis, also known as "Izar" or "Pulcherrima", is a close triple star popular with amateur astronomers and the most prominent binary star in Boötes. The primary is a yellow- or orange-hued magnitude 2.5 giant star, the secondary is a magnitude 4.6 blue-hued main-sequence star, and the tertiary is a magnitude 12.0 star. The system is 210 light-years away. The name "Izar" comes from the Arabic word for "girdle" or "loincloth", referring to its location in the constellation. The name "Pulcherrima" comes from the Latin phrase for "most beautiful", referring to its contrasting colors in a telescope. The primary and secondary stars are separated by 2.9 arcseconds at an angle of 341 degrees; the primary's spectral class is K0 and it has a luminosity of . To the naked eye, Izar has a magnitude of 2.37. Nearby Rho and Sigma Boötis denote the herdsman's waist. Rho is an orange giant of spectral type K3III located around 160 light-years from Earth. It is ever so slightly variable, wavering by 0.003 of a magnitude from its average of 3.57. Sigma, a yellow-white main-sequence star of spectral type F3V, is suspected of varying in brightness from 4.45 to 4.49. It is around 52 light-years distant. Traditionally known as "Aulād al Dhiʼbah" (أولاد الضباع – "aulād al dhiʼb"), "the Whelps of the Hyenas", Theta, Iota, Kappa and Lambda Boötis (or Xuange) are a small group of stars in the far north of the constellation. The magnitude 4.05 Theta Boötis has a spectral type of F7 and an absolute magnitude of 3.8. Iota Boötis is a triple star with a primary of magnitude 4.8 and spectral class of A7, a secondary of magnitude 7.5, and a tertiary of magnitude 12.6. The primary is 97 light-years away. The primary and secondary stars are separated by 38.5 arcseconds, at an angle of 33 degrees. The primary and tertiary stars are separated by 86.7 arcseconds at an angle of 194 degrees. Both the primary and tertiary appear white in a telescope, but the secondary appears yellow-hued. Kappa Boötis is another wide double star. The primary is 155 light-years away and has a magnitude of 4.5. The secondary is 196 light-years away and has a magnitude of 6.6. The two components are separated by 13.4 arcseconds, at an angle of 236 degrees. The primary, with spectral class A7, appears white and the secondary appears bluish. An apparent magnitude 4.18 type A0p star, Lambda Boötis is the prototype of a class of chemically peculiar stars, only some of which pulsate as Delta Scuti-type stars. The distinction between the Lambda Boötis stars as a class of stars with peculiar spectra, and the Delta Scuti stars whose class describes pulsation in low-overtone pressure modes, is an important one. While many Lambda Boötis stars pulsate and are Delta Scuti stars, not many Delta Scuti stars have Lambda Boötis peculiarities, since the Lambda Boötis stars are a much rarer class whose members can be found both inside and outside the Delta Scuti instability strip. Lambda Boötis stars are dwarf stars that can be either spectral class A or F. Like BL Boötis-type stars they are metal-poor. Scientists have had difficulty explaining the characteristics of Lambda Boötis stars, partly because only around 60 confirmed members exist, but also due to heterogeneity in the literature. Lambda has an absolute magnitude of 1.8. There are two dimmer F-type stars, magnitude 4.83 12 Boötis, class F8; and magnitude 4.93 45 Boötis, class F5. Xi Boötis is a G8 yellow dwarf of magnitude 4.55, and absolute magnitude is 5.5. Two dimmer G-type stars are magnitude 4.86 31 Boötis, class G8, and magnitude 4.76 44 Boötis, class G0. Of apparent magnitude 4.06, Upsilon Boötis has a spectral class of K5 and an absolute magnitude of −0.3. Dimmer than Upsilon Boötis is magnitude 4.54 Phi Boötis, with a spectral class of K2 and an absolute magnitude of −0.1. Just slightly dimmer than Phi at magnitude 4.60 is O Boötis, which, like Izar, has a spectral class of K0. O Boötis has an absolute magnitude of 0.2. The other four dim stars are magnitude 4.91 6 Boötis, class K4; magnitude 4.86 20 Boötis, class K3; magnitude 4.81 Omega Boötis, class K4; and magnitude 4.83 A Boötis, class K1. There is one bright B-class star in Boötes; magnitude 4.93 Pi1 Boötis, also called Alazal. It has a spectral class of B9 and is 40 parsecs from Earth. There is also one M-type star, magnitude 4.81 34 Boötis. It is of class gM0. Multiple stars. Besides Pulcherrima and Alkalurops, there are several other binary stars in Boötes: 44 Boötis (i Boötis) is a double variable star 42 light-years away. It has an overall magnitude of 4.8 and appears yellow to the naked eye. The primary is of magnitude 5.3 and the secondary is of magnitude 6.1; their orbital period is 220 years. The secondary is itself an eclipsing variable star with a range of 0.6 magnitudes; its orbital period is 6.4 hours. It is a W Ursae Majoris variable that ranges in magnitude from a minimum of 7.1 to a maximum of 6.5 every 0.27 days. Both stars are G-type stars. Another eclipsing binary star is ZZ Boötis, which has two F2-type components of almost equal mass, and ranges in magnitude from a minimum of 6.79 to a maximum of 7.44 over a period of 5.0 days. Variable stars. Two of the brighter Mira-type variable stars in the constellation are R and S Boötis. Both are red giants that range greatly in magnitude—from 6.2 to 13.1 over 223.4 days, and 7.8 to 13.8 over a period of 270.7 days, respectively. Also red giants, V and W Boötis are semi-regular variable stars that range in magnitude from 7.0 to 12.0 over a period of 258 days, and magnitude 4.7 to 5.4 over 450 days, respectively. BL Boötis is the prototype of its class of pulsating variable stars, the anomalous Cepheids. These stars are somewhat similar to Cepheid variables, but they do not have the same relationship between their period and luminosity. Their periods are similar to RRAB variables; however, they are far brighter than these stars. BL Boötis is a member of the cluster NGC 5466. Anomalous Cepheids are metal poor and have masses not much larger than the Sun's, on average, . BL Boötis type stars are a subtype of RR Lyrae variables. T Boötis was a nova observed in April 1860 at a magnitude of 9.7. It has never been observed since, but that does not preclude the possibility of it being a highly irregular variable star or a recurrent nova. Stars with planetary systems. Extrasolar planets have been discovered encircling ten stars in Boötes as of 2012. Tau Boötis is orbited by a large planet, discovered in 1999. The host star itself is a magnitude 4.5 star of type F7V, 15.6 parsecs from Earth. It has a mass of and a radius of 1.331 solar radii (); a companion, GJ527B, orbits at a distance of 240 AU. Tau Boötis b, the sole planet discovered in the system, orbits at a distance of 0.046 AU every 3.31 days. Discovered through radial velocity measurements, it has a mass of 5.95 Jupiter masses (). This makes it a hot Jupiter. The host star and planet are tidally locked, meaning that the planet's orbit and the star's particularly high rotation are synchronized. Furthermore, a slight variability in the host star's light may be caused by magnetic interactions with the planet. Carbon monoxide is present in the planet's atmosphere. Tau Boötis b does not transit its star, rather, its orbit is inclined 46 degrees. Like Tau Boötis b, HAT-P-4b is also a hot Jupiter. It is noted for orbiting a particularly metal-rich host star and being of low density. Discovered in 2007, HAT-P-4 b has a mass of and a radius of . It orbits every 3.05 days at a distance of 0.04 AU. HAT-P-4, the host star, is an F-type star of magnitude 11.2, 310 parsecs from Earth. It is larger than the Sun, with a mass of and a radius of . Boötes is also home to multiple-planet systems. HD 128311 is the host star for a two-planet system, consisting of HD 128311 b and HD 128311 c, discovered in 2002 and 2005, respectively. HD 128311 b is the smaller planet, with a mass of ; it was discovered through radial velocity observations. It orbits at almost the same distance as Earth, at 1.099 AU; however, its orbital period is significantly longer at 448.6 days. The larger of the two, HD 128311 c, has a mass of and was discovered in the same manner. It orbits every 919 days inclined at 50°, and is 1.76 AU from the host star. The host star, HD 128311, is a K0V-type star located 16.6 parsecs from Earth. It is smaller than the Sun, with a mass of and a radius of ; it also appears below the threshold of naked-eye visibility at an apparent magnitude of 7.51. There are several single-planet systems in Boötes. HD 132406 is a Sun-like star of spectral type G0V with an apparent magnitude of 8.45, 231.5 light-years from Earth. It has a mass of and a radius of . The star is orbited by a gas giant, HD 132406 b, discovered in 2007. HD 132406 orbits 1.98 AU from its host star with a period of 974 days and has a mass of . The planet was discovered by the radial velocity method. HD 131496 is also encircled by one planet, HD 131496 b. The star is of type K0 and is located 110 parsecs from Earth; it appears at a visual magnitude of 7.96. It is significantly larger than the Sun, with a mass of and a radius of 4.6 solar radii. Its one planet, discovered in 2011 by the radial velocity method, has a mass of ; its radius is as yet undetermined. HD 131496 b orbits at a distance of 2.09 AU with a period of 883 days. Another single planetary system in Boötes is the HD 132563 system, a triple star system. The parent star, technically HD 132563B, is a star of magnitude 9.47, 96 parsecs from Earth. It is almost exactly the size of the Sun, with the same radius and a mass only 1% greater. Its planet, HD 132563B b, was discovered in 2011 by the radial velocity method. , it orbits 2.62 AU from its star with a period of 1544 days. Its orbit is somewhat elliptical, with an eccentricity of 0.22. HD 132563B b is one of very few planets found in triple star systems; it orbits the isolated member of the system, which is separated from the other components, a spectroscopic binary, by 400 AU. Also discovered through the radial velocity method, albeit a year earlier, is HD 136418 b, a two-Jupiter-mass planet that orbits the star HD 136418 at a distance of 1.32 AU with a period of 464.3 days. Its host star is a magnitude 7.88 G5-type star, 98.2 parsecs from Earth. It has a radius of and a mass of . WASP-14 b is one of the most massive and dense exoplanets known, with a mass of and a radius of . Discovered via the transit method, it orbits 0.036 AU from its host star with a period of 2.24 days. WASP-14 b has a density of 4.6 grams per cubic centimeter, making it one of the densest exoplanets known. Its host star, WASP-14, is an F5V-type star of magnitude 9.75, 160 parsecs from Earth. It has a radius of and a mass of . It also has a very high proportion of lithium. Deep-sky objects. Boötes is in a part of the celestial sphere facing away from the plane of our home Milky Way galaxy, and so does not have open clusters or nebulae. Instead, it has one bright globular cluster and many faint galaxies. The globular cluster NGC 5466 has an overall magnitude of 9.1 and a diameter of 11 arcminutes. It is a very loose globular cluster with fairly few stars and may appear as a rich, concentrated open cluster in a telescope. NGC 5466 is classified as a Shapley–Sawyer Concentration Class 12 cluster, reflecting its sparsity. Its fairly large diameter means that it has a low surface brightness, so it appears far dimmer than the catalogued magnitude of 9.1 and requires a large amateur telescope to view. Only approximately 12 stars are resolved by an amateur instrument. Boötes has two bright galaxies. NGC 5248 (Caldwell 45) is a type Sc galaxy (a variety of spiral galaxy) of magnitude 10.2. It measures 6.5 by 4.9 arcminutes. Fifty million light-years from Earth, NGC 5248 is a member of the Virgo Cluster of galaxies; it has dim outer arms and obvious H II regions, dust lanes and young star clusters. NGC 5676 is another type Sc galaxy of magnitude 10.9. It measures 3.9 by 2.0 arcminutes. Other galaxies include NGC 5008, a type Sc emission-line galaxy, NGC 5548, a type S Seyfert galaxy, NGC 5653, a type S HII galaxy, NGC 5778 (also classified as NGC 5825), a type E galaxy that is the brightest of its cluster, NGC 5886, and NGC 5888, a type SBb galaxy. NGC 5698 is a barred spiral galaxy, notable for being the host of the 2005 supernova SN 2005bc, which peaked at magnitude 15.3. Further away lies the 250-million-light-year-diameter Boötes Void, a huge space largely empty of galaxies. Discovered by Robert Kirshner and colleagues in 1981, it is roughly 700 million light-years from Earth. Beyond it and within the bounds of the constellation, lie two superclusters at around 830 million and 1 billion light-years distant. The Hercules–Corona Borealis Great Wall, the largest-known structure in the Universe, covers a significant part of Boötes. Meteor showers. Boötes is home to the Quadrantid meteor shower, the most prolific annual meteor shower. It was discovered in January 1835 and named in 1864 by Alexander Herschel. The radiant is located in northern Boötes near Kappa Boötis, in its namesake former constellation of Quadrans Muralis. Quadrantid meteors are dim, but have a peak visible hourly rate of approximately 100 per hour on January 3–4. The zenithal hourly rate of the Quadrantids is approximately 130 meteors per hour at their peak; it is also a very narrow shower. The Quadrantids are notoriously difficult to observe because of a low radiant and often inclement weather. The parent body of the meteor shower has been disputed for decades; however, Peter Jenniskens has proposed 2003 EH1, a minor planet, as the parent. 2003 EH1 may be linked to C/1490 Y1, a comet previously thought to be a potential parent body for the Quadrantids. 2003 EH1 is a short-period comet of the Jupiter family; 500 years ago, it experienced a catastrophic breakup event. It is now dormant. The Quadrantids had notable displays in 1982, 1985 and 2004. Meteors from this shower often appear to have a blue hue and travel at a moderate speed of 41.5–43 kilometers per second. On April 28, 1984, a remarkable outburst of the normally placid Alpha Bootids was observed by visual observer Frank Witte from 00:00 to 2:30 UTC. In a 6 cm telescope, he observed 433 meteors in a field of view near Arcturus with a diameter of less than 1°. Peter Jenniskens comments that this outburst resembled a "typical dust trail crossing". The Alpha Bootids normally begin on April 14, peaking on April 27 and 28, and finishing on May 12. Its meteors are slow-moving, with a velocity of 20.9 kilometers per second. They may be related to Comet 73P/Schwassmann–Wachmann 3, but this connection is only theorized. The June Bootids, also known as the Iota Draconids, is a meteor shower associated with the comet 7P/Pons–Winnecke, first recognized on May 27, 1916, by William F. Denning. The shower, with its slow meteors, was not observed prior to 1916 because Earth did not cross the comet's dust trail until Jupiter perturbed Pons–Winnecke's orbit, causing it to come within of Earth's orbit the first year the June Bootids were observed. In 1982, E. A. Reznikov discovered that the 1916 outburst was caused by material released from the comet in 1819. Another outburst of the June Bootids was not observed until 1998, because Comet Pons–Winnecke's orbit was not in a favorable position. However, on June 27, 1998, an outburst of meteors radiating from Boötes, later confirmed to be associated with Pons-Winnecke, was observed. They were incredibly long-lived, with trails of the brightest meteors lasting several seconds at times. Many fireballs, green-hued trails, and even some meteors that cast shadows were observed throughout the outburst, which had a maximum zenithal hourly rate of 200–300 meteors per hour. Two Russian astronomers determined in 2002 that material ejected from the comet in 1825 was responsible for the 1998 outburst. Ejecta from the comet dating to 1819, 1825 and 1830 was predicted to enter Earth's atmosphere on June 23, 2004. The predictions of a shower less spectacular than the 1998 showing were borne out in a display that had a maximum zenithal hourly rate of 16–20 meteors per hour that night. The June Bootids are not expected to have another outburst in the next 50 years. Typically, only 1–2 dim, very slow meteors are visible per hour; the average June Bootid has a magnitude of 5.0. It is related to the Alpha Draconids and the Bootids-Draconids. The shower lasts from June 27 to July 5, with a peak on the night of June 28. The June Bootids are classified as a class III shower (variable), and has an average entry velocity of 18 kilometers per second. Its radiant is located 7 degrees north of Beta Boötis. The Beta Bootids is a weak shower that begins on January 5, peaks on January 16, and ends on January 18. Its meteors travel at 43 km/s. The January Bootids is a short, young meteor shower that begins on January 9, peaks from January 16 to January 18, and ends on January 18. The Phi Bootids is another weak shower radiating from Boötes. It begins on April 16, peaks on April 30 and May 1, and ends on May 12. Its meteors are slow-moving, with a velocity of 15.1 km/s. They were discovered in 2006. The shower's peak hourly rate can be as high as six meteors per hour. Though named for a star in Boötes, the Phi Bootid radiant has moved into Hercules. The meteor stream is associated with three different asteroids: 1620 Geographos, 2062 Aten and 1978 CA. The Lambda Bootids, part of the Bootid-Coronae Borealid Complex, are a weak annual shower with moderately fast meteors; 41.75 km/s. The complex includes the Lambda Bootids, as well as the Theta Coronae Borealids and Xi Coronae Borealids. All of the Bootid-Coronae Borealid showers are Jupiter family comet showers; the streams in the complex have highly inclined orbits. There are several minor showers in Boötes, some of whose existence is yet to be verified. The Rho Bootids radiate from near the namesake star, and were hypothesized in 2010. The average Rho Bootid has an entry velocity of 43 km/s. It peaks in November and lasts for three days. The Rho Bootid shower is part of the SMA complex, a group of meteor showers related to the Taurids, which is in turn linked to the comet 2P/Encke. However, the link to the Taurid shower remains unconfirmed and may be a chance correlation. Another such shower is the Gamma Bootids, which were hypothesized in 2006. Gamma Bootids have an entry velocity of 50.3 km/s. The Nu Bootids, hypothesized in 2012, have faster meteors, with an entry velocity of 62.8 km/s. References. Citations References
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Bernardino Ochino
Bernardino Ochino (1487–1564) was an Italian, who was raised a Roman Catholic and later turned to Protestantism and became a Protestant reformer. Biography. Bernardino Ochino was born in Siena, the son of the barber Domenico Ochino, and at the age of 7 or 8, in around 1504, was entrusted to the order of Franciscan Friars. From 1510 he studied medicine at Perugia. Transfer to the Capuchins. At the age of 38, Ochino transferred himself in 1534 to the newly founded Order of Friars Minor Capuchin. By then he was the close friend of Juan de Valdés, Pietro Bembo, Vittoria Colonna, Pietro Martire, and Carnesecchi. In 1538 he was elected vicar-general of his order. In 1539, urged by Bembo, he visited Venice and delivered a course of sermons showing a sympathy with justification by faith, which appeared more clearly in his "Dialogues" published the same year. He was suspected and denounced, but nothing ensued until the establishment of the Inquisition in Rome in June 1542, at the instigation of Cardinal Giovanni Pietro Carafa. Ochino received a citation to Rome, and set out to obey it about the middle of August. According to his own statement, he was deterred from presenting himself at Rome by the warnings of Cardinal Contarini, whom he found at Bologna, allegedly dying of poison administered by the reactionary party. Escape to Geneva. Ochino turned aside to Florence, and after some hesitation went across the Alps to Geneva. He was cordially received by John Calvin, and published within two years several volumes of "Prediche", controversial tracts rationalizing his change of religion. He also addressed replies to marchioness Vittoria Colonna, Claudio Tolomei, and other Italian sympathizers who were reluctant to go to the same length as himself. His own breach with the Roman Catholic Church was final. Augsburg and England. In 1545 Ochino became minister of the Italian Protestant congregation at Augsburg. From this time dates his contact with Caspar Schwenckfeld. In 1546 he participated in the anti-Trinitarian Collegia Vicentina. He was compelled to flee from Augsburg when, in January 1547, the city was occupied by the imperial forces for the Diet of Augsburg. Ochino found asylum in England, where he was made a prebendary of Canterbury Cathedral, received a pension from Edward VI's privy purse, and composed his major work, the "Tragoedie or Dialoge of the unjuste usurped primacie of the Bishop of Rome". This text, originally written in Latin, is extant only in the 1549 translation of Bishop John Ponet. The form is a series of dialogues. Lucifer, enraged at the spread of Jesus's kingdom, convokes the fiends in council, and resolves to set up the pope as antichrist. The state, represented by the emperor Phocas, is persuaded to connive at the pope's assumption of spiritual authority; the other churches are intimidated into acquiescence; Lucifer's projects seem fully accomplished, when Heaven raises up Henry VIII of England and his son for their overthrow. Several of Ochino's "Prediche" were translated into English by Anna Cooke; and he published numerous controversial treatises on the Continent. Ochino's "Che Cosa è Christo" was translated into Latin and English by the future Queen Elizabeth I of England in 1547. Zürich. In 1553 the accession of Mary I drove Ochino from England. He went to Basel, where Lelio Sozzini and the lawyer Martino Muralto were sent to secure Ochino as pastor of the Italian church at Zurich, which Ochino accepted. The Italian congregation there was composed mainly of refugees from Locarno. There for 10 years Ochino wrote books which gave increasing evidence of his alienation from the orthodoxy around him. The most important of these was the "Labyrinth", a discussion of the freedom of the will, covertly undermining the Calvinistic doctrine of predestination. In 1563 a long simmering storm burst on Ochino with the publication of his "Thirty Dialogues", in one of which his adversaries maintained that he had justified polygamy under the disguise of a pretended refutation. His dialogues on divorce and against the Trinity were also considered heretical. Poland, and death. Ochino was not given opportunity to defend himself, and was banished from Zürich. After being refused admission by other Protestant cities, he directed his steps towards Poland, at that time the most tolerant state in Europe. He had not resided there long when an edict appeared (August 8, 1564) banishing all foreign dissidents. Fleeing the country, he encountered the plague at Pińczów; three of his four children were carried off; and he himself, worn out by misfortune, died in solitude and obscurity at Slavkov in Moravia, about the end of 1564. Legacy. Ochino's reputation among Protestants was low. He was charged by Thomas Browne in 1643 with the authorship of the legendary-apocryphal heretical treatise "De tribus Impostoribus", as well as with having carried his alleged approval of polygamy into practice. His biographer Karl Benrath justified him, representing him as a fervent evangelist and at the same time as a speculative thinker with a passion for free inquiry. The picture is of Ochino always learning and unlearning and arguing out difficult questions with himself in his dialogues, frequently without attaining to any absolute conviction.
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Bay of Quinte
The Bay of Quinte () is a long, narrow bay shaped like the letter "Z" on the northern shore of Lake Ontario in the province of Ontario, Canada. It is just west of the head of the Saint Lawrence River that drains the Great Lakes into the Gulf of Saint Lawrence. It is located about east of Toronto and west of Montreal. The name "Quinte" is derived from "Kenté" or Kentio, an Iroquoian village located near the south shore of the Bay. Later on, an early French Catholic mission was built at Kenté, located on the north shore of what is now Prince Edward County, leading to the Bay being named after the Mission. Officially, in the Mohawk language, the community is called , which means "the place of the bay". The Cayuga name is or , "land of two logs." The Bay, as it is known locally, provides some of the best trophy walleye angling in North America as well as most sport fish common to the great lakes. The bay is subject to algal blooms in late summer. Zebra mussels as well as the other invasive species found in the Great Lakes are present. The Quinte area played a vital role in bootlegging during prohibition in the United States, with large volumes of liquor being produced in the area, and shipped via boat on the bay to Lake Ontario finally arriving in New York State where it was distributed. Prohibition-era illegal sales of liquor accounted for many fortunes made in and around Belleville. Tourism in the area is significant, especially in the summer months due to the Bay of Quinte and its fishing, local golf courses, provincial parks, and wineries. Geography. The northern side of the bay is defined by Ontario's mainland, while the southern side follows the shore of the Prince Edward County headland. Beginning in the east with the outlet to Lake Ontario, the bay runs west-southwest for to Picton (although this section is also called Adolphus Reach), where it turns north-northwest for another as far as Deseronto. From there it turns south-southwest again for another , running past Big Island on the south and Belleville on the north. The width of the bay rarely exceeds . The bay ends at Trenton (Quinte West) and the Trent River, both also on the north side. The Murray Canal has been cut through the "Carrying Place", the few kilometres separating the end of the bay and Lake Ontario on the west side. The Trent River is part of the Trent-Severn Waterway, a canal connecting Lake Ontario to Lake Simcoe and then Georgian Bay on Lake Huron. There are several sub-bays off the Bay of Quinte, including Hay Bay, Big Bay, and Muscote Bay. Bay of Quinte Region. Quinte is also a region comprising several communities situated along the Bay of Quinte, including Quinte West, Brighton and the City of Belleville, which is the largest city in the Quinte Region, and represents a midpoint between Montreal, Ottawa, and Toronto. The Greater Bay of Quinte area includes the municipalities of Brighton, Quinte West, Belleville, Prince Edward County, and Greater Napanee as well as the Native Tyendinaga Mohawk Territory. Overall population of the area exceeds 200,000. Mohawks of the Bay of Quinte. The Mohawks of the Bay of Quinte (Kenhtè:ke Kanyen'kehá:ka) live on traditional Tyendinaga Mohawk Territory. Their reserve Band number 244, their current land base, is on the Bay of Quinte in southeastern Ontario east of Belleville and immediately to the west of Deseronto. The community takes its name from a variant spelling of Mohawk leader Joseph Brant's traditional Mohawk name, Thayendanegea (standardized spelling Thayentiné:ken), which means 'two pieces of fire wood beside each other'. Officially, in the Mohawk language, the community is called "Kenhtè:ke" (Tyendinaga), which means "on the bay", and was the birthplace of Tekanawí:ta. The Cayuga name is Tyendinaga, "Tayęda:ne:gęˀ or Detgayę:da:negęˀ", "land of two logs." Education. The Quinte Region, specifically the City of Belleville, is home to Loyalist College of Applied Arts and Technology. Other post-secondary schools in the region include Maxwell College of Advanced Technology, CDI College, and Quinte Literacy. Secondary schools in the region include Albert College (private school) and Sir James Whitney (a school for the deaf and severely hearing-impaired). Industry and employment. The Bay of Quinte region is a hub for industry in eastern Ontario. The region is home to a diverse cluster of domestic and multi-national manufacturing and logistics companies. Sectors include; food processing, auto-parts, plastics and packaging, consumer goods, and more. The region's close proximity to North American markets, strong labour force and start-up and operating costs have attracted attention and new investment from companies all over the globe. Industry in the Bay of Quinte region is supported by a workforce of over 11,000. Investment attraction and industrial retention are supported regionally by the Quinte Economic Development Commission. Just a few of over 350 industries located in the Bay of Quinte Region include:
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Bassoon
The bassoon is a musical instrument in the woodwind family, which plays in the tenor and bass ranges. It is composed of six pieces, and is usually made of wood. It is known for its distinctive tone color, wide range, versatility, and virtuosity. It is a non-transposing instrument and typically its music is written in the bass and tenor clefs, and sometimes in the treble. There are two forms of modern bassoon: the Buffet (or French) and Heckel (or German) systems. It is typically played while sitting using a seat strap, but can be played while standing if the player has a harness to hold the instrument. Sound is produced by rolling both lips over the reed and blowing direct air pressure to cause the reed to vibrate. Its fingering system can be quite complex when compared to those of other instruments. Appearing in its modern form in the 19th century, the bassoon figures prominently in orchestral, concert band, and chamber music literature, and is occasionally heard in pop, rock, and jazz settings as well. One who plays a bassoon is called a bassoonist. Etymology. The word bassoon comes from French and from Italian ( with the augmentative suffix ), both terms that refer to the version of any instrument in a bass register. The term for bassoon used in classical music scores and parts is often its Italian name (plural ), which referred initially to the dulcian. This word, adopted in many other European languages as , , or in German, , comes from an Old French word meaning a bundle of sticks. Characteristics. Range. The range of the bassoon begins at B1 (the first one below the bass staff) and extends upward over three octaves, roughly to the G above the treble staff (G5). However, most writing for bassoon rarely calls for notes above C5 or D5; even Stravinsky's opening solo in "The Rite of Spring" only ascends to D5. Notes higher than this are possible, but seldom written, as they are difficult to produce (often requiring specific reed design features to ensure reliability), and at any rate are quite homogeneous in timbre to the same pitches on the cor anglais, which can produce them with relative ease. French bassoon has greater facility in the extreme high register, and so repertoire written for it is somewhat likelier to include very high notes, although repertoire for French system can be executed on German system without alterations and vice versa. The extensive high register of the bassoon and its frequent role as a lyric tenor have meant that tenor clef is very commonly employed in its literature after the Baroque, partly to avoid excessive ledger lines, and, beginning in the 20th century, treble clef is also seen for similar reasons. Like other woodwind instruments, the lowest note is fixed, but A1 is possible with a special extension to the instrument—see "Extended techniques" below. Although the primary tone hole pitches are a pitched perfect 5th lower than other non-transposing Western woodwinds (effectively an octave beneath English horn) the bassoon is non-transposing, meaning that notes sounded match the written pitch. Construction. The bassoon disassembles into six main pieces, including the reed. The bell (6), extending upward; the bass joint (or long joint) (5), connecting the bell and the boot; the boot (or butt) (4), at the bottom of the instrument and folding over on itself; the wing joint (or tenor joint) (3), which extends from boot to bocal; and the bocal (or crook) (2), a crooked metal tube that attaches the wing joint to a reed (1) (). Structure. The bore of the bassoon is conical, like that of the oboe and the saxophone, and the two adjoining bores of the boot joint are connected at the bottom of the instrument with a U-shaped metal connector. Both bore and tone holes are precision-machined, and each instrument is finished by hand for proper tuning. The walls of the bassoon are thicker at various points along the bore; here, the tone holes are drilled at an angle to the axis of the bore, which reduces the distance between the holes on the exterior. This ensures coverage by the fingers of the average adult hand. Playing is facilitated by closing the distance between the widely spaced holes with a complex system of key work, which extends throughout nearly the entire length of the instrument. The overall height of the bassoon stretches to tall, but the total sounding length is considering that the tube is doubled back on itself. There are also short-reach bassoons made for the benefit of young or petite players. Materials. A modern beginner's bassoon is generally made of maple, with medium-hardness types such as sycamore maple and sugar maple preferred. Less-expensive models are also made of materials such as polypropylene and ebonite, primarily for student and outdoor use. Metal bassoons were made in the past but have not been produced by any major manufacturer since 1889. Double Reeds. The art of reed-making has been practiced for several hundred years, some of the earliest known reeds having been made for the dulcian, a predecessor of the bassoon. Current methods of reed-making consist of a set of basic methods; however, individual bassoonists' playing styles vary greatly and thus require that reeds be customized to best suit their respective bassoonist. Advanced players usually make their own reeds to this end. With regards to commercially made reeds, many companies and individuals offer pre-made reeds for sale, but players often find that such reeds still require adjustments to suit their particular playing style. Modern bassoon reeds, made of "Arundo donax" cane, are often made by the players themselves, although beginner bassoonists tend to buy their reeds from professional reed makers or use reeds made by their teachers. Reeds begin with a length of tube cane that is split into three or four pieces using a tool called a cane splitter. The cane is then trimmed and "gouged" to the desired thickness, leaving the bark attached. After soaking, the gouged cane is cut to the proper shape and milled to the desired thickness, or "profiled", by removing material from the bark side. This can be done by hand with a file; more frequently it is done with a machine or tool designed for the purpose. After the profiled cane has soaked once again it is folded over in the middle. Prior to soaking, the reed maker will have lightly scored the bark with parallel lines with a knife; this ensures that the cane will assume a cylindrical shape during the forming stage. On the bark portion, the reed maker binds on one, two, or three coils or loops of brass wire to aid in the final forming process. The exact placement of these loops can vary somewhat depending on the reed maker. The bound reed blank is then wrapped with thick cotton or linen thread to protect it, and a conical steel mandrel (which sometimes has been heated in a flame) is quickly inserted in between the blades. Using a special pair of pliers, the reed maker presses down the cane, making it conform to the shape of the mandrel. (The steam generated by the heated mandrel causes the cane to permanently assume the shape of the mandrel.) The upper portion of the cavity thus created is called the "throat", and its shape has an influence on the final playing characteristics of the reed. The lower, mostly cylindrical portion will be reamed out with a special tool called a reamer, allowing the reed to fit on the bocal. After the reed has dried, the wires are tightened around the reed, which has shrunk after drying, or replaced completely. The lower part is sealed (a nitrocellulose-based cement such as Duco may be used) and then wrapped with thread to ensure both that no air leaks out through the bottom of the reed and that the reed maintains its shape. The wrapping itself is often sealed with Duco or clear nail varnish (polish). Electrical tape can also be used as a wrapping for amateur reed makers. The bulge in the wrapping is sometimes referred to as the "Turk's head"—it serves as a convenient handle when inserting the reed on the bocal. Alternatively, hot glue, epoxy, or heat shrink wrap may be used to seal the tube of the reed. The thread wrapping (commonly known as a "Turban" due to the criss-crossing fabric) is still more common in commercially sold reeds. To finish the reed, the end of the reed blank, originally at the center of the unfolded piece of cane, is cut off, creating an opening. The blades above the first wire are now roughly long. For the reed to play, a slight bevel must be created at the tip with a knife, although there is also a machine that can perform this function. Other adjustments with the reed knife may be necessary, depending on the hardness, the profile of the cane, and the requirements of the player. The reed opening may also need to be adjusted by squeezing either the first or second wire with the pliers. Additional material may be removed from the sides (the "channels") or tip to balance the reed. Additionally, if the "e" in the bass clef staff is sagging in pitch, it may be necessary to "clip" the reed by removing from its length using a pair of very sharp scissors or the equivalent. History. Origin. Music historians generally consider the dulcian to be the forerunner of the modern bassoon, as the two instruments share many characteristics: a double reed fitted to a metal crook, obliquely drilled tone holes and a conical bore that doubles back on itself. The origins of the dulcian are obscure, but by the mid-16th century it was available in as many as eight different sizes, from soprano to great bass. A full consort of dulcians was a rarity; its primary function seems to have been to provide the bass in the typical wind band of the time, either loud (shawms) or soft (recorders), indicating a remarkable ability to vary dynamics to suit the need. Otherwise, dulcian technique was rather primitive, with eight finger holes and two keys, indicating that it could play in only a limited number of key signatures. Circumstantial evidence indicates that the baroque bassoon was a newly invented instrument, rather than a simple modification of the old dulcian. The dulcian was not immediately supplanted, but continued to be used well into the 18th century by Bach and others; and, presumably for reasons of interchangeability, repertoire from this time is very unlikely to go beyond the smaller compass of the dulcian. The man most likely responsible for developing the true bassoon was Martin Hotteterre (1712), who may also have invented the three-piece "flûte traversière" (transverse flute) and the "hautbois" (baroque oboe). Some historians believe that sometime in the 1650s, Hotteterre conceived the bassoon in four sections (bell, bass joint, boot and wing joint), an arrangement that allowed greater accuracy in machining the bore compared to the one-piece dulcian. He also extended the compass down to B by adding two keys. An alternate view maintains Hotteterre was one of several craftsmen responsible for the development of the early bassoon. These may have included additional members of the Hotteterre family, as well as other French makers active around the same time. No original French bassoon from this period survives, but if it did, it would most likely resemble the earliest extant bassoons of Johann Christoph Denner and Richard Haka from the 1680s. Sometime around 1700, a fourth key (G♯) was added, and it was for this type of instrument that composers such as Antonio Vivaldi, Bach, and Georg Philipp Telemann wrote their demanding music. A fifth key, for the low E, was added during the first half of the 18th century. Notable makers of the 4-key and 5-key baroque bassoon include J.H. Eichentopf (), J. Poerschmann (1680–1757), Thomas Stanesby Jr. (1668–1734), G.H. Scherer (1703–1778), and Prudent Thieriot (1732–1786). Modern configuration. Increasing demands on capabilities of instruments and players in the 19th century—particularly larger concert halls requiring greater volume and the rise of virtuoso composer-performers—spurred further refinement. Increased sophistication, both in manufacturing techniques and acoustical knowledge, made possible great improvements in the instrument's playability. The modern bassoon exists in two distinct primary forms, the Buffet (or "French") system and the Heckel ("German") system. Most of the world plays the Heckel system, while the Buffet system is primarily played in France, Belgium, and parts of Latin America. A number of other types of bassoons have been constructed by various instrument makers, such as the rare Galandronome. Owing to the ubiquity of the Heckel system in English-speaking countries, references in English to the contemporary bassoon always mean the Heckel system, with the Buffet system being explicitly qualified where it appears. Heckel (German) system. The design of the modern bassoon owes a great deal to the performer, teacher, and composer Carl Almenräder. Assisted by the German acoustic researcher Gottfried Weber, he developed the 17-key bassoon with a range spanning four octaves. Almenräder's improvements to the bassoon began with an 1823 treatise describing ways of improving intonation, response, and technical ease of playing by augmenting and rearranging the keywork. Subsequent articles further developed his ideas. His employment at Schott gave him the freedom to construct and test instruments according to these new designs, and he published the results in "Caecilia", Schott's house journal. Almenräder continued publishing and building instruments until his death in 1846, and Ludwig van Beethoven himself requested one of the newly made instruments after hearing of the papers. In 1831, Almenräder left Schott to start his own factory with a partner, Johann Adam Heckel. Heckel and two generations of descendants continued to refine the bassoon, and their instruments became the standard, with other makers following. Because of their superior singing tone quality (an improvement upon one of the main drawbacks of the Almenräder instruments), the Heckel instruments competed for prominence with the reformed Wiener system, a Boehm-style bassoon, and a completely keyed instrument devised by Charles-Joseph Sax, father of Adolphe Sax. F.W. Kruspe implemented a latecomer attempt in 1893 to reform the fingering system, but it failed to catch on. Other attempts to improve the instrument included a 24-keyed model and a single-reed mouthpiece, but both these had adverse effects on tone and were abandoned. Coming into the 20th century, the Heckel-style German model of bassoon dominated the field. Heckel himself had made over 1,100 instruments by the turn of the 20th century (serial numbers begin at 3,000), and the British makers' instruments were no longer desirable for the changing pitch requirements of the symphony orchestra, remaining primarily in military band use. Except for a brief 1940s wartime conversion to ball bearing manufacture, the Heckel concern has produced instruments continuously to the present day. Heckel bassoons are considered by many to be the best, although a range of Heckel-style instruments is available from several other manufacturers, all with slightly different playing characteristics. Because its mechanism is primitive compared to most modern woodwinds, makers have occasionally attempted to "reinvent" the bassoon. In the 1960s, Giles Brindley began to develop what he called the "logical bassoon", which aimed to improve intonation and evenness of tone through use of an electrically activated mechanism, making possible key combinations too complex for the human hand to manage. Brindley's logical bassoon was never marketed. Buffet (French) system. The Buffet system bassoon achieved its basic acoustical properties somewhat earlier than the Heckel. Thereafter, it continued to develop in a more conservative manner. While the early history of the Heckel bassoon included a complete overhaul of the instrument in both acoustics and key work, the development of the Buffet system consisted primarily of incremental improvements to the key work. This minimalist approach of the Buffet deprived it of improved consistency of intonation, ease of operation, and increased power, which is found in Heckel bassoons, but the Buffet is considered by some to have a more vocal and expressive quality. The conductor John Foulds lamented in 1934 the dominance of the Heckel-style bassoon, considering them too homogeneous in sound with the horn. The modern Buffet system has 22 keys with its range being the same as the Heckel; although Buffet instruments have greater facility in the upper registers, reaching E5 and F5 with far greater ease and less air resistance. Compared to the Heckel bassoon, Buffet system bassoons have a narrower bore and simpler mechanism, requiring different, and often more complex fingerings for many notes. Switching between Heckel and Buffet, or vice versa, requires extensive retraining. French woodwind instruments' tone in general exhibits a certain amount of "edge", with more of a vocal quality than is usual elsewhere, and the Buffet bassoon is no exception. This sound has been utilised effectively in writing for Buffet bassoon, but is less inclined to blend than the tone of the Heckel bassoon. As with all bassoons, the tone varies considerably, depending on individual instrument, reed, and performer. In the hands of a lesser player, the Heckel bassoon can sound flat and woody, but good players succeed in producing a vibrant, singing tone. Conversely, a poorly played Buffet can sound buzzy and nasal, but good players succeed in producing a warm, expressive sound. Though the United Kingdom once favored the French system, Buffet-system instruments are no longer made there and the last prominent British player of the French system retired in the 1980s. However, with continued use in some regions and its distinctive tone, the Buffet continues to have a place in modern bassoon playing, particularly in France, where it originated. Buffet-model bassoons are currently made in Paris by Buffet Crampon and the atelier Ducasse (Romainville, France). The Selmer Company stopped fabrication of French system bassoons around the year 2012. Some players, for example the late Gerald Corey in Canada, have learned to play both types and will alternate between them depending on the repertoire. Use in ensembles. Ensembles prior to the 20th century. Pre-1760. Prior to 1760, the early ancestor of the bassoon was the dulcian. It was used to reinforce the bass line in wind ensembles called consorts. However, its use in concert orchestras was sporadic until the late 17th century when double reeds began to make their way into standard instrumentation. Increasing use of the dulcian as a "basso continuo" instrument meant that it began to be included in opera orchestras, in works such as those by Reinhard Keiser and Jean-Baptiste Lully. Meanwhile, as the dulcian advanced technologically and was able to achieve more virtuosity, composers such as Joseph Bodin de Boismortier, Johann Ernst Galliard, Johann Friedrich Fasch and Georg Philipp Telemann wrote demanding solo and ensemble music for the instrument. Antonio Vivaldi brought it to prominence by featuring it in thirty-nine concerti. c. 1760–1830. While the bassoon was still often used to give clarity to the bassline due to its sonorous low register, the capabilities of wind instruments grew as technology advanced during the Classical era. This allowed the instrument to play in more keys than the dulcian. Joseph Haydn took advantage of this in his Symphony No. 45 ("Farewell Symphony"), in which the bassoon plays in F-sharp minor. Following with these advances, composers also began to exploit the bassoon for its unique color, flexibility, and virtuosic ability, rather than for its perfunctory ability to double the bass line. Those who did this include Ludwig van Beethoven in his three Duos for Clarinet and Bassoon (WoO 27) for clarinet and bassoon and Niccolo Paganini in his duets for violin and bassoon. In his Bassoon Concerto in B-flat major, K. 191, W. A. Mozart utilized all aspects of the bassoon's expressiveness with its contrasts in register, staccato playing, and expressive sound, and was especially noted for its singing quality in the second movement. This concerto is often considered one of the most important works in all of the bassoon's repertoire, even today. The bassoon's similarity to the human voice, in addition to its newfound virtuosic ability, was another quality many composers took advantage of during the classical era. After 1730, the German bassoon's range expended up to B♭4, and much higher with the French instrument. Technological advances also caused the bassoon's tenor register sound to become more resonant, and playing in this register grew in popularity, especially in the Austro-Germanic musical world. Pedagogues such as Josef Frohlich instructed students to practice scales, thirds, and fourths as vocal students would. In 1829, he wrote that the bassoon was capable of expressing "the worthy, the virile, the solemn, the great, the sublime, composure, mildness, intimacy, emotion, longing, heartfulness, reverence, and soulful ardour." In G.F. Brandt's performance of Carl Maria von Weber's Concerto for Bassoon in F Major, Op. 75 (J. 127) it was also likened to the human voice. In France, Pierre Cugnier described the bassoon's role as encompassing not only the bass part, but also to accompany the voice and harp, play in pairs with clarinets and horns in Harmonie, and to play in "nearly all types of music," including concerti, which were much more common than the sonatas of the previous era. Both Cugnier and Étienne Ozi emphasized the importance of the bassoon's similarity to the singing voice. The role of the bassoon in the orchestra varied depending on the country. In the Viennese orchestra the instrument offered a three-dimensional sound to the ensemble by doubling other instruments such as violins, as heard in Mozart's overture to "The Marriage of Figaro", K 492. where it plays a rather technical part alongside the strings. He also wrote for the bassoon to change its timbre depending on which instrument it was paired with; warmer with clarinets, hollow with flutes, and dark and dignified with violins. In Germany and Scandinavian countries, orchestras typically featured only two bassoons. But in France, orchestras increased the number to four in the latter half of the nineteenth century. In England, the bassoonist's role varied depending on the ensemble. Johann Christian Bach wrote two concertos for solo bassoon, and it also appeared in more supportive roles such as accompanying church choirs after the Puritan revolution destroyed most church organs. In the American colonies, the bassoon was typically seen in a chamber setting. After the Revolutionary War, bassoonists were found in wind bands that gave public performances. By 1800, there was at least one bassoon in the United States Marine Band. In South America, the bassoon also appeared in small orchestras, bands, and military musique (similar to Harmonie ensembles). c. 1830–1900. The role of the bassoon during the Romantic era varied between a role as a supportive bass instrument and a role as a virtuosic, expressive, solo instrument. In fact, it was very much considered an instrument that could be used in almost any circumstance. The comparison of the bassoon's sound to the human voice continued on during this time, as much of the pedagogy surrounded emulating this sound. Giuseppe Verdi used the instrument's lyrical, singing voice to evoke emotion in pieces such as his "Messa da Requiem". Eugène Jancourt compared the use of vibrato on the bassoon to that of singers, and Luigi Orselli wrote that the bassoon blended well with human voice. He also noted the function of the bassoon in the French orchestra at the time, which served to support the sound of the viola, reinforce staccato sound, and double the bass, clarinet, flute, and oboe. Emphasis also began to be placed on the unique sound of the bassoon's staccato, which might be described as quite short and aggressive, such as in Hector Berlioz's "Symphonie fantastique, Op. 14" in the fifth movement. Paul Dukas utilized the staccato to depict the image of two brooms coming to life in "The Sorcerer's Apprentice." It was common for there to be only two bassoons in German orchestras. Austrian and British military bands also only carried two bassoons, and were mainly used for accompaniment and offbeat playing. In France, Hector Berlioz also made it fashionable to use more than two bassoons; he often scored for three or four, and at time wrote for up to eight such as in his "l'Impériale". At this point, composers expected bassoons to be as virtuosic as the other wind instruments, as they often wrote solos challenging the range and technique of the instrument. Examples of this include Nikolai Rimsky-Korsakov's bassoon solo and cadenza following the clarinet in "Sheherazade," Op. 35 and in Richard Wagner's "Tannhäuser", which required the bassoonist to triple tongue and also play up to the top of its range at an E5. Wagner also used the bassoon for its staccato ability in his work, and often wrote his three bassoon parts in thirds to evoke a darker sound with noticeable tone color. In Modest Mussorgsky's "Night on Bald Mountain", the bassoons play fortissimo alongside other bass instruments in order to evoke "the voice of the Devil." 20th and 21st century ensembles. At this point in time, the development of the bassoon slowed. Rather than making large leaps in technological improvements, tiny imperfections in the instrument's function were corrected. The instrument became quite versatile throughout the twentieth century; the instrument was at this point able to play three octaves, a variety of different trills, and maintained stable intonation across all registers and dynamic levels. The pedagogy among bassoonists varied among different countries, and so the overall instrument itself played a variety of roles. As was a common theme in previous eras, the bassoon was valued by composers for its unique voice, and its use rose higher in pitch. A famous example of this is the beginning of Igor Stravinsky's "Rite of Spring" in which the bassoon plays in its highest register in order to mimic the Ukrainian Dentsivka. Composers also wrote for the bassoon's middle register, such as in Stravinsky's "Berceuse" in The "Firebird" and Symphony No. 5 in E-flat major, Op. 82 by Jean Sibelius. They also continued to highlight the staccato sound of the bassoon, as heard in Sergei Prokofiev's "Humorous Scherzo". In Sergei Prokofiev's Peter and the Wolf, the part of the grandfather is played by the bassoon. In orchestral settings, most orchestras from the beginning of the twentieth century to the present have three or four bassoonists, with the fourth typically covering contrabassoon as well. Greater emphasis on the use of timbre, vibrato, and phrasing began to appear in bassoon pedagogy, and many followed Marcel Tabuteau's philosophy on musical phrasing. Vibrato began to be used in ensemble playing, depending on the phrasing of the music. The bassoon was, and currently is, expected to be fluent with other woodwinds in terms of virtuosity and technique. Examples of this include the cadenza for bassoons in Maurice Ravel's "Rapsodie espagnole" and the multi-finger trills used in Stravinsky's Octet. In the twentieth century, the bassoon was less of a concerto soloist, and when it was, the accompanying ensemble was made softer and quieter. In addition, it was no longer used in marching bands, though still existed in concert bands with one or two of them. Orchestral repertoire remained very much the same Austro-Germanic tradition throughout most Western countries. It mostly appeared in solo, chamber, and symphonic settings. By the mid-1900s, broadcasting and recording grew in popularity, allowing for new opportunities for bassoonists, and leading to a slow decline of live performances. Much of the new music for bassoon in the late twentieth and early twenty-first centuries, often included extended techniques and was written for solo or chamber settings. One piece that included extended techniques was Luciano Berio's "Sequenza XII", which called for microtonal fingerings, glissandos, and timbral trills. Double and triple tonguing, flutter tonguing, multiphonics, quarter-tones, and singing are all utilized in Bruno Bartolozzi's "Concertazioni." There were also a variety of concerti and bassoon and piano pieces written, such as John Williams's "Five Sacred Trees" and André Previn's "Sonata for bassoon and piano". There were also "performance" pieces such as Peter Schickele's "Sonata Abassoonata", which required the bassoonist to be both a musician and an actor. The bassoon quartet became prominent at this time, with pieces such as Daniel Dorff's "It Takes Four to Tango". Jazz. The bassoon is infrequently used as a jazz instrument and rarely seen in a jazz ensemble. It first began appearing in the 1920s, when Garvin Bushell began incorporating the bassoon in his performances. Specific calls for its use occurred in Paul Whiteman's group, the unusual octets of Alec Wilder, and a few other session appearances. The next few decades saw the instrument used only sporadically, as symphonic jazz fell out of favor, but the 1960s saw artists such as Yusef Lateef and Chick Corea incorporate bassoon into their recordings. Lateef's diverse and eclectic instrumentation saw the bassoon as a natural addition (see, e.g., "The Centaur and the Phoenix" (1960) which features bassoon as part of a 6-man horn section, including a few solos) while Corea employed the bassoon in combination with flautist Hubert Laws. More recently, Illinois Jacquet, Ray Pizzi, Frank Tiberi, and Marshall Allen have both doubled on bassoon in addition to their saxophone performances. Bassoonist Karen Borca, a performer of free jazz, is one of the few jazz musicians to play only bassoon; Michael Rabinowitz, the Spanish bassoonist Javier Abad, and James Lassen, an American resident in Bergen, Norway, are others. Katherine Young plays the bassoon in the ensembles of Anthony Braxton. Lindsay Cooper, Paul Hanson, the Brazilian bassoonist Alexandre Silvério, Trent Jacobs and Daniel Smith are also currently using the bassoon in jazz. French bassoonists Jean-Jacques Decreux and Alexandre Ouzounoff have both recorded jazz, exploiting the flexibility of the Buffet system instrument to good effect. Popular music. In conjunction with the use of electronic pickups and amplification, the instrument began to be used more somewhat in jazz and rock settings. However, the bassoon is still quite rare as a regular member of rock bands. Several 1960s pop music hits feature the bassoon, including "The Tears of a Clown" by Smokey Robinson and the Miracles (the bassoonist was Charles R. Sirard), "Jennifer Juniper" by Donovan, "59th Street Bridge Song" by Harpers Bizarre, and the oompah bassoon underlying The New Vaudeville Band's "Winchester Cathedral". From 1974 to 1978, the bassoon was played by Lindsay Cooper in the British avant-garde band Henry Cow. The Leonard Nimoy song "The Ballad of Bilbo Baggins" features the bassoon. In the 1970s it was played, in the British medieval/progressive rock band Gryphon, by Brian Gulland, as well as by the American band Ambrosia, where it was played by drummer Burleigh Drummond. The Belgian Rock in Opposition-band Univers Zero is also known for its use of the bassoon. More recently, These New Puritans's 2010 album "Hidden" makes heavy use of the instrument throughout; their principal songwriter, Jack Barnett, claimed repeatedly to be "writing a lot of music for bassoon" in the run-up to its recording. The rock band Better Than Ezra took their name from a passage in Ernest Hemingway's "A Moveable Feast" in which the author comments that listening to an annoyingly talkative person is still "better than Ezra learning how to play the bassoon", referring to Ezra Pound. British psychedelic/progressive rock band Knifeworld features the bassoon playing of Chloe Herrington, who also plays for experimental chamber rock orchestra Chrome Hoof. Fiona Apple featured the bassoon in the opening track of her 2004 album "Extraordinary Machine". In 2016, the bassoon was featured on the album "Gang Signs and Prayers" by UK "grime" artist Stormzy. Played by UK bassoonist Louise Watson, the bassoon is heard in the tracks "Cold" and "Mr Skeng" as a complement to the electronic synthesizer bass lines typically found in this genre. Appearance in Television. The Cartoon Network animated series "Over the Garden Wall" features a bassoon in episode 6 entitled "Lullaby in Frogland", where the main character is encouraged to play the bassoon to impress a group of frogs. The character Jan Bellows in the Hulu series "Only Murders in the Building" is a professional bassoonist. Technique. The bassoon is held diagonally in front of the player, but unlike the flute, oboe and clarinet, it cannot be easily supported by the player's hands alone. Some means of additional support is usually required; the most common ones are a seat strap attached to the base of the boot joint, which is laid across the chair seat prior to sitting down, or a neck strap or shoulder harness attached to the top of the boot joint. Occasionally a spike similar to those used for the cello or the bass clarinet is attached to the bottom of the boot joint and rests on the floor. It is possible to play while standing up if the player uses a neck strap or similar harness, or if the seat strap is tied to the belt. Sometimes a device called a "balance hanger" is used when playing in a standing position. This is installed between the instrument and the neck strap, and shifts the point of support closer to the center of gravity, adjusting the distribution of weight between the two hands. The bassoon is played with both hands in a stationary position, the left above the right, with five main finger holes on the front of the instrument (nearest the audience) plus a sixth that is activated by an open-standing key. Five additional keys on the front are controlled by the little fingers of each hand. The back of the instrument (nearest the player) has twelve or more keys to be controlled by the thumbs, the exact number varying depending on model. To stabilize the right hand, many bassoonists use an adjustable comma-shaped apparatus called a "crutch", or a hand rest, which mounts to the boot joint. The crutch is secured with a thumb screw, which also allows the distance that it protrudes from the bassoon to be adjusted. Players rest the curve of the right hand where the thumb joins the palm against the crutch. The crutch also keeps the right hand from tiring and enables the player to keep the finger pads flat on the finger holes and keys. An aspect of bassoon technique not found on any other woodwind is called "flicking". It involves the left hand thumb momentarily pressing, or "flicking" the high A, C and D keys at the beginning of certain notes in the middle octave to achieve a clean slur from a lower note. This eliminates cracking, or brief multiphonics that happens without the use of this technique. Alternatively, a similar method is called "venting", which requires that the register key be used as part of the full fingering as opposed to being open momentarily at the start of the note. This is sometimes called the "European style"; venting raises the intonation of the notes slightly, and it can be advantageous when tuning to higher frequencies. Some bassoonists flick A and B when tongued, for clarity of articulation, but flicking (or venting) is practically ubiquitous for slurs. While flicking is used to slur up to higher notes, the whisper key is used for lower notes. From the A right below middle C and lower, the whisper key is pressed with the left thumb and held for the duration of the note. This prevents cracking, as low notes can sometimes crack into a higher octave. Both flicking and using the whisper key is especially important to ensure notes speak properly during slurring between high and low registers. While bassoons are usually critically tuned at the factory, the player nonetheless has a great degree of flexibility of pitch control through the use of breath support, embouchure, and reed profile. Players can also use alternate fingerings to adjust the pitch of many notes. Similar to other woodwind instruments, the length of the bassoon can be increased to lower pitch or decreased to raise pitch. On the bassoon, this is done preferably by changing the bocal to one of a different length, (lengths are denoted by a number on the bocal, usually starting at 0 for the shortest length, and 3 for the longest, but there are some manufacturers who will use other numbers) but it is possible to push the bocal in or out slightly to grossly adjust the pitch. Embouchure and sound production. The bassoon embouchure is a very important aspect of producing a full, round, and rich sound on the instrument. The lips are both rolled over the teeth, often with the upper lip further along in an "overbite". The lips provide micromuscular pressure on the entire circumference of the reed, which grossly controls intonation and harmonic excitement, and thus must be constantly modulated with every change of note. How far along the reed the lips are placed affects both tone (with less reed in the mouth making the sound more edged or "reedy", and more reed making it smooth and less projectile) and the way the reed will respond to pressure. The musculature employed in a bassoon embouchure is primarily around the lips, which pressure the reed into the shapes needed for the desired sound. The jaw is raised or lowered to adjust the oral cavity for better reed control, but the jaw muscles are used much less for upward vertical pressure than in single reeds, only being substantially employed in the very high register. However, double reed students often "bite" the reed with these muscles because the control and tone of the labial and other muscles is still developing, but this generally makes the sound sharp and "choked" as it contracts the aperture of the reed and stifles the vibration of its blades. Apart from the embouchure proper, students must also develop substantial muscle tone and control in the diaphragm, throat, neck and upper chest, which are all employed to increase and direct air pressure. Air pressure is a very important aspect of the tone, intonation and projection of double reed instruments, affecting these qualities as much, or more than the embouchure does. Attacking a note on the bassoon with imprecise amounts of muscle or air pressure for the desired pitch will result in poor intonation, cracking or multiphonics, accidentally producing the incorrect partial, or the reed not speaking at all. These problems are compounded by the individual qualities of reeds, which are categorically inconsistent in behaviour for inherent and exherent reasons. The muscle requirements and variability of reeds mean it takes some time for bassoonists (and oboists) to develop an embouchure that exhibits consistent control across all reeds, dynamics and playing environments. Modern fingering. The fingering technique of the bassoon varies more between players, by a wide margin, than that of any other orchestral woodwind. The complex mechanism and acoustics mean the bassoon lacks simple fingerings of good sound quality or intonation for some notes (especially in the higher range), but, conversely, there is a great variety of superior, but generally more complicated, fingerings for them. Typically, the simpler fingerings for such notes are used as alternate or trill fingerings, and the bassoonist will use as "full fingering" one or several of the more complex executions possible, for optimal sound quality. The fingerings used are at the discretion of the bassoonist, and, for particular passages, he or she may experiment to find new alternate fingerings that are thus idiomatic to the player. These elements have resulted in both "full" and alternate fingerings differing extensively between bassoonists, and are further informed by factors such as cultural difference in what sound is sought, how reeds are made, and regional variation in tuning frequencies (necessitating sharper or flatter fingerings). Regional enclaves of bassoonists tend to have some uniformity in technique, but on a global scale, technique differs such that two given bassoonists may share no fingerings for certain notes. Owing to these factors, ubiquitous bassoon technique can only be partially notated. The left thumb operates nine keys: B1, B1, C2, D2, D5, C5 (also B4), two keys when combined create A4, and the whisper key. The whisper key should be held down for notes between and including F2 and G3 and certain other notes; it can be omitted, but the pitch will destabilise. Additional notes can be created with the left thumb keys; the D2 and bottom key above the whisper key on the tenor joint (C key) together create both C3 and C4. The same bottom tenor-joint key is also used, with additional fingering, to create E5 and F5. D5 and C5 together create C5. When the two keys on the tenor joint to create A4 are used with slightly altered fingering on the boot joint, B4 is created. The whisper key may also be used at certain points throughout the instrument's high register, along with other fingerings, to alter sound quality as desired. The right thumb operates four keys. The uppermost key is used to produce B2 and B3, and may be used in B4,F4, C5, D5, F5, and E5. The large circular key, otherwise known as the "pancake key", is held down for all the lowest notes from E2 down to B1. It is also used, like the whisper key, in additional fingerings for muting the sound. For example, in Ravel's "Boléro", the bassoon is asked to play the ostinato on G4. This is easy to perform with the normal fingering for G4, but Ravel directs that the player should also depress the E2 key (pancake key) to mute the sound (this being written with Buffet system in mind; the G fingering on which involves the Bb key – sometimes called "French" G on Heckel). The next key operated by the right thumb is known as the "spatula key": its primary use is to produce F2 and F3. The lowermost key is used less often: it is used to produce A2 (G2) and A3 (G3), in a manner that avoids sliding the right fourth finger from another note. The four fingers of the left hand can each be used in two different positions. The key normally operated by the index finger is primarily used for E5, also serving for trills in the lower register. Its main assignment is the upper tone hole. This hole can be closed fully, or partially by rolling down the finger. This half-holing technique is used to overblow F3, G3 and G3. The middle finger typically stays on the centre hole on the tenor joint. It can also move to a lever used for E5, also a trill key. The ring finger operates, on most models, one key. Some bassoons have an alternate E key above the tone hole, predominantly for trills, but many do not. The smallest finger operates two side keys on the bass joint. The lower key is typically used for C2, but can be used for muting or flattening notes in the tenor register. The upper key is used for E2, E4, F4, F4, A4, B4, B4, C5, C5, and D5; it flattens G3 and is the standard fingering for it in many places that tune to lower Hertz levels such as A440. The four fingers of the right hand have at least one assignment each. The index finger stays over one hole, except that when E5 is played a side key at the top of the boot is used (this key also provides a C3 trill, albeit sharp on D). The middle finger remains stationary over the hole with a ring around it, and this ring and other pads are lifted when the smallest finger on the right hand pushes a lever. The ring finger typically remains stationary on the lower ring-finger key. However, the upper ring-finger key can be used, typically for B2 and B3, in place of the top thumb key on the front of the boot joint; this key comes from the oboe, and some bassoons do not have it because the thumb fingering is practically universal. The smallest finger operates three keys. The backmost one, closest to the bassoonist, is held down throughout most of the bass register. F4 may be created with this key, as well as G4, B4, B4, and C5 (the latter three employing solely it to flatten and stabilise the pitch). The lowest key for the smallest finger on the right hand is primarily used for A2 (G2) and A3 (G3) but can be used to improve D5, E5, and F5. The frontmost key is used, in addition to the thumb key, to create G2 and G3; on many bassoons this key operates a different tone hole to the thumb key and produces a slightly flatter F ("duplicated F"); some techniques use one as standard for both octaves and the other for utility, but others use the thumb key for the lower and the fourth finger for the higher. Extended techniques. Many extended techniques can be performed on the bassoon, such as multiphonics, flutter-tonguing, circular breathing, double tonguing, and harmonics. In the case of the bassoon, flutter-tonguing may be accomplished by "gargling" in the back of the throat as well as by the conventional method of rolling Rs. Multiphonics on the bassoon are plentiful, and can be achieved by using particular alternative fingerings, but are generally heavily influenced by embouchure position. Also, again using certain fingerings, notes may be produced on the instrument that sound lower pitches than the actual range of the instrument. These notes tend to sound very gravelly and out of tune, but technically sound below the low B. The bassoonist may also produce lower notes than the bottom B by extending the length of bell. This can be achieved by inserting a specially made "low A extension" into the bell, but may also be achieved with a small paper or rubber tube or a clarinet/cor anglais bell sitting inside the bassoon bell (although the note may tend sharp). The effect of this is to convert the lower B into a lower note, almost always A natural; this broadly lowers the pitch of the instrument (most noticeably in the lower register) and will often accordingly convert the lowest B to B (and render the neighbouring C very flat). The idea of using low A was begun by Richard Wagner, who wanted to extend the range of the bassoon. Many passages in his later operas require the low A as well as the B-flat immediately above it; this is possible on a normal bassoon using an extension which also flattens low B to B, but all extensions to the bell have significant effects on intonation and sound quality in the bottom register of the instrument, and passages such as this are more often realised with comparative ease by the contrabassoon. Some bassoons have been specially made to allow bassoonists to realize similar passages. These bassoons are made with a "Wagner bell" which is an extended bell with a key for both the low A and the low B-flat, but they are not widespread; bassoons with Wagner bells suffer similar intonational problems as a bassoon with an ordinary A extension, and a bassoon must be constructed specifically to accommodate one, making the extension option far less complicated. Extending the bassoon's range even lower than the A, though possible, would have even stronger effects on pitch and make the instrument effectively unusable. Despite the logistic difficulties of the note, Wagner was not the only composer to write the low A. Another composer who has required the bassoon to be chromatic down to low A is Gustav Mahler. Richard Strauss also calls for the low A in his opera "Intermezzo". Some works have optional low As, as in Carl Nielsen's Wind Quintet, op. 43, which includes an optional low A for the final cadence of the work. Learning the bassoon. The complex fingering system and the expense and lack of access to quality bassoon reeds can make the bassoon more of a challenge to learn than some of the other woodwind instruments. Cost is another factor in a person's decision to pursue the bassoon. Prices may range from US$7,000 to over $45,000 for a high-quality instrument. In North America, schoolchildren may take up bassoon only after starting on another reed instrument, such as clarinet or saxophone. Students in America often begin to pursue the study of bassoon performance and technique in the middle years of their music education, often in association with their school band program. Students are often provided with a school instrument and encouraged to pursue lessons with private instructors. Students typically receive instruction in proper posture, hand position, embouchure, repertoire, and tone production.
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Bipedalism
Bipedalism is a form of terrestrial locomotion where an animal moves by means of its two rear (or lower) limbs or legs. An animal or machine that usually moves in a bipedal manner is known as a biped , meaning 'two feet' (from Latin "bis" 'double' and "pes" 'foot'). Types of bipedal movement include walking or running (a bipedal gait) and hopping. Several groups of modern species are habitual bipeds whose normal method of locomotion is two-legged. In the Triassic period some groups of archosaurs (a group that includes crocodiles and dinosaurs) developed bipedalism; among the dinosaurs, all the early forms and many later groups were habitual or exclusive bipeds; the birds are members of a clade of exclusively bipedal dinosaurs, the theropods. Within mammals, habitual bipedalism has evolved multiple times, with the macropods, kangaroo rats and mice, springhare, hopping mice, pangolins and hominin apes (australopithecines, including humans) as well as various other extinct groups evolving the trait independently. A larger number of modern species intermittently or briefly use a bipedal gait. Several lizard species move bipedally when running, usually to escape from threats. Many primate and bear species will adopt a bipedal gait in order to reach food or explore their environment, though there are a few cases where they walk on their hind limbs only. Several arboreal primate species, such as gibbons and indriids, exclusively walk on two legs during the brief periods they spend on the ground. Many animals rear up on their hind legs while fighting or copulating. Some animals commonly stand on their hind legs to reach food, keep watch, threaten a competitor or predator, or pose in courtship, but do not move bipedally. Etymology. The word is derived from the Latin words "bi(s)" 'two' and "ped-" 'foot', as contrasted with quadruped 'four feet'. Advantages. Limited and exclusive bipedalism can offer a species several advantages. Bipedalism raises the head; this allows a greater field of vision with improved detection of distant dangers or resources, access to deeper water for wading animals and allows the animals to reach higher food sources with their mouths. While upright, non-locomotory limbs become free for other uses, including manipulation (in primates and rodents), flight (in birds), digging (in the giant pangolin), combat (in bears, great apes and the large monitor lizard) or camouflage. The maximum bipedal speed appears slower than the maximum speed of quadrupedal movement with a flexible backbone – both the ostrich and the red kangaroo can reach speeds of , while the cheetah can exceed . Even though bipedalism is slower at first, over long distances, it has allowed humans to outrun most other animals according to the endurance running hypothesis. Bipedality in kangaroo rats has been hypothesized to improve locomotor performance, which could aid in escaping from predators. Facultative and obligate bipedalism. Zoologists often label behaviors, including bipedalism, as "facultative" (i.e. optional) or "obligate" (the animal has no reasonable alternative). Even this distinction is not completely clear-cut — for example, humans other than infants normally walk and run in biped fashion, but almost all can crawl on hands and knees when necessary. There are even reports of humans who normally walk on all fours with their feet but not their knees on the ground, but these cases are a result of conditions such as Uner Tan syndrome — very rare genetic neurological disorders rather than normal behavior. Even if one ignores exceptions caused by some kind of injury or illness, there are many unclear cases, including the fact that "normal" humans can crawl on hands and knees. This article therefore avoids the terms "facultative" and "obligate", and focuses on the range of styles of locomotion "normally" used by various groups of animals. Normal humans may be considered "obligate" bipeds because the alternatives are very uncomfortable and usually only resorted to when walking is impossible. Movement. There are a number of states of movement commonly associated with bipedalism. Bipedal animals. The great majority of living terrestrial vertebrates are quadrupeds, with bipedalism exhibited by only a handful of living groups. Humans, gibbons and large birds walk by raising one foot at a time. On the other hand, most macropods, smaller birds, lemurs and bipedal rodents move by hopping on both legs simultaneously. Tree kangaroos are able to walk or hop, most commonly alternating feet when moving arboreally and hopping on both feet simultaneously when on the ground. Extant reptiles. Many species of lizards become bipedal during high-speed, sprint locomotion, including the world's fastest lizard, the spiny-tailed iguana (genus "Ctenosaura"). Early reptiles and lizards. The first known biped is the bolosaurid "Eudibamus" whose fossils date from 290 million years ago. Its long hind-legs, short forelegs, and distinctive joints all suggest bipedalism. The species became extinct in the early Permian. Archosaurs (includes crocodilians and dinosaurs). Birds. All birds are bipeds, as is the case for all theropod dinosaurs. However, hoatzin chicks have claws on their wings which they use for climbing. Other archosaurs. Bipedalism evolved more than once in archosaurs, the group that includes both dinosaurs and crocodilians. All dinosaurs are thought to be descended from a fully bipedal ancestor, perhaps similar to "Eoraptor". Dinosaurs diverged from their archosaur ancestors approximately 230 million years ago during the Middle to Late Triassic period, roughly 20 million years after the Permian-Triassic extinction event wiped out an estimated 95 percent of all life on Earth. Radiometric dating of fossils from the early dinosaur genus "Eoraptor" establishes its presence in the fossil record at this time. Paleontologists suspect "Eoraptor" resembles the common ancestor of all dinosaurs; if this is true, its traits suggest that the first dinosaurs were small, bipedal predators. The discovery of primitive, dinosaur-like ornithodirans such as "Marasuchus" and "Lagerpeton" in Argentinian Middle Triassic strata supports this view; analysis of recovered fossils suggests that these animals were indeed small, bipedal predators. Bipedal movement also re-evolved in a number of other dinosaur lineages such as the iguanodonts. Some extinct members of Pseudosuchia, a sister group to the avemetatarsalians (the group including dinosaurs and relatives), also evolved bipedal forms – a poposauroid from the Triassic, "Effigia okeeffeae", is thought to have been bipedal. Pterosaurs were previously thought to have been bipedal, but recent trackways have all shown quadrupedal locomotion. Mammals. A number of groups of extant mammals have independently evolved bipedalism as their main form of locomotion for example, humans, ground pangolins, the extinct giant ground sloths, numerous species of jumping rodents and macropods. Humans, as their bipedalism has been extensively studied, are documented in the next section. Macropods are believed to have evolved bipedal hopping only once in their evolution, at some time no later than 45 million years ago. Bipedal movement is less common among mammals, most of which are quadrupedal. All primates possess some bipedal ability, though most species primarily use quadrupedal locomotion on land. Primates aside, the macropods (kangaroos, wallabies and their relatives), kangaroo rats and mice, hopping mice and springhare move bipedally by hopping. Very few non-primate mammals commonly move bipedally with an alternating leg gait. Exceptions are the ground pangolin and in some circumstances the tree kangaroo. One black bear, Pedals, became famous locally and on the internet for having a frequent bipedal gait, although this is attributed to injuries on the bear's front paws. A two-legged fox was filmed in a Derbyshire garden in 2023, most likely having been born that way. Primates. Most bipedal animals move with their backs close to horizontal, using a long tail to balance the weight of their bodies. The primate version of bipedalism is unusual because the back is close to upright (completely upright in humans), and the tail may be absent entirely. Many primates can stand upright on their hind legs without any support. Chimpanzees, bonobos, gorillas, gibbons and baboons exhibit forms of bipedalism. On the ground sifakas move like all indrids with bipedal sideways hopping movements of the hind legs, holding their forelimbs up for balance. Geladas, although usually quadrupedal, will sometimes move between adjacent feeding patches with a squatting, shuffling bipedal form of locomotion. However, they can only do so for brief amounts, as their bodies are not adapted for constant bipedal locomotion. Humans are the only primates who are normally biped, due to an extra curve in the spine (i.e. the lumbar lordosis) which shifts the center of gravity more dorsally and thus stabilizes the upright position, as well as shorter arms relative to the legs than is the case for the nonhuman great apes. The evolution of human bipedalism began in primates about four million years ago, or as early as seven million years ago with "Sahelanthropus" or about 12 million years ago with "Danuvius guggenmosi". One hypothesis for human bipedalism is that it evolved as a result of differentially successful survival from carrying food to share with group members, although there are alternative hypotheses. Injured chimpanzees and bonobos have been capable of sustained bipedalism. Three captive primates, one macaque Natasha and two chimps, Oliver and Poko (chimpanzee), were found to move bipedally. Natasha switched to exclusive bipedalism after an illness, while Poko was discovered in captivity in a tall, narrow cage. Oliver reverted to knuckle-walking after developing arthritis. Non-human primates often use bipedal locomotion when carrying food, or while moving through shallow water. Limited bipedalism. Limited bipedalism in mammals. Other mammals engage in limited, non-locomotory, bipedalism. A number of other animals, such as rats, raccoons, and beavers will squat on their hindlegs to manipulate some objects but revert to four limbs when moving (the beaver will move bipedally if transporting wood for their dams, as will the raccoon when holding food). Bears will fight in a bipedal stance to use their forelegs as weapons. A number of mammals will adopt a bipedal stance in specific situations such as for feeding or fighting. Ground squirrels and meerkats will stand on hind legs to survey their surroundings, but will not walk bipedally. Dogs (e.g. Faith) can stand or move on two legs if trained, or if birth defect or injury precludes quadrupedalism. The gerenuk antelope stands on its hind legs while eating from trees, as did the extinct giant ground sloth and chalicotheres. The spotted skunk will walk on its front legs when threatened, rearing up on its front legs while facing the attacker so that its anal glands, capable of spraying an offensive oil, face its attacker. Limited bipedalism in non-mammals (and non-birds). Bipedalism is unknown among the amphibians. Among the non-archosaur reptiles bipedalism is rare, but it is found in the "reared-up" running of lizards such as agamids and monitor lizards. Many reptile species will also temporarily adopt bipedalism while fighting. One genus of basilisk lizard can run bipedally across the surface of water for some distance. Among arthropods, cockroaches are known to move bipedally at high speeds. Bipedalism is rarely found outside terrestrial animals, though at least two species of octopus walk bipedally on the sea floor using two of their arms, allowing the remaining arms to be used to camouflage the octopus as a mat of algae or a floating coconut. Evolution of human bipedalism. There are at least twelve distinct hypotheses as to how and why bipedalism evolved in humans, and also some debate as to when. Bipedalism evolved well before the large human brain or the development of stone tools. Bipedal specializations are found in "Australopithecus" fossils from 4.2 to 3.9 million years ago and recent studies have suggested that obligate bipedal hominid species were present as early as 7 million years ago. Nonetheless, the evolution of bipedalism was accompanied by significant evolutions in the spine including the forward movement in position of the foramen magnum, where the spinal cord leaves the cranium. Recent evidence regarding modern human sexual dimorphism (physical differences between male and female) in the lumbar spine has been seen in pre-modern primates such as "Australopithecus africanus". This dimorphism has been seen as an evolutionary adaptation of females to bear lumbar load better during pregnancy, an adaptation that non-bipedal primates would not need to make. Adapting bipedalism would have required less shoulder stability, which allowed the shoulder and other limbs to become more independent of each other and adapt for specific suspensory behaviors. In addition to the change in shoulder stability, changing locomotion would have increased the demand for shoulder mobility, which would have propelled the evolution of bipedalism forward. The different hypotheses are not necessarily mutually exclusive and a number of selective forces may have acted together to lead to human bipedalism. It is important to distinguish between adaptations for bipedalism and adaptations for running, which came later still. The form and function of modern-day humans' upper bodies appear to have evolved from living in a more forested setting. Living in this kind of environment would have made it so that being able to travel arboreally would have been advantageous at the time. Although different to human walking, bipedal locomotion in trees was thought to be advantageous. It has also been proposed that, like some modern-day apes, early hominins had undergone a knuckle-walking stage prior to adapting the back limbs for bipedality while retaining forearms capable of grasping. Numerous causes for the evolution of human bipedalism involve freeing the hands for carrying and using tools, sexual dimorphism in provisioning, changes in climate and environment (from jungle to savanna) that favored a more elevated eye-position, and to reduce the amount of skin exposed to the tropical sun. It is possible that bipedalism provided a variety of benefits to the hominin species, and scientists have suggested multiple reasons for evolution of human bipedalism. There is also not only the question of why the earliest hominins were partially bipedal but also why hominins became more bipedal over time. For example, the postural feeding hypothesis describes how the earliest hominins became bipedal for the benefit of reaching food in trees while the savanna-based theory describes how the late hominins that started to settle on the ground became increasingly bipedal. Multiple factors. Napier (1963) argued that it is unlikely that a single factor drove the evolution of bipedalism. He stated "It seems unlikely that any single factor was responsible for such a dramatic change in behaviour. In addition to the advantages of accruing from ability to carry objects – food or otherwise – the improvement of the visual range and the freeing of the hands for purposes of defence and offence may equally have played their part as catalysts." Sigmon (1971) demonstrated that chimpanzees exhibit bipedalism in different contexts, and one single factor should be used to explain bipedalism: preadaptation for human bipedalism. Day (1986) emphasized three major pressures that drove evolution of bipedalism: food acquisition, predator avoidance, and reproductive success. Ko (2015) stated that there are two main questions regarding bipedalism 1. Why were the earliest hominins partially bipedal? and 2. Why did hominins become more bipedal over time? He argued that these questions can be answered with combination of prominent theories such as Savanna-based, Postural feeding, and Provisioning. Savannah-based theory. According to the Savanna-based theory, hominines came down from the tree's branches and adapted to life on the savanna by walking erect on two feet. The theory suggests that early hominids were forced to adapt to bipedal locomotion on the open savanna after they left the trees. One of the proposed mechanisms was the knuckle-walking hypothesis, which states that human ancestors used quadrupedal locomotion on the savanna, as evidenced by morphological characteristics found in "Australopithecus anamensis" and "Australopithecus afarensis" forelimbs, and that it is less parsimonious to assume that knuckle walking developed twice in genera "Pan" and "Gorilla" instead of evolving it once as synapomorphy for "Pan" and "Gorilla" before losing it in Australopithecus. The evolution of an orthograde posture would have been very helpful on a savanna as it would allow the ability to look over tall grasses in order to watch out for predators, or terrestrially hunt and sneak up on prey. It was also suggested in P. E. Wheeler's "The evolution of bipedality and loss of functional body hair in hominids", that a possible advantage of bipedalism in the savanna was reducing the amount of surface area of the body exposed to the sun, helping regulate body temperature. In fact, Elizabeth Vrba's turnover pulse hypothesis supports the savanna-based theory by explaining the shrinking of forested areas due to global warming and cooling, which forced animals out into the open grasslands and caused the need for hominids to acquire bipedality. Others state hominines had already achieved the bipedal adaptation that was used in the savanna. The fossil evidence reveals that early bipedal hominins were still adapted to climbing trees at the time they were also walking upright. It is possible that bipedalism evolved in the trees, and was later applied to the savanna as a vestigial trait. Humans and orangutans are both unique to a bipedal reactive adaptation when climbing on thin branches, in which they have increased hip and knee extension in relation to the diameter of the branch, which can increase an arboreal feeding range and can be attributed to a convergent evolution of bipedalism evolving in arboreal environments. Hominine fossils found in dry grassland environments led anthropologists to believe hominines lived, slept, walked upright, and died only in those environments because no hominine fossils were found in forested areas. However, fossilization is a rare occurrence—the conditions must be just right in order for an organism that dies to become fossilized for somebody to find later, which is also a rare occurrence. The fact that no hominine fossils were found in forests does not ultimately lead to the conclusion that no hominines ever died there. The convenience of the savanna-based theory caused this point to be overlooked for over a hundred years. Some of the fossils found actually showed that there was still an adaptation to arboreal life. For example, Lucy, the famous "Australopithecus afarensis", found in Hadar in Ethiopia, which may have been forested at the time of Lucy's death, had curved fingers that would still give her the ability to grasp tree branches, but she walked bipedally. "Little Foot", a nearly-complete specimen of "Australopithecus africanus", has a divergent big toe as well as the ankle strength to walk upright. "Little Foot" could grasp things using his feet like an ape, perhaps tree branches, and he was bipedal. Ancient pollen found in the soil in the locations in which these fossils were found suggest that the area used to be much more wet and covered in thick vegetation and has only recently become the arid desert it is now. Traveling efficiency hypothesis. An alternative explanation is that the mixture of savanna and scattered forests increased terrestrial travel by proto-humans between clusters of trees, and bipedalism offered greater efficiency for long-distance travel between these clusters than quadrupedalism. In an experiment monitoring chimpanzee metabolic rate via oxygen consumption, it was found that the quadrupedal and bipedal energy costs were very similar, implying that this transition in early ape-like ancestors would not have been very difficult or energetically costing. This increased travel efficiency is likely to have been selected for as it assisted foraging across widely dispersed resources. Postural feeding hypothesis. The postural feeding hypothesis has been recently supported by Dr. Kevin Hunt, a professor at Indiana University. This hypothesis asserts that chimpanzees were only bipedal when they eat. While on the ground, they would reach up for fruit hanging from small trees and while in trees, bipedalism was used to reach up to grab for an overhead branch. These bipedal movements may have evolved into regular habits because they were so convenient in obtaining food. Also, Hunt's hypotheses states that these movements coevolved with chimpanzee arm-hanging, as this movement was very effective and efficient in harvesting food. When analyzing fossil anatomy, "Australopithecus afarensis" has very similar features of the hand and shoulder to the chimpanzee, which indicates hanging arms. Also, the "Australopithecus" hip and hind limb very clearly indicate bipedalism, but these fossils also indicate very inefficient locomotive movement when compared to humans. For this reason, Hunt argues that bipedalism evolved more as a terrestrial feeding posture than as a walking posture. A related study conducted by University of Birmingham, Professor Susannah Thorpe examined the most arboreal great ape, the orangutan, holding onto supporting branches in order to navigate branches that were too flexible or unstable otherwise. In more than 75 percent of observations, the orangutans used their forelimbs to stabilize themselves while navigating thinner branches. Increased fragmentation of forests where A. afarensis as well as other ancestors of modern humans and other apes resided could have contributed to this increase of bipedalism in order to navigate the diminishing forests. Findings also could shed light on discrepancies observed in the anatomy of A. afarensis, such as the ankle joint, which allowed it to "wobble" and long, highly flexible forelimbs. If bipedalism started from upright navigation in trees, it could explain both increased flexibility in the ankle as well as long forelimbs which grab hold of branches. Provisioning model. One theory on the origin of bipedalism is the behavioral model presented by C. Owen Lovejoy, known as "male provisioning". Lovejoy theorizes that the evolution of bipedalism was linked to monogamy. In the face of long inter-birth intervals and low reproductive rates typical of the apes, early hominids engaged in pair-bonding that enabled greater parental effort directed towards rearing offspring. Lovejoy proposes that male provisioning of food would improve the offspring survivorship and increase the pair's reproductive rate. Thus the male would leave his mate and offspring to search for food and return carrying the food in his arms walking on his legs. This model is supported by the reduction ("feminization") of the male canine teeth in early hominids such as "Sahelanthropus tchadensis" and "Ardipithecus ramidus", which along with low body size dimorphism in "Ardipithecus" and "Australopithecus", suggests a reduction in inter-male antagonistic behavior in early hominids. In addition, this model is supported by a number of modern human traits associated with concealed ovulation (permanently enlarged breasts, lack of sexual swelling) and low sperm competition (moderate sized testes, low sperm mid-piece volume) that argues against recent adaptation to a polygynous reproductive system. However, this model has been debated, as others have argued that early bipedal hominids were instead polygynous. Among most monogamous primates, males and females are about the same size. That is sexual dimorphism is minimal, and other studies have suggested that "Australopithecus afarensis" males were nearly twice the weight of females. However, Lovejoy's model posits that the larger range a provisioning male would have to cover (to avoid competing with the female for resources she could attain herself) would select for increased male body size to limit predation risk. Furthermore, as the species became more bipedal, specialized feet would prevent the infant from conveniently clinging to the mother hampering the mother's freedom and thus make her and her offspring more dependent on resources collected by others. Modern monogamous primates such as gibbons tend to be also territorial, but fossil evidence indicates that "Australopithecus afarensis" lived in large groups. However, while both gibbons and hominids have reduced canine sexual dimorphism, female gibbons enlarge ('masculinize') their canines so they can actively share in the defense of their home territory. Instead, the reduction of the male hominid canine is consistent with reduced inter-male aggression in a pair-bonded though group living primate. Early bipedalism in homininae model. Recent studies of 4.4 million years old "Ardipithecus ramidus" suggest bipedalism. It is thus possible that bipedalism evolved very early in homininae and was reduced in chimpanzee and gorilla when they became more specialized. Other recent studies of the foot structure of "Ardipithecus ramidus" suggest that the species was closely related to African-ape ancestors. This possibly provides a species close to the true connection between fully bipedal hominins and quadruped apes. According to Richard Dawkins in his book "The Ancestor's Tale", chimps and bonobos are descended from "Australopithecus" gracile type species while gorillas are descended from "Paranthropus". These apes may have once been bipedal, but then lost this ability when they were forced back into an arboreal habitat, presumably by those australopithecines from whom eventually evolved hominins. Early hominines such as "Ardipithecus ramidus" may have possessed an arboreal type of bipedalism that later independently evolved towards knuckle-walking in chimpanzees and gorillas and towards efficient walking and running in modern humans (see figure). It is also proposed that one cause of Neanderthal extinction was a less efficient running. Warning display (aposematic) model. Joseph Jordania from the University of Melbourne recently (2011) suggested that bipedalism was one of the central elements of the general defense strategy of early hominids, based on aposematism, or warning display and intimidation of potential predators and competitors with exaggerated visual and audio signals. According to this model, hominids were trying to stay as visible and as loud as possible all the time. Several morphological and behavioral developments were employed to achieve this goal: upright bipedal posture, longer legs, long tightly coiled hair on the top of the head, body painting, threatening synchronous body movements, loud voice and extremely loud rhythmic singing/stomping/drumming on external subjects. Slow locomotion and strong body odor (both characteristic for hominids and humans) are other features often employed by aposematic species to advertise their non-profitability for potential predators. Other behavioural models. There are a variety of ideas which promote a specific change in behaviour as the key driver for the evolution of hominid bipedalism. For example, Wescott (1967) and later Jablonski & Chaplin (1993) suggest that bipedal threat displays could have been the transitional behaviour which led to some groups of apes beginning to adopt bipedal postures more often. Others (e.g. Dart 1925) have offered the idea that the need for more vigilance against predators could have provided the initial motivation. Dawkins (e.g. 2004) has argued that it could have begun as a kind of fashion that just caught on and then escalated through sexual selection. And it has even been suggested (e.g. Tanner 1981:165) that male phallic display could have been the initial incentive, as well as increased sexual signaling in upright female posture. Thermoregulatory model. The thermoregulatory model explaining the origin of bipedalism is one of the simplest theories so far advanced, but it is a viable explanation. Dr. Peter Wheeler, a professor of evolutionary biology, proposes that bipedalism raises the amount of body surface area higher above the ground which results in a reduction in heat gain and helps heat dissipation. When a hominid is higher above the ground, the organism accesses more favorable wind speeds and temperatures. During heat seasons, greater wind flow results in a higher heat loss, which makes the organism more comfortable. Also, Wheeler explains that a vertical posture minimizes the direct exposure to the sun whereas quadrupedalism exposes more of the body to direct exposure. Analysis and interpretations of Ardipithecus reveal that this hypothesis needs modification to consider that the forest and woodland environmental preadaptation of early-stage hominid bipedalism preceded further refinement of bipedalism by the pressure of natural selection. This then allowed for the more efficient exploitation of the hotter conditions ecological niche, rather than the hotter conditions being hypothetically bipedalism's initial stimulus. A feedback mechanism from the advantages of bipedality in hot and open habitats would then in turn make a forest preadaptation solidify as a permanent state. Carrying models. Charles Darwin wrote that "Man could not have attained his present dominant position in the world without the use of his hands, which are so admirably adapted to the act of obedience of his will". Darwin (1871:52) and many models on bipedal origins are based on this line of thought. Gordon Hewes (1961) suggested that the carrying of meat "over considerable distances" (Hewes 1961:689) was the key factor. Isaac (1978) and Sinclair et al. (1986) offered modifications of this idea, as indeed did Lovejoy (1981) with his "provisioning model" described above. Others, such as Nancy Tanner (1981), have suggested that infant carrying was key, while others again have suggested stone tools and weapons drove the change. This stone-tools theory is very unlikely, as though ancient humans were known to hunt, the discovery of tools was not discovered for thousands of years after the origin of bipedalism, chronologically precluding it from being a driving force of evolution. (Wooden tools and spears fossilize poorly and therefore it is difficult to make a judgment about their potential usage.) Wading models. The observation that large primates, including especially the great apes, that predominantly move quadrupedally on dry land, tend to switch to bipedal locomotion in waist deep water, has led to the idea that the origin of human bipedalism may have been influenced by waterside environments. This idea, labelled "the wading hypothesis", was originally suggested by the Oxford marine biologist Alister Hardy who said: "It seems to me likely that Man learnt to stand erect first in water and then, as his balance improved, he found he became better equipped for standing up on the shore when he came out, and indeed also for running." It was then promoted by Elaine Morgan, as part of the aquatic ape hypothesis, who cited bipedalism among a cluster of other human traits unique among primates, including voluntary control of breathing, hairlessness and subcutaneous fat. The "aquatic ape hypothesis", as originally formulated, has not been accepted or considered a serious theory within the anthropological scholarly community. Others, however, have sought to promote wading as a factor in the origin of human bipedalism without referring to further ("aquatic ape" related) factors. Since 2000 Carsten Niemitz has published a series of papers and a book on a variant of the wading hypothesis, which he calls the "amphibian generalist theory" (). Other theories have been proposed that suggest wading and the exploitation of aquatic food sources (providing essential nutrients for human brain evolution or critical fallback foods) may have exerted evolutionary pressures on human ancestors promoting adaptations which later assisted full-time bipedalism. It has also been thought that consistent water-based food sources had developed early hominid dependency and facilitated dispersal along seas and rivers. Consequences. Prehistoric fossil records show that early hominins first developed bipedalism before being followed by an increase in brain size. The consequences of these two changes in particular resulted in painful and difficult labor due to the increased favor of a narrow pelvis for bipedalism being countered by larger heads passing through the constricted birth canal. This phenomenon is commonly known as the obstetrical dilemma. Non-human primates habitually deliver their young on their own, but the same cannot be said for modern-day humans. Isolated birth appears to be rare and actively avoided cross-culturally, even if birthing methods may differ between said cultures. This is due to the fact that the narrowing of the hips and the change in the pelvic angle caused a discrepancy in the ratio of the size of the head to the birth canal. The result of this is that there is greater difficulty in birthing for hominins in general, let alone to be doing it by oneself. Physiology. Bipedal movement occurs in a number of ways and requires many mechanical and neurological adaptations. Some of these are described below. Biomechanics. Standing. Energy-efficient means of standing bipedally involve constant adjustment of balance, and of course these must avoid overcorrection. The difficulties associated with simple standing in upright humans are highlighted by the greatly increased risk of falling present in the elderly, even with minimal reductions in control system effectiveness. Shoulder stability. Shoulder stability would decrease with the evolution of bipedalism. Shoulder mobility would increase because the need for a stable shoulder is only present in arboreal habitats. Shoulder mobility would support suspensory locomotion behaviors which are present in human bipedalism. The forelimbs are freed from weight-bearing requirements, which makes the shoulder a place of evidence for the evolution of bipedalism. Walking. Unlike non-human apes that are able to practice bipedality such as "Pan" and "Gorilla", hominins have the ability to move bipedally without the utilization of a bent-hip-bent-knee (BHBK) gait, which requires the engagement of both the hip and the knee joints. This human ability to walk is made possible by the spinal curvature humans have that non-human apes do not. Rather, walking is characterized by an "inverted pendulum" movement in which the center of gravity vaults over a stiff leg with each step. Force plates can be used to quantify the whole-body kinetic & potential energy, with walking displaying an out-of-phase relationship indicating exchange between the two. This model applies to all walking organisms regardless of the number of legs, and thus bipedal locomotion does not differ in terms of whole-body kinetics. In humans, walking is composed of several separate processes: Running. Early hominins underwent post-cranial changes in order to better adapt to bipedality, especially running. One of these changes is having longer hindlimbs proportional to the forelimbs and their effects. As previously mentioned, longer hindlimbs assist in thermoregulation by reducing the total surface area exposed to direct sunlight while simultaneously allowing for more space for cooling winds. Additionally, having longer limbs is more energy-efficient, since longer limbs mean that overall muscle strain is lessened. Better energy efficiency, in turn, means higher endurance, particularly when running long distances. Running is characterized by a spring-mass movement. Kinetic and potential energy are in phase, and the energy is stored & released from a spring-like limb during foot contact, achieved by the plantar arch and the Achilles tendon in the foot and leg, respectively. Again, the whole-body kinetics are similar to animals with more limbs. Musculature. Bipedalism requires strong leg muscles, particularly in the thighs. Contrast in domesticated poultry the well muscled legs, against the small and bony wings. Likewise in humans, the quadriceps and hamstring muscles of the thigh are both so crucial to bipedal activities that each alone is much larger than the well-developed biceps of the arms. In addition to the leg muscles, the increased size of the gluteus maximus in humans is an important adaptation as it provides support and stability to the trunk and lessens the amount of stress on the joints when running. Respiration. Quadrupeds, have more restrictive breathing respire while moving than do bipedal humans. "Quadrupedal species normally synchronize the locomotor and respiratory cycles at a constant ratio of 1:1 (strides per breath) in both the trot and gallop. Human runners differ from quadrupeds in that while running they employ several phase-locked patterns (4:1, 3:1, 2:1, 1:1, 5:2, and 3:2), although a 2:1 coupling ratio appears to be favored. Even though the evolution of bipedal gait has reduced the mechanical constraints on respiration in man, thereby permitting greater flexibility in breathing pattern, it has seemingly not eliminated the need for the synchronization of respiration and body motion during sustained running." Respiration through bipedality means that there is better breath control in bipeds, which can be associated with brain growth. The modern brain utilizes approximately 20% of energy input gained through breathing and eating, as opposed to species like chimpanzees who use up twice as much energy as humans for the same amount of movement. This excess energy, leading to brain growth, also leads to the development of verbal communication. This is because breath control means that the muscles associated with breathing can be manipulated into creating sounds. This means that the onset of bipedality, leading to more efficient breathing, may be related to the origin of verbal language. Bipedal robots. For nearly the whole of the 20th century, bipedal robots were very difficult to construct and robot locomotion involved only wheels, treads, or multiple legs. Recent cheap and compact computing power has made two-legged robots more feasible. Some notable biped robots are ASIMO, HUBO, MABEL and QRIO. Recently, spurred by the success of creating a fully passive, un-powered bipedal walking robot, those working on such machines have begun using principles gleaned from the study of human and animal locomotion, which often relies on passive mechanisms to minimize power consumption.
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Bootstrapping
In general, bootstrapping usually refers to a self-starting process that is supposed to continue or grow without external input. Many analytical techniques are often called "bootstrap methods" in reference to their self-starting or self-supporting implementation, such as "bootstrapping" in statistics, in finance, or in linguistics. Etymology. Tall boots may have a tab, loop or handle at the top known as a "bootstrap", allowing one to use fingers or a boot hook tool to help pull the boots on. The saying "" was already in use during the 19th century as an example of an impossible task. The idiom dates at least to 1834, when it appeared in the "Workingman's Advocate": "It is conjectured that Mr. Murphee will now be enabled to hand himself over the Cumberland river or a barn yard fence by the straps of his boots." In 1860 it appeared in a comment about philosophy of mind: "The attempt of the mind to analyze itself [is] an effort analogous to one who would lift himself by his own bootstraps." Bootstrap as a metaphor, meaning to better oneself by one's own unaided efforts, was in use in 1922. This metaphor spawned additional metaphors for a series of self-sustaining processes that proceed without external help. The term is sometimes attributed to a story in Rudolf Erich Raspe's "", but in that story Baron Munchausen pulls himself (and his horse) out of a swamp by his hair (specifically, his pigtail), not by his bootstraps and no explicit reference to bootstraps has been found elsewhere in the various versions of the Munchausen tales. Originally meant to attempt something ludicrously far-fetched or even impossible, the phrase "Pull yourself up by your bootstraps!" has since been utilized as a narrative for economic mobility or a cure for depression. That idea is believed to have been popularized by American writer Horatio Alger in the 19th century. To request that someone "bootstrap" is to suggest that they might overcome great difficulty by sheer force of will. Critics have observed that the phrase is used to portray unfair situations as far more meritocratic than they really are. A 2009 study found that 77% of Americans believe that wealth is often the result of hard work. Various studies have found that the main predictor of future wealth is not IQ or hard work, but initial wealth. Applications. Computing. In computer technology, the term bootstrapping refers to language compilers that are able to be coded in the same language. (For example, a C compiler is now written in the C language. Once the basic compiler is written, improvements can be iteratively made, thus "pulling the language up by its bootstraps"). Also, booting usually refers to the process of loading the basic software into the memory of a computer after power-on or general reset, the kernel will load the operating system which will then take care of loading other device drivers and software as needed. Software loading and execution. Booting is the process of starting a computer, specifically with regard to starting its software. The process involves a chain of stages, in which at each stage, a relatively small and simple program loads and then executes the larger, more complicated program of the next stage. It is in this sense that the computer "pulls itself up by its bootstraps"; i.e., it improves itself by its own efforts. Booting is a chain of events that starts with execution of hardware-based procedures and may then hand off to firmware and software which is loaded into main memory. Booting often involves processes such as performing self-tests, loading configuration settings, loading a BIOS, resident monitors, a hypervisor, an operating system, or utility software. The computer term bootstrap began as a metaphor in the 1950s. In computers, pressing a bootstrap button caused a hardwired program to read a bootstrap program from an input unit. The computer would then execute the bootstrap program, which caused it to read more program instructions. It became a self-sustaining process that proceeded without external help from manually entered instructions. As a computing term, bootstrap has been used since at least 1953. Software development. Bootstrapping can also refer to the development of successively more complex, faster programming environments. The simplest environment will be, perhaps, a very basic text editor ("e.g.", ed) and an assembler program. Using these tools, one can write a more complex text editor, and a simple compiler for a higher-level language and so on, until one can have a graphical IDE and an extremely high-level programming language. Historically, bootstrapping also refers to an early technique for computer program development on new hardware. The technique described in this paragraph has been replaced by the use of a cross compiler executed by a pre-existing computer. Bootstrapping in program development began during the 1950s when each program was constructed on paper in decimal code or in binary code, bit by bit (1s and 0s), because there was no high-level computer language, no compiler, no assembler, and no linker. A tiny assembler program was hand-coded for a new computer (for example the IBM 650) which converted a few instructions into binary or decimal code: A1. This simple assembler program was then rewritten in its just-defined assembly language but with extensions that would enable the use of some additional mnemonics for more complex operation codes. The enhanced assembler's source program was then assembled by its predecessor's executable (A1) into binary or decimal code to give A2, and the cycle repeated (now with those enhancements available), until the entire instruction set was coded, branch addresses were automatically calculated, and other conveniences (such as conditional assembly, macros, optimisations, etc.) established. This was how the early Symbolic Optimal Assembly Program (SOAP) was developed. Compilers, linkers, loaders, and utilities were then coded in assembly language, further continuing the bootstrapping process of developing complex software systems by using simpler software. The term was also championed by Doug Engelbart to refer to his belief that organizations could better evolve by improving the process they use for improvement (thus obtaining a compounding effect over time). His SRI team that developed the NLS hypertext system applied this strategy by using the tool they had developed to improve the tool. Compilers. The development of compilers for new programming languages first developed in an existing language but then rewritten in the new language and compiled by itself, is another example of the bootstrapping notion. Installers. During the installation of computer programs, it is sometimes necessary to update the installer or package manager itself. The common pattern for this is to use a small executable bootstrapper file ("e.g.," setup.exe) which updates the installer and starts the real installation after the update. Sometimes the bootstrapper also installs other prerequisites for the software during the bootstrapping process. Overlay networks. A bootstrapping node, also known as a rendezvous host, is a node in an overlay network that provides initial configuration information to newly joining nodes so that they may successfully join the overlay network. Discrete-event simulation. A type of computer simulation called discrete-event simulation represents the operation of a system as a chronological sequence of events. A technique called "bootstrapping the simulation model" is used, which bootstraps initial data points using a pseudorandom number generator to schedule an initial set of pending events, which schedule additional events, and with time, the distribution of event times approaches its steady state—the bootstrapping behavior is overwhelmed by steady-state behavior. Artificial intelligence and machine learning. Bootstrapping is a technique used to iteratively improve a classifier's performance. Typically, multiple classifiers will be trained on different sets of the input data, and on prediction tasks the output of the different classifiers will be combined. Seed AI is a hypothesized type of artificial intelligence capable of recursive self-improvement. Having improved itself, it would become better at improving itself, potentially leading to an exponential increase in intelligence. No such AI is known to exist, but it remains an active field of research. Seed AI is a significant part of some theories about the technological singularity: proponents believe that the development of seed AI will rapidly yield ever-smarter intelligence (via bootstrapping) and thus a new era. Statistics. Bootstrapping is a resampling technique used to obtain estimates of summary statistics. Business. Bootstrapping in business means starting a business without external help or working capital. Entrepreneurs in the startup development phase of their company survive through internal cash flow and are very cautious with their expenses. Generally at the start of a venture, a small amount of money will be set aside for the bootstrap process. Bootstrapping can also be a supplement for econometric models. Bootstrapping was also expanded upon in the book "Bootstrap Business" by Richard Christiansen, the Harvard Business Review article "The Art of Bootstrapping" and the follow-up book "The Origin and Evolution of New Businesses" by Amar Bhide. There is also an entire bible written on how to properly bootstrap by Seth Godin. Experts have noted that several common stages exist for bootstrapping a business venture: There are many types of companies that are eligible for bootstrapping. Early-stage companies that do not necessarily require large influxes of capital (particularly from outside sources) qualify. This would specifically allow for flexibility for the business and time to grow. Serial entrepreneur companies could also possibly reap the benefits of bootstrapping. These are organizations whereby the founder has money from the sale of a previous companies they can use to invest. There are different methods of bootstrapping. Future business owners aspiring to use bootstrapping as way of launching their product or service often use the following methods: Bootstrapping is often considered successful. When taking into account statistics provided by Fundera, approximately 77% of small business rely on some sort of personal investment and or savings in order to fund their startup ventures. The average small business venture requires approximately $10,000 in startup capital with a third of small business launching with less than $5,000 bootstrapped. Based on startup data presented by Entrepreneur.com, in comparison other methods of funding, bootstrapping is more commonly used than others. "0.91% of startups are funded by angel investors, while 0.05% are funded by VCs. In contrast, 57 percent of startups are funded by personal loans and credit, while 38 percent receive funding from family and friends." Some examples of successful entrepreneurs that have used bootstrapping in order to finance their businesses include serial entrepreneur Mark Cuban. He has publicly endorsed bootstrapping claiming that "If you can start on your own … do it by [yourself] without having to go out and raise money." When asked why he believed this approach was most necessary, he replied, "I think the biggest mistake people make is once they have an idea and the goal of starting a business, they think they have to raise money. And once you raise money, that's not an accomplishment, that's an obligation" because "now, you're reporting to whoever you raised money from." Bootstrapped companies such as Apple Inc. (APPL), eBay Inc. (EBAY) and Coca-Cola Co. have also claimed that they attribute some of their success to the fact that this method of funding enables them to remain highly focused on a specific array of profitable product. Startups can grow by reinvesting profits in its own growth if bootstrapping costs are low and return on investment is high. This financing approach allows owners to maintain control of their business and forces them to spend with discipline. In addition, bootstrapping allows startups to focus on customers rather than investors, thereby increasing the likelihood of creating a profitable business. This leaves startups with a better exit strategy with greater returns. Leveraged buyouts, or highly leveraged or "bootstrap" transactions, occur when an investor acquires a controlling interest in a company's equity and where a significant percentage of the purchase price is financed through leverage, i.e. borrowing by the acquired company. Operation Bootstrap ("Operación Manos a la Obra") refers to the ambitious projects that industrialized Puerto Rico in the mid-20th century. Biology. Richard Dawkins in his book "River Out of Eden" used the computer bootstrapping concept to explain how biological cells differentiate: "Different cells receive different combinations of chemicals, which switch on different combinations of genes, and some genes work to switch other genes on or off. And so the bootstrapping continues, until we have the full repertoire of different kinds of cells." Phylogenetics. Bootstrapping analysis gives a way to judge the strength of support for clades on phylogenetic trees. A number is written by a node, which reflects the percentage of bootstrap trees which also resolve the clade at the endpoints of that branch (the classical Felsenstein bootstrap). Repeating the creation of trees can be computationally expensive and there are newer methods such as the RAxML rapid bootstrap (RBS), the Shimodaira–Hasegawa-like approximate likelihood ratio test (SH-aLRT), and ultrafast bootstrap (UFBoot). The classical/standard bootstrap tends to underestimate the likelihood of a clade being correct. Bootstrapping (classical or otherwise) does not work on well on trees made from multi-gene concatenation, where all splits tend towards 100%. The concordance factor should be used instead. Law. Bootstrapping is a rule preventing the admission of hearsay evidence in conspiracy cases. Linguistics. Bootstrapping is a theory of language acquisition. Physics. Flatness. Whitworth's three plates method does not rely other flat reference surfaces or other precision instruments, and thus solves the problem of how to create a better precise flat surface. Quantum theory. Bootstrapping is using very general consistency criteria to determine the form of a quantum theory from some assumptions on the spectrum of particles or operators. Magnetically confined fusion plasmas. In tokamak fusion devices, bootstrapping refers to the process in which a bootstrap current is self-generated by the plasma, which reduces or eliminates the need for an external current driver. Maximising the bootstrap current is a major goal of advanced tokamak designs. Inertially confined fusion plasmas. Bootstrapping in inertial confinement fusion refers to the alpha particles produced in the fusion reaction providing further heating to the plasma. This heating leads to ignition and an overall energy gain. Electronics. Bootstrapping is a form of positive feedback in analog circuit design. Electric power grid. An electric power grid is almost never brought down intentionally. Generators and power stations are started and shut down as necessary. A typical power station requires power for start up prior to being able to generate power. This power is obtained from the grid, so if the entire grid is down these stations cannot be started. Therefore, to get a grid started, there must be at least a small number of power stations that can start entirely on their own. A black start is the process of restoring a power station to operation without relying on external power. In the absence of grid power, one or more black starts are used to bootstrap the grid. Nuclear power. A nuclear power plant always needs to have a way to remove decay heat, which is usually done with electrical cooling pumps. But in the rare case of a complete loss of electrical power, this can still be achieved by booting a turbine generator. As steam builds up in the steam generator, it can be used to power the turbine generator (initially with no oil pumps, circ water pumps, or condensation pumps). Once the turbine generator is producing electricity, the auxiliary pumps can be powered on, and the reactor cooling pumps can be run momentarily. Eventually the steam pressure will become insufficient to power the turbine generator, and the process can be shut down in reverse order. The process can be repeated until no longer needed. This can cause great damage to the turbine generator, but more importantly, it saves the nuclear reactor. Cellular networks. A Bootstrapping Server Function (BSF) is an intermediary element in cellular networks which provides application independent functions for mutual authentication of user equipment and servers unknown to each other and for 'bootstrapping' the exchange of secret session keys afterwards. The term 'bootstrapping' is related to building a security relation with a previously unknown device first and to allow installing security elements (keys) in the device and the BSF afterwards.
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Baltic languages
The Baltic languages are a branch of the Indo-European language family spoken natively or as a second language by a population of about 6.5–7.0 million people mainly in areas extending east and southeast of the Baltic Sea in Europe. Together with the Slavic languages, they form the Balto-Slavic branch of the Indo-European family. Scholars usually regard them as a single subgroup divided into two branches: West Baltic (containing only extinct languages) and East Baltic (containing at least two living languages, Lithuanian, Latvian, and by some counts including Latgalian and Samogitian as separate languages rather than dialects of those two). In addition, the existence of the Dnieper-Oka language is hypothesized, with the extinct Golyad language being the only known member. The range of the East Baltic linguistic influence once possibly reached as far as the Ural Mountains, but this hypothesis has been questioned. Old Prussian, a Western Baltic language that became extinct in the 18th century, had possibly conserved the greatest number of properties from Proto-Baltic. Although related, Lithuanian, Latvian, and particularly Old Prussian have lexicons that differ substantially from one another and so the languages are not mutually intelligible. Relatively low mutual interaction for neighbouring languages historically led to gradual erosion of mutual intelligibility, and development of their respective linguistic innovations that did not exist in shared Proto-Baltic. The substantial number of false friends and various uses and sources of loanwords from their surrounding languages are considered to be the major reasons for poor mutual intelligibility today. Branches. Within Indo-European, the Baltic languages are generally classified as forming a single family with two branches: Eastern and Western Baltic. But these two branches are sometimes classified as independent branches of Balto-Slavic itself. History. It is believed that the Baltic languages are among the most conservative of the currently remaining Indo-European languages, despite their late attestation. Although the Baltic Aesti tribe was mentioned by ancient historians such as Tacitus as early as 98 CE, the first attestation of a Baltic language was 1369, in a Basel epigram of two lines written in Old Prussian. Lithuanian was first attested in a printed book, which is a Catechism by Martynas Mažvydas published in 1547. Latvian appeared in a printed Catechism in 1585. One reason for the late attestation is that the Baltic peoples resisted Christianization longer than any other Europeans, which delayed the introduction of writing and isolated their languages from outside influence. With the establishment of a German state in Prussia, and the mass influx of Germanic (and to a lesser degree Slavic-speaking) settlers, the Prussians began to be assimilated, and by the end of the 17th century, the Prussian language had become extinct. After the Partitions of Polish-Lithuanian Commonwealth, most of the Baltic lands were under the rule of the Russian Empire, where the native languages or alphabets were sometimes prohibited from being written down or used publicly in a Russification effort (see Lithuanian press ban for the ban in force from 1864 to 1904). Geographic distribution. Speakers of modern Baltic languages are generally concentrated within the borders of Lithuania and Latvia, and in emigrant communities in the United States, Canada, Australia and the countries within the former borders of the Soviet Union. Historically the languages were spoken over a larger area: west to the mouth of the Vistula river in present-day Poland, at least as far east as the Dniepr river in present-day Belarus, perhaps even to Moscow, and perhaps as far south as Kyiv. Key evidence of Baltic language presence in these regions is found in hydronyms (names of bodies of water) that are characteristically Baltic. The use of hydronyms is generally accepted to determine the extent of a culture's influence, but "not" the date of such influence. The eventual expansion of the use of Slavic languages in the south and east, and Germanic languages in the west, reduced the geographic distribution of Baltic languages to a fraction of the area that they formerly covered. The Russian geneticist Oleg Balanovsky speculated that there is a predominance of the assimilated pre-Slavic substrate in the genetics of East and West Slavic populations, according to him the common genetic structure which contrasts East Slavs and Balts from other populations may suggest that the pre-Slavic substrate of the East Slavs consists most significantly of Baltic-speakers, which predated the Slavs in the cultures of the Eurasian steppe according to archaeological references he cites. Contact with Uralic languages. Though Estonia is geopolitically included among the Baltic states due to its location, Estonian is a Finnic language of the Uralic language family and is not related to the Baltic languages, which are Indo-European. The Mordvinic languages, spoken mainly along western tributaries of the Volga, show several dozen loanwords from one or more Baltic languages. These may have been mediated by contacts with the Eastern Balts along the river Oka. In regards to the same geographical location, Asko Parpola, in a 2013 article, suggested that the Baltic presence in this area, dated to –600 CE, is due to an "elite superstratum". However, linguist argued that the Volga-Oka is a "secondary" Baltic-speaking area, expanding from East Baltic, due to a large number of Baltic loanwords in Finnic and Saami. Finnish scholars also indicate that Latvian had extensive contacts with Livonian, and, to a lesser extent, to Estonian and South Estonian. Therefore, this contact accounts for the number of Finnic hydronyms in Lithuania and Latvia that increase in a northwards direction. Parpola, in the same article, supposed the existence of a Baltic substratum for Finnic, in Estonia and coastal Finland. In the same vein, Kallio argues for the existence of a lost "North Baltic language" that would account for loanwords during the evolution of the Finnic branch. Comparative linguistics. Genetic relatedness. The Baltic languages are of particular interest to linguists because they retain many archaic features, which are thought to have been present in the early stages of the Proto-Indo-European language. However, linguists have had a hard time establishing the precise relationship of the Baltic languages to other languages in the Indo-European family. Several of the extinct Baltic languages have a limited or nonexistent written record, their existence being known only from the records of ancient historians and personal or place names. All of the languages in the Baltic group (including the living ones) were first written down relatively late in their probable existence as distinct languages. These two factors combined with others have obscured the history of the Baltic languages, leading to a number of theories regarding their position in the Indo-European family. The Baltic languages show a close relationship with the Slavic languages, and are grouped with them in a Balto-Slavic family by most scholars. This family is considered to have developed from a common ancestor, Proto-Balto-Slavic. Later on, several lexical, phonological and morphological dialectisms developed, separating the various Balto-Slavic languages from each other. Although it is generally agreed that the Slavic languages developed from a single more-or-less unified dialect (Proto-Slavic) that split off from common Balto-Slavic, there is more disagreement about the relationship between the Baltic languages. The traditional view is that the Balto-Slavic languages split into two branches, Baltic and Slavic, with each branch developing as a single common language (Proto-Baltic and Proto-Slavic) for some time afterwards. Proto-Baltic is then thought to have split into East Baltic and West Baltic branches. However, more recent scholarship has suggested that there was no unified Proto-Baltic stage, but that Proto-Balto-Slavic split directly into three groups: Slavic, East Baltic and West Baltic. Under this view, the Baltic family is paraphyletic, and consists of all Balto-Slavic languages that are not Slavic. In the 1960s Vladimir Toporov and Vyacheslav Ivanov made the following conclusions about the relationship between the Baltic and Slavic languages: These scholars' theses do not contradict the close relationship between Baltic and Slavic languages and, from a historical perspective, specify the Baltic-Slavic languages' evolution – the terms 'Baltic' and 'Slavic' are relevant only from the point of view of the present time, meaning diachronic changes, and the oldest stage of the language development could be called both Baltic and Slavic; this concept does not contradict the traditional thesis that the Proto-Slavic and Proto-Baltic languages coexisted for a long time after their formation – between the 2nd millennium BC and circa the 5th century BC – the Proto-Slavic language was a continuum of the Proto-Baltic dialects, more rather, the Proto-Slavic language should have been localized in the peripheral circle of Proto-Baltic dialects. Finally, a minority of scholars argue that Baltic descended directly from Proto-Indo-European, without an intermediate common Balto-Slavic stage. They argue that the many similarities and shared innovations between Baltic and Slavic are caused by several millennia of contact between the groups, rather than a shared heritage. Thracian hypothesis. The Baltic-speaking peoples likely encompassed an area in eastern Europe much larger than their modern range. As in the case of the Celtic languages of Western Europe, they were reduced by invasion, extermination and assimilation. Studies in comparative linguistics point to genetic relationship between the languages of the Baltic family and the following extinct languages: The Baltic classification of Dacian and Thracian has been proposed by the Lithuanian scientist Jonas Basanavičius, who insisted this is the most important work of his life and listed 600 identical words of Balts and Thracians. His theory included Phrygian in the related group, but this did not find support and was disapproved among other authors, such as , whose own analysis found Phrygian completely lacking parallels in either Thracian or Baltic languages. The Bulgarian linguist Ivan Duridanov, who improved the most extensive list of toponyms, in his first publication claimed that Thracian is genetically linked to the Baltic languages and in the next one he made the following classification: "The Thracian language formed a close group with the Baltic, the Dacian and the "Pelasgian" languages. More distant were its relations with the other Indo-European languages, and especially with Greek, the Italic and Celtic languages, which exhibit only isolated phonetic similarities with Thracian; the Tokharian and the Hittite were also distant. " Of about 200 reconstructed Thracian words by Duridanov most cognates (138) appear in the Baltic languages, mostly in Lithuanian, followed by Germanic (61), Indo-Aryan (41), Greek (36), Bulgarian (23), Latin (10) and Albanian (8). The cognates of the reconstructed Dacian words in his publication are found mostly in the Baltic languages, followed by Albanian. Parallels have enabled linguists, using the techniques of comparative linguistics, to decipher the meanings of several Dacian and Thracian placenames with, they claim, a high degree of probability. Of 74 Dacian placenames attested in primary sources and considered by Duridanov, a total of 62 have Baltic cognates, most of which were rated "certain" by Duridanov. For a big number of 300 Thracian geographic names most parallels were found between Thracian and Baltic geographic names in the study of Duridanov. According to him the most important impression make the geographic cognates of Baltic and Thracian "the similarity of these parallels stretching frequently on the main element and the suffix simultaneously, which makes a strong impression". Romanian linguist Sorin Paliga, analysing and criticizing Harvey Mayer's study, did admit "great likeness" between Thracian, the substrate of Romanian, and "some Baltic forms".
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Bioinformatics
Bioinformatics () is an interdisciplinary field of science that develops methods and software tools for understanding biological data, especially when the data sets are large and complex. Bioinformatics uses biology, chemistry, physics, computer science, data science, computer programming, information engineering, mathematics and statistics to analyze and interpret biological data. This process can sometimes be referred to as computational biology, however the distinction between the two terms is often disputed. To some, the term "computational biology" refers to building and using models of biological systems. Computational, statistical, and computer programming techniques have been used for computer simulation analyses of biological queries. They include reused specific analysis "pipelines", particularly in the field of genomics, such as by the identification of genes and single nucleotide polymorphisms (SNPs). These pipelines are used to better understand the genetic basis of disease, unique adaptations, desirable properties (especially in agricultural species), or differences between populations. Bioinformatics also includes proteomics, which aims to understand the organizational principles within nucleic acid and protein sequences. Image and signal processing allow extraction of useful results from large amounts of raw data. It aids in sequencing and annotating genomes and their observed mutations. Bioinformatics includes text mining of biological literature and the development of biological and gene ontologies to organize and query biological data. It also plays a role in the analysis of gene and protein expression and regulation. Bioinformatic tools aid in comparing, analyzing, interpreting genetic and genomic data and in the understanding of evolutionary aspects of molecular biology. At a more integrative level, it helps analyze and catalogue the biological pathways and networks that are an important part of systems biology. In structural biology, it aids in the simulation and modeling of DNA, RNA, proteins as well as biomolecular interactions. History. The first definition of the term "bioinformatics" was coined by Paulien Hogeweg and Ben Hesper in 1970, to refer to the study of information processes in biotic systems. This definition placed bioinformatics as a field parallel to biochemistry (the study of chemical processes in biological systems). Bioinformatics and computational biology involved the analysis of biological data, particularly DNA, RNA, and protein sequences. The field of bioinformatics experienced explosive growth starting in the mid-1990s, driven largely by the Human Genome Project and by rapid advances in DNA sequencing technology. Analyzing biological data to produce meaningful information involves writing and running software programs that use algorithms from graph theory, artificial intelligence, soft computing, data mining, image processing, and computer simulation. The algorithms in turn depend on theoretical foundations such as discrete mathematics, control theory, system theory, information theory, and statistics. Sequences. There has been a tremendous advance in speed and cost reduction since the completion of the Human Genome Project, with some labs able to sequence over 100,000 billion bases each year, and a full genome can be sequenced for $1,000 or less. Computers became essential in molecular biology when protein sequences became available after Frederick Sanger determined the sequence of insulin in the early 1950s. Comparing multiple sequences manually turned out to be impractical. Margaret Oakley Dayhoff, a pioneer in the field, compiled one of the first protein sequence databases, initially published as books as well as methods of sequence alignment and molecular evolution. Another early contributor to bioinformatics was Elvin A. Kabat, who pioneered biological sequence analysis in 1970 with his comprehensive volumes of antibody sequences released online with Tai Te Wu between 1980 and 1991. In the 1970s, new techniques for sequencing DNA were applied to bacteriophage MS2 and øX174, and the extended nucleotide sequences were then parsed with informational and statistical algorithms. These studies illustrated that well known features, such as the coding segments and the triplet code, are revealed in straightforward statistical analyses and were the proof of the concept that bioinformatics would be insightful. Goals. In order to study how normal cellular activities are altered in different disease states, raw biological data must be combined to form a comprehensive picture of these activities. Therefore, the field of bioinformatics has evolved such that the most pressing task now involves the analysis and interpretation of various types of data. This also includes nucleotide and amino acid sequences, protein domains, and protein structures. Important sub-disciplines within bioinformatics and computational biology include: The primary goal of bioinformatics is to increase the understanding of biological processes. What sets it apart from other approaches is its focus on developing and applying computationally intensive techniques to achieve this goal. Examples include: pattern recognition, data mining, machine learning algorithms, and visualization. Major research efforts in the field include sequence alignment, gene finding, genome assembly, drug design, drug discovery, protein structure alignment, protein structure prediction, prediction of gene expression and protein–protein interactions, genome-wide association studies, the modeling of evolution and cell division/mitosis. Bioinformatics entails the creation and advancement of databases, algorithms, computational and statistical techniques, and theory to solve formal and practical problems arising from the management and analysis of biological data. Over the past few decades, rapid developments in genomic and other molecular research technologies and developments in information technologies have combined to produce a tremendous amount of information related to molecular biology. Bioinformatics is the name given to these mathematical and computing approaches used to glean understanding of biological processes. Common activities in bioinformatics include mapping and analyzing DNA and protein sequences, aligning DNA and protein sequences to compare them, and creating and viewing 3-D models of protein structures. Sequence analysis. Since the bacteriophage Phage Φ-X174 was sequenced in 1977, the DNA sequences of thousands of organisms have been decoded and stored in databases. This sequence information is analyzed to determine genes that encode proteins, RNA genes, regulatory sequences, structural motifs, and repetitive sequences. A comparison of genes within a species or between different species can show similarities between protein functions, or relations between species (the use of molecular systematics to construct phylogenetic trees). With the growing amount of data, it long ago became impractical to analyze DNA sequences manually. Computer programs such as BLAST are used routinely to search sequences—as of 2008, from more than 260,000 organisms, containing over 190 billion nucleotides. DNA sequencing. Before sequences can be analyzed, they are obtained from a data storage bank, such as GenBank. DNA sequencing is still a non-trivial problem as the raw data may be noisy or affected by weak signals. Algorithms have been developed for base calling for the various experimental approaches to DNA sequencing. Sequence assembly. Most DNA sequencing techniques produce short fragments of sequence that need to be assembled to obtain complete gene or genome sequences. The shotgun sequencing technique (used by The Institute for Genomic Research (TIGR) to sequence the first bacterial genome, "Haemophilus influenzae") generates the sequences of many thousands of small DNA fragments (ranging from 35 to 900 nucleotides long, depending on the sequencing technology). The ends of these fragments overlap and, when aligned properly by a genome assembly program, can be used to reconstruct the complete genome. Shotgun sequencing yields sequence data quickly, but the task of assembling the fragments can be quite complicated for larger genomes. For a genome as large as the human genome, it may take many days of CPU time on large-memory, multiprocessor computers to assemble the fragments, and the resulting assembly usually contains numerous gaps that must be filled in later. Shotgun sequencing is the method of choice for virtually all genomes sequenced (rather than chain-termination or chemical degradation methods), and genome assembly algorithms are a critical area of bioinformatics research. Genome annotation. In genomics, annotation refers to the process of marking the stop and start regions of genes and other biological features in a sequenced DNA sequence. Many genomes are too large to be annotated by hand. As the rate of sequencing exceeds the rate of genome annotation, genome annotation has become the new bottleneck in bioinformatics. Genome annotation can be classified into three levels: the nucleotide, protein, and process levels. Gene finding is a chief aspect of nucleotide-level annotation. For complex genomes, a combination of ab initio gene prediction and sequence comparison with expressed sequence databases and other organisms can be successful. Nucleotide-level annotation also allows the integration of genome sequence with other genetic and physical maps of the genome. The principal aim of protein-level annotation is to assign function to the protein products of the genome. Databases of protein sequences and functional domains and motifs are used for this type of annotation. About half of the predicted proteins in a new genome sequence tend to have no obvious function. Understanding the function of genes and their products in the context of cellular and organismal physiology is the goal of process-level annotation. An obstacle of process-level annotation has been the inconsistency of terms used by different model systems. The Gene Ontology Consortium is helping to solve this problem. The first description of a comprehensive annotation system was published in 1995 by The Institute for Genomic Research, which performed the first complete sequencing and analysis of the genome of a free-living (non-symbiotic) organism, the bacterium "Haemophilus influenzae". The system identifies the genes encoding all proteins, transfer RNAs, ribosomal RNAs, in order to make initial functional assignments. The GeneMark program trained to find protein-coding genes in "Haemophilus influenzae" is constantly changing and improving. Following the goals that the Human Genome Project left to achieve after its closure in 2003, the ENCODE project was developed by the National Human Genome Research Institute. This project is a collaborative data collection of the functional elements of the human genome that uses next-generation DNA-sequencing technologies and genomic tiling arrays, technologies able to automatically generate large amounts of data at a dramatically reduced per-base cost but with the same accuracy (base call error) and fidelity (assembly error). Gene function prediction. While genome annotation is primarily based on sequence similarity (and thus homology), other properties of sequences can be used to predict the function of genes. In fact, most "gene" function prediction methods focus on "protein" sequences as they are more informative and more feature-rich. For instance, the distribution of hydrophobic amino acids predicts transmembrane segments in proteins. However, protein function prediction can also use external information such as gene (or protein) expression data, protein structure, or protein-protein interactions. Computational evolutionary biology. Evolutionary biology is the study of the origin and descent of species, as well as their change over time. Informatics has assisted evolutionary biologists by enabling researchers to: Comparative genomics. The core of comparative genome analysis is the establishment of the correspondence between genes (orthology analysis) or other genomic features in different organisms. Intergenomic maps are made to trace the evolutionary processes responsible for the divergence of two genomes. A multitude of evolutionary events acting at various organizational levels shape genome evolution. At the lowest level, point mutations affect individual nucleotides. At a higher level, large chromosomal segments undergo duplication, lateral transfer, inversion, transposition, deletion and insertion. Entire genomes are involved in processes of hybridization, polyploidization and endosymbiosis that lead to rapid speciation. The complexity of genome evolution poses many exciting challenges to developers of mathematical models and algorithms, who have recourse to a spectrum of algorithmic, statistical and mathematical techniques, ranging from exact, heuristics, fixed parameter and approximation algorithms for problems based on parsimony models to Markov chain Monte Carlo algorithms for Bayesian analysis of problems based on probabilistic models. Many of these studies are based on the detection of sequence homology to assign sequences to protein families. Pan genomics. Pan genomics is a concept introduced in 2005 by Tettelin and Medini. Pan genome is the complete gene repertoire of a particular monophyletic taxonomic group. Although initially applied to closely related strains of a species, it can be applied to a larger context like genus, phylum, etc. It is divided in two parts: the Core genome, a set of genes common to all the genomes under study (often housekeeping genes vital for survival), and the Dispensable/Flexible genome: a set of genes not present in all but one or some genomes under study. A bioinformatics tool BPGA can be used to characterize the Pan Genome of bacterial species. Genetics of disease. As of 2013, the existence of efficient high-throughput next-generation sequencing technology allows for the identification of cause many different human disorders. Simple Mendelian inheritance has been observed for over 3,000 disorders that have been identified at the Online Mendelian Inheritance in Man database, but complex diseases are more difficult. Association studies have found many individual genetic regions that individually are weakly associated with complex diseases (such as infertility, breast cancer and Alzheimer's disease), rather than a single cause. There are currently many challenges to using genes for diagnosis and treatment, such as how we don't know which genes are important, or how stable the choices an algorithm provides. Genome-wide association studies have successfully identified thousands of common genetic variants for complex diseases and traits; however, these common variants only explain a small fraction of heritability. Rare variants may account for some of the missing heritability. Large-scale whole genome sequencing studies have rapidly sequenced millions of whole genomes, and such studies have identified hundreds of millions of rare variants. Functional annotations predict the effect or function of a genetic variant and help to prioritize rare functional variants, and incorporating these annotations can effectively boost the power of genetic association of rare variants analysis of whole genome sequencing studies. Some tools have been developed to provide all-in-one rare variant association analysis for whole-genome sequencing data, including integration of genotype data and their functional annotations, association analysis, result summary and visualization. Meta-analysis of whole genome sequencing studies provides an attractive solution to the problem of collecting large sample sizes for discovering rare variants associated with complex phenotypes. Analysis of mutations in cancer. In cancer, the genomes of affected cells are rearranged in complex or unpredictable ways. In addition to single-nucleotide polymorphism arrays identifying point mutations that cause cancer, oligonucleotide microarrays can be used to identify chromosomal gains and losses (called comparative genomic hybridization). These detection methods generate terabytes of data per experiment. The data is often found to contain considerable variability, or noise, and thus Hidden Markov model and change-point analysis methods are being developed to infer real copy number changes. Two important principles can be used to identify cancer by mutations in the exome. First, cancer is a disease of accumulated somatic mutations in genes. Second, cancer contains driver mutations which need to be distinguished from passengers. Further improvements in bioinformatics could allow for classifying types of cancer by analysis of cancer driven mutations in the genome. Furthermore, tracking of patients while the disease progresses may be possible in the future with the sequence of cancer samples. Another type of data that requires novel informatics development is the analysis of lesions found to be recurrent among many tumors. Gene and protein expression. Analysis of gene expression. The expression of many genes can be determined by measuring mRNA levels with multiple techniques including microarrays, expressed cDNA sequence tag (EST) sequencing, serial analysis of gene expression (SAGE) tag sequencing, massively parallel signature sequencing (MPSS), RNA-Seq, also known as "Whole Transcriptome Shotgun Sequencing" (WTSS), or various applications of multiplexed in-situ hybridization. All of these techniques are extremely noise-prone and/or subject to bias in the biological measurement, and a major research area in computational biology involves developing statistical tools to separate signal from noise in high-throughput gene expression studies. Such studies are often used to determine the genes implicated in a disorder: one might compare microarray data from cancerous epithelial cells to data from non-cancerous cells to determine the transcripts that are up-regulated and down-regulated in a particular population of cancer cells. Analysis of protein expression. Protein microarrays and high throughput (HT) mass spectrometry (MS) can provide a snapshot of the proteins present in a biological sample. The former approach faces similar problems as with microarrays targeted at mRNA, the latter involves the problem of matching large amounts of mass data against predicted masses from protein sequence databases, and the complicated statistical analysis of samples when multiple incomplete peptides from each protein are detected. Cellular protein localization in a tissue context can be achieved through affinity proteomics displayed as spatial data based on immunohistochemistry and tissue microarrays. Analysis of regulation. Gene regulation is a complex process where a signal, such as an extracellular signal such as a hormone, eventually leads to an increase or decrease in the activity of one or more proteins. Bioinformatics techniques have been applied to explore various steps in this process. For example, gene expression can be regulated by nearby elements in the genome. Promoter analysis involves the identification and study of sequence motifs in the DNA surrounding the protein-coding region of a gene. These motifs influence the extent to which that region is transcribed into mRNA. Enhancer elements far away from the promoter can also regulate gene expression, through three-dimensional looping interactions. These interactions can be determined by bioinformatic analysis of chromosome conformation capture experiments. Expression data can be used to infer gene regulation: one might compare microarray data from a wide variety of states of an organism to form hypotheses about the genes involved in each state. In a single-cell organism, one might compare stages of the cell cycle, along with various stress conditions (heat shock, starvation, etc.). Clustering algorithms can be then applied to expression data to determine which genes are co-expressed. For example, the upstream regions (promoters) of co-expressed genes can be searched for over-represented regulatory elements. Examples of clustering algorithms applied in gene clustering are k-means clustering, self-organizing maps (SOMs), hierarchical clustering, and consensus clustering methods. Analysis of cellular organization. Several approaches have been developed to analyze the location of organelles, genes, proteins, and other components within cells. A gene ontology category, "cellular component", has been devised to capture subcellular localization in many biological databases. Microscopy and image analysis. Microscopic pictures allow for the location of organelles as well as molecules, which may be the source of abnormalities in diseases. Protein localization. Finding the location of proteins allows us to predict what they do. This is called protein function prediction. For instance, if a protein is found in the nucleus it may be involved in gene regulation or splicing. By contrast, if a protein is found in mitochondria, it may be involved in respiration or other metabolic processes. There are well developed protein subcellular localization prediction resources available, including protein subcellular location databases, and prediction tools. Nuclear organization of chromatin. Data from high-throughput chromosome conformation capture experiments, such as Hi-C (experiment) and ChIA-PET, can provide information on the three-dimensional structure and nuclear organization of chromatin. Bioinformatic challenges in this field include partitioning the genome into domains, such as Topologically Associating Domains (TADs), that are organised together in three-dimensional space. Structural bioinformatics. Finding the structure of proteins is an important application of bioinformatics. The Critical Assessment of Protein Structure Prediction (CASP) is an open competition where worldwide research groups submit protein models for evaluating unknown protein models. Amino acid sequence. The linear amino acid sequence of a protein is called the primary structure. The primary structure can be easily determined from the sequence of codons on the DNA gene that codes for it. In most proteins, the primary structure uniquely determines the 3-dimensional structure of a protein in its native environment. An exception is the misfolded prion protein involved in bovine spongiform encephalopathy. This structure is linked to the function of the protein. Additional structural information includes the "secondary", "tertiary" and "quaternary" structure. A viable general solution to the prediction of the function of a protein remains an open problem. Most efforts have so far been directed towards heuristics that work most of the time. Homology. In the genomic branch of bioinformatics, homology is used to predict the function of a gene: if the sequence of gene "A", whose function is known, is homologous to the sequence of gene "B," whose function is unknown, one could infer that B may share A's function. In structural bioinformatics, homology is used to determine which parts of a protein are important in structure formation and interaction with other proteins. Homology modeling is used to predict the structure of an unknown protein from existing homologous proteins. One example of this is hemoglobin in humans and the hemoglobin in legumes (leghemoglobin), which are distant relatives from the same protein superfamily. Both serve the same purpose of transporting oxygen in the organism. Although both of these proteins have very different amino acid sequences, their protein structures are very similar, reflecting their shared function and shared ancestor. Other techniques for predicting protein structure include protein threading and "de novo" (from scratch) physics-based modeling. Another aspect of structural bioinformatics include the use of protein structures for Virtual Screening models such as Quantitative Structure-Activity Relationship models and proteochemometric models (PCM). Furthermore, a protein's crystal structure can be used in simulation of for example ligand-binding studies and "in silico" mutagenesis studies. A 2021 deep-learning algorithms-based software called AlphaFold, developed by Google's DeepMind, greatly outperforms all other prediction software methods, and has released predicted structures for hundreds of millions of proteins in the AlphaFold protein structure database. Network and systems biology. "Network analysis" seeks to understand the relationships within biological networks such as metabolic or protein–protein interaction networks. Although biological networks can be constructed from a single type of molecule or entity (such as genes), network biology often attempts to integrate many different data types, such as proteins, small molecules, gene expression data, and others, which are all connected physically, functionally, or both. "Systems biology" involves the use of computer simulations of cellular subsystems (such as the networks of metabolites and enzymes that comprise metabolism, signal transduction pathways and gene regulatory networks) to both analyze and visualize the complex connections of these cellular processes. Artificial life or virtual evolution attempts to understand evolutionary processes via the computer simulation of simple (artificial) life forms. Molecular interaction networks. Tens of thousands of three-dimensional protein structures have been determined by X-ray crystallography and protein nuclear magnetic resonance spectroscopy (protein NMR) and a central question in structural bioinformatics is whether it is practical to predict possible protein–protein interactions only based on these 3D shapes, without performing protein–protein interaction experiments. A variety of methods have been developed to tackle the protein–protein docking problem, though it seems that there is still much work to be done in this field. Other interactions encountered in the field include Protein–ligand (including drug) and protein–peptide. Molecular dynamic simulation of movement of atoms about rotatable bonds is the fundamental principle behind computational algorithms, termed docking algorithms, for studying molecular interactions. Biodiversity informatics. Biodiversity informatics deals with the collection and analysis of biodiversity data, such as taxonomic databases, or microbiome data. Examples of such analyses include phylogenetics, niche modelling, species richness mapping, DNA barcoding, or species identification tools. A growing area is also macro-ecology, i.e. the study of how biodiversity is connected to ecology and human impact, such as climate change. Others. Literature analysis. The enormous number of published literature makes it virtually impossible for individuals to read every paper, resulting in disjointed sub-fields of research. Literature analysis aims to employ computational and statistical linguistics to mine this growing library of text resources. For example: The area of research draws from statistics and computational linguistics. High-throughput image analysis. Computational technologies are used to automate the processing, quantification and analysis of large amounts of high-information-content biomedical imagery. Modern image analysis systems can improve an observer's accuracy, objectivity, or speed. Image analysis is important for both diagnostics and research. Some examples are: High-throughput single cell data analysis. Computational techniques are used to analyse high-throughput, low-measurement single cell data, such as that obtained from flow cytometry. These methods typically involve finding populations of cells that are relevant to a particular disease state or experimental condition. Ontologies and data integration. Biological ontologies are directed acyclic graphs of controlled vocabularies. They create categories for biological concepts and descriptions so they can be easily analyzed with computers. When categorised in this way, it is possible to gain added value from holistic and integrated analysis. The OBO Foundry was an effort to standardise certain ontologies. One of the most widespread is the Gene ontology which describes gene function. There are also ontologies which describe phenotypes. Databases. Databases are essential for bioinformatics research and applications. Databases exist for many different information types, including DNA and protein sequences, molecular structures, phenotypes and biodiversity. Databases can contain both empirical data (obtained directly from experiments) and predicted data (obtained from analysis of existing data). They may be specific to a particular organism, pathway or molecule of interest. Alternatively, they can incorporate data compiled from multiple other databases. Databases can have different formats, access mechanisms, and be public or private. Some of the most commonly used databases are listed below: Software and tools. Software tools for bioinformatics include simple command-line tools, more complex graphical programs, and standalone web-services. They are made by bioinformatics companies or by public institutions. Open-source bioinformatics software. Many free and open-source software tools have existed and continued to grow since the 1980s. The combination of a continued need for new algorithms for the analysis of emerging types of biological readouts, the potential for innovative "in silico" experiments, and freely available open code bases have created opportunities for research groups to contribute to both bioinformatics regardless of funding. The open source tools often act as incubators of ideas, or community-supported plug-ins in commercial applications. They may also provide "de facto" standards and shared object models for assisting with the challenge of bioinformation integration. Open-source bioinformatics software includes Bioconductor, BioPerl, Biopython, BioJava, BioJS, BioRuby, Bioclipse, EMBOSS, .NET Bio, Orange with its bioinformatics add-on, Apache Taverna, UGENE and GenoCAD. The non-profit Open Bioinformatics Foundation and the annual Bioinformatics Open Source Conference promote open-source bioinformatics software. Web services in bioinformatics. SOAP- and REST-based interfaces have been developed to allow client computers to use algorithms, data and computing resources from servers in other parts of the world. The main advantage are that end users do not have to deal with software and database maintenance overheads. Basic bioinformatics services are classified by the EBI into three categories: SSS (Sequence Search Services), MSA (Multiple Sequence Alignment), and BSA (Biological Sequence Analysis). The availability of these service-oriented bioinformatics resources demonstrate the applicability of web-based bioinformatics solutions, and range from a collection of standalone tools with a common data format under a single web-based interface, to integrative, distributed and extensible bioinformatics workflow management systems. Bioinformatics workflow management systems. A bioinformatics workflow management system is a specialized form of a workflow management system designed specifically to compose and execute a series of computational or data manipulation steps, or a workflow, in a Bioinformatics application. Such systems are designed to Some of the platforms giving this service: Galaxy, Kepler, Taverna, UGENE, Anduril, HIVE. BioCompute and BioCompute Objects. In 2014, the US Food and Drug Administration sponsored a conference held at the National Institutes of Health Bethesda Campus to discuss reproducibility in bioinformatics. Over the next three years, a consortium of stakeholders met regularly to discuss what would become BioCompute paradigm. These stakeholders included representatives from government, industry, and academic entities. Session leaders represented numerous branches of the FDA and NIH Institutes and Centers, non-profit entities including the Human Variome Project and the European Federation for Medical Informatics, and research institutions including Stanford, the New York Genome Center, and the George Washington University. It was decided that the BioCompute paradigm would be in the form of digital 'lab notebooks' which allow for the reproducibility, replication, review, and reuse, of bioinformatics protocols. This was proposed to enable greater continuity within a research group over the course of normal personnel flux while furthering the exchange of ideas between groups. The US FDA funded this work so that information on pipelines would be more transparent and accessible to their regulatory staff. In 2016, the group reconvened at the NIH in Bethesda and discussed the potential for a BioCompute Object, an instance of the BioCompute paradigm. This work was copied as both a "standard trial use" document and a preprint paper uploaded to bioRxiv. The BioCompute object allows for the JSON-ized record to be shared among employees, collaborators, and regulators. Education platforms. While bioinformatics is taught as an in-person master's degree at many universities, there are many other methods and technologies available to learn and obtain certification in the subject. The computational nature of bioinformatics lends it to computer-aided and online learning. Software platforms designed to teach bioinformatics concepts and methods include Rosalind and online courses offered through the Swiss Institute of Bioinformatics Training Portal. The Canadian Bioinformatics Workshops provides videos and slides from training workshops on their website under a Creative Commons license. The 4273π project or 4273pi project also offers open source educational materials for free. The course runs on low cost Raspberry Pi computers and has been used to teach adults and school pupils. 4273 is actively developed by a consortium of academics and research staff who have run research level bioinformatics using Raspberry Pi computers and the 4273π operating system. MOOC platforms also provide online certifications in bioinformatics and related disciplines, including Coursera's Bioinformatics Specialization at the University of California, San Diego, Genomic Data Science Specialization at Johns Hopkins University, and EdX's Data Analysis for Life Sciences XSeries at Harvard University. Conferences. There are several large conferences that are concerned with bioinformatics. Some of the most notable examples are Intelligent Systems for Molecular Biology (ISMB), European Conference on Computational Biology (ECCB), and Research in Computational Molecular Biology (RECOMB).
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Brian De Palma
Brian Russell De Palma (; born September 11, 1940) is an American film director and screenwriter. With a career spanning over 50 years, he is best known for work in the suspense, crime, and psychological thriller genres. De Palma was a leading member of the New Hollywood generation. "Carrie" (1976), his adaptation of Stephen King's novel of the same name, gained him prominence as a young filmmaker. He enjoyed commercial success with "Dressed to Kill" (1980), "The Untouchables" (1987) and (1996) and made cult classics such as "Greetings" (1968), "Hi, Mom!" (1970), "Sisters" (1972), "Phantom of the Paradise" (1974), and "The Fury" (1978). As a young director, De Palma dreamed of being the "American Godard". His style is allusive; he paid homage to Alfred Hitchcock in "Obsession" (1976) and "Body Double" (1984); "Blow Out" (1981) is based on Michelangelo Antonioni's "Blowup" (1966), and "Scarface" (1983), his remake of Howard Hawks's 1932 film, is dedicated to Hawks and Ben Hecht. His work has been criticized for its violence and sexual content but has also been championed by American critics such as Roger Ebert and Pauline Kael. In 2015, he was interviewed about his work in a well-received documentary by Noah Baumbach. Early life and education. De Palma was born on September 11, 1940, in Newark, New Jersey, the youngest of three boys. His Italian-American parents were Vivienne DePalma (née Muti), and Anthony F. DePalma, an orthopedic surgeon who was the son of immigrants from Alberona, Province of Foggia. He was raised in Philadelphia, Pennsylvania and New Hampshire, and attended various Protestant and Quaker schools, eventually graduating from Friends' Central School. He had a poor relationship with his father, and would secretly follow him to record his adulterous behavior; this would eventually inspire the teenage character in De Palma's "Dressed to Kill" (1980). When he was in high school, he built computers. He won a regional science-fair prize for his project "An Analog Computer to Solve Differential Equations". Enrolled at Columbia University as a physics student, De Palma became enraptured with filmmaking after seeing Orson Welles's "Citizen Kane" (1941) and Alfred Hitchcock's "Vertigo" (1958). After receiving his undergraduate degree in 1962, De Palma enrolled at the newly mixed-gender Sarah Lawrence College as a graduate student in their theater department, earning an M.A. in the discipline in 1964 and becoming one of the first male students in a predominantly female school. Once there, influences as various as drama teacher Wilford Leach, the Maysles brothers, Michelangelo Antonioni, Andy Warhol and Jean-Luc Godard, impressed upon De Palma the many styles and themes that would shape his work in the coming decades. Career. 1963–1976: Rise to prominence. An early association with a young Robert De Niro resulted in "The Wedding Party". The film, co-directed with Wilford Leach and producer Cynthia Munroe, had been shot in 1963 but remained unreleased until 1969, when De Palma's star had risen sufficiently in the Greenwich Village filmmaking scene. De Niro was unknown at the time; the credits mistakenly display his name as "Robert ". The film is noteworthy for its invocation of silent film techniques and use of the jump-cut. De Palma followed this style with various small films for the NAACP and the Treasury Department. During the 1960s, De Palma began making a living producing documentaries, notably "The Responsive Eye" (1966), about "The Responsive Eye" op-art exhibit curated by William Seitz for MoMA in 1965. In an interview with Joseph Gelmis from 1969, De Palma described the film as "very good and very successful. It's distributed by Pathe Contemporary and makes lots of money. I shot it in four hours, with synched sound. I had two other guys shooting people's reactions to the paintings, and the paintings themselves." "Dionysus in '69" (1969) was De Palma's other major documentary from this period. The film records the Performance Group's performance of Euripides's "The Bacchae", starring, amongst others, De Palma regular William Finley. The play is noted for breaking traditional barriers between performers and audience. The film's most striking quality is its extensive use of the split-screen. De Palma recalls that he was "floored" by this performance upon first sight, and in 1973 recounts how he "began to try and figure out a way to capture it on film. I came up with the idea of split-screen, to be able to show the actual audience involvement, to trace the life of the audience and that of the play as they merge in and out of each other." De Palma's most significant features from this decade are "Greetings" (1968) and "Hi, Mom!" (1970). Both films star De Niro and espouse a leftist revolutionary viewpoint in the spirit of the time. "Greetings" was entered into the 19th Berlin International Film Festival, where it won a Silver Bear award. His other major film from this period is the slasher comedy "Murder a la Mod" (1968). Each of these films experiments with narrative and intertextuality, reflecting De Palma's stated intention to become the "American Godard". In 1970, De Palma left New York for Hollywood at age thirty to make "Get to Know Your Rabbit" (1972), starring Orson Welles and Tommy Smothers. Making the film was a crushing experience for De Palma, as Smothers did not like many of De Palma's ideas. Here he made several small, studio and independently released films. Among them were the horror film "Sisters" (1972), the rock musical "Phantom of the Paradise" (1974) and "Obsession" (1976), a variation on theme of Alfred Hitchcock's "Vertigo" (1958) scored by Hitchcock's frequent collaborator Bernard Herrmann. 1976–1979: Breakthrough. In November 1976, De Palma released an adaptation of Stephen King's novel "Carrie". Though some see the psychic thriller as De Palma's bid for a blockbuster, the project was in fact small, underfunded by United Artists, and well under the cultural radar during the early months of production, as King's novel was not yet a bestseller. De Palma gravitated toward the project and changed crucial plot elements based upon his own predilections. The cast was mostly young and relatively new, though Sissy Spacek and John Travolta had gained attention for previous work in, respectively, film and sitcoms. "Carrie" became De Palma's first genuine box-office success, garnering Spacek and Piper Laurie Oscar nominations for their performances. Pre-production for the film had coincided with the casting process for George Lucas's "Star Wars", and many of the actors cast in De Palma's film had been earmarked as contenders for Lucas's movie, and vice versa. Its suspense sequences are buttressed by teen comedy tropes, and its use of split-screen, split-diopter and slow motion shots tell the story visually rather than through dialogue. As for Lucas's project, De Palma complained in an early viewing of "Star Wars" that the opening text crawl was poorly written and volunteered to help edit the text to a more concise and engaging form. The financial and critical success of "Carrie" allowed De Palma to pursue more personal material. Alfred Bester's novel "The Demolished Man" had fascinated De Palma since the late 1950s and appealed to his background in mathematics and avant-garde storytelling. Its unconventional unfolding of plot (exemplified in its mathematical layout of dialogue) and its stress on perception have analogs in De Palma's filmmaking. He sought to adapt it numerous times, though the project would carry a substantial price tag, and has yet to appear on-screen (Steven Spielberg's 2002 adaptation of Philip K. Dick's "Minority Report" bears striking similarities to De Palma's visual style and some of the themes of "The Demolished Man"). The result of his experience with adapting "The Demolished Man" was the 1978 science fiction psychic thriller "The Fury", starring Kirk Douglas, Carrie Snodgress, John Cassavetes and Amy Irving. The film was admired by Jean-Luc Godard, who featured a clip in his mammoth "Histoire(s) du cinéma", and Pauline Kael, who championed both "The Fury" and De Palma. The film boasted a larger budget than "Carrie", though the consensus view at the time was that De Palma was repeating himself, with diminishing returns. 1980–1996: Established career. The 1980s were marked by some of De Palma's best known films, including the erotic thriller "Dressed to Kill" (1980) starring Michael Caine and Angie Dickinson. Although the film received critical acclaim, it caused controversy for its negative depiction of the transgender community. The following year he directed "Blow Out" (1981), a variation on Michelangelo Antonioni's "Blow-Up" (1966) and Francis Ford Coppola's "The Conversation" (1974) starring John Travolta, Nancy Allen and John Lithgow. The film received critical acclaim. Kael wrote: "De Palma has sprung to the place that Robert Altman achieved with films such as "McCabe & Mrs. Miller" and "Nashville" and that Francis Ford Coppola reached with "The Godfather" films—that is, to the place where genre is transcended and what we're moved by is an artist's vision. It's a great movie." De Palma directed "Scarface" (1983), a remake of Howard Hawks's 1932 film, starring Al Pacino and Michelle Pfeiffer with a screenplay by Oliver Stone. The film received mixed reviews with its negative depictions of ethnic stereotypes, as well as its violence and profanity. It has since been re-evaluated and is now considered a cult classic. The following year he made another erotic thriller, "Body Double" (1984), starring Craig Wasson and Melanie Griffith. The film also received mixed reviews but has since had a reassessment and found acclaim. De Palma directed the music video for Bruce Springsteen's single "Dancing in the Dark" the same year. In 1987, De Palma directed the crime film "The Untouchables", loosely based on the book of the same name and adapted by David Mamet. The film stars Kevin Costner, Andy Garcia, Robert De Niro and Sean Connery, the last of whom won the Academy Award for Best Supporting Actor for the film. It received critical acclaim and box-office success. De Palma's Vietnam War film "Casualties of War" (1989) won critical praise but performed poorly in theatres and "The Bonfire of the Vanities" (1990) was a notorious failure with both critics and audiences. De Palma then had subsequent successes with "Raising Cain" (1992) and "Carlito's Way" (1993). "" (1996) was his highest-grossing film and started "." 1998–present: Career slump. De Palma's work after "Mission: Impossible" has been less well received. His ensuing films "Snake Eyes" (1998), "Mission to Mars" (2000), and "Femme Fatale" (2002) all failed at the box office and received generally poor reviews, though "Femme Fatale" has since been revived in the eyes of many film critics and became a cult classic. His 2006 adaptation of "The Black Dahlia" was also unsuccessful and is currently the last movie De Palma has directed with backing from Hollywood. A political controversy erupted over the portrayal of US soldiers in De Palma's 2007 film "Redacted". Loosely based on the 2006 Mahmudiyah killings by American soldiers in Iraq, the film echoes themes that appeared in "Casualties of War". "Redacted" received a limited release in the United States and grossed less than $1 million against a $5 million budget. De Palma's output has slowed since the release of "Redacted", with subsequent projects often falling into development hell, due mostly to creative differences. In 2012, his film "Passion" starring Rachel McAdams and Noomi Rapace was selected to compete for the Golden Lion at the 69th Venice International Film Festival but received mixed reviews and was financially unsuccessful. De Palma's next project was the thriller "Domino" (2019), released two years after the film began production. It received generally negative reviews and was released direct-to-VOD in the United States, grossing less than half a million dollars internationally. De Palma has also expressed dissatisfaction with both the production of the film and the final result; "I never experienced such a horrible movie set." In 2018, De Palma published his debut novel in France, "Les serpents sont-ils nécessaires?" (English translation: "Are Snakes Necessary?"), co-written with Susan Lehman. It was published in the U.S. in 2020. De Palma and Lehman also wrote a second book, currently unpublished, called "Terry", based on one of De Palma's passion projects about a French film production making an adaptation of "Thérèse Raquin". It was announced in 2018 that De Palma would write and direct a horror film titled "Predator", inspired by the Harvey Weinstein sexual abuse cases, and would direct Wagner Moura in a film titled "Sweet Vengeance", based on two real-life murder cases. Filming on the latter was to have begun in early 2019 in Montevideo. In a 2020 interview with the "Associated Press", De Palma confirmed that "Predator" was retitled "Catch and Kill" and added that he was to have started filming in August that same year. Despite rumors of his supposed retirement after having had "Sweet Vengeance" and "Catch and Kill" fall through, De Palma revealed to "Vulture" in September 2024 that he had "one other" undisclosed film he was planning to make, and that he was in the process of trying to cast it. Filmmaking style, techniques and trademarks. De Palma's films can fall into two categories: his thriller films ("Sisters", "Body Double", "Obsession", "Dressed to Kill", "Blow Out", "Raising Cain") and his mainly commercial films ("The Untouchables", "Carlito's Way", and "Mission: Impossible"). He has often produced "De Palma" films one after the other before going on to direct a different genre, but would always return to his familiar territory. Because of the subject matter and graphic violence of some of De Palma's films, such as "Dressed to Kill", "Scarface" and "Body Double", they are often at the center of controversy with the Motion Picture Association of America, film critics and the viewing public. Inspirations. De Palma frequently quotes and refers to other directors' work. His early work was inspired by the films of Jean-Luc Godard. Michelangelo Antonioni's "Blowup" and Francis Ford Coppola's "The Conversation" plots were used for the basis of "Blow Out". "The Untouchables" finale shoot out in the train station is a clear borrowing from the Odessa Steps sequence in Sergei Eisenstein's "The Battleship Potemkin". The main plot from "Rear Window" was used for "Body Double", while it also used elements of "Vertigo". "Vertigo" was also the basis for "Obsession". "Dressed to Kill" was a note-for-note homage to Hitchcock's "Psycho", including such moments as the surprise death of the lead actress and the exposition scene by the psychiatrist at the end. Camera shots. Film critics have often noted De Palma's penchant for unusual camera angles and compositions. He often frames characters against the background using a canted angle shot. Split-screen techniques have been used to show two separate events happening simultaneously. To emphasize the dramatic effect of a certain scene De Palma has employed a 360-degree camera pan. Slow sweeping, panning, and tracking shots are often used throughout his films, often through precisely-choreographed long takes lasting for minutes without cutting. Split focus shots, often referred to as "di-opt", are used by De Palma to emphasize the foreground person/object while simultaneously keeping a background person/object in focus. Slow-motion is frequently used in his films to increase suspense. Personal life. De Palma has been married and divorced three times, to actress Nancy Allen (1979–1983), producer Gale Anne Hurd (1991–1993), and Darnell Gregorio (1995–1997). He has one daughter from his marriage to Hurd, and one daughter from his marriage to Gregorio. He resides in Manhattan, New York. Reception and legacy. De Palma is often cited as a leading member of the New Hollywood generation of film directors, a distinct pedigree who either emerged from film schools or are overtly cine-literate. His contemporaries include Martin Scorsese, Paul Schrader, John Milius, George Lucas, Francis Ford Coppola, Steven Spielberg, John Carpenter, and Ridley Scott. His artistry in directing and use of cinematography and suspense in several of his films has often been compared to the work of Alfred Hitchcock. Psychologists have been intrigued by De Palma's fascination with pathology, by the aberrant behavior aroused in characters who find themselves manipulated by others. De Palma has encouraged and fostered the filmmaking careers of directors such as Mark Romanek and Keith Gordon, the latter of whom collaborated with him twice as an actor, both in 1979's "Home Movies" and 1980's "Dressed to Kill". Filmmakers influenced by De Palma include Terrence Malick, Quentin Tarantino, Ronny Yu, Don Mancini, Nacho Vigalondo, and Jack Thomas Smith. During an interview with De Palma, Quentin Tarantino said that "Blow Out" is one of his all-time favorite films, and that after watching "Scarface" he knew how to make his own film. John Travolta's performance as Jack Terry in "Blow Out" even resulted in Tarantino casting him as Vincent Vega in his 1994 film "Pulp Fiction", which would go on to reinvigorate Travolta's then-declining career. Tarantino also placed "Carrie" at number eight in a list of his favorite films. Critics who frequently admire De Palma's work include Pauline Kael and Roger Ebert. Kael wrote in her review of "Blow Out", "At forty, Brian De Palma has more than twenty years of moviemaking behind him, and he has been growing better and better. Each time a new film of his opens, everything he has done before seems to have been preparation for it." In his review of "Femme Fatale", Roger Ebert wrote about the director: "De Palma deserves more honor as a director. Consider also these titles: "Sisters", "Blow Out", "The Fury", "Dressed to Kill", "Carrie", "Scarface", "Wise Guys", "Casualties of War", "Carlito's Way", "Mission: Impossible". Yes, there are a few failures along the way ("Snake Eyes", "Mission to Mars", "The Bonfire of the Vanities"), but look at the range here, and reflect that these movies contain treasure for those who admire the craft as well as the story, who sense the glee with which De Palma manipulates images and characters for the simple joy of being good at it. It's not just that he sometimes works in the style of Hitchcock, but that he has the nerve to." The influential French film magazine "Cahiers du Cinéma" has placed five of De Palma's films ("Carlito's Way", "", "Snake Eyes", "Mission to Mars", and "Redacted") on their annual top ten list, with "Redacted" placing first on the 2008 list. The magazine also listed "Carlito's Way" as the greatest film of the 1990s. Julie Salamon has written that critics have accused De Palma of being "a perverse misogynist", to which De Palma has responded with, "I'm always attacked for having an erotic, sexist approach chopping up women, putting women in peril. I'm making suspense movies! What else is going to happen to them?" His films have also been interpreted as feminist and examined for their perceived queer affinities. In "Film Comment" "Queer and Now and Then" column on "Femme Fatale", film critic Michael Koresky writes that "De Palma's films radiate an undeniable queer energy" and notes the "intense appeal" De Palma's films have for gay critics. In her book "The Erotic Thriller in Contemporary Cinema", Linda Ruth Williams writes that "De Palma understood the cinematic potency of dangerous fucking, perhaps earlier than his feminist detractors". Robin Wood considered "Sisters" an overtly feminist film, writing that "one can define the monster of "Sisters" as women's liberation; adding only that the film follows the time-honored horror film tradition of making the monster emerge as the most sympathetic character and its emotional center." Pauline Kael's review of "Casualties of War", "A Wounded Apparition", describes the film as "feminist" and notes that "De Palma was always involved in examining (and sometimes satirizing) victimization, but he was often accused of being a victimizer". Helen Grace, in a piece for "Lola", writes that upon seeing "Dressed to Kill" amidst calls for a boycott from feminist groups Women Against Violence Against Women and Women Against Pornography, that the film "seemed to say more about masculine anxiety than about the fears that women were expressing in relation to the film". De Palma has also expressed contrition for the depiction of a transgender murderer in the film, saying in a 2016 interview "I don't know what the transgender community would think [of the film now]... Obviously I realize that it's not good for their image to be transgender and also be a psychopathic murderer. But I think that [perception] passes with time. We're in a different time." In the same interview, he said he was "glad" that the film had become a "a favorite of the gay community". David Thomson wrote in his entry for De Palma, "There is a self-conscious cunning in De Palma's work, ready to control everything except his own cruelty and indifference." Matt Zoller Seitz objected to this characterisation, writing that there are films from the director which can be seen as "straightforwardly empathetic and/or moralistic". His life and career in his own words was the subject of the 2015 documentary "De Palma," directed by Noah Baumbach and Jake Paltrow.
4218
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https://en.wikipedia.org/wiki?curid=4218
North American B-25 Mitchell
The North American B-25 Mitchell is an American medium bomber that was introduced in 1941 and named in honor of Brigadier General William "Billy" Mitchell, a pioneer of U.S. military aviation. Used by many Allied air forces, the B-25 served in every theater of World War II, and after the war ended, many remained in service, operating across four decades. Produced in numerous variants, nearly 10,000 B-25s were built. It was the most-produced American medium bomber and the third-most-produced American bomber overall. These included several limited models such as the F-10 reconnaissance aircraft, the AT-24 crew trainer, and the United States Marine Corps' PBJ-1 patrol bomber. Design and development. In March 1939, the US Army Air Corps issued a specification for a medium bomber that was capable of carrying a payload of over at . North American Aviation (NAA) used its NA-40B design to develop the NA-62, which competed for the medium bomber contract. No YB-25 was available for prototype service tests. In September 1939, the Air Corps ordered the NA-62 into production as the B-25, along with the other new Air Corps medium bomber, the Martin B-26 Marauder "off the drawing board". Early into B-25 production, NAA made a significant redesign of the wing dihedral. The first nine aircraft had constant-dihedral, the wing having a consistent upward angle from the fuselage to the wingtip. This caused stability problems; "Flattening" the outer wing panels just outboard of the engine nacelles cured the problem and gave the B-25 its gull wing configuration. Less noticeable changes during this period included an increase in the size of the tail fins and a decrease in their inward tilt at their tops. NAA continued design and development in 1940 and 1941. Both the B-25A and B-25B series entered USAAF service. The B-25B was operational in 1942. Combat requirements led to further developments. Before the year was over, NAA was producing the B-25C and B-25D series at different plants. Also in 1942, the manufacturer began design work on the cannon-armed B-25G series. The NA-100 of 1943 and 1944 was an interim armament development at the Kansas City complex known as the B-25D2. Similar armament upgrades by U.S-based commercial modification centers involved about half of the B-25G series. Further development led to the B-25H, B-25J, and B-25J2. The gunship design concept dates to late 1942 and NAA sent a field technical representative to the SWPA. The factory-produced B-25G entered production during the NA-96 order followed by the redesigned B-25H gunship. The B-25J reverted to the bomber role, but it, too, could be outfitted as a strafer. NAA manufactured the greatest number of aircraft in World War II, the first time a company had produced trainers, bombers, and fighters simultaneously (the AT-6/SNJ Texan/Harvard, B-25 Mitchell, and the P-51 Mustang). It produced B-25s at both its Inglewood main plant and an additional 6,608 aircraft at its Kansas City, Kansas, plant at Fairfax Airport. After the war, the USAF placed a contract for the TB-25L trainer in 1952. This was a modification program by Hayes of Birmingham, Alabama. Its primary role was reciprocating engine pilot training. A development of the B-25 was the North American XB-28 Dragon, designed as a high-altitude bomber. Two prototypes were built with the second prototype, the XB-28A, evaluated as a photo-reconnaissance platform, but the aircraft did not enter production. Flight characteristics. The B-25 was a safe and forgiving aircraft to fly. With one engine out, 60° banking turns into the dead engine were possible, and control could be easily maintained down to 145 mph (230 km/h). The pilot had to remember to maintain engine-out directional control at low speeds after takeoff with rudder; if this maneuver were attempted with ailerons, the aircraft could snap out of control. The tricycle landing gear made for excellent visibility while taxiing. The only significant complaint about the B-25 was its extremely noisy engines; as a result, many pilots eventually suffered from some degree of hearing loss. The high noise level was due to design and space restrictions in the engine cowlings, which resulted in the exhaust "stacks" protruding directly from the cowling ring and partly covered by a small triangular fairing. This arrangement directed exhaust and noise directly at the pilot and crew compartments. Durability. The Mitchell was exceptionally sturdy and could withstand tremendous punishment. One B-25C of the 321st Bomb Group was nicknamed "Patches" because its crew chief painted all the aircraft's flak hole patches with bright yellow zinc chromate primer. By the end of the war, this aircraft had completed over 300 missions, had been belly-landed six times, and had over 400 patched holes. The airframe of "Patches" was so distorted from battle damage that straight-and-level flight required 8° of left aileron trim and 6° of right rudder, causing the aircraft to "crab" sideways across the sky. Operational history. Asia-Pacific. Most B-25s in American service were used in the war against Japan in Asia and the Pacific. The Mitchell fought from the North to the South Pacific and the Far East. These areas included the campaigns in the Aleutian Islands, Papua New Guinea, the Solomon Islands, New Britain, China, Burma, and the island hopping campaign in the Central Pacific, as well as in the Doolittle Raid. The aircraft's potential as a ground-attack aircraft emerged during the Pacific war. The jungle environment reduced the usefulness of medium-level bombing, and made low-level attack the best tactic. Using similar mast height level tactics and skip bombing, the B-25 proved itself to be a capable anti-shipping weapon and sank many enemy sea vessels. An ever-increasing number of forward firing guns made the B-25 a formidable strafing aircraft for island warfare. The strafer models were the B-25C-1/D-1, the B-25J-1, and the J-2 subseries with the NAA strafer nose. In Burma, the B-25 was used to attack Japanese communication links, especially bridges in central Burma. It also helped supply the besieged troops at Imphal in 1944. The China Air Task Force, the Chinese American Composite Wing, the First Air Commando Group, the 341st Bomb Group, and eventually, the relocated 12th Bomb Group, all operated the B-25 in the China Burma India Theater. Many of these missions involved battle-field isolation, interdiction, and close air support. Later in the war, as the USAAF acquired bases in other parts of the Pacific, the Mitchell could strike targets in Indochina, Formosa, and Kyushu, increasing the usefulness of the B-25. It was also used in some of the shortest raids of the Pacific War, striking from Saipan against Guam and Tinian. The 41st Bomb Group used it against Japanese-occupied islands that had been bypassed by the main campaign, such as the Marshall Islands. Middle East and Italy. The first B-25s arrived in Egypt and were carrying out independent operations by October 1942. Operations there against Axis airfields and motorized-vehicle columns supported the ground actions of the Second Battle of El Alamein. Thereafter, the aircraft took part in the rest of the campaign in North Africa, the invasion of Sicily, and the advance up Italy. In the Strait of Messina to the Aegean Sea, the B-25 conducted sea sweeps as part of the coastal air forces. In Italy, the B-25 was used in the ground attack role, concentrating on attacks against road and rail links in Italy, Austria, and the Balkans. The B-25 had a longer range than the Douglas A-20 Havoc and Douglas A-26 Invader, allowing it to reach further into occupied Europe. The five bombardment groups – 20 squadrons – of the Ninth and Twelfth Air Forces that used the B-25 in the Mediterranean Theater of Operations were the only U.S. units to employ the B-25 in Europe. Europe. The RAF received nearly 900 Mitchells, using them to replace Douglas Bostons, Lockheed Venturas, and Vickers Wellington bombers. The Mitchell entered active RAF service on 22 January 1943. At first, it was used to bomb targets in occupied Europe. After the Normandy invasion, the RAF and France used Mitchells in support of the Allies in Europe. Several squadrons moved to forward airbases on the continent. The USAAF used the B-25 in combat in the Mediterranean Theater of Operations. US Army Air Forces. The B-25B found fame as the bomber used in the 18 April 1942 Doolittle Raid, in which 15 B-25Bs led by Lieutenant Colonel Jimmy Doolittle attacked mainland Japan, four months after the Japanese attack on Pearl Harbor (a 16th participating plane was forced to abort, landing in Russia, where the crew and it were initially interned). The mission gave a much-needed lift in morale to the Americans and alarmed the Japanese, who had believed their home islands to be inviolable by enemy forces. Although the amount of actual damage done was relatively minor, it forced the Japanese to divert troops for home defense for the remainder of the war. The raiders took off from the carrier and bombed Tokyo and four other Japanese cities. Fifteen of the bombers subsequently crash-landed en route to recovery fields in eastern China. The losses resulted from the task force being spotted by a Japanese vessel, which forced the bombers to take off early, fuel exhaustion, stormy nighttime conditions with zero visibility, and the failure to activate electronic homing aids at the recovery bases. Only one B-25 bomber landed intact, in Vladivostok, where its five-man crew was interned and the aircraft confiscated. Of the 80 aircrew members, 69 survived their historic mission and eventually made it back to American lines. Following additional modifications, including the addition of a Plexiglas dome for navigational sightings to replace the overhead window for the navigator, and heavier nose armament, de-icing and anti-icing equipment, the B-25C entered USAAF operations. Through block 20, the B-25C and B-25D differed only in the location of manufacture: C series at Inglewood, California, and D series at Kansas City, Kansas. After block 20, some NA-96s began the transition to the G series, while some NA-87s acquired interim modifications eventually produced as the B-25D2 and ordered as the NA-100. NAA built a total of 3,915 B-25Cs and Ds during World War II. Although the B-25 was designed to bomb from medium altitudes in level flight, it was frequently used in the Southwest Pacific theatre in treetop-level strafing and missions with parachute-retarded fragmentation bombs against Japanese airfields in New Guinea and the Philippines. These heavily armed Mitchells were field modified at Townsville, Australia, under the direction of Major Paul I. "Pappy" Gunn and North American technical representative Jack Fox. These "commerce destroyers" were also used on strafing and skip bombing missions against Japanese shipping trying to resupply their armies. Under the leadership of Lieutenant General George C. Kenney, Mitchells of the Far East Air Forces and its existing components, the Fifth and Thirteenth Air Forces, devastated Japanese targets in the Southwest Pacific Theater during 1944 to 1945. The USAAF played a significant role in pushing the Japanese back to their home islands. The type operated with great effect in the Central Pacific, Alaska, North Africa, Mediterranean, and China-Burma-India theaters. The USAAF Antisubmarine Command made great use of the B-25 in 1942 and 1943. Some of the earliest B-25 bomb groups also flew the Mitchell on coastal patrols after the Pearl Harbor attack, prior to the AAFAC organization. Many of the two dozen or so antisubmarine squadrons flew the B-25C, D, and G series in the American Theater antisubmarine campaign, often in the distinctive, white sea-search camouflage. Combat developments. Use as a gunship. In antishipping operations, the USAAF had an urgent need for hard-hitting aircraft, and North American responded with the B-25G. In this series, the transparent nose and bombardier/navigator position was changed for a shorter, hatched nose with two fixed .50 in (12.7 mm) machine guns and a manually loaded 75 mm (2.95 in) M4 cannon, one of the largest weapons fitted to an aircraft, similar to the British 57 mm gun-armed Mosquito Mk. XVIII and the autoloading German 75 mm long-barrel "Bordkanone BK 7,5" heavy-caliber ordnance fitted to both the Henschel Hs 129B-3 and Junkers Ju 88P-1. The B-25G's shorter nose placed the cannon breech behind the pilot, where it could be manually loaded and serviced by the navigator; his crew station was moved to a position just behind the pilot. The navigator signaled the pilot when the gun was ready and the pilot fired the weapon using a button on his control wheel. The Royal Air Force, U.S. Navy, and Soviet VVS each conducted trials with this series, but none adopted it. The G series comprised one prototype, five preproduction C conversions, 58 C series modifications, and 400 production aircraft for a total of 464 B-25Gs. In its final version, the G-12, an interim armament modification, eliminated the lower Bendix turret and added a starboard dual gun pack, waist guns, and a canopy for the tail gunner to improve the view when firing the single tail gun. In April 1945, the air depots in Hawaii refurbished about two dozen of these and included the eight-gun nose and rocket launchers in the upgrade. The B-25H series continued the development of the gunship version. NAA Inglewood produced 1000. The H had even more firepower; most replaced the M4 gun with the lighter T13E1, designed specifically for the aircraft, but 20-odd H-1 block aircraft completed by the Republic Aviation modification center at Evansville had the M4 and two-machine-gun nose armament. The 75 mm (2.95 in) gun fired at a muzzle velocity of . Due to its slow rate of fire (about four rounds could be fired in a single strafing run), relative ineffectiveness against ground targets, and the substantial recoil, the 75 mm gun was sometimes removed from both G and H models and replaced with two additional .50 in (12.7 mm) machine guns as a field modification. In the new FEAF, these were redesignated the G1 and H1 series, respectively. The H series normally came from the factory mounting four fixed, forward-firing .50 in (12.7 mm) machine guns in the nose; four in a pair of under-cockpit conformal flank-mount gun pod packages (two guns per side); two more in the manned dorsal turret, relocated forward to a position just behind the cockpit (which became standard for the J-model); one each in a pair of new waist positions, introduced simultaneously with the forward-relocated dorsal turret; and lastly, a pair of guns in a new tail-gunner's position. Company promotional material bragged that the B-25H could "bring to bear 10 machine guns coming and four going, in addition to the 75 mm cannon, eight rockets, and 3,000 lb (1,360 kg) of bombs." The H had a modified cockpit with single flight controls operated by the pilot. The co-pilot's station and controls were removed and replaced by a smaller seat used by the navigator/cannoneer, The radio operator crew position was aft of the bomb bay with access to the waist guns. Factory production totals were 405 B-25Gs and 1,000 B-25Hs, with 248 of the latter being used by the Navy as PBJ-1Hs. Elimination of the co-pilot saved weight, and moving the dorsal turret forward partially counterbalanced the waist guns and the manned rear turret. Return to medium bomber. Following the two-gunship series, NAA again produced the medium bomber configuration with the B-25J series. It optimized the mix of the interim NA-100 and the H series, having both the bombardier's station and fixed guns of the D and the forward turret and refined armament of the H series. NAA also produced a strafer nose-first shipped to air depots as kits, then introduced on the production line in alternating blocks with the bombardier nose. The solid metal "strafer" nose housed eight centerline Browning M2 .50 caliber machine guns. The remainder of the armament was as in the H-5. NAA also supplied kits to mount eight underwing 5 inch High Velocity Airborne Rockets just outside the propeller arcs. These were mounted on zero-length launch rails, four per wing. The final, and most numerous, series of the Mitchell, the B-25J, looked less like earlier series apart from the well-glazed bombardier's nose of nearly identical appearance to the earliest B-25 subtypes. Instead, the J followed the overall configuration of the H series from the cockpit aft. It had the forward dorsal turret and other armament and airframe advancements. All J models included four .50 in (12.7 mm) light-barrel Browning AN/M2 guns in a pair of "fuselage packages", conformal gun pods each flanking the lower cockpit, each pod containing two Browning M2s. By 1945, however, combat squadrons removed these. The J series restored the co-pilot's seat and dual flight controls. The factory-made kits available to the Air Depot system to create the strafer-nose B-25J-2. This configuration carried a total of 18 .50 in (12.7 mm) light-barrel AN/M2 Browning M2 machine guns: eight in the nose, four in the flank-mount conformal gun pod packages, two in the dorsal turret, one each in the pair of waist positions, and a pair in the tail – with 14 of the guns either aimed directly forward or aimed to fire directly forward for strafing missions. Some aircraft had eight 5-inch (130 mm) high-velocity aircraft rockets. NAA introduced the J-2 into production in alternating blocks at the J-22. Total J series production was 4,318. Postwar (USAF) use. In 1947, legislation created an independent United States Air Force (USAF) and by that time, the B-25 inventory numbered only a few hundred. Some B-25s continued in service into the 1950s in training, reconnaissance, and support roles. The principal use during this period was undergraduate training of multiengine aircraft pilots slated for reciprocating engine or turboprop cargo, aerial refueling, or reconnaissance aircraft. Others were assigned to units of the Air National Guard in training roles in support of Northrop F-89 Scorpion and Lockheed F-94 Starfire operations. During its USAF tenure, many B-25s received the so-called "Hayes modification" and as a result, surviving B-25s often have exhaust systems with a semicollector ring that splits emissions into two different systems. The upper seven cylinders are collected by a ring, while the other cylinders remain directed to individual ports. TB-25J-25-NC Mitchell, "44-30854", the last B-25 in the USAF inventory, assigned at March AFB, California, as of March 1960, was flown to Eglin AFB, Florida, from Turner Air Force Base, Georgia, on 21 May 1960, the last flight by a USAF B-25. It was presented by Brigadier General A. J. Russell, Commander of SAC's 822d Air Division at Turner AFB, to the Air Proving Ground Center Commander, Brigadier General Robert H. Warren. He in turn presented the bomber to Valparaiso, Florida, Mayor Randall Roberts on behalf of the Niceville-Valparaiso Chamber of Commerce. Four of the original Tokyo Raiders were present for the ceremony, Colonel (later Major General) David Jones, Colonel Jack Simms, Lieutenant Colonel Joseph Manske, and retired Master Sergeant Edwin W. Horton. It was donated back to the Air Force Armament Museum around 1974 and marked as Doolittle's "40-2344". U.S. Navy and USMC. The U.S. Navy designation for the Mitchell was the PBJ-1 and apart from increased use of radar, it was configured like its Army Air Forces counterparts. Under the pre-1962 USN/USMC/USCG aircraft designation system, PBJ-1 stood for Patrol (P) Bomber (B) built by North American Aviation (J), first variant (-1) under the existing American naval aircraft designation system of the era. The PBJ had its origin in an inter-service agreement of mid-1942 between the Navy and the USAAF exchanging the Boeing Renton plant for the Kansas plant for B-29 Superfortress production. The Boeing XPBB Sea Ranger flying boat, competing for B-29 engines, was cancelled in exchange for part of the Kansas City Mitchell production. Other terms included the interservice transfer of 50 B-25Cs and 152 B-25Ds to the Navy. The bombers carried Navy bureau numbers (BuNos), beginning with BuNo 34998. The first PBJ-1 arrived in February 1943, and nearly all reached Marine Corps squadrons, beginning with Marine Bombing Squadron 413 (VMB-413). Following the AAFAC format, the Marine Mitchells had search radar in a retractable radome replacing the remotely operated ventral turret. Later D and J series had nose-mounted APS-3 radar; and later still, J and H series mounted radar in the starboard wingtip. The large quantities of B-25H and J series became known as PBJ-1H and PBJ-1J, respectively. These aircraft often operated along with earlier PBJ series in Marine squadrons. The PBJs were operated almost exclusively by the Marine Corps as land-based bombers. The U.S. Marine Corps established Marine bomber squadrons (VMB), beginning with VMB-413, in March 1943 at MCAS Cherry Point, North Carolina. Eight VMB squadrons were flying PBJs by the end of 1943 as the initial Marine medium bombardment group. Four more squadrons were in the process of formation in late 1945, but had not yet deployed by the time the war ended. Operations of the Marine Corps PBJ-1s began in March 1944. The Marine PBJs flew from the Philippines, Saipan, Iwo Jima, and Okinawa during the last few months of the Pacific war. Their primary mission was the long-range interdiction of enemy shipping trying to run the blockade, which was strangling Japan. The weapon of choice during these missions was usually the five-inch HVAR rocket, eight of which could be carried. Some VMB-612 intruder PBJ-1D and J series planes flew without top turrets to save weight and increase range on night patrols, especially towards the end of the war when air superiority had been achieved. During the war, the Navy tested the cannon-armed G series and conducted carrier trials with an H equipped with arresting gear. After World War II, some PBJs stationed at the Navy's rocket laboratory in Inyokern, California, site of the present-day Naval Air Weapons Station China Lake, tested air-to-ground rockets and arrangements. One arrangement was a twin-barrel nose that could fire 10 spin-stabilized five-inch rockets in one salvo. Royal Air Force. The Royal Air Force (RAF) was an early customer for the B-25 via Lend-Lease. The first Mitchells were given the service name Mitchell I by the RAF and were delivered in August 1941, to No. 111 Operational Training Unit based in the Bahamas. These bombers were used exclusively for training and familiarization and never became operational. The B-25Cs and Ds were designated Mitchell II. Altogether, 167 B-25Cs and 371 B-25Ds were delivered to the RAF. The RAF tested the cannon-armed G series but did not adopt the series nor the follow-on H series. By the end of 1942, the RAF had taken delivery of 93 Mitchells, marks I and II. Some served with squadrons of No. 2 Group RAF, the RAF's tactical medium-bomber force, including No. 139 Wing RAF at RAF Dunsfold. The first RAF operation with the Mitchell II took place on 22 January 1943, when six aircraft from No. 180 Squadron RAF attacked oil installations at Ghent. After the invasion of Europe (by which point 2 Group was part of Second Tactical Air Force), all four Mitchell squadrons moved to bases in France and Belgium (Melsbroek) to support Allied ground forces. The British Mitchell squadrons were joined by No. 342 (Lorraine) Squadron of the French Air Force in April 1945. As part of its move from Bomber Command, No 305 (Polish) Squadron flew Mitchell IIs from September to December 1943 before converting to the de Havilland Mosquito. In addition to No. 2 Group, the B-25 was used by various second-line RAF units in the UK and abroad. In the Far East, No. 3 PRU, which consisted of Nos. 681 and 684 Squadrons, flew the Mitchell (primarily Mk IIs) on photographic reconnaissance sorties. Royal Canadian Air Force. The Royal Canadian Air Force (RCAF) used the B-25 Mitchell for training during the war. Postwar use continued operations with most of the 162 Mitchells received. The first B-25s had been diverted to Canada from RAF orders. These included one Mitchell I, 42 Mitchell IIs, and 19 Mitchell IIIs. No 13 (P) Squadron was formed unofficially at RCAF Rockcliffe in May 1944 and used Mitchell IIs on high-altitude aerial photography sorties. No. 5 Operational Training Unit at Boundary Bay, British Columbia and Abbotsford, British Columbia, operated the B-25D Mitchell in the training role together with B-24 Liberators for Heavy Conversion as part of the BCATP. The RCAF retained the Mitchell until October 1963. No 418 (Auxiliary) Squadron received its first Mitchell IIs in January 1947. It was followed by No 406 (auxiliary), which flew Mitchell IIs and IIIs from April 1947 to June 1958. No 418 operated a mix of IIs and IIIs until March 1958. No 12 Squadron of Air Transport Command also flew Mitchell IIIs along with other types from September 1956 to November 1960. In 1951, the RCAF received an additional 75 B-25Js from USAF stocks to make up for attrition and to equip various second-line units. Royal Australian Air Force. The Australians received Mitchells by the spring of 1944. The joint Australian-Dutch No. 18 (Netherlands East Indies) Squadron RAAF had more than enough Mitchells for one squadron, so the surplus went to re-equip the RAAF's No. 2 Squadron, replacing their Beauforts. Dutch Air Force. During World War II, the Mitchell served in fairly large numbers with the Air Force of the Dutch government-in-exile. They participated in combat in the East Indies, as well as on the European front. On 30 June 1941, the Netherlands Purchasing Commission, acting on behalf of the Dutch government-in-exile in London, signed a contract with North American Aviation for 162 B-25C aircraft. The bombers were to be delivered to the Netherlands East Indies to help deter any Japanese aggression into the region. In February 1942, the British Overseas Airways Corporation agreed to ferry 20 Dutch B-25s from Florida to Australia travelling via Africa and India, and an additional 10 via the South Pacific route from California. During March, five of the bombers on the Dutch order had reached Bangalore, India, and 12 had reached Archerfield in Australia. The B-25s in Australia were used as the nucleus of a new squadron, No. 18. This squadron was staffed jointly by Australian and Dutch aircrews plus a smattering of aircrews from other nations and operated under Royal Australian Air Force command for the remainder of the war. The B-25s of No. 18 Squadron were painted with the Dutch national insignia (at that time a rectangular Netherlands flag) and carried NEIAF serials. Discounting the ten "temporary" B-25s delivered to 18 Squadron in early 1942, a total of 150 Mitchells were taken on strength by the NEIAF, 19 in 1942, 16 in 1943, 87 in 1944, and 28 in 1945. They flew bombing raids against Japanese targets in the East Indies. In 1944, the more capable B-25J Mitchells replaced most of the earlier C and D models. In June 1940, No. 320 (Netherlands) Squadron RAF had been formed from personnel formerly serving with the Royal Dutch Naval Air Service, who had escaped to England after the German occupation of the Netherlands. Equipped with various British aircraft, No. 320 Squadron flew antisubmarine patrols, convoy escort missions, and performed air-sea rescue duties. They acquired the Mitchell II in September 1943, performing operations over Europe against gun emplacements, railway yards, bridges, troops, and other tactical targets. They moved to Belgium in October 1944, and transitioned to the Mitchell III in 1945. No. 320 Squadron was disbanded in August 1945. Following the war, B-25s were used by Dutch forces during the Indonesian National Revolution. Soviet Air Force. The USSR received 862 B-25s (B, C, D, G, and J types) from the United States under Lend-Lease during World War II via the Alaska–Siberia ALSIB ferry route. A total of 870 B-25s were sent to the Soviets, meaning that 8 aircraft were lost during transportation. Other damaged B-25s arrived or crashed in the Far East of Russia, and one Doolittle Raid aircraft landed there short of fuel after attacking Japan. This lone airworthy Doolittle Raid aircraft to reach the Soviet Union was lost in a hangar fire in the early 1950s while undergoing routine maintenance. In general, the B-25 was operated as a ground-support and tactical day bomber (as similar Douglas A-20 Havocs were used). It saw action in fights from Stalingrad (with B/C/D models) to the German surrender during May 1945 (with G/J types). The B-25s that remained in Soviet Air Force service after the war were assigned the NATO reporting name "Bank". China. Well over 100 B-25Cs and Ds were supplied to the Nationalist Chinese during the Second Sino-Japanese War. In addition, a total of 131 B-25Js were supplied to China under Lend-Lease. The four squadrons of the 1st BG (1st, 2nd, 3rd, and 4th) of the 1st Medium Bomber Group were formed during the war. They formerly operated Russian-built Tupolev SB bombers, then transferred to the B-25. The 1st BG was under the command of Chinese-American Composite Wing while operating B-25s. Following the end of the war in the Pacific, these four bombardment squadrons were established to fight against the Communist insurgency that was rapidly spreading throughout the country. During the Chinese Civil War, Chinese Mitchells fought alongside de Havilland Mosquitos. In December 1948, the Nationalists were forced to retreat to the island of Taiwan, taking many of their Mitchells with them. However, some B-25s were left behind and were pressed into service with the air force of the new People's Republic of China. Brazilian Air Force. During the war, the Força Aérea Brasileira received a few B-25s under Lend-Lease. Brazil declared war against the Axis powers in August 1942 and participated in the war against the U-boats in the southern Atlantic. The last Brazilian B-25 was finally declared surplus in 1970. Free French. The Royal Air Force issued at least 21 Mitchell IIIs to No 342 Squadron, which was made up primarily of Free French aircrews. Following the liberation of France, this squadron transferred to the newly formed French Air Force ("Armée de l'Air") as GB I/20 Lorraine. The aircraft continued in operation after the war, with some being converted into fast VIP transports. They were struck off charge in June 1947. Biafra. In October 1967, during the Nigerian Civil War, Biafra bought two Mitchells. After a few bombings in November, they were put out of action in December. Indonesia. Indonesia received 42 Mitchells after Operation Alpha, one was used for strafing runs against a Dutch warship while two others were used in Maluku. The initial production version of B-25s, they were powered by R-2600-9 engines. and carried up to 3,600 lb (1,600 kg) of bombs and defensive armament of three .30 machine guns in nose, waist, and ventral positions, with one .50 machine gun in the tail. The first nine aircraft were built with constant dihedral angle. Due to low stability, the wing was redesigned so that the dihedral was eliminated on the outboard section (number made: 24). This version of the B-25 was modified to make it combat ready; additions included self-sealing fuel tanks, crew armor, and an improved tail-gunner station. No changes were made in the armament. It was redesignated obsolete ("RB-25A") in 1942 (number made: 40). The tail and gun position were removed and replaced by a manned dorsal turret on the rear fuselage and retractable, remotely operated ventral turret, each with a pair of .50 in (12.7 mm) machine guns. A total of 120 were built (this version was used in the Doolittle Raid). A total of 23 were supplied to the Royal Air Force as the Mitchell Mk I. An improved version of the B-25B, its powerplants were upgraded from Wright R-2600-9 radials to R-2600-13s; de-icing and anti-icing equipment were added; the navigator received a sighting blister; and nose armament was increased to two .50 in (12.7 mm) machine guns, one fixed and one flexible. The B-25C model was the first mass-produced B-25 version; it was also used in the United Kingdom (as the Mitchell Mk II), in Canada, China, the Netherlands, and the Soviet Union (number made: 1,625). Through block 20, the series was near identical to the B-25C. The series designation differed in that the B-25D was made in Kansas City, Kansas, whereas the B-25C was made in Inglewood, California. Later blocks with interim armament upgrades, the D2s, first flew on 3 January 1942 (number made: 2,290). The F-10 designation distinguished 45 B-25Ds modified for photographic reconnaissance. All armament, armor, and bombing equipment were stripped. Three K.17 cameras were installed, one pointing down and two more mounted at oblique angles within blisters on each side of the nose. Optionally, a second downward-pointing camera could also be installed in the aft fuselage. Although designed for combat operations, these aircraft were mainly used for ground mapping. In 1944, four B-25Ds were converted for weather reconnaissance. One later user was the 53d Weather Reconnaissance Squadron, originally called the Army Hurricane Reconnaissance Unit, now called the "Hurricane Hunters". Weather reconnaissance first started in 1943 with the 1st Weather Reconnaissance Squadron, with flights on the North Atlantic ferry routes. A single B-25C was modified to test de-icing and anti-icing equipment that circulated exhaust from the engines in chambers in the leading and trailing edges and empennage. The aircraft was tested for almost two years, beginning in 1942; while the system proved extremely effective, no production models were built that used it before the end of World War II. Many surviving warbird-flown B-25 aircraft today use the de-icing system from the XB-25E (number made: 1, converted). A modified B-25C, it used insulated electrical coils mounted inside the wing and empennage leading edges to test the effectiveness as a de-icing system. The hot air de-icing system tested on the XB-25E was determined to be the more practical of the two (number made: 1, converted). This modified B-25C had the transparent nose replaced to create a short-nosed gunship carrying two fixed .50 in (12.7 mm) machine guns and a 75 mm (2.95 in) M4 cannon, then the largest weapon ever carried on an American bomber (number made: 1, converted). The B-25G followed the success of the prototype XB-25G and production was a continuation of the NA96. The production model featured increased armor and a greater fuel supply than the XB-25G. One B-25G was passed to the British, who gave it the name Mitchell II that had been used for the B-25C. The USSR also tested the G (number made: 463; five converted Cs, 58 modified Cs, 400 production). An improved version of the B-25G, this version relocated the manned dorsal turret to a more forward location on the fuselage just aft of the flight deck. It also featured two additional fixed .50 in (12.7 mm) machine guns in the nose and in the H-5 onward, four in fuselage-mounted pods. The T13E1 light weight cannon replaced the heavy M4 cannon 75 mm (2.95 in). Single controls were installed from the factory with navigator in the right seat (number made: 1000; two airworthy ). Follow-on production at Kansas City, the B-25J could be called a cross between the B-25D and the B-25H. It had a transparent nose, but many of the delivered aircraft were modified to have a strafer nose (J2). Most of its 14–18 machine guns were forward-facing for strafing missions, including the two guns of the forward-located dorsal turret. The RAF received 316 aircraft, which were known as the Mitchell III. The J series was the last factory series production of the B-25 (number made: 4,318). Utility transport version A number of B-25s were converted for use as staff and VIP transports. Henry H. Arnold and Dwight D. Eisenhower both used converted B-25Js as their personal transports. The last VB-25J in active service was retired in May 1960 at the Eglin Air Force Base in Florida. Variants. Trainer variants. Most models of the B-25 were used at some point as training aircraft. Originally designated AT-24A (Advanced Trainer, Model 24, Version A), trainer modification of B-25D often with the dorsal turret omitted, in total, 60 AT-24s were built. Originally designated AT-24B, trainer modification of B-25G Originally designated AT-24C, trainer modification of B-25C Originally designated AT-24D, trainer modification of B-25J, another 600 B-25Js were modified after the war. Hughes E1 fire-control radar trainer (Hughes) (number made: 117) Hayes pilot-trainer conversion (number made: 90) Hughes E5 fire-control radar trainer (number made: 40) Hayes navigator-trainer conversion (number made: 47) Similar to the B-25C for the U.S. Navy, it was often fitted with airborne search radar and used in the antisubmarine role. Similar to the B-25D for the U.S. Navy and U.S. Marine Corps, it differed in having a single .50 in (12.7 mm) machine gun in the tail turret and waist gun positions similar to the B-25H. Often it was fitted with airborne search radar and used in the antisubmarine role. U.S. Navy/U.S. Marine Corps designation for the B-25G, trials only U.S. Navy/U.S. Marine Corps designation for the B-25H One PBJ-1H was modified with carrier takeoff and landing equipment and successfully tested on the USS "Shangri-La", but the Navy did not continue development. U.S. Navy designation for the B-25J (Blocks −1 through −35), it had improvements in radio and other equipment. Beside the standard armament package, the Marines often fitted it with 5-inch underwing rockets and search radar for the antishipping/antisubmarine role. The large Tiny Tim rocket-powered warhead was used in 1945. see B-25 Mitchell units of the United States Army Air Forces Accidents and incidents. Training mission incident. On 1 November 1941, a B-25 on a training mission flying out of Wright-Patterson Air Force Base, crashed near Benton Ridge, Ohio. Empire State Building crash. At 9:40 on 28 July 1945, a USAAF B-25D crashed in thick fog into the north side of the Empire State Building between the 79th and 80th floors. Fourteen people died — 11 in the building and the three occupants of the aircraft, including the pilot, Colonel William F. Smith. Betty Lou Oliver, an elevator attendant, survived the impact and the subsequent fall of the elevator cage 75 stories to the basement. General Leclerc's aviation accident. French general Philippe Leclerc was aboard his North American B-25 Mitchell, Tailly II, when it crashed near Colomb-Béchar in French Algeria on 28 November 1947, killing everyone on board. Lake Erie skydiving disaster. A bit after 16:00 on 27 August 1967, a converted civilian B-25 mistakenly dropped eighteen skydivers over Lake Erie, four or five nautical miles (7.5–9.3 km) from Huron, Ohio. The air traffic controller had confused the B-25 with a Cessna 180 Skywagon that was trailing it to take photographs, causing the B-25 pilot to think he was over the intended drop site at Ortner Airport. Sixteen of the jumpers drowned, while two were rescued. A National Transportation Safety Board report faulted the pilot, and to a lesser extent the skydivers, for executing a jump when they could not see the ground, and faulted the controller for the misidentification. The United States was subsequently held liable for the controller's negligence. Surviving aircraft. Many B-25s are currently kept in airworthy condition by air museums and collectors.
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British Open (disambiguation)
The British Open often refers to the Open Championship men's golf tournament. British Open may also refer to:
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Bobby Charlton
Sir Robert Charlton (11 October 1937 – 21 October 2023) was an English professional footballer who played as an attacking midfielder, left winger or centre-forward. Widely considered one of the greatest players of all time, he was a member of the England team that won the 1966 FIFA World Cup, the year he also won the Ballon d'Or. He finished second in the Ballon d'Or voting in 1967 and 1968. He played almost all of his club football at Manchester United, where he became renowned for his attacking instincts, passing abilities from midfield, ferocious long-range shooting from both left and right foot, fitness, and stamina. He was cautioned only twice in his career: once against Argentina in the 1966 World Cup, and once in a league match against Chelsea. With success at club and international level, he was one of nine players to have won the FIFA World Cup, the European Cup and the Ballon d'Or. His elder brother Jack, who was also in the World Cup–winning team, was a defender for Leeds United and also for ten years was the manager of the Republic of Ireland. Born in Ashington, Northumberland, Charlton made his debut for the Manchester United first-team in 1956, aged 18, and soon gained a regular place in the team, during which time he became a Football League First Division champion in 1957 then survived the Munich air disaster of February 1958 after being rescued by teammate Harry Gregg; Charlton was the last survivor of the plane crash from the club. After helping United to win the FA Cup in 1963 and the Football League in 1965 and 1967, he captained the team that won the European Cup in 1968, scoring two goals in the final to help them become the first English club to win the competition. Charlton left Manchester United to become manager of Preston North End for the 1973–74 season. He changed to player-manager the following season. He next accepted a post as a director with Wigan Athletic, then became a member of Manchester United's board of directors in 1984. At international level, Charlton was named in the England squad for four World Cups (1958, 1962, 1966, and 1970), though he did not play in the first. At the time of his retirement from the England team in 1970, he was the nation's most capped player, having turned out 106 times at the highest level; Bobby Moore overtook this in 1973. Charlton was the long-time record goalscorer for both Manchester United and England, and United's long-time record appearance maker – his total of 758 matches for United took until 2008 to be beaten, when Ryan Giggs did so in that year's Champions League final. With 249 goals, he was the club's highest all-time goalscorer for more than 40 years, until his record was surpassed by Wayne Rooney in 2017. He is also the third-highest goalscorer for England; his record of 49 goals was beaten in 2015 by Rooney, and again by Harry Kane in 2022. Early life. Robert Charlton was born on 11 October 1937 in Ashington, Northumberland, England, to coal miner Robert "Bob" Charlton (24 May 1909 – April 1982) and Elizabeth Ellen "Cissie" Charlton ("née" Milburn; 11 November 1912 – 25 March 1996). He was related to several professional footballers on his mother's side of the family: his uncles were Jack Milburn (Leeds United and Bradford City), George Milburn (Leeds United and Chesterfield), Jim Milburn (Leeds United and Bradford Park Avenue) and Stan Milburn (Chesterfield, Leicester City and Rochdale), and legendary Newcastle United and England footballer Jackie Milburn was his mother's cousin. However, Charlton credited much of the early development of his career to his grandfather Tanner and his mother Cissie. His elder brother, Jack, initially worked as a miner before applying to the police, only to also become a professional footballer with Leeds United. Club career. On 9 February 1953, then a Bedlington Grammar School pupil, Charlton was spotted playing for East Northumberland schools by Manchester United chief scout Joe Armstrong. Charlton went on to play for England Schoolboys and the 15-year-old signed amateur forms with United on 1 January 1953 along with Wilf McGuinness, also aged 15. Initially his mother was reluctant to let him commit to an insecure football career, so he began an apprenticeship as an electrical engineer; however, he went on to turn professional in October 1954. Charlton became one of the famed Busby Babes, the collection of talented footballers who emerged through the system at Old Trafford in the 1940s, 1950s and 1960s as Matt Busby set about a long-term plan of rebuilding the club after the Second World War. He worked his way through the pecking order of teams, scoring regularly for the youth and reserve sides before he was handed his first team debut against Charlton Athletic in October 1956 where he scored two goals in a game that finished 4–2. At the same time, he was doing his National service with the Royal Army Ordnance Corps in Shrewsbury, where Busby had advised him to apply as it meant he could still play for Manchester United at the weekend. Also doing his army service in Shrewsbury at the same time was his United teammate Duncan Edwards. Charlton played 17 times for United in that first season, scoring twice on his debut and managing a total of 12 goals in all competitions, and including a hat-trick in a 5–1 away win over Charlton Athletic in February. United won the league championship but were denied the 20th century's first "double" when they controversially lost the 1957 FA Cup Final to Aston Villa. Charlton, still only 19, was selected for the game, which saw United goalkeeper Ray Wood carried off with a broken cheekbone after a clash with Villa centre forward Peter McParland. Charlton was a candidate to go in goal to replace Wood (in the days before substitutes, and certainly before goalkeeping substitutes), but it was teammate Jackie Blanchflower who ended up playing in goal. Charlton was an established player by the time the next season was fully underway, which saw United, as current League champions, become the first English team to compete in the European Cup. Previously, the Football Association had scorned the competition, but United made progress, reaching the semi-finals where they lost to holders Real Madrid. Their reputation was further enhanced the next season in the 1957–58 European Cup as they reached the quarter-finals to play Red Star Belgrade. In the first leg at home, United won 2–1. The return in Yugoslavia saw Charlton score twice as United stormed 3–0 ahead, although the hosts came back to earn a 3–3 draw. However, United maintained their aggregate lead to reach the last four and were in jubilant mood as they left to catch their flight home, thinking of an important League game against Wolves at the weekend. 1958 Munich air disaster. On 6 February 1958, Charlton was returning to England with the Manchester United Team after a European Cup match in Belgrade, Yugoslavia (now Serbia), having eliminated Red Star Belgrade to advance to the semi-finals of the competition. The aeroplane which took the United players and staff home from Zemun Airport needed to stop in Munich to refuel. This was carried out in worsening weather, and by the time the refuelling was complete and the call was made for the passengers to re-board the aircraft, the wintry showers had taken hold and snow had settled heavily on the runway and around the airport. There were two aborted take-offs which led to concern on board, and the passengers were advised by a stewardess to disembark again while a minor technical error was fixed. The team were back in the airport terminal for barely ten minutes when the call came to reconvene on the plane, and a number of passengers began to feel nervous. Charlton and teammate Dennis Viollet swapped places with Tommy Taylor and David Pegg, who had decided they would be safer at the back of the plane. The plane clipped the fence at the end of the runway on its next take-off attempt and a wing tore through a nearby house, setting it alight. The wing and part of the tail came off and hit a tree and a wooden hut, the plane spinning along the snow until coming to a halt. It had been cut in half. Charlton, strapped into his seat, had fallen out of the cabin; when United goalkeeper Harry Gregg (who had somehow got through a hole in the plane unscathed and begun a one-man rescue mission) found him, he thought he was dead. Nevertheless, he grabbed both Charlton and Viollet by their trouser waistbands and dragged them away from the plane, in constant fear that it would explode. Gregg returned to the plane to try to help the appallingly injured Busby and Blanchflower, and when he turned around again, he was relieved to see that Charlton and Viollet, both of whom he had presumed to be dead, had got out of their detached seats and were looking into the wreckage. Charlton suffered cuts to his head and severe shock, and was in hospital for a week. Seven of his teammates had perished at the scene, including Taylor and Pegg, with whom he and Viollet had swapped seats prior to the fatal take-off attempt. Club captain Roger Byrne was also killed, along with Mark Jones, Billy Whelan, Eddie Colman and Geoff Bent. Duncan Edwards died a fortnight later from the injuries he had sustained. In total, the crash claimed 23 lives. Initially, ice on the wings was blamed, but a later inquiry declared that slush on the runway had made a safe take-off almost impossible. Of the 44 passengers and crew (including the 17-strong Manchester United squad), 23 people (eight of them Manchester United players) died as a result of their injuries in the crash. Charlton survived with minor injuries. Of the eight other players who survived, two of them were injured so badly that they never played again. Charlton was the first injured survivor to leave hospital. Harry Gregg and Bill Foulkes were not hospitalised, for they escaped uninjured. He arrived back in England on 14 February 1958, eight days after the crash. As he convalesced with family in Ashington, he spent some time kicking a ball around with local youths, and a famous photograph of him was taken. He was still only 20 years old, yet now there was an expectation that he would help with the rebuilding of the club as Busby's aides tried to piece together what remained of the season. Between Harry Gregg's death in 2020 and his own in 2023, Charlton was the last living survivor of the crash. Resuming his career. Charlton returned to playing in a kickabout with local youths first and then in a practice match on 25 February. He initially said "I felt as slow as an old cart horse" but then his vigour returned and he then said "I feel fine and would like to play in the cup game at West Brom". This was an FA Cup tie against West Bromwich Albion on 1 March; the game was a draw and United won the replay 1–0. Not unexpectedly, United went out of the European Cup to A.C. Milan in the semi-finals to a 5–2 aggregate defeat and fell behind in the League. Yet somehow they reached their second consecutive FA Cup final, and the big day at Wembley coincided with Busby's return to work. However, Nat Lofthouse scored twice to give Bolton Wanderers a 2–0 win. Further success with Manchester United came at last when they beat Leicester City 3–1 in the FA Cup final of 1963, with Charlton finally earning a winners' medal in his third final. Busby's post-Munich rebuilding programme continued to progress, with two League championships within three seasons, in 1965 and 1967. A successful (though trophyless) season with Manchester United saw him take the honours of Football Writers' Association Footballer of the Year and European Footballer of the Year into the competition. Manchester United reached the 1968 European Cup Final, ten seasons after Munich. Even though other clubs had taken part in the competition in the intervening decade, the team which got to this final was still the first English side to do so. On a highly emotional night at Wembley, Charlton scored twice in a 4–1 win after extra time against Benfica and, as United captain, lifted the trophy. During the early 1970s, Manchester United were no longer competing among the top teams in England, and at several stages were battling against relegation. At times, Charlton was not on speaking terms with United's other superstars, George Best and Denis Law, and Best refused to play in Charlton's testimonial match against Celtic, saying that "to do so would be hypocritical". Charlton left Manchester United at the end of the 1972–73 season, having scored 249 goals and set a club record of 758 appearances, a record which Ryan Giggs broke in the 2008 UEFA Champions League Final. Charlton's last game for Manchester United was against Chelsea at Stamford Bridge on 28 April 1973. Chelsea won the match 1–0. Coincidentally, this day also marked his brother Jackie's last appearance as well (for Leeds). Charlton's final goal for the club came a month earlier, on 31 March, in a 2–0 win at Southampton, also in the First Division. Charlton was the subject of an episode of "This Is Your Life" in 1969 when he was surprised by Eamonn Andrews at The Sportsman's Club in central London. International career. Charlton's emergence as the country's leading young football talent was completed when he was called up to join the England squad for a British Home Championship game against Scotland at Hampden Park on 19 April 1958, just over two months after he had survived the Munich air disaster. Charlton was handed his debut as England romped home 4–0, with the new player gaining even more admirers after scoring a magnificent thumping volley dispatched with authority after a cross by the left winger Tom Finney. He scored both goals in his second game as England beat Portugal 2–1 in a friendly at Wembley, and overcame obvious nerves on a return to Belgrade to play his third match against Yugoslavia; England lost that game 5–0 and Charlton played poorly. Charlton was selected for the squad which competed at the 1958 World Cup in Sweden, but he did not play. In 1959, Charlton scored a hat-trick as England demolished the US 8–1; and his second England hat-trick came in 1961 in an 8–0 thrashing of Mexico. He also managed to score in every British Home Championship tournament he played in except 1963 in an association with the tournament that lasted from 1958 to 1970 and included 16 goals and 10 tournament victories (five shared). 1962 World Cup. Charlton played in qualifiers for the 1962 World Cup in Chile against Luxembourg and Portugal and was named in the squad for the finals themselves. His goal in the 3–1 group win over Argentina was his 25th for England in just 38 appearances, and he was still only 24 years old; but his individual success could not be replicated by that of the team, which was eliminated in the quarter-final by Brazil, who went on to win the tournament. By now, England were coached by Alf Ramsey, who had managed to gain sole control of the recruitment and team selection procedure from the committee-based call-up system which had lasted up to the previous World Cup. Ramsey had already cleared out some of the older players who had been reliant on the loyalty of the committee for their continued selection. A hat-trick in the 8–1 rout of Switzerland in June 1963 took Charlton's England goal tally to 30, equalling the record jointly held by Tom Finney and Nat Lofthouse; Charlton's 31st goal, against Wales in October the same year, gave him the record alone. Charlton's role was developing from traditional inside-forward to what today would be termed an attacking midfield player, with Ramsey planning to build the team for the 1966 World Cup around him. When England beat the USA 10–0 in a friendly on 27 May 1964, he scored one goal, his 33rd at senior level for England. His goals became a little less frequent, and indeed Jimmy Greaves, playing purely as a striker, overtook his England tally in October 1964. Nevertheless, Charlton was still scoring and creating freely, and as the tournament was about to start he was expected to become one of its stars and galvanise his established reputation as one of the world's best footballers. 1966 World Cup. England drew the opening game of the tournament 0–0 with Uruguay. Charlton scored the first goal in the 2–0 win over Mexico. This was followed by an identical scoreline against France, allowing England to qualify for the quarter-finals, where they defeated Argentina 1–0. The game was the only international match in which Charlton received a caution. They faced Portugal in the semi-finals. This turned out to be one of Charlton's most important games for England. Charlton opened the scoring with a crisp side-footed finish after a run by Roger Hunt had forced the Portuguese goalkeeper out of his net; his second was a sweetly struck shot after a run and pull-back from Geoff Hurst. Charlton and Hunt were now England's joint-highest scorers in the tournament with three each, and a final against West Germany beckoned. The final turned out to be one of Charlton's quieter days; he and a young Franz Beckenbauer effectively marked each other out of the game. England won 4–2 after extra time, with the scores tied at 2–2 after 90 minutes, and England lifted the World Cup trophy for the first time. Euro 1968. Charlton's next England game was his 75th, as England beat Northern Ireland; after two more appearances he became England's second most-capped player, behind the veteran Billy Wright, who was approaching his 100th match when Charlton was starting out and ended with 105 caps. Weeks later he scored his 45th England goal in a friendly against Sweden, breaking the record of 44 set the previous year by Jimmy Greaves. He was then in the England team which made it to the semi-finals of the 1968 European Championships, where they were knocked out by Yugoslavia in Florence. During the match Charlton struck a Yugoslav post. England defeated the Soviet Union 2–0 in the third place match. In 1969, Charlton was appointed an OBE for services to football. More milestones followed as he won his 100th England cap on 21 April 1970 against Northern Ireland, and was made captain by Ramsey for the occasion. Inevitably, he scored; this was his 48th goal for his country – his 49th and final goal followed a month later in a 4–0 win over Colombia during a warm-up tour for the 1970 World Cup, designed to get the players adapted to altitude conditions. Charlton's inevitable selection by Ramsey for the tournament made him the first – and still, to date, only – England player to feature in four World Cup squads. 1970 World Cup. Shortly before the World Cup, Charlton was involved in the Bogotá Bracelet incident in which he and Bobby Moore were accused of stealing a bracelet from a jewellery store. Moore was later arrested and detained for four days before being granted a conditional release, while Charlton was not arrested. England began the tournament with two victories in the group stages, plus a memorable defeat against Brazil. Charlton played in all three, though was substituted for Alan Ball in the final game of the group against Czechoslovakia. Ramsey, confident of victory and progress to the quarter-final, wanted Charlton to rest. England reached the last eight where they again faced West Germany. With England leading 2–1, Ramsey replaced Charlton with Colin Bell in the 69th minute: Germany went on to win 3–2 after extra time. England were eliminated and, after a record 106 caps and 49 goals, Charlton decided to end his international career at the age of 32. On the flight home from Mexico, he asked Ramsey not to consider him again. His brother Jack, two years his senior but 71 caps his junior, did likewise. Charlton's caps record lasted until 1973, when Bobby Moore overtook him; as of October 2023, he lies seventh in the all-time England appearances list behind Moore, Wayne Rooney, Ashley Cole, Steven Gerrard, David Beckham and Peter Shilton, whose own England career began in the first game after Charlton's had ended. Charlton's goalscoring record was surpassed by Wayne Rooney on 8 September 2015, when Rooney scored a penalty in a 2–0 win over Switzerland in a qualifying match for UEFA Euro 2016. Style of play. In his early years as a winger who played on the outside left, Charlton possessed great speed and agility. As he matured, Charlton was placed in an offensive midfield role where he flourished as a player. In his prime, Charlton was considered to be one of the greatest players in the world, being able to dictate a game with his accurate passing, and possessing a powerful shot with either foot, often scoring goals from a distance. Charlton also stood out for his stamina, mentality, leadership and modesty, never arguing with referees or opponents. Longtime Manchester United manager Matt Busby said of Charlton: "There has never been a more popular footballer. He was as near perfection as man and player as it is possible to be." England national team coach Alf Ramsey remarked: "He was one of the greatest players I have ever seen, very much the linchpin of the 1966 team. Early in my management, I knew I had to find a role suitable to Bobby's unique talents. He wasn't just a great goalscorer, with a blistering shot using either foot. Bobby was a player who could also do his share of hard work." Management career and directorships. Charlton became the manager of Preston North End in 1973, signing his former United and England teammate Nobby Stiles as player-coach. His first season ended in relegation, and although he began playing again, he left Preston early in the 1975–76 season after a disagreement with the board over the transfer of John Bird to Newcastle United. He was appointed a CBE that year and began a casual association with BBC for punditry on matches, which continued for many years. In early 1976, he scored once in three league appearances for Waterford United. He also made a handful of appearances for Australian clubs Newcastle KB United, Perth Azzurri and Blacktown City. Charlton joined Wigan Athletic as a director, and was briefly caretaker manager there in 1983. He then spent some time playing in South Africa. He also built up several businesses in areas such as travel, jewellery and hampers, and ran soccer schools in the UK, the US, Canada, Australia and China. In 1984, he was invited to become member of the board of directors at Manchester United, partly because of his football knowledge and partly because it was felt that the club needed a "name" on the board after the resignation of Sir Matt Busby. In June 2005, when the American Glazer family bought Manchester United amidst fan opposition, Charlton apologised to the new owners: "I tried to explain they couldn't ignore the fans, who are so emotionally involved in the club, but who sometimes do go a bit too far." Personal life and retirement. Charlton met his wife, Norma Ball, at an ice rink in Manchester in 1959 and they married in 1961. They had two daughters, Suzanne and Andrea. Suzanne was a weather forecaster for the BBC during the 1990s. They went on to have grandchildren, including Suzanne's son Robert, who is named in honour of his grandfather. In 2007, while publicising his forthcoming autobiography, Charlton revealed that he had a long-running feud with his brother Jack. They rarely spoke to each other after a falling-out between his wife Norma and his mother Cissie (who died in 1996 at the age of 83). Bobby Charlton did not see his mother after 1992 as a result of the feud. Jack presented him with his BBC Sports Personality of the Year Lifetime Achievement Award on 14 December 2008. He said that he was "knocked out" as he was presented the award by his brother. He received a standing ovation as he stood waiting for his prize. Charlton helped to promote Manchester's bids for the 1996 and 2000 Olympic Games and the 2002 Commonwealth Games, England's bid for the 2006 World Cup and London's successful bid for the 2012 Summer Olympics. He received a knighthood in 1994 and was an Inaugural Inductee to the English Football Hall of Fame in 2002. On accepting his award, he commented: "I'm really proud to be included in the National Football Museum's Hall of Fame. It's a great honour. If you look at the names included I have to say I couldn't argue with them. They are all great players and people I would love to have played with." He was also the (honorary) president of the National Football Museum, an organisation about which he said: "I can't think of a better museum anywhere in the world." On 2 March 2009, Charlton was given the freedom of the city of Manchester. He stated: "I'm just so proud, it's fantastic. It's a great city. I have always been very proud of it." Charlton was involved in a number of charitable activities, including fund raising for cancer hospitals. After visits to Bosnia and Cambodia, Charlton became involved in the cause of land mine clearance, and supported the Mines Advisory Group as well as founding his own charity, The Sir Bobby Charlton Foundation (formerly Find a Better Way), which funds research into improved civilian landmine clearance. In January 2011, Charlton was voted the fourth-greatest Manchester United player of all time by the readers of "Inside United" and ManUtd.com, behind Ryan Giggs (who topped the poll), Eric Cantona and George Best. He was a member of the Laureus World Sports Academy. On 6 February 2012, Charlton was taken to hospital after falling ill, and subsequently had a gallstone removed. This prevented him from collecting a Lifetime Achievement Award at the Laureus World Sports Awards. On 15 February 2016, Manchester United announced the South Stand of Old Trafford would be renamed in honour of Sir Bobby Charlton. The unveiling took place at the home game against Everton on 3 April 2016. In 2015, he received a Honorary Doctorate from the University of Bath. In October 2017, Charlton had a pitch named after him at St George's Park National Football Centre in Burton-upon-Trent. In November 2020, it was revealed that Charlton had been diagnosed with dementia and as a result, he withdrew from public life. Death. Charlton died at Macclesfield District General Hospital in Macclesfield, Cheshire, on 21 October 2023, at the age of 86, from complications of a fall he sustained at the nursing home where he resided; at the subsequent inquest, the coroner recorded his cause of death as "trauma in the lungs, a fall and dementia". His death leaves Sir Geoff Hurst as the last surviving English player of the 1966 World Cup final. Manchester United paid tribute to Charlton at their Champions League match against Copenhagen at Old Trafford three days later in a number of ways. First, United's players wore black armbands, and manager Erik ten Hag was flanked by Alex Stepney and U-21 captain Dan Gore before ten Hag laid a wreath and a minute's silence was observed before the match began. Another wreath was also laid in Charlton's seat in the director's box. In addition, the cover of United's match programme, the "United Review", featured Charlton on the front, and supporters laid flowers and scarves at the United Trinity. The funeral took place on 13 November. The main ceremony was at Manchester Cathedral but the procession called first at the Old Trafford stadium before going to the city centre. Crowds lined the streets and there were about a thousand guests at the service, including Prince William, Alex Ferguson and many others associated with the club. Elegies were read by David Gill and Charlton's grandson William Balderston and there was a musical tribute of "How Great Thou Art" sung by Russell Watson. Honours. Manchester United Youth Manchester United England Individual Orders and special awards
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Barry Lyndon
Barry Lyndon is a 1975 historical drama film written, directed, and produced by Stanley Kubrick, based on the 1844 novel "The Luck of Barry Lyndon" by William Makepeace Thackeray. Narrated by Michael Hordern, and starring Ryan O'Neal, Marisa Berenson, Patrick Magee, Leonard Rossiter and Hardy Krüger, the film recounts the early exploits and later unravelling of an 18th-century Irish rogue and gold digger who marries a rich widow to climb the social ladder and assume her late husband's aristocratic position. Kubrick began production on "Barry Lyndon" after his 1971 film "A Clockwork Orange". He had originally intended to direct a biopic on Napoleon, but lost his financing because of the commercial failure of the similar 1970 Dino De Laurentiis-produced "Waterloo". Kubrick eventually directed "Barry Lyndon", set partially during the Seven Years' War, utilising his research from the Napoleon project. Filming began in December 1973 and lasted roughly eight months, taking place in England, Ireland, and Germany. The film's cinematography has been described as ground-breaking. Especially notable are the long double shots, usually ended with a slow backwards zoom, the scenes shot entirely in candlelight, and the settings based on William Hogarth paintings. The exteriors were filmed on location in England, Ireland, and Germany, with the interiors shot mainly in London. The production had problems related to logistics, weather, and politics (Kubrick feared that he might be an IRA hostage target). "Barry Lyndon" won four Oscars at the 48th Academy Awards: Best Scoring: Original Song Score and Adaptation or Scoring: Adaptation, Best Costume Design, Best Art Direction, and Best Cinematography. Although some critics took issue with the film's slow pace and restrained emotion, its reputation, like that of many of Kubrick's works, has grown over time, and it is widely considered one of the greatest films of all time. In the 2022 "Sight & Sound" Greatest Films of All Time poll, "Barry Lyndon" placed 12th in the directors' poll and 45th in the critics' poll. Plot. Part I: "By What Means Redmond Barry Acquired the Style and Title of Barry Lyndon". In the 1750s Kingdom of Ireland, Redmond Barry's father is killed in a duel. Barry becomes infatuated with his cousin Nora Brady, and shoots her suitor, British Army captain John Quin, in a duel. He flees but is robbed by highwaymen on his way to Dublin. Penniless, Barry enlists in the British Army. Family friend Captain Grogan informs him that Quin is not dead: the duel was staged so that Nora's family could get rid of Barry and improve their finances through her marriage to Quin. Barry serves with his regiment in Germany during the Seven Years' War, but deserts after Grogan dies in combat against the French Royal Army. Absconding with a lieutenant's horse and uniform, Barry has a brief affair with Frau Lieschen, a married German peasant woman. On his way to Bremen, he encounters Captain Potzdorf, who sees through the ruse and impresses him into the Prussian Army. Barry later saves Potzdorf's life and receives a commendation from Frederick the Great. At the end of the war, Barry is recruited by Captain Potzdorf's uncle into the Prussian Ministry of Police. The Prussians suspect that the Chevalier de Balibari, an Austrian diplomat and professional gambler, is in fact an Irishman and a spy for Empress Maria Theresa, and assign Barry to become his manservant. An emotional Barry confides everything to the Chevalier and they become confederates. After they win an enormous sum from the Prince of Tübingen at cards, the Prince deduces that he has been cheated and refuses to pay his debt; the Chevalier in turn threatens to demand satisfaction. To avoid a scandal, the Ministry of Police pays off the debt and quietly escorts the Chevalier outside Prussian borders, which allows Barry, disguised as the Chevalier, to leave the country as well, the Chevalier himself having uneventfully crossed the frontier the night before. Barry and the Chevalier travel across Europe, perpetrating similar gambling scams, with Barry forcing payment from debtors with sword duels. In Spa, he encounters the beautiful, wealthy, and visibly depressed Lady Lyndon. He seduces her, and goads her elderly husband Sir Charles Lyndon to death with verbal repartee. Part II: "Containing an Account of the Misfortunes and Disasters Which Befell Barry Lyndon". In 1773, Barry marries Lady Lyndon, takes her last name and settles in England. The Countess bears Barry a son, Bryan Patrick, whom Barry spoils. The marriage is unhappy: Barry is openly unfaithful and squanders his wife's wealth while keeping her in seclusion. Lord Bullingdon, Lady Lyndon's son by Sir Charles, still grieves for his father and sees Barry as a gold digger who does not love his mother. Barry responds with years of escalating emotional and physical abuse. Barry's mother comes to live with him and warns him that if Lady Lyndon dies, Bullingdon will inherit everything. She advises her son to obtain a title. To this end, Barry cultivates the influential Lord Wendover and spends even larger sums of Lady Lyndon's money to ingratiate himself with high society. Bullingdon, now a young adult, interrupts a society party Barry throws. He publicly accuses his stepfather of infidelity, abuse, and financial mismanagement, and announces that he will leave the Lyndon estate for as long as Barry remains there. Barry responds by brutally assaulting Bullingdon until they are physically separated by the party attendees. In the aftermath, Barry is ostracised by high society and plunges further into financial ruin. Barry arranges to give Bryan a full-grown horse for his ninth birthday. An impatient Bryan rides the horse unaccompanied and dies in a riding accident. Barry sinks into alcoholism, while Lady Lyndon seeks religious counseling from clergyman Samuel Runt, who had been tutor to Bullingdon and Bryan and a longtime companion of Lady Lyndon. When Barry's mother dismisses Runt to keep her son from losing control, Lady Lyndon attempts suicide. Runt and Graham, the family's steward, write to Bullingdon, who returns to the estate and challenges his stepfather to a duel. When the duel takes place, Bullingdon accidentally misfires the first shot, but Barry then deliberately fires into the ground, refusing to exploit his stepson's mistake. Bullingdon refuses to accept this as satisfaction and fires again, shooting Barry in the leg. This wound forces Barry to have an amputation below the knee. While Barry is recovering, Bullingdon takes control of the Lyndon estate. Through Graham, he reminds Barry that his credit is exhausted and offers him 500 guineas a year to leave Lady Lyndon, her estates, and England forever. Barry grudgingly accepts and resumes his former gambling profession, but without any real success. In December 1789, Lady Lyndon signs Barry's annuity cheque as her son looks on. Cast. Critic Tim Robey suggests that the film "makes you realise that the most undervalued aspect of Kubrick's genius could well be his way with actors." He adds that the supporting cast is a "glittering procession of cameos, not from star names but from vital character players." The cast featured Leon Vitali as the older Lord Bullingdon, who then became Kubrick's personal assistant, working as the casting director on his following films, and supervising film-to-video transfers for Kubrick. Their relationship lasted until Kubrick's death. The film's cinematographer, John Alcott, appears at the men's club in the non-speaking role of the man asleep in a chair near the title character when Lord Bullingdon challenges Barry to a duel. Kubrick's daughter Vivian also appears (in an uncredited role) as a guest at Bryan's birthday party. Other Kubrick featured regulars were Leonard Rossiter (""), Steven Berkoff, Patrick Magee, Godfrey Quigley, Anthony Sharp, and Philip Stone ("A Clockwork Orange"). Stone went on to feature in "The Shining". Thematic analysis. A main theme explored in Barry Lyndon is one of fate and destiny. Barry is pushed through life by a series of key events, some of which seem unavoidable. As critic Roger Ebert says, "He is a man to whom things happen." He declines to eat with the highwayman Captain Feeney, where he would most likely have been robbed, but is robbed anyway farther down the road. The narrator repeatedly emphasizes the role of fate as he announces events before they unfold on screen, like Bryan's death and Bullingdon seeking satisfaction. This theme of fate is also developed in the recurring motif of the painting. Just like the events featured in the paintings, Barry is participating in events which always were. Another major theme is between father and son. Barry lost his father at a young age and throughout the film he seeks and attaches himself to father-figures. Examples include his uncle, Grogan, and the Chevalier. When given the chance to be a father, Barry loves his son to the point of spoiling him. This contrasts with his role as a (step)father to Lord Bullingdon, whom he disregards and punishes. Production. Development. After completing post production on "", Kubrick resumed planning a film about Napoleon. During pre-production, Sergei Bondarchuk and Dino De Laurentiis's "Waterloo" was released, and failed at the box office. Reconsidering, Kubrick's financiers pulled funding, and he turned his attention towards a film adaptation of Anthony Burgess's 1962 novel "A Clockwork Orange". Subsequently, Kubrick showed an interest in Thackeray's "Vanity Fair" but dropped the project when a serialised version for television was produced. He told an interviewer, "At one time, "Vanity Fair" interested me as a possible film but, in the end, I decided the story could not be successfully compressed into the relatively short time-span of a feature film ... as soon as I read "Barry Lyndon" I became very excited about it." Having earned Oscar nominations for "Dr. Strangelove", "2001: A Space Odyssey" and "A Clockwork Orange", Kubrick's reputation in the early 1970s was that of "a perfectionist auteur who loomed larger over his movies than any concept or star". His studio—Warner Bros.—was therefore "eager to bankroll" his next project, which Kubrick kept "shrouded in secrecy" from the press partly due to the furore surrounding the controversially violent "A Clockwork Orange" (particularly in the UK) and partly due to his "long-standing paranoia about the tabloid press." Kubrick was initially rumored to be developing an adaptation of Arthur Schnitzler's 1926 novella "Dream Story", which would serve as the source material for his later film "Eyes Wide Shut" (1999). In 1972 Kubrick finally set his sights on Thackeray's 1844 "satirical picaresque about the fortune-hunting of an Irish rogue," "The Luck of" "Barry Lyndon", the setting of which allowed Kubrick to take advantage of the copious period research he had done for the now-aborted "Napoleon". At the time, Kubrick merely announced that his next film would star Ryan O'Neal (deemed "a seemingly un-Kubricky choice of leading man") and Marisa Berenson, a former "Vogue" and "Time" magazine cover model, and be shot largely in Ireland. So heightened was the secrecy surrounding the film that "Even Berenson, when Kubrick first approached her, was told only that it was to be an 18th-century costume piece [and] she was instructed to keep out of the sun in the months before production, to achieve the period-specific pallor he required." Screenplay. Kubrick based his adapted screenplay on William Makepeace Thackeray's "The Luck of Barry Lyndon" (republished as the novel "Memoirs of Barry Lyndon, Esq.)," a picaresque tale written and published in serial form in 1844. The film departs from the novel in several ways. In Thackeray's writings, events are related in the first person by Barry himself. A comic tone pervades the work, as Barry proves both a raconteur and an unreliable narrator. Kubrick's film, by contrast, presents the story objectively. Though the film contains voice-over (by actor Michael Hordern), the comments expressed are not Barry's, but those of an omniscient narrator. Kubrick felt that using a first-person narrative would not be useful in a film adaptation: Kubrick made several changes to the plot, including the addition of the final duel. Principal photography. Principal photography lasted 300 days, from spring 1973 through to early 1974, with a break for Christmas. Kubrick initially wished to film the entire production near his home in Borehamwood, but Ken Adam convinced him to relocate the shoot to Ireland. The crew arrived in Dublin in May 1973. Jan Harlan recalls that Kubrick "loved his time in Ireland – he rented a lovely house west of Dublin, he loved the scenery and the culture and the people". Many of the exteriors were shot in Ireland, playing "itself, England, and Prussia during the Seven Years' War." Kubrick and cinematographer Alcott drew inspiration from "the landscapes of Watteau and Gainsborough," and also relied on the art direction of Ken Adam and Roy Walker. Alcott, Adam and Walker were among those who would win Oscars for their work on the film. Several of the interior scenes were filmed in Powerscourt House, an 18th-century mansion in County Wicklow. The house was destroyed in an accidental fire several months after filming (November 1974), so the film serves as a record of the lost interiors, particularly the "Saloon" which was used for more than one scene. The Wicklow Mountains are visible, for example, through the window of the saloon during a scene set in Berlin. Other locations included Kells Priory, County Kilkenny (the English Redcoat encampment); Huntington Castle, County Carlow (exterior) and Dublin Castle, County Dublin (the chevalier's home). Some exterior shots were also filmed at Waterford Castle, County Waterford (now a luxury hotel and golf course) and Little Island, Waterford. Moorstown Castle in County Tipperary also featured. Several scenes were filmed at Castletown House in Celbridge, County Kildare; outside Carrick-on-Suir, County Tipperary, and at Youghal, County Cork. The filming took place in the backdrop of some of the most intense years of the Troubles in Ireland, during which the Provisional Irish Republican Army (Provisional IRA) was waging an armed campaign in order to unite the island. On 30 January 1974, while filming in Dublin City's Phoenix Park, shooting had to be cancelled due to the chaos caused by 14 bomb threats. One day a phone call was received and Kubrick was given 24 hours to leave the country; he left within 12 hours. The phone call alleged that the Provisional IRA had him on a hit list and Harlan recalls "Whether the threat was a hoax or it was real, almost doesn't matter ... Stanley was not willing to take the risk. He was threatened, and he packed his bag and went home." Production of the film was one-third completed when this occurred, and it was rumored that the film would be abandoned. Nonetheless, Kubrick continued shooting the remainder of the film at locations in England, mainly southern England, Scotland, West Germany, and East Germany. Locations in England include Blenheim Palace, Oxfordshire; Castle Howard, North Yorkshire (exteriors of the Lyndon estate, "Castle Hickham"); Corsham Court, Wiltshire (various interiors and the music room scene); Petworth House, West Sussex (chapel); Stourhead, Wiltshire (lake and temple); Longleat, Wiltshire; Wilton House, Wiltshire (interior and exterior) and Lavenham Guildhall at Lavenham in Suffolk (amputation scene). Filming took place at Dunrobin Castle (exterior and garden as Spa) in Sutherland, Scotland. Locations in West Germany include Ludwigsburg Palace in Ludwigsburg and Hohenzollern Castle in Hechingen, both near Stuttgart. Frederick II of Prussia's Neues Palais at Potsdam near Berlin, at the time East Germany, was also used as a location (suggesting Berlin's main street Unter den Linden as construction in Potsdam had just begun in 1763). Cinematography. The film, as with "almost every Kubrick film", is a "showcase for [a] major innovation in technique." While "2001: A Space Odyssey" had featured "revolutionary effects," and "The Shining" would later feature heavy use of the Steadicam, "Barry Lyndon" saw a considerable number of sequences shot "without recourse to electric light." The film's cinematography was overseen by director of photography John Alcott (who won an Oscar for his work), and is particularly noted for the technical innovations that made some of its most spectacular images possible. To achieve photography without electric lighting "[f]or the many densely furnished interior scenes … meant shooting by candlelight," which is known to be difficult in still photography, "let alone with moving images." Kubrick was "determined not to reproduce the set-bound, artificially lit look of other costume dramas from that time." After "tinker[ing] with different combinations of lenses and film stock," the production obtained three super-fast 50mm lenses (Carl Zeiss Planar 50mm "f"/0.7) developed by Zeiss for use by NASA in the Apollo Moon landings, which Kubrick had discovered. These super-fast lenses "with their huge aperture (the film actually features the lowest f-stop in film history) and fixed focal length" were problematic to mount, and were extensively modified into three versions by Cinema Products Corporation for Kubrick to gain a wider angle of view, with input from optics expert Richard Vetter of Todd-AO. The rear element of the lens had to be 2.5 mm away from the film plane, requiring special modification to the rotating camera shutter. This allowed Kubrick and Alcott to shoot scenes lit in candlelight to an average lighting volume of only three candela, "recreating the huddle and glow of a pre-electrical age." In addition, Kubrick had the entire film push-developed by one stop. Although Kubrick and Alcott sought to avoid electric lighting where possible, most shots were achieved with conventional lenses and lighting, but were lit to deliberately mimic natural light rather than for compositional reasons. In addition to potentially seeming more realistic, these methods also gave a particular period look to the film which has often been likened to 18th-century paintings (which of course depict a world devoid of electric lighting), in particular owing "a lot to William Hogarth, with whom Thackeray had always been fascinated." The film is widely regarded as having a stately, static, painterly quality, mostly due to its lengthy, wide-angle long shots. To illuminate the more notable interior scenes, artificial lights called "Mini-Brutes" were placed outside and aimed through the windows, which were covered in a diffuse material to scatter the light evenly through the room rather than being placed inside for maximum use as most conventional films do. In some instances, the natural daylight was allowed to come through, which when recorded on the film stock used by Kubrick showed up as blue-tinted compared to the incandescent electric light. Despite such slight tinting effects, this method of lighting not only gave the look of natural daylight coming in through the windows, but it also protected the historic locations from the damage caused by mounting the lights on walls or ceilings and the heat from the lights. This helped the film "fit ... perfectly with Kubrick's gilded-cage aesthetic – the film is consciously a museum piece, its characters pinned to the frame like butterflies." Music. The film's period setting allowed Kubrick to indulge his penchant for using classical music, and the film score includes pieces by Vivaldi, Bach, Handel, Paisiello, Mozart, and Schubert. The piece most associated with the film, however, is the main title music, Handel's Sarabande from the Keyboard suite in D minor (HWV 437). Originally for solo harpsichord, the versions for the main and end titles are performed with strings, timpani, and continuo. The score also includes Irish folk music, including Seán Ó Riada's song "Women of Ireland", arranged by Paddy Moloney and performed by The Chieftains. "The British Grenadiers" also features in scenes with Redcoats marching. Reception. Contemporaneous. The film "was not the commercial success Warner Bros. had been hoping for" within the United States, although it fared better in Europe. In the US it earned $9.1 million. The film grossed a worldwide total of $20.2 million against a production budget of $12 million. This mixed reaction saw the film (in the words of one retrospective review) "greeted, on its release, with dutiful admiration – but not love. Critics ... rail[ed] against the perceived coldness of Kubrick's style, the film's self-conscious artistry and slow pace. Audiences, on the whole, rather agreed". Roger Ebert gave the film three and a half stars out of four and wrote that it "is almost aggressive in its cool detachment. It defies us to care, it forces us to remain detached about its stately elegance." He added, "This must be one of the most beautiful films ever made." Vincent Canby of "The New York Times" called the film "another fascinating challenge from one of our most remarkable, independent-minded directors." Gene Siskel of the "Chicago Tribune" gave the film three and a half stars out of four and wrote "I found "Barry Lyndon" to be quite obvious about its intentions and thoroughly successful in achieving them. Kubrick has taken a novel about a social class and has turned it into an utterly comfortable story that conveys the stunning emptiness of upper-class life only 200 years past." He ranked the film fifth on his year-end list of the best films of 1975. Charles Champlin of the "Los Angeles Times" called it "the motion picture equivalent of one of those very large, very heavy, very expensive, very elegant and very dull books that exist solely to be seen on coffee tables. It is ravishingly beautiful and incredibly tedious in about equal doses, a succession of salon quality still photographs—as often as not very still indeed." "The Washington Post" wrote, "It's not inaccurate to describe 'Barry Lyndon' as a masterpiece, but it's a deadend masterpiece, an objet d'art rather than a movie. It would be more at home, and perhaps easier to like, on the bookshelf, next to something like 'The Age of the Grand Tour,' than on the silver screen." Pauline Kael of "The New Yorker" wrote that "Kubrick has taken a quick-witted story" and "controlled it so meticulously that he's drained the blood out of it," adding, "It's a coffee-table movie; we might as well be at a three-hour slide show for art-history majors." This "air of disappointment" affected Kubrick's choice for his next film, an adaption of Stephen King's "The Shining", a project that would not only please him artistically, but was more likely to succeed financially. Re-evaluation. Over time, the film has gained a more positive reaction. On review aggregator Rotten Tomatoes, the film holds an approval rating of 78% based on 143 reviews, with an average rating of 8.2/10. The website's critical consensus reads, "Visually astonishing and placid as a pond in the English countryside, Stanley Kubrick's maddening and masterful "Barry Lyndon" renders a hollow life with painterly poise." On Metacritic, the film has a weighted average score of 89 out of 100 based on reviews from 21 critics, indicating "universal acclaim". Roger Ebert added the film to his 'Great Movies' list on 9 September 2009 and increased his original rating from three and a half stars to four, writing, "Stanley Kubrick's "Barry Lyndon", received indifferently in 1975, has grown in stature in the years since and is now widely regarded as one of the master's best. It is certainly in every frame a Kubrick film: technically awesome, emotionally distant, remorseless in its doubt of human goodness." "The Village Voice" ranked the film at number 46 in its Top 250 "Best Films of the Century" list in 1999, based on a poll of critics. Director Martin Scorsese has named "Barry Lyndon" as his favourite Kubrick film, and it is also one of Lars von Trier's favourite films. "Barry Lyndon" was included on "Time"s All-Time 100 best movies list. In the 2012 "Sight & Sound" Greatest Films of All Time poll, "Barry Lyndon" placed 19th in the directors' poll and 59th in the critics' poll. The film ranked 27th in BBC's 2015 list of the 100 greatest American films. In the 2022 "Sight & Sound" Greatest Films of All Time poll, "Barry Lyndon" placed 12th in the directors' poll and 45th in the critics' poll. In a list compiled by "The Irish Times" critics Tara Brady and Donald Clarke in 2020, "Barry Lyndon" was named the greatest Irish film of all time. The Japanese filmmaker Akira Kurosawa cited the movie as one of his 100 favorite films. Home media. "Barry Lyndon" was released by Warner Bros. on DVD in 1999, and by The Criterion Collection in 2001. The film was released on Blu-ray by Warner Bros. in 2011. It was released on Blu-ray by Criterion in October 2017, featuring a new remaster in the film's original 1.66:1 aspect ratio (compared to the Warner Blu-ray's 16:9 aspect ratio). The film was released on Ultra HD Blu-ray by Criterion in July 2025.
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Cell (biology)
The cell is the basic structural and functional unit of all forms of life. Every cell consists of cytoplasm enclosed within a membrane; many cells contain organelles, each with a specific function. The term comes from the Latin word meaning 'small room'. Most cells are only visible under a microscope. Cells emerged on Earth about 4 billion years ago. All cells are capable of replication, protein synthesis, and motility. Cells are broadly categorized into two types: eukaryotic cells, which possess a nucleus, and prokaryotic cells, which lack a nucleus but have a nucleoid region. Prokaryotes are single-celled organisms such as bacteria, whereas eukaryotes can be either single-celled, such as amoebae, or multicellular, such as some algae, plants, animals, and fungi. Eukaryotic cells contain organelles including mitochondria, which provide energy for cell functions, chloroplasts, which in plants create sugars by photosynthesis, and ribosomes, which synthesise proteins. Cells were discovered by Robert Hooke in 1665, who named them after their resemblance to cells inhabited by Christian monks in a monastery. Cell theory, developed in 1839 by Matthias Jakob Schleiden and Theodor Schwann, states that all organisms are composed of one or more cells, that cells are the fundamental unit of structure and function in all living organisms, and that all cells come from pre-existing cells. Cell types. Cells are broadly categorized into two types: eukaryotic cells, which possess a nucleus, and prokaryotic cells, which lack a nucleus but have a nucleoid region. Prokaryotes are single-celled organisms, whereas eukaryotes can be either single-celled or multicellular. Prokaryotic cells. Prokaryotes include bacteria and archaea, two of the three domains of life. Prokaryotic cells were the first form of life on Earth, characterized by having vital biological processes including cell signaling. They are simpler and smaller than eukaryotic cells, and lack a nucleus, and other membrane-bound organelles. The DNA of a prokaryotic cell consists of a single circular chromosome that is in direct contact with the cytoplasm. The nuclear region in the cytoplasm is called the nucleoid. Most prokaryotes are the smallest of all organisms, ranging from 0.5 to 2.0 μm in diameter. A prokaryotic cell has three regions: Eukaryotic cells. Plants, animals, fungi, slime moulds, protozoa, and algae are all eukaryotic. These cells are about fifteen times wider than a typical prokaryote and can be as much as a thousand times greater in volume. The main distinguishing feature of eukaryotes as compared to prokaryotes is compartmentalization: the presence of membrane-bound organelles (compartments) in which specific activities take place. Most important among these is a cell nucleus, an organelle that houses the cell's DNA. This nucleus gives the eukaryote its name, which means "true kernel (nucleus)". Some of the other differences are: Many groups of eukaryotes are single-celled. Among the many-celled groups are animals and plants. The number of cells in these groups vary with species; it has been estimated that the human body contains around 37 trillion (3.72×1013) cells, and more recent studies put this number at around 30 trillion (~36 trillion cells in the male, ~28 trillion in the female). Subcellular components. All cells, whether prokaryotic or eukaryotic, have a membrane that envelops the cell, regulates what moves in and out (selectively permeable), and maintains the electric potential of the cell. Inside the membrane, the cytoplasm takes up most of the cell's volume. Except red blood cells, which lack a cell nucleus and most organelles to accommodate maximum space for hemoglobin, all cells possess DNA, the hereditary material of genes, and RNA, containing the information necessary to build various proteins such as enzymes, the cell's primary machinery. There are also other kinds of biomolecules in cells. This article lists these primary cellular components, then briefly describes their function. Cell membrane. The cell membrane, or plasma membrane, is a selectively permeable biological membrane that surrounds the cytoplasm of a cell. In animals, the plasma membrane is the outer boundary of the cell, while in plants and prokaryotes it is usually covered by a cell wall. This membrane serves to separate and protect a cell from its surrounding environment and is made mostly from a double layer of phospholipids, which are amphiphilic (partly hydrophobic and partly hydrophilic). Hence, the layer is called a phospholipid bilayer, or sometimes a fluid mosaic membrane. Embedded within this membrane is a macromolecular structure called the porosome the universal secretory portal in cells and a variety of protein molecules that act as channels and pumps that move different molecules into and out of the cell. The membrane is semi-permeable, and selectively permeable, in that it can either let a substance (molecule or ion) pass through freely, to a limited extent or not at all. Cell surface membranes also contain receptor proteins that allow cells to detect external signaling molecules such as hormones. Cytoskeleton. The cytoskeleton acts to organize and maintain the cell's shape; anchors organelles in place; helps during endocytosis, the uptake of external materials by a cell, and cytokinesis, the separation of daughter cells after cell division; and moves parts of the cell in processes of growth and mobility. The eukaryotic cytoskeleton is composed of microtubules, intermediate filaments and microfilaments. In the cytoskeleton of a neuron the intermediate filaments are known as neurofilaments. There are a great number of proteins associated with them, each controlling a cell's structure by directing, bundling, and aligning filaments. The prokaryotic cytoskeleton is less well-studied but is involved in the maintenance of cell shape, polarity and cytokinesis. The subunit protein of microfilaments is a small, monomeric protein called actin. The subunit of microtubules is a dimeric molecule called tubulin. Intermediate filaments are heteropolymers whose subunits vary among the cell types in different tissues. Some of the subunit proteins of intermediate filaments include vimentin, desmin, lamin (lamins A, B and C), keratin (multiple acidic and basic keratins), and neurofilament proteins (NF–L, NF–M). Genetic material. Two different kinds of genetic material exist: deoxyribonucleic acid (DNA) and ribonucleic acid (RNA). Cells use DNA for their long-term information storage. The biological information contained in an organism is encoded in its DNA sequence. RNA is used for information transport (e.g., mRNA) and enzymatic functions (e.g., ribosomal RNA). Transfer RNA (tRNA) molecules are used to add amino acids during protein translation. Prokaryotic genetic material is organized in a simple circular bacterial chromosome in the nucleoid region of the cytoplasm. Eukaryotic genetic material is divided into different, linear molecules called chromosomes inside a discrete nucleus, usually with additional genetic material in some organelles like mitochondria and chloroplasts (see endosymbiotic theory). A human cell has genetic material contained in the cell nucleus (the nuclear genome) and in the mitochondria (the mitochondrial genome). In humans, the nuclear genome is divided into 46 linear DNA molecules called chromosomes, including 22 homologous chromosome pairs and a pair of sex chromosomes. The mitochondrial genome is a circular DNA molecule distinct from nuclear DNA. Although the mitochondrial DNA is very small compared to nuclear chromosomes, it codes for 13 proteins involved in mitochondrial energy production and specific tRNAs. Foreign genetic material (most commonly DNA) can also be artificially introduced into the cell by a process called transfection. This can be transient, if the DNA is not inserted into the cell's genome, or stable, if it is. Certain viruses also insert their genetic material into the genome. Organelles. Organelles are parts of the cell that are adapted and/or specialized for carrying out one or more vital functions, analogous to the organs of the human body (such as the heart, lung, and kidney, with each organ performing a different function). Both eukaryotic and prokaryotic cells have organelles, but prokaryotic organelles are generally simpler and are not membrane-bound. There are several types of organelles in a cell. Some (such as the nucleus and Golgi apparatus) are typically solitary, while others (such as mitochondria, chloroplasts, peroxisomes and lysosomes) can be numerous (hundreds to thousands). The cytosol is the gelatinous fluid that fills the cell and surrounds the organelles. Structures outside the cell membrane. Many cells also have structures which exist wholly or partially outside the cell membrane. These structures are notable because they are not protected from the external environment by the cell membrane. In order to assemble these structures, their components must be carried across the cell membrane by export processes. Cell wall. Many types of prokaryotic and eukaryotic cells have a cell wall. The cell wall acts to protect the cell mechanically and chemically from its environment, and is an additional layer of protection to the cell membrane. Different types of cell have cell walls made up of different materials; plant cell walls are primarily made up of cellulose, fungi cell walls are made up of chitin and bacteria cell walls are made up of peptidoglycan. Prokaryotic. Capsule. A gelatinous capsule is present in some bacteria outside the cell membrane and cell wall. The capsule may be polysaccharide as in pneumococci, meningococci or polypeptide as "Bacillus anthracis" or hyaluronic acid as in streptococci. Capsules are not marked by normal staining protocols and can be detected by India ink or methyl blue, which allows for higher contrast between the cells for observation. Flagella. Flagella are organelles for cellular mobility. The bacterial flagellum stretches from cytoplasm through the cell membrane(s) and extrudes through the cell wall. They are long and thick thread-like appendages, protein in nature. A different type of flagellum is found in archaea and a different type is found in eukaryotes. Fimbriae. A fimbria (plural fimbriae also known as a pilus, plural pili) is a short, thin, hair-like filament found on the surface of bacteria. Fimbriae are formed of a protein called pilin (antigenic) and are responsible for the attachment of bacteria to specific receptors on human cells (cell adhesion). There are special types of pili involved in bacterial conjugation. Cellular processes. Replication. Cell division involves a single cell (called a "mother cell") dividing into two daughter cells. This leads to growth in multicellular organisms (the growth of tissue) and to procreation (vegetative reproduction) in unicellular organisms. Prokaryotic cells divide by binary fission, while eukaryotic cells usually undergo a process of nuclear division, called mitosis, followed by division of the cell, called cytokinesis. A diploid cell may also undergo meiosis to produce haploid cells, usually four. Haploid cells serve as gametes in multicellular organisms, fusing to form new diploid cells. DNA replication, or the process of duplicating a cell's genome, always happens when a cell divides through mitosis or binary fission. This occurs during the S phase of the cell cycle. In meiosis, the DNA is replicated only once, while the cell divides twice. DNA replication only occurs before meiosis I. DNA replication does not occur when the cells divide the second time, in meiosis II. Replication, like all cellular activities, requires specialized proteins for carrying out the job. DNA repair. Cells of all organisms contain enzyme systems that scan their DNA for damage and carry out repair processes when it is detected. Diverse repair processes have evolved in organisms ranging from bacteria to humans. The widespread prevalence of these repair processes indicates the importance of maintaining cellular DNA in an undamaged state in order to avoid cell death or errors of replication due to damage that could lead to mutation. "E. coli" bacteria are a well-studied example of a cellular organism with diverse well-defined DNA repair processes. These include: nucleotide excision repair, DNA mismatch repair, non-homologous end joining of double-strand breaks, recombinational repair and light-dependent repair (photoreactivation). Growth and metabolism. Between successive cell divisions, cells grow through the functioning of cellular metabolism. Cell metabolism is the process by which individual cells process nutrient molecules. Metabolism has two distinct divisions: catabolism, in which the cell breaks down complex molecules to produce energy and reducing power, and anabolism, in which the cell uses energy and reducing power to construct complex molecules and perform other biological functions. Complex sugars can be broken down into simpler sugar molecules called monosaccharides such as glucose. Once inside the cell, glucose is broken down to make adenosine triphosphate (ATP), a molecule that possesses readily available energy, through two different pathways. In plant cells, chloroplasts create sugars by photosynthesis, using the energy of light to join molecules of water and carbon dioxide. Protein synthesis. Cells are capable of synthesizing new proteins, which are essential for the modulation and maintenance of cellular activities. This process involves the formation of new protein molecules from amino acid building blocks based on information encoded in DNA/RNA. Protein synthesis generally consists of two major steps: transcription and translation. Transcription is the process where genetic information in DNA is used to produce a complementary RNA strand. This RNA strand is then processed to give messenger RNA (mRNA), which is free to migrate through the cell. mRNA molecules bind to protein-RNA complexes called ribosomes located in the cytosol, where they are translated into polypeptide sequences. The ribosome mediates the formation of a polypeptide sequence based on the mRNA sequence. The mRNA sequence directly relates to the polypeptide sequence by binding to transfer RNA (tRNA) adapter molecules in binding pockets within the ribosome. The new polypeptide then folds into a functional three-dimensional protein molecule. Motility. Unicellular organisms can move in order to find food or escape predators. Common mechanisms of motion include flagella and cilia. In multicellular organisms, cells can move during processes such as wound healing, the immune response and cancer metastasis. For example, in wound healing in animals, white blood cells move to the wound site to kill the microorganisms that cause infection. Cell motility involves many receptors, crosslinking, bundling, binding, adhesion, motor and other proteins. The process is divided into three steps: protrusion of the leading edge of the cell, adhesion of the leading edge and de-adhesion at the cell body and rear, and cytoskeletal contraction to pull the cell forward. Each step is driven by physical forces generated by unique segments of the cytoskeleton. Navigation, control and communication. In August 2020, scientists described one way cells—in particular cells of a slime mold and mouse pancreatic cancer-derived cells—are able to navigate efficiently through a body and identify the best routes through complex mazes: generating gradients after breaking down diffused chemoattractants which enable them to sense upcoming maze junctions before reaching them, including around corners. Multicellularity. Cell specialization/differentiation. Multicellular organisms are organisms that consist of more than one cell, in contrast to single-celled organisms. In complex multicellular organisms, cells specialize into different cell types that are adapted to particular functions. In mammals, major cell types include skin cells, muscle cells, neurons, blood cells, fibroblasts, stem cells, and others. Cell types differ both in appearance and function, yet are genetically identical. Cells are able to be of the same genotype but of different cell type due to the differential expression of the genes they contain. Most distinct cell types arise from a single totipotent cell, called a zygote, that differentiates into hundreds of different cell types during the course of development. Differentiation of cells is driven by different environmental cues (such as cell–cell interaction) and intrinsic differences (such as those caused by the uneven distribution of molecules during division). Origin of multicellularity. Multicellularity has evolved independently at least 25 times, including in some prokaryotes, like cyanobacteria, myxobacteria, actinomycetes, or "Methanosarcina". However, complex multicellular organisms evolved only in six eukaryotic groups: animals, fungi, brown algae, red algae, green algae, and plants. It evolved repeatedly for plants (Chloroplastida), once or twice for animals, once for brown algae, and perhaps several times for fungi, slime molds, and red algae. Multicellularity may have evolved from colonies of interdependent organisms, from cellularization, or from organisms in symbiotic relationships. The first evidence of multicellularity is from cyanobacteria-like organisms that lived between 3 and 3.5 billion years ago. Other early fossils of multicellular organisms include the contested "Grypania spiralis" and the fossils of the black shales of the Palaeoproterozoic Francevillian Group Fossil B Formation in Gabon. The evolution of multicellularity from unicellular ancestors has been replicated in the laboratory, in evolution experiments using predation as the selective pressure. Origins. The origin of cells has to do with the origin of life, which began the history of life on Earth. Origin of life. Small molecules needed for life may have been carried to Earth on meteorites, created at deep-sea vents, or synthesized by lightning in a reducing atmosphere. There is little experimental data defining what the first self-replicating forms were. RNA may have been the earliest self-replicating molecule, as it can both store genetic information and catalyze chemical reactions. Cells emerged around 4 billion years ago. The first cells were most likely heterotrophs. The early cell membranes were probably simpler and more permeable than modern ones, with only a single fatty acid chain per lipid. Lipids spontaneously form bilayered vesicles in water, and could have preceded RNA. First eukaryotic cells. Eukaryotic cells were created some 2.2 billion years ago in a process called eukaryogenesis. This is widely agreed to have involved symbiogenesis, in which archaea and bacteria came together to create the first eukaryotic common ancestor. This cell had a new level of complexity and capability, with a nucleus and facultatively aerobic mitochondria. It evolved some 2 billion years ago into a population of single-celled organisms that included the last eukaryotic common ancestor, gaining capabilities along the way, though the sequence of the steps involved has been disputed, and may not have started with symbiogenesis. It featured at least one centriole and cilium, sex (meiosis and syngamy), peroxisomes, and a dormant cyst with a cell wall of chitin and/or cellulose. In turn, the last eukaryotic common ancestor gave rise to the eukaryotes' crown group, containing the ancestors of animals, fungi, plants, and a diverse range of single-celled organisms. The plants were created around 1.6 billion years ago with a second episode of symbiogenesis that added chloroplasts, derived from cyanobacteria. History of research. In 1665, Robert Hooke examined a thin slice of cork under his microscope, and saw a structure of small enclosures. He wrote "I could exceeding plainly perceive it to be all perforated and porous, much like a Honey-comb, but that the pores of it were not regular". To further support his theory, Matthias Schleiden and Theodor Schwann both also studied cells of both animal and plants. What they discovered were significant differences between the two types of cells. This put forth the idea that cells were not only fundamental to plants, but animals as well.
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Buffy the Vampire Slayer (film)
Buffy the Vampire Slayer is a 1992 American comedy vampire film directed by Fran Rubel Kuzui and written by Joss Whedon. It stars Kristy Swanson as the eponymous Buffy Summers, a Valley Girl cheerleader who learns it is her fate to hunt vampires. Donald Sutherland, Paul Reubens, Rutger Hauer, and Luke Perry appear in supporting roles. The film received mixed reviews from critics and grossed $16.6 million on a $7 million budget. It also took a different direction from what Whedon intended, leading him to create a television series of the same name to critical acclaim. Plot. Buffy Summers is a cheerleader at Hemery High School in Los Angeles. Her main concerns are shopping and spending time with her rich, snooty friends and her boyfriend, Jeffrey. While at school one day, she is approached by a man who calls himself Merrick. He informs her that she is The Slayer, or Chosen One, destined to kill vampires and his duty is to guide and train her. She initially rejects his claim, but realizes he's right when he vividly describes a recurring dream of hers. Additionally, Buffy is exhibiting abilities not known to her, including heightened agility, senses, and endurance; yet she repeatedly tries Merrick's patience with her frivolous nature, indifference to slaying, and sharp-tongued remarks. Conflict starts with local vampire king, Lothos, and his acolyte, Amilyn. Two young men, Oliver Pike and Benny, are out drinking when they're attacked by Amilyn. Benny is turned, but Pike is saved by Merrick. As a vampire, Benny visits his friend Pike and tries to get him to join him. Amilyn also abducts Cassandra, a girl from Buffy's class, and sacrifices her to Lothos. Pike decides to leave town when he realizes he is no longer safe. His plan is thwarted when he encounters Amilyn and his gang of vampires, and Buffy and Merrick rescue him. After this encounter, Buffy and Pike start a friendship that eventually becomes romantic, and Pike becomes Buffy's vampire hunting partner. Buffy discovers her friend Grueller is a vampire. Shortly after he is dispatched, Buffy encounters Lothos and Amilyn. The vampire king puts Buffy into a hypnotic trance. Merrick intervenes, but he is killed by Lothos when he attempts to stake him. As Merrick dies, he tells Buffy to do things her own way rather than live by the rules of others. At school, Buffy attempts to explain things to her friends, but they refuse to understand her, as they are more concerned with an upcoming school dance. Buffy falls out with them as she realizes she has outgrown their immature, selfish behavior. At the senior dance, Buffy is dismayed to find Jeffrey has dumped her (via a message on her answering machine) and had come to the dance with her friend Jenny. She meets with Pike, and dances with him instead. Lothos sends his army of vampire minions to the school to attack the dance (among which is Cassandra, though it's unknown what became of her later). During the attack, students and attendants try to fight off the vampires in the gym. Pike kills Benny with high voltage of electricity after they fight, while Buffy confronts Amilyn and Lothos in the school's basement. She kills Amilyn, but Lothos starts to hypnotize her again. The trance is broken when Buffy is reminded of Merrick's last words and she defends herself against Lothos. Buffy returns to the gym, and Lothos suddenly emerges with a sword; the Slayer and vampire king duel, and Buffy manages to defeat him. The survivors leave, Buffy and Pike share another dance and the couple ride away on a motorcycle. Cast. Appearing in uncredited roles are Ben Affleck as a basketball player, Ricki Lake as Charlotte, Seth Green as a vampire, and Alexis Arquette as the vampire DJ. Production. Writer Whedon sold the film to country singer Dolly Parton's production company, Sandollar, in the fall of 1991. Production was limited to five weeks to accommodate Luke Perry's "Beverly Hills, 90210" filming schedule. Whedon was inspired by "Night of the Comet" for the film's story. Whedon was involved in an advisory role early in the production but departed after becoming dissatisfied with the direction the film was taking. Executives at 20th Century Fox removed many of Whedon's jokes, believing the humor to be too abstract for audiences. They also disliked the darker elements in Whedon's original script, wanting to make it a lighter comedy. Merrick's suicide was replaced with his being killed by Lothos, and Buffy's burning down her high school gym to kill all the vampires was eliminated altogether. All this led Whedon to finally walk off the set. He has been highly critical of actor Donald Sutherland's behavior on set, describing him as entitled and difficult to work with. Sutherland had a penchant for improvising or altering his lines in the script, which director Rubel Kuzui allowed him to do freely because he was the film's most high-profile star. Whedon felt this made Merrick's dialogue in the film disjointed and unintelligible. Filming in Los Angeles included the ballroom of the Park Plaza Hotel, where Merrick lives and trains Buffy, John Marshall High School in Los Feliz, and the gymnasium of University High School in West Los Angeles, where the high school dance and vampire attack was filmed. Reception. Box office. The film debuted at #5 at the North American box office and eventually grossed $16,624,456 against a $7 million production budget. Critical reception. On review aggregator website Rotten Tomatoes, the film has an approval rating of 37%, based on 54 reviews, with an average rating of 4.4/10. The consensus reads, ""Buffy the Vampire Slayer"s supernatural coming of age tale is let down by poor directing and even poorer plotting -- though Kristy Swanson and Paul Reubens' game performances still manage to slay." On Metacritic, the film has a weighted average score of 48 out of 100, based on 17 critics, indicating "mixed or average" reviews. Home media. The film was released on VHS and Laserdisc in the United States in November 1992 and in the United Kingdom in April 1993 by Fox Video and re-released in 1995 under the 20th Century Fox Selections banner. It was released on DVD in the United States in 2001 and on Blu-ray in 2011. Television. The film was taken in a different direction from what one of its writers Joss Whedon intended, and five years later, he created the darker and acclaimed television series of the same name. Many of the details given in the film differ from those of the later television series. For example, Buffy's age and history are dissimilar; she is a senior in high school in the film, but the series starts with her as a sophomore. The film does portray who the Buffy of the television series was before she learned of her destiny as the Slayer: a popular but selfish and superficial cheerleader. In the film, her parents are wealthy but negligent socialites who care little for her and spend their time at parties and golf tournaments; in the television series, Buffy has a caring, newly divorced mother named Joyce. The supernatural abilities of both vampires and the Slayer are depicted differently. The vampires in the film die like humans; in the television series, they turn to dust. Unlike the television series, their faces remain human albeit pale, fanged, and with notched ears, whereas in the television series, they take on a demonic aspect, especially when newly raised. The television series suggests that new vampires must consciously learn to maintain a human appearance. In the film, Merrick has been reincarnated many times, to train many Slayers; in the television series, Watchers are mortal and specially trained for their role and mission. Merrick's British accent and the manner of his death are different when he appears in flashbacks in the television series. Joss Whedon has expressed his dissatisfaction with the film's interpretation of the script, stating, "I finally sat down and had written it and somebody had made it into a movie, and I felt like — well, that's not quite her. It's a start, but it's not quite the girl." According to the "Official Buffy Watcher's Guide", Whedon wrote the pilot to the television series as a sequel to his original script, which is why the television series makes references to events that did not occur in the film. In 1999, Dark Horse Comics released a graphic novel adaptation of Whedon's original script under the title "The Origin". Whedon stated: "The "Origin" comic, though I have issues with it, CAN pretty much be accepted as canonical. They did a cool job of combining the movie script with the series, that was nice, and using the series Merrick and not a certain OTHER thespian who shall remain hated." Soundtrack. Other songs featured in the film but not the soundtrack album include: "Everybody Hurts" by R.E.M., "In the Wind" by War Babies, and "Inner Mind" by Eon. Possible remake. On May 25, 2009, "The Hollywood Reporter" reported that Roy Lee and Doug Davison of Vertigo Entertainment were working with Fran Rubel Kuzui and Kaz Kuzui on a re-envisioning or relaunch of the "Buffy" film for the big screen. The film would not be a sequel nor prequel to the existing film or television franchise, and Joss Whedon would have no involvement in the project. None of the characters, cast, or crew from the television series would be featured. Television series executive producer Marti Noxon later reflected that this story might have been produced by the studio in order to frighten Whedon into taking the reins of the project. On November 22, 2010, "The Hollywood Reporter" confirmed that Warner Bros. had picked up the movie rights to the remake. The film was set for release sometime in 2012. 20th Century Fox, which usually holds the rights to both "Buffy" and "Angel" television series, would retain merchandising and some distribution rights. The idea of the remake caused wrath among fans of the TV series, since Whedon was not involved. The project did not have any connection with the show and would not conform to the continuity maintained with the "Buffy the Vampire Slayer Season Eight" and "Season Nine" comic book titles. Not only the fandom, but the main cast members of both the "Buffy" and "Angel" series expressed disagreement with the report on Twitter and in recent interviews. Sarah Michelle Gellar said, "I think it's a horrible idea. To try to do a "Buffy" without Joss Whedon... to be incredibly non-eloquent: that's the dumbest idea I've ever heard." Proposed shooting locations included Black Wood and other areas in rural England, due to budgetary constraints and the potential setting being outside of the city, an unusual change for the franchise. In December 2011, more than a year after the official reboot announcement, the "Los Angeles Times" site reported that Whit Anderson, the writer picked for the new "Buffy" movie, had her script rejected by the producers behind the project, and that a new writer was being sought. Sources also stated that "If you're going to bring it back, you have to do it right. [Anderson] came in with some great ideas and she had reinvented some of the lore and it was pretty cool but in the end there just wasn't enough on the page." As of July 2018, Joss Whedon announced at San Diego Comic-Con that he was working on a sequel of the TV series and that it might feature a slayer of color.
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Barter
In trade, barter (derived from "bareter") is a system of exchange in which participants in a transaction directly exchange goods or services for other goods or services without using a medium of exchange, such as money. Economists usually distinguish barter from gift economies in many ways; barter, for example, features immediate reciprocal exchange, not one delayed in time. Barter usually takes place on a bilateral basis, but may be multilateral (if it is mediated through a trade exchange). In most developed countries, barter usually exists parallel to monetary systems only to a very limited extent. Market actors use barter as a replacement for money as the method of exchange in times of monetary crisis, such as when currency becomes unstable (such as hyperinflation or a deflationary spiral) or simply unavailable for conducting commerce. No ethnographic studies have shown that any present or past society has used barter without any other medium of exchange or measurement, and anthropologists have found no evidence that money emerged from barter. Nevertheless, economists since the times of Adam Smith (1723–1790) often imagined pre-modern societies for the sake of showing how the inefficiency of barter explains the emergence of money and the economy, and hence the discipline of economics itself. Economic theory. Adam Smith on the origin of money. Adam Smith sought to demonstrate that markets (and economies) pre-existed the state. He argued that money was not the creation of governments. Markets emerged, in his view, out of the division of labour, by which individuals began to specialize in specific crafts and hence had to depend on others for subsistence goods. These goods were first exchanged by barter. Specialization depended on trade but was hindered by the "double coincidence of wants" which barter requires, i.e., for the exchange to occur, each participant must want what the other has. To complete this hypothetical history, craftsmen would stockpile one particular good, be it salt or metal, that they thought no one would refuse. This is the origin of money according to Smith. Money, as a universally desired medium of exchange, allows each half of the transaction to be separated. Barter is characterized in Adam Smith's "The Wealth of Nations" by a disparaging vocabulary: "haggling, swapping, dickering". It has also been characterized as negative reciprocity, or "selfish profiteering". David Graeber's theory. Anthropologists such as David Graeber have argued, in contrast, "that when something resembling barter "does" occur in stateless societies it is almost always between strangers." Barter occurred between strangers, not fellow villagers, and hence cannot be used to naturalistically explain the origin of money without the state. Since most people who engaged in trade knew each other, exchange was fostered through the extension of credit. Marcel Mauss, author of 'The Gift', argued that the first economic contracts were to "not" act in one's economic self-interest, and that before money, exchange was fostered through the processes of reciprocity and redistribution, not barter. Everyday exchange relations in such societies are characterized by generalized reciprocity, or a non-calculative familial "communism" where each takes according to their needs, and gives as they have. Features of bartering. Often the following features are associated with barter transactions: There is a demand focus for things of a different kind. Most often, parties trade goods and services for goods or services that differ from what they are willing to forego. The parties of the barter transaction are both equal and free. Neither party has advantages over the other, and both are free to leave the trade at any point in time. The transaction happens simultaneously. The goods are normally traded at the same point in time. Nonetheless delayed barter in goods may rarely occur as well. In the case of services being traded however, the two parts of the trade may be separated. The transaction is transformative. A barter transaction "moves objects between the regimes of value", meaning that a good or service that is being traded may take up a new meaning or value under its recipient than that of its original owner. There is no criterion of value. There is no real way to value each side of the trade. There is bargaining taking place, not to do with the value of each party's good or service, but because each player in the transaction wants what is offered by the other. Advantages. Since direct barter does not require payment in money, it can be utilized when money is in short supply, when there is little information about the credit worthiness of trade partners, or when there is a lack of trust between those trading. Barter is an option to those who cannot afford to store their small supply of wealth in money, especially in hyperinflation situations where money devalues quickly. Barter economies are usually free from interest and usury. The German-Argentine economist Silvio Gesell created a Robinson Crusoe economy thought experiment in Part V of "The Natural Economic Order" which showed that interest rates are a purely monetary phenomenon that tends to be absent from barter economies. Limitations. The limitations of barter are often explained in terms of its inefficiencies in facilitating exchange in comparison to money. It is said that barter is 'inefficient' because: For barter to occur between two parties, both parties need to have what the other wants. In a monetary economy, money plays the role of a measure of the value of all goods, so their values can be assessed against each other; this role may be absent in a barter economy. If a person wants to buy a certain amount of another's goods, but only has for payment one indivisible unit of another good which is worth more than what the person wants to obtain, a barter transaction cannot occur. This is related to the absence of a common measure of value, although if the debt is denominated in units of the good that will eventually be used in payment, it is not a problem. If a society relies exclusively on perishable goods, storing wealth for the future may be impractical. However, some barter economies rely on durable goods like sheep or cattle for this purpose. History. Silent trade. Other anthropologists have questioned whether barter is typically between "total" strangers, a form of barter known as "silent trade". Silent trade, also called silent barter, dumb barter ("dumb" here used in its old meaning of "mute"), or depot trade, is a method by which traders who cannot speak each other's language can trade without talking. However, Benjamin Orlove has shown that while barter occurs through "silent trade" (between strangers), it occurs in commercial markets as well. "Because barter is a difficult way of conducting trade, it will occur only where there are strong institutional constraints on the use of money or where the barter symbolically denotes a special social relationship and is used in well-defined conditions. To sum up, multipurpose money in markets is like lubrication for machines - necessary for the most efficient function, but not necessary for the existence of the market itself." In his analysis of barter between coastal and inland villages in the Trobriand Islands, Keith Hart highlighted the difference between highly ceremonial gift exchange between community leaders, and the barter that occurs between individual households. The haggling that takes place between strangers is possible because of the larger temporary political order established by the gift exchanges of leaders. From this, he concludes that barter is "an atomized interaction predicated upon the presence of society" (i.e. that social order established by gift exchange), and not typical between strangers. Times of monetary crisis. As Orlove noted, barter may occur in commercial economies, usually during periods of monetary crisis. During such a crisis, currency may be in short supply, or highly devalued through hyperinflation. In such cases, money ceases to be the universal medium of exchange or standard of value. Money may be in such short supply that it becomes an item of barter itself rather than the means of exchange. Barter may also occur when people cannot afford to keep money (as when hyperinflation quickly devalues it). An example of this would be during the Crisis in Bolivarian Venezuela, when Venezuelans resorted to bartering as a result of hyperinflation. The increasingly low value of bank notes, and their lack of circulation in suburban areas, meant that many Venezuelans, especially those living outside of larger cities, took to trading over their own goods for even the most basic of transactions. Additionally, in the wake of the 2008 financial crisis, barter exchanges reported a double-digit increase in membership, due to the scarcity of fiat money, and the degradation of monetary system sentiment. Exchanges. Economic historian Karl Polanyi has argued that where barter is widespread, and cash supplies limited, barter is aided by the use of credit, brokerage, and money as a unit of account (i.e. used to price items). All of these strategies are found in ancient economies including Ptolemaic Egypt. They are also the basis for more recent barter exchange systems. While one-to-one bartering is practised between individuals and businesses on an informal basis, organized barter exchanges have developed to conduct third party bartering which helps overcome some of the limitations of barter. A barter exchange operates as a broker and bank in which each participating member has an account that is debited when purchases are made, and credited when sales are made. Modern barter and trade has evolved considerably to become an effective method of increasing sales, conserving cash, moving inventory, and making use of excess production capacity for businesses around the world. Businesses in a barter earn trade credits (instead of cash) that are deposited into their account. They then have the ability to purchase goods and services from other members utilizing their trade credits – they are not obligated to purchase from those whom they sold to, and vice versa. The exchange plays an important role because they provide the record-keeping, brokering expertise and monthly statements to each member. Commercial exchanges make money by charging a commission on each transaction either all on the buy side, all on the sell side, or a combination of both. Transaction fees typically run between 8 and 15%. A successful example is International Monetary Systems, which was founded in 1985 and is one of the first exchanges in North America opened after the TEFRA Act of 1982. Organized barter (retail barter). Since the 1930s, organized barter has been a common type of barter where company's join a barter organization (barter company) which serves as a hub to exchange goods and services without money as a medium of exchange. Similarly to brokerage houses, barter company facilitates the exchange of goods and services between member companies, allowing members to acquire goods and services by providing their own as payment. Member companies are required to sign a barter agreement with the barter company as a condition of their membership. In turn, the barter company provides each member with the current levels of supply and demand for each good and service which can be purchased or sold in the system. These transactions are mediated by barter authorities of the member companies. The barter member companies can then acquire their desired goods or services from another member company within a predetermined time. Failure to deliver the good or service within the fixed time period results in the debt being settled in cash. Each member company pays an annual membership fee and purchase and sales commission outlined in the contract. Organized barter increases liquidity for member companies as it mitigates the requirement of cash to settle transactions, enabling sales and purchases to be made with excess capacity or surplus inventory. Additionally, organized barter facilitates competitive advantage within industries and sectors. Considering the quantity of transactions depending on the supply-demand balance of the goods and services within the barter organization, member companies tend to face minimal competition within their own operating sector. Corporate barter. Producers, wholesalers and distributors tend to engage in corporate barter as a method of exchanging goods and services with companies they are in business with. These bilateral barter transactions are targeted towards companies aiming to convert stagnant inventories into receivable goods or services, to increase market share without cash investments, and to protect liquidity. However, issues arise as to the imbalance of supply and demand of desired goods and services and the inability to efficiently match the value of goods and services exchanged in these transactions. Labour notes. The Owenite socialists in Britain and the United States in the 1830s were the first to attempt to organize barter exchanges. Owenism developed a "theory of equitable exchange" as a critique of the exploitative wage relationship between capitalist and labourer, by which all profit accrued to the capitalist. To counteract the uneven playing field between employers and employed, they proposed "schemes of labour notes based on labour time, thus institutionalizing Owen's demand that human labour, not money, be made the standard of value." This alternate currency eliminated price variability between markets, as well as the role of merchants who bought low and sold high. The system arose in a period where paper currency was an innovation. Paper currency was an IOU circulated by a bank (a promise to pay, not a payment in itself). Both merchants and an unstable paper currency created difficulties for direct producers. An alternate currency, denominated in labour time, would prevent profit taking by middlemen; all goods exchanged would be priced only in terms of the amount of labour that went into them as expressed in the maxim 'Cost the limit of price'. It became the basis of exchanges in London, and in America, where the idea was implemented at the New Harmony communal settlement by Josiah Warren in 1826, and in his Cincinnati 'Time store' in 1827. Warren ideas were adopted by other Owenites and currency reformers, even though the labour exchanges were relatively short lived. In England, about 30 to 40 cooperative societies sent their surplus goods to an "exchange bazaar" for direct barter in London, which later adopted a similar labour note. The British Association for Promoting Cooperative Knowledge established an "equitable labour exchange" in 1830. This was expanded as the National Equitable Labour Exchange in 1832 on Grays Inn Road in London. These efforts became the basis of the British cooperative movement of the 1840s. In 1848, the socialist and first self-designated anarchist Pierre-Joseph Proudhon postulated a system of "time chits". Michael Linton coined the term "local exchange trading system" (LETS) in 1983 and for a time ran the Comox Valley LETSystems in Courtenay, British Columbia. LETS networks use interest-free local credit so direct swaps do not need to be made. For instance, a member may earn credit by doing childcare for one person and spend it later on carpentry with another person in the same network. In LETS, unlike other local currencies, no scrip is issued, but rather transactions are recorded in a central location open to all members. As credit is issued by the network members, for the benefit of the members themselves, LETS are considered mutual credit systems. Local currencies. The first exchange system was the Swiss WIR Bank. It was founded in 1934 as a result of currency shortages after the stock market crash of 1929. "WIR" is both an abbreviation of Wirtschaftsring (economic circle) and the word for "we" in German, reminding participants that the economic circle is also a community. In Australia and New Zealand, the largest barter exchange is Bartercard, founded in 1991, with offices in the United Kingdom, United States, Cyprus, UAE, Thailand, and most recently, South Africa. Other than its name suggests, it uses an electronic local currency, the trade dollar. Since its inception, Bartercard has amassed a trading value of over US$10 billion, and increased its customer network to 35,000 cardholders. The Crédito was a local currency started on 1 May 1995 in Bernal, Argentina, at a garage sale, which was the first of many neighbourhood barter markets () and barter clubs () that emerged in Argentina during the 1998–2002 Argentine great depression. At the barter clubs, people could exchange goods and services, often using créditos. An estimated 2.5 million Argentinians used the Crédito between 2001 and 2003. The currency started as a local exchange trading system (LETS), but was soon replaced by a number of printed currencies. After further experimentation with a LETS called "nodine" (from "no dinero", "not money"), it finally became the "Crédito" (Spanish for "credit"), a printed currency again. Bartering in business. In business, barter has the benefit that one gets to know each other, one discourages investments for rent (which is inefficient) and one can impose trade sanctions on dishonest partners. According to the International Reciprocal Trade Association, the industry trade body, more than 450,000 businesses transacted $10 billion globally in 2008 – and officials expect trade volume to grow by 15% in 2009. It is estimated that over 450,000 businesses in the United States were involved in barter exchange activities in 2010. There are approximately 400 commercial and corporate barter companies serving all parts of the world. There are many opportunities for entrepreneurs to start a barter exchange. Several major cities in the U.S. and Canada do not currently have a local barter exchange. There are two industry groups in the United States, the National Association of Trade Exchanges (NATE) and the International Reciprocal Trade Association (IRTA). Both offer training and promote high ethical standards among their members. Moreover, each has created its own currency through which its member barter companies can trade. NATE's currency is known as the BANC and IRTA's currency is called Universal Currency (UC). In Canada, barter continues to thrive. The largest b2b barter exchange is International Monetary Systems (IMS Barter), founded in 1985. P2P bartering has seen a renaissance in major Canadian cities through Bunz - built as a network of Facebook groups that went on to become a stand-alone bartering based app in January 2016. Within the first year, Bunz accumulated over 75,000 users in over 200 cities worldwide. Corporate barter focuses on larger transactions, which is different from a traditional, retail oriented barter exchange. Corporate barter exchanges typically use media and advertising as leverage for their larger transactions. It entails the use of a currency unit called a "trade-credit". The trade-credit must not only be known and guaranteed but also be valued in an amount the media and advertising could have been purchased for had the "client" bought it themselves (contract to eliminate ambiguity and risk). Soviet bilateral trade is occasionally called "barter trade", because although the purchases were denominated in U.S. dollars, the transactions were credited to an international clearing account, avoiding the use of hard cash. Tax implications. In the United States, Karl Hess used bartering to make it harder for the IRS to seize his wages and as a form of tax resistance. Hess explained how he turned to barter in an op-ed for "The New York Times" in 1975. However the IRS now requires barter exchanges to be reported as per the Tax Equity and Fiscal Responsibility Act of 1982. Barter exchanges are considered taxable revenue by the IRS and must be reported on a 1099-B form. According to the IRS, "The fair market value of goods and services exchanged must be included in the income of both parties." Other countries, though, do not have the reporting requirement that the U.S. does concerning proceeds from barter transactions, but taxation is handled the same way as a cash transaction. If one barters for a profit, one pays the appropriate tax; if one generates a loss in the transaction, they have a loss. Bartering for business is also taxed accordingly as business income or business expense. Many barter exchanges require that one register as a business. In countries like Australia and New Zealand, barter transactions require the appropriate tax invoices declaring the value of the transaction and its reciprocal GST component. All records of barter transactions must also be kept for a minimum of five years after the transaction is made. The Australian Taxation Office additionally considers sponsorships between businesses and influencers that are paid in non-monetary goods to be a form of taxable barter transaction. Recent developments. In Spain (particularly the Catalonia region) there is a growing number of exchange markets. These barter markets or swap meets work without money. Participants bring things they do not need and exchange them for the unwanted goods of another participant. Swapping among three parties often helps satisfy tastes when trying to get around the rule that money is not allowed. Other examples are El Cambalache in San Cristobal de las Casas, Chiapas, Mexico and post-Soviet societies. The recent blockchain technologies are making it possible to implement decentralized and autonomous barter exchanges that can be used by crowds on a massive scale. BarterMachine is an Ethereum smart contract based system that allows direct exchange of multiple types and quantities of tokens with others. It also provides a solution miner that allows users to compute direct bartering solutions in their browsers. Bartering solutions can be submitted to BarterMachine which will perform collective transfer of tokens among the blockchain addresses that belong to the users. If there are excess tokens left after the requirements of the users are satisfied, the leftover tokens will be given as reward to the solution miner.
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Berthe Morisot
Berthe Marie Pauline Morisot (; 14 January 1841 – 2 March 1895) was a French painter, printmaker and a member of the circle of painters in Paris who became known as the Impressionists. In 1864, Morisot exhibited for the first time in the highly esteemed Salon de Paris, listed as a student of Joseph Guichard and Achille-Francois Oudinot. Her work was selected for exhibition in six subsequent Salons until, in 1874, she joined the "rejected" Impressionists in the first of their own exhibitions (15 April – 15 May 1874), which included Paul Cézanne, Edgar Degas, Claude Monet, Camille Pissarro, Pierre-Auguste Renoir and Alfred Sisley. It was held at the studio of the photographer Nadar. Morisot went on to participate in all but one of the following eight impressionist exhibitions, between 1874 and 1886. Morisot was married to Eugène Manet, the brother of her friend and colleague Édouard Manet. She was described by art critic Gustave Geffroy in 1894 as one of "les trois grandes dames" (The three great ladies) of Impressionism alongside Marie Bracquemond and Mary Cassatt. Early life. Morisot was born 14 January 1841, in Bourges, France, into an affluent bourgeois family. Her father, Edmé Tiburce Morisot, was the prefect (senior administrator) of the department of Cher. He also studied architecture at École des Beaux Arts. Her mother, Marie-Joséphine-Cornélie Thomas, was the great-niece of Jean-Honoré Fragonard, one of the most prolific Rococo painters of the ancien régime. She had two older sisters, Yves (1838–1893) and Edma (1839–1921), plus a younger brother, Tiburce, born in 1848. The family moved to Paris in 1852, when Morisot was a child. It was commonplace for daughters of bourgeois families to receive art education, so Berthe and her sisters Yves and Edma were taught privately by Geoffroy-Alphonse Chocarne and Joseph Guichard. Morisot and her sisters initially started taking lessons so that they could each make a drawing for their father for his birthday. In 1857 Guichard, who ran a school for girls in Rue des Moulins, introduced Berthe and Edma to the Louvre gallery where from 1858 they learned by copying paintings. The Morisots were not only forbidden to work at the museum unchaperoned, but they were also totally barred from formal training. Guichard also introduced them to the works of Gavarni. As art students, Berthe and Edma worked closely together until 1869, when Edma married Adolphe Pontillon, a naval officer, moved to Cherbourg, and had less time to paint. Letters between the sisters show a loving relationship, underscored by Berthe's regret at the distance between them and Edma's withdrawal from painting. Edma wholeheartedly supported Berthe's continued work and their families always remained close. Edma wrote "... I am often with you in thought, dear Berthe. I'm in your studio and I like to slip away, if only for a quarter of an hour, to breathe that atmosphere that we shared for many years...". Her sister Yves married Théodore Gobillard, a tax inspector, in 1866 and was painted by Edgar Degas as "Madame Théodore Gobillard" (Metropolitan Museum of Art, New York City). As a copyist at the Louvre, Morisot met and befriended other artists such as Manet and Monet. In 1861 she was introduced to Jean-Baptiste-Camille Corot, the pivotal landscape painter of the Barbizon school who also excelled in figure painting. Under Corot's influence, she took up the plein air (outdoors) method of working. By 1863 she was studying under , another Barbizon painter. In the winter of 1863–64 she studied sculpture under Aimé Millet, but none of her sculptures is known to survive. Main periods of Morisot's work. Training, 1857–1870. It is hard to trace the stages of Morisot's training and to tell the exact influence of her teachers because she was never pleased with her work and she destroyed nearly all of the artworks she produced before 1869. Morisot began her first art lessons in 1857, and her first teacher, Geoffroy-Alphonse Chocarne, taught her the basics of drawing. After several months, Morisot began to take issue with the dull and monotonic nature of Chocarne's teaching, requesting for a new teacher. She subsequently began to take classes taught by Guichard. During this period, she drew mostly ancient classical figures. When Morisot expressed her interests in plein-air painting, Guichard sent her to follow Corot and Oudinot. Painting outdoors, she used watercolors which are easy to carry. At that time, Morisot also became interested in pastel. Watercolorist, 1870–1874. During this period, Morisot still found oil painting difficult, and worked mostly in watercolor. Her choice of colors is rather restrained; however, the delicate repetition of hues renders a balanced effect. Due to specific characteristics of watercolors as a medium, Morisot was able to create a translucent atmosphere and feathery touch, which contribute to the freshness in her paintings. Impressionism, 1875–1885. Having become more confident about oil painting, Morisot worked in oil, watercolor and pastel at the same time, as Degas did. She painted very quickly but did much sketching as preparation, so she could paint "a mouth, eyes, and a nose with a single brushstroke." She made countless studies of her subjects, which were drawn from her life so she became quite familiar with them. When it became inconvenient to paint outdoors, the highly finished watercolors done in the preparatory stages allowed her to continue painting indoors later. In 1874, Berthe's submission to the Salon is rejected; it would be the last time she would submit a piece to the exhibition. That same year, Berthe shows ten works at the First Impressionist Exhibition, notably being the only woman who exhibits. She exhibited with the Impressionists from 1874 onwards, only missing the exhibition in 1879 when her daughter Julie was born. Impressionism's alleged attachment to brilliant color, sensual surface effects, and fleeting sensory perceptions led a number of critics to assert in retrospect that this style, once primarily the battlefield of insouciant, combative males, was inherently feminine and best suited to women's weaker temperaments, lesser intellectual capabilities, and greater sensibility. During Morisot's 1874 exhibition with the Impressionists, such as Monet and Manet, Le Figaro critic Albert Wolff noted that the Impressionists consisted of "five or six lunatics of which one is a woman...[whose] feminine grace is maintained amid the outpourings of a delirious mind." Morisot's mature career began in 1872. She found an audience for her work with Durand-Ruel, the private dealer, who bought twenty-two paintings. In 1877, she was described by the critic for "Le Temps" as the "one real Impressionist in this group." She chose to exhibit under her full maiden name instead of using a pseudonym or her married name. As her skill and style improved, many began to rethink their opinion toward Morisot. In the 1880 exhibition, many reviews judged Morisot among the best, even including "Le Figaro" critic Albert Wolff. Turning, 1885–1887. After 1885, drawing began to dominate in Morisot's works. Morisot actively experimented with charcoals and color pencils. Her reviving interest in drawing was motivated by her Impressionist friends, who are known for blurring forms. Morisot put her emphasis on the clarification of the form and lines during this period. In addition, she was influenced by photography and Japonisme. She adopted the style of placing objects away from the center of the composition from Japanese prints of the time. Synthesis, 1887–1895. Morisot started to use the technique of squaring and the medium of tracing paper to transcribe her drawing to the canvas exactly. By employing this new method, Morisot was able to create compositions with more complicated interaction between figures. She stressed the composition and the forms while her Impressionist brushstrokes still remained. Her original synthesis of the Impressionist touch with broad strokes and light reflections, and the graphic approach featured by clear lines, made her late works distinctive. Style and technique. Because she was a female artist, Morisot's paintings were often labeled as being full of "feminine charm" by male critics, for their elegance and lightness. In 1890, Morisot wrote in a notebook about her struggles to be taken seriously as an artist: "I don't think there has ever been a man who treated a woman as an equal and that's all I would have asked for, for I know I'm worth as much as they." Her light brushstrokes often led to critics using the verb "effleurer" (to touch lightly, brush against) to describe her technique. In her early life, Morisot painted in the open air as other Impressionists to look for truths in observation. Around 1880 she began painting on unprimed canvases—a technique Manet and Eva Gonzalès also experimented with at the time—and her brushwork became looser. In 1888–89, her brushstrokes transitioned from short, rapid strokes to long, sinuous ones that define form. The outer edges of her paintings were often left unfinished, allowing the canvas to show through and increasing the sense of spontaneity. After 1885, she worked mostly from preliminary drawings before beginning her oil paintings. She often worked in oil paint, watercolors, and pastel simultaneously, and sketched using various drawing media. Morisot's works are almost always small in scale. Morisot creates a sense of space and depth through the use of color. Although her color palette was somewhat limited, her fellow impressionists regarded her as a "virtuoso colorist". She typically made expansive use of white to create a sense of transparency, whether used as a pure white or mixed with other colors. In her large painting "The Cherry Tree", the colors are more vivid but still emphasize the form. Inspired by Manet's drawings, she kept the use of color to a minimum when constructing a motif. Responding to the experiments conducted by Manet and Edgar Degas, Morisot used barely tinted whites to harmonize the paintings. Like Degas, she played with three media simultaneously in one painting: watercolor, pastel, and oil paints. In the second half of her career, she learned from Renoir by mimicking his motifs. She also shared an interest in keeping a balance between the density of figures and the atmospheric traits of light with Renoir in her later works. Subjects. Morisot painted what she experienced on a daily basis. Most of her paintings include domestic scenes of family, children, ladies, and flowers, depicting what women's life was like in the late nineteenth century. Instead of portraying the public space and society, Morisot preferred private, intimate scenes. This reflects the cultural restrictions of her class and gender at that time. Like her fellow Impressionist Mary Cassatt, she focused on domestic life and portraits in which she could use family and personal friends as models, including her daughter Julie and sister Edma. The stenographic presentation of her daily life conveys a strong hope to stop the fleeting passage of time. By portraying flowers, she used metaphors to celebrate womanhood. Prior to the 1860s, Morisot painted subjects in line with the Barbizon school before turning to scenes of contemporary femininity. Paintings like "The Cradle" (1872), in which she depicted current trends for nursery furniture, reflect her sensitivity to fashion and advertising, both of which would have been apparent to her female audience. Her works also include landscapes, garden settings, boating scenes, and themes of boredom or ennui. Later in her career Morisot worked with more ambitious themes, such as nudes. In her late works, she often referred to the past to recall a memory from her earlier life and youth, and her departed companions. Personal life. Morisot came from an eminent family, the daughter of a senior government official and the great-niece of Rococo artist Jean-Honoré Fragonard. Henri Fantin-Latour, a fellow artist, introduced Morisot to Edouard Manet in 1868. She became his longtime friend and colleague, and she married his brother, Eugène Manet, in 1874. On 14 November 1878, she gave birth to her only child, Julie, who posed frequently for her mother and other Impressionist artists, including Renoir and her uncle Édouard. Correspondence between Morisot and Édouard Manet shows warm affection, and Manet gave her an easel as a Christmas present. Morisot often posed for Manet and there are several portrait paintings of Morisot such as "Repose (Portrait of Berthe Morisot)" and "Berthe Morisot with a Bouquet of Violets". Morisot died on 2 March 1895, in Paris, of pneumonia contracted while attending to her daughter Julie's similar illness, thus making Julie an orphan at the age of 16. The day before she died, Berthe wrote to Julie: Berthe Morisot was interred in the Cimetière de Passy. It has been speculated that there was a repressed love between Manet and Morisot, exemplified by the numerous portraits he did of her before she married his brother. "This list is incomplete, you can help by expanding it with certified entries." Works. Selection of works. This limited selection is based in part on the book "Berthe Morisot" by Charles F. Stuckey, William P. Scott and Susan G. Lindsay, which is in turn drawn from the 1961 catalogue by Marie-Louise Bataille, Denis Rouart, and Georges Wildenstein. There are variations between the dates of execution, first showing and purchase. Titles may vary between sources. Art market. Morisot's work sold comparatively well. She achieved the two highest prices at a Hôtel Drouot auction in 1875, the "Interior (Young Woman with Mirror)" sold for 480 francs, and her pastel "On the Lawn" sold for 320 francs. Her works averaged 250 francs, the best relative prices at the auction. In February 2013, Morisot became the highest priced female artist, when "After Lunch" (1881), a portrait of a young redhead in a straw hat and purple dress, sold for $10.9 million at a Christie's auction. The painting achieved roughly three times its upper estimate, and it exceeded the 2012 record of $10.7 million for a sculpture by Louise Bourgeois. Legacy. She was portrayed by actress Marine Delterme in a 2012 French biographical TV film directed by Caroline Champetier. The character of Beatrice de Clerval in Elizabeth Kostova's "The Swan Thieves" is largely based on Morisot. She was featured as the "A First Impressionist" in an article written by Anne Truitt in the "New York Times" on 3 June 1990. From Melissa Burdick Harmon, an editor at "Biography" magazine, "While some of Morisot's work may seem to us today like sweet depictions of babies in cradles, at the time these images were considered extremely intimate, as objects related to infants belonged exclusively to the world of women." In 2019, the Musée d'Orsay devoted a temporary exhibition to Berthe Morisot to pay tribute to her work.
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Barnard College
Barnard College is a private women's liberal arts college affiliated with Columbia University in New York City. It was founded in 1889 by a group of women led by young student activist Annie Nathan Meyer, who petitioned Columbia University's trustees to create an affiliated college named after Columbia's 10th president, Frederick A. P. Barnard. The college is one of the original Seven Sisters—seven liberal arts colleges in the Northeastern United States that were historically women's colleges. Barnard is a Columbia University-affiliated undergraduate college with independent admission, curricula, and finances. Students share classes, libraries, clubs, sororities, athletic fields, and dining halls with Columbia. Barnard students receive a diploma from Columbia University. Barnard also shares sports teams with Columbia through the Columbia–Barnard Athletic Consortium, an agreement that makes Barnard the only women's college to compete in NCAA Division I athletics. Barnard offers bachelor of arts degree programs in about 50 areas of study. In addition to Columbia, students may also pursue elements of their education at the Juilliard School, the Manhattan School of Music, and the Jewish Theological Seminary which are also based in New York City. Its campus is located in the Upper Manhattan neighborhood of Morningside Heights, stretching along Broadway between 116th and 120th Streets. It is directly across from Columbia's main campus. Barnard College alumnae include leaders in science, religion, politics, the Peace Corps, medicine, law, education, communications, theater, and business. Barnard graduates have been recipients of Emmy, Tony, Grammy, Academy, and Peabody awards, Guggenheim Fellowships, MacArthur Fellowships, the Presidential Medal of Freedom, the National Medal of Science, and the Pulitzer Prize. History. Founding. From its founding in 1754 until the mid-1980s, Columbia College of Columbia University admitted only men for undergraduate study. Barnard College was founded in 1889 as a response to Columbia's refusal to admit women. Classes took place in a rented brownstone at 343 Madison Avenue, where a faculty of six offered instruction to 36 students. The college was named after Frederick Augustus Porter Barnard, a deaf American educator and mathematician who later served as Columbia's president for over twenty years. He advocated for coeducational settings and proposed in 1879 that Columbia admit women. Columbia's Board of Trustees repeatedly rejected Barnard's suggestion, but in 1883 agreed to create a syllabus that would allow the college's students to receive degrees. The first such graduate received her bachelor's degree in 1887. A former student of the program, Annie Meyer, and other prominent New York women persuaded the board in 1889 to create a women's college connected to Columbia. Men and women were evenly represented among the founding trustees of Barnard College. Morningside campus. When Columbia University announced in 1892 its impending move to Morningside Heights, Barnard built a new campus nearby with gifts from Mary E. Brinckerhoff, Elizabeth Milbank Anderson and Martha Fiske. Two of these gifts were made with several stipulations attached. Brinckerhoff insisted that Barnard acquire land within 1,000 feet of the Columbia campus within the next four years. The Barnard trustees purchased land between 119th–120th Streets after receiving funds for that purpose in 1895. Anderson requested that Charles A. Rich be hired. Rich designed the Milbank, Brinckerhoff, and Fiske Halls, built in 1897–1898; these were listed on the National Register of Historic Places in 2003. The first classes at the new campus were held in 1897. Despite Brinckerhoff's, Anderson's, and Fiske's gifts, Barnard remained in debt. Ella Weed supervised the college in its first four years; Emily James Smith succeeded her as Barnard's first dean. Jessica Finch is credited with coining the phrase "current events" while teaching at Barnard College in the 1890s. The college received the three blocks south of 119th Street from Anderson in 1903. Rich provided a master plan for the campus, but only Brooks Hall was built, being constructed between 1906 and 1908. None of Rich's other plans was carried out. Students' Hall, now known as Barnard Hall, was built in 1916 to a design by Arnold Brunner. Hewitt Hall was the last structure to be erected, in 1926–1927. All three buildings were listed on the National Register of Historic Places in 2003. By the mid-20th century, Barnard had succeeded in its original goal of providing a top-tier education to women. Between 1920 and 1974, only the much larger Hunter College and University of California, Berkeley produced more women graduates who later received doctorates. In the 1970s, Barnard faced considerable pressure to merge with male only Columbia College, which was fiercely resisted by its president, Jacquelyn Mattfeld. Presidents. List of Presidents and Deans of Barnard College from 1889 to present Academics. Barnard students are able to pursue a bachelor of arts degree in about 50 areas of study. Joint programs for the bachelor of science and other degrees exist with Columbia University, Juilliard School, and the Jewish Theological Seminary. The most popular majors at the college by 2021 graduates were: Econometrics and Quantitative Economics (62) Research and Experimental Psychology (56) History (43) English Language and Literature (39) Political Science and Government (36) Neuroscience (33) Art History, Criticism and Conservation (33) The liberal arts general education requirements are collectively called Foundations. Students must take two courses in the sciences (one of which must be accompanied by a laboratory course), study a single foreign language for two semesters, and take two courses in the arts/humanities as well as two in the social sciences. In addition, students must complete at least one three-credit course in the so-called "Modes of Thinking" series, and fulfill other requirements. Admissions. Admissions to Barnard are considered "most selective" by "U.S. News & World Report". It is the most selective women's college in the nation; in 2017, Barnard had the lowest acceptance rate of the five Seven Sisters that remain single-sex in admissions. The class of 2026's admission rate was 8% of the 12,009 applicants, the lowest acceptance rate in the institution's history. The median SAT composite score of enrolled students was 1440, with median subscores of 720 in Math and 715 in Evidence-Based Reading and Writing. The median ACT Composite score was 33. In 2015, Barnard announced that it would admit transgender women who "consistently live and identify as women, regardless of the gender assigned to them at birth" and would continue to support and enroll those students who transitioned to male after they had already been admitted. The college practices need-blind admission for domestic first-year applicants. Rankings. In 2025, "U.S. News & World Report" ranked Barnard as tied at 14th of 211 U.S. liberal arts colleges overall. Barnard was tied for 30th for "Best Undergraduate Teaching," among U.S. liberal arts colleges by "U.S. News & World Report". "Forbes" ranked Barnard 73rd of 500 colleges in 2023. In 2024, "Washington Monthly" ranked Barnard 63rd among 194 liberal arts colleges in the U.S. based on its contribution to the public good, as measured by social mobility, research, and promoting public service. Campus. Library. While Barnard students have access to the libraries at Columbia University, the college has always maintained a library of its own. The Barnard Library also encompasses the Archives and Special Collections, with material that documents Barnard's history from its founding to the present day. Among the collections are the Ntozake Shange papers. Zine collection. The Barnard Zine Library is a unit of the Barnard Library and Academic Information Systems (BLAIS). Zine collections target primarily female, default queer, intentionally of color, and gender expansive topics. In 2004, it became the first zine library in the United States to be fully cataloged in the OCLC. It opened for circulation in 2008, and holds roughly 5,000 processed zines as of 2018. The library supports the student-run Barnard Zine Club. Student life. Student organizations. Every Barnard student is part of the Student Government Association (SGA), which elects a representative student government. SGA aims to facilitate the expression of opinions on matters that directly affect the Barnard community. Student groups include theater and vocal music groups, language clubs, literary magazines, a freeform radio station called WBAR, a biweekly magazine called the "Barnard Bulletin", Club Q, community service groups, and others. Barnard students can join extracurricular activities or organizations at Columbia University, while Columbia University students are allowed in most, but not all, Barnard organizations. Barnard's McIntosh Activities Council organizes various community focused events on campus, such as Big Sub and Midnight Breakfast. There are sub-committees focussed on cultural events (Mosaic), health and wellness (Wellness), networking (Network), event-planning (Community), and service (Action). Sororities. Barnard students participate in various sororities. , Barnard does not fully recognize the National Panhellenic Conference sororities at Columbia, despite it being home to the Alpha chapter of Alpha Omicron Pi which was founded at Barnard in 1897, but it does provide some funding to account for Barnard students living in Columbia housing through these organizations. Traditions. Barnard Greek Games: One of Barnard's oldest traditions, the Barnard Greek Games were first held in 1903, and occurred annually until the Columbia University protests in 1968. Since then they have been sporadically revived. The games consist of competitions between each graduating class at Barnard, and events have traditionally included Greek poetry recitation, dance, chariot racing, and a torch race. Take Back the Night: Each April, Barnard and Columbia students participate in the Take Back the Night march and speak-out. This annual event grew out of a 1988 Seven Sisters conference. The march grew from less than 200 participants in 1988 to more than 2,500 in 2007. Midnight breakfast marks the beginning of finals week. As a highly popular event and long-standing college tradition, Midnight Breakfast is hosted by the student-run activities council, McAC (McIntosh Activities Council). In addition to providing standard breakfast foods, each year's theme is also incorporated into the menu. Past themes have included "I YUMM the 90s," "Grease," and "Take Me Out to the Ballgame." The event is a school-wide affair as college deans, trustees and the president serve food to about a thousand students. It takes place the night before finals begin every semester. Big Sub: Toward the beginning of each fall semester, Barnard College supplies a 700+ feet long subway sandwich. Students from the college can take as much of the sub as they can carry. The sub has kosher, dairy free, vegetarian, and vegan sections. This event is organized by the student-run activities council, McAC. Academic affiliations. Relationship with Columbia University. The "Barnard Bulletin" in 1976 described the relationship between the college and Columbia University as "intricate and ambiguous". Barnard president Debora Spar said in 2012 that "the relationship is admittedly a complicated one, a unique one and one that may take a few sentences to explain to the outside community". Outside sources often describe Barnard as part of Columbia; "The New York Times" in 2013, for example, called Barnard "an undergraduate women's college of Columbia University". Its front gates read "Barnard College of Columbia University." Barnard describes itself as "both an independently incorporated educational institution and an official college of Columbia University" that is "one of the University's four colleges, but we're largely autonomous, with our own leadership and purse strings", and advises students to state "Barnard College, Columbia University" or "Barnard College of Columbia University" on résumés. Columbia refers to Barnard as one of its schools and an affiliated institution that is a faculty of the university. Both the college and Columbia evaluate Barnard faculty for tenure, and Barnard graduates receive Columbia diplomas signed by the Barnard and the Columbia presidents. According to the university, a Barnard College degree holds the same value as a Columbia College degree. Before coeducation at Columbia. Smith and Columbia president Seth Low worked to open Columbia classes to Barnard students. By 1900 they could attend Columbia classes in philosophy, political science, and several scientific fields. That year, Barnard formalized an affiliation with the university which made available to its students the instruction and facilities of Columbia. Franz Boas, who taught at both Columbia and Barnard in the early 1900s, was among those faculty members who reportedly found Barnard students superior to their male Columbia counterparts. From 1955, Columbia and Barnard students could register for the other school's classes with the permission of the instructor; from 1973 no permission was needed. Except for Columbia College, by the 1940s, other undergraduate and graduate divisions of Columbia University admitted women. Columbia president William J. McGill predicted in 1970, that Barnard College and Columbia College would merge within five years. In 1973, Columbia and Barnard signed a three-year agreement to increase sharing classrooms, facilities, and housing, and cooperation in faculty appointments, which they described as "integration without assimilation"; by the mid-1970s, most Columbia dormitories were coed. The university's financial difficulties during the decade increased its desire to merge to end what Columbia described as the "anachronism" of single-sex education, but Barnard resisted doing so because of Columbia's large debt, rejecting in 1975 Columbia dean Peter Pouncey's proposal to merge Barnard and the three Columbia undergraduate schools. The 1973–1976 chairwoman of the board at Barnard, Eleanor Thomas Elliott, led the resistance to the takeover. The college's marketing emphasized the Columbia relationship, however; the "Bulletin" in 1976 said that Barnard described it as identical to the one between Harvard College and Radcliffe College ("who are merged in practically everything but name at this point"). After Barnard rejected later merger proposals from Columbia and a one-year extension to the 1973 agreement expired, in 1977, the two schools began discussing their future relationship. By 1979, the relationship had so deteriorated that Barnard officials stopped attending meetings. Because of an expected decline in enrollment, in 1980 a Columbia committee recommended that Columbia College begin admitting women without Barnard's cooperation. A 1981 committee found that Columbia was no longer competitive with other Ivy League universities without women, and that admitting women would not affect Barnard's applicant pool. That year Columbia president Michael Sovern agreed for the two schools to cooperate in admitting women to Columbia, but Barnard faculty's opposition caused president Ellen Futter to reject the agreement. A decade of negotiations for a Columbia-Barnard merger akin to Harvard and Radcliffe had failed. In January 1982, the two schools instead announced that Columbia College would begin admitting women in 1983, and Barnard's control over tenure for its faculty would increase; previously, a committee on which Columbia faculty outnumbered Barnard's three to two controlled the latter's tenure. Applications to Columbia rose 56% that year, making admission more selective, and nine Barnard students transferred to Columbia. Eight students admitted to both Columbia and Barnard chose Barnard, while 78 chose Columbia. Within a few years, however, selectivity rose at both schools as they received more women applicants than expected. After coeducation. The Columbia-Barnard affiliation continued. , Barnard paid Columbia about $5 million a year under the terms of the "interoperate relationship", which the two schools renegotiate every 15 years. Despite the affiliation, Barnard is legally and financially separate from Columbia with an independent faculty and board of trustees. It is responsible for its own separate admissions, health, security, guidance and placement services, and has its own alumnae association. Nonetheless, Barnard students participate in the academic, social, athletic and extracurricular life of the broader university community on a reciprocal basis. The affiliation permits the two schools to share some academic resources; for example, only Barnard has an urban studies department and only Columbia has a computer science department. Most Columbia classes are open to Barnard students and vice versa. Barnard students and faculty are represented in the University Senate, and student organizations such as the "Columbia Daily Spectator" are open to all students. Barnard students play on Columbia athletics teams and Barnard uses Columbia email, telephone, and network services. Barnard athletes compete in the Ivy League (NCAA Division I) through the Columbia-Barnard Athletic Consortium, which was established in 1983. Through the arrangement, Barnard is the only women's college offering DivisionI athletics. There are 15 intercollegiate teams, and students also compete at the intramural and club levels. From 1975 to 1983, before the establishment of the Columbia-Barnard Athletic Consortium, Barnard students competed as the "Barnard Bears". Prior to 1975, students referred to themselves as the "Barnard honeybears". Controversies. In the spring of 1960, Columbia University president Grayson Kirk complained to the president of Barnard that Barnard students were wearing inappropriate clothing. The garments in question were pants and Bermuda shorts. The administration forced the student council to institute a dress code. Students would be allowed to wear shorts and pants only at Barnard and only if the shorts were no more than two inches above the knee and the pants were not tight. Barnard women crossing the street to enter the Columbia campus wearing shorts or pants were required to cover themselves with a long coat. In March 1968, "The New York Times" ran an article on students who cohabited, identifying one of the persons they interviewed as a student at Barnard College from New Hampshire named "Susan". Barnard officials searched their records for women from New Hampshire and were able to determine that "Susan" was the pseudonym of a student (Linda LeClair) who was living with her boyfriend, a student at Columbia University. She was called before Barnard's student-faculty administration judicial committee, where she faced the possibility of expulsion. A student protest included a petition signed by 300 other Barnard women, admitting that they too had broken the regulations against cohabitating. The judicial committee reached a compromise and the student was allowed to remain in school, but was denied use of the college cafeteria and barred from all social activities. The student briefly became a focus of intense national attention. Barnard president Martha Peterson overruled the committee and expelled LeClair. In February 2025, Barnard College expelled two students following their disruption of a "History of Modern Israel" class at Columbia University on January 21, 2025. The students interrupted the lecture taught by Professor Avi Shilon, a lecturer with Columbia University's Institute for Israel and Jewish Studies, and distributed materials which condemned the course as "Zionist propaganda". In response to these expulsions, on February 26, 2025, several dozen pro-Palestinian student protesters staged a sit-in at Barnard's Milbank Hall, outside the office of Dean Leslie Grinage. The protesters demanded the reversal of the expulsions, amnesty for students disciplined for pro-Palestinian actions, and a public meeting with college administrators. During the protest, a Barnard employee was physically assaulted and required hospitalization. Barnard's faculty members Nara Milanich, professor of history, and Severin Fowles, professor of anthropology and American studies, served as mediators between the protesters and the administration. The sit-in lasted for over six hours before an agreement was reached to disperse, with a private meeting between the protesters and administrators scheduled for the following day. In July, Barnard College settled its lawsuit "Students Against Antisemitism, Inc. et al v. The Trustees of Columbia University in the City of New York et al" which accused Barnard of not taking enough measures to combat campus antisemitism. Notable people. Barnard College has graduated many prominent leaders in science, religion, politics, the Peace Corps, medicine, law, education, communications, theater, and business as well as acclaimed actors, architects, artists, astronauts, engineers, human rights activists, inventors, musicians, philanthropists, and writers. Graduates include academic Louise Holland (1914), author Zora Neale Hurston (1928), Grace Lee Boggs, author and political activist (1935), author Patricia Highsmith (1942), television host Ronnie Eldridge (1952), Phyllis E. Grann, CEO of Penguin Putnam, U.S. Representative Helen Gahagan (1924), author Erica Jong (1963), Helene D. Gayle, Spelman College's 11th President and former chair of the Presidential Advisory Council on HIV/AIDS (1970), Susan N. Herman, president of the American Civil Liberties Union (1968), Judith Kaye, Chief Judge of the New York Court of Appeals (1958), Wilma B. Liebman, chair of the National Labor Relations Board (1971), Laurie Anderson, musician and performance artist (1969), Cynthia Nixon, actress, activist, and gubernatorial candidate (1988), author Jhumpa Lahiri (1989), Ann Brashares, author of "The Sisterhood of the Traveling Pants" (1989), Amy Hwang, "The New Yorker" cartoonist (2000), Kelly McCreary, actress from "Grey's Anatomy" (2003), Greta Gerwig, writer and director (2004), and Christy Carlson Romano, Disney Channel actress (2015).
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Benedictines
The Benedictines, officially the Order of Saint Benedict (, abbreviated as O.S.B. or OSB), are a mainly contemplative monastic order of the Catholic Church for men and for women who follow the Rule of Saint Benedict. Initiated in 529, they are the oldest of all the religious orders in the Latin Church. The male religious are also sometimes called the Black Monks, especially in English speaking countries, after the colour of their habits, although some, like the Olivetans, wear white. They were founded by Benedict of Nursia, a 6th-century Italian monk who laid the foundations of Benedictine monasticism through the formulation of his Rule. Benedict's sister Scholastica, possibly his twin, also became religious from an early age, but chose to live as a hermit. They retained a close relationship until her death. Despite being called an order, the Benedictines do not operate under a single hierarchy. They are instead organized as a collection of autonomous monasteries and convents, some known as abbeys. The order is represented internationally by the Benedictine Confederation, an organization set up in 1893 to represent the order's shared interests. They do not have a superior general or motherhouse with universal jurisdiction but elect an Abbot Primate to represent themselves to the Vatican and to the world. In some regions, Benedictine nuns are given the title Dame in preference to Sister. Historical development. The monastery at Subiaco in Italy, established by Benedict of Nursia 529, was the first of the dozen monasteries he founded. He later founded the Abbey of Monte Cassino. There is no evidence, however, that he intended to found an order and the Rule of Saint Benedict presupposes the autonomy of each community. When Monte Cassino was sacked by the Lombards about the year 580, the monks fled to Rome, and it seems probable that this constituted an important factor in the diffusion of a knowledge of Benedictine monasticism. Copies of Benedict's Rule survived; around 594 Pope Gregory I spoke favorably of it. The rule is subsequently found in some monasteries in southern Gaul along with other rules used by abbots. Gregory of Tours says that at Ainay Abbey, in the sixth century, the monks "followed the rules of Basil, Cassian, Caesarius, and other fathers, taking and using whatever seemed proper to the conditions of time and place", and doubtless the same liberty was taken with the Benedictine Rule when it reached them. In Gaul and Switzerland, it gradually supplemented the much stricter Irish or Celtic Rule introduced by Columbanus and others. In many monasteries it eventually entirely displaced the earlier codes. By the ninth century, however, the Benedictine had become the standard form of monastic life throughout the whole of Western Europe, excepting Scotland, Wales, and Ireland, where the Celtic observance still prevailed for another century or two. Largely through the work of Benedict of Aniane, it became the rule of choice for monasteries throughout the Carolingian empire. Monastic scriptoria flourished from the ninth through the twelfth centuries. Sacred Scripture was always at the heart of every monastic scriptorium. As a general rule those of the monks who possessed skill as writers made this their chief, if not their sole, active work. An anonymous writer of the ninth or tenth century speaks of six hours a day as the usual task of a scribe, which would absorb almost all the time available for active work in the day of a medieval monk. In the Middle Ages monasteries were often founded by the nobility. Cluny Abbey was founded by William I, Duke of Aquitaine, in 910. The abbey was noted for its strict adherence to the Rule of Saint Benedict. The abbot of Cluny was the superior of all the daughter houses, through appointed priors. One of the earliest reforms of Benedictine practice was that initiated in 980 by Romuald, who founded the Camaldolese community. The Cistercians branched off from the Benedictines in 1098; they are often called the "White monks". The dominance of the Benedictine monastic way of life began to decline towards the end of the twelfth century, which saw the rise of the mendicant Franciscans and nomadic Dominicans. Benedictines by contrast, took a vow of "stability", which professed loyalty to a particular foundation in a particular location. Not being bound by location, the mendicants were better able to respond to an increasingly "urban" environment. This decline was further exacerbated by the practice of appointing a commendatory abbot, a lay person, appointed by a noble to oversee and to protect the assets of the monastery. Often, however, this resulted in the appropriation of the assets of monasteries at the expense of the community which they were intended to support. Austria & Germany. Saint Blaise Abbey in the Black Forest of Baden-Württemberg is believed to have been founded around the latter part of the tenth century. Between 1070 and 1073 there seem to have been contacts between St. Blaise and the Cluniac Abbey of Fruttuaria in Italy, which led to St. Blaise following the Fruttuarian reforms. The Empress Agnes was a patron of Fruttuaria, and retired there in 1065 before moving to Rome. The Empress was instrumental in introducing Fruttuaria's Benedictine customs, as practiced at Cluny, to Saint Blaise Abbey in Baden-Württemberg. Other houses either reformed by, or founded as priories of, St. Blasien were Muri Abbey (1082), Ochsenhausen Abbey (1093), Göttweig Abbey (1094), Stein am Rhein Abbey (before 1123) and Prüm Abbey (1132). It also had significant influence on the abbeys of Alpirsbach (1099), Ettenheimmünster (1124) and Sulzburg (), and the priories of Weitenau (now part of Steinen, ), Bürgel (before 1130) and Sitzenkirch (). France. Fleury Abbey in Saint-Benoît-sur-Loire, Loiret was founded in about 640. It is one of the most celebrated Benedictine monasteries of Western Europe, and possesses the relics of St. Benedict. Like many Benedictine abbeys it was located on the banks of a river, here the Loire. Ainey Abbey is a ninth century foundation on the Lyon peninsula. In the twelfth century on the current site there was a romanesque monastery, subsequently rebuilt. The seventeenth century saw a number of Benedictine foundations for women, some dedicated to the indigent to save them from a life of exploitation, others dedicated to the Perpetual Adoration of the Blessed Sacrament such as the one established by Catherine de Bar (1614–1698). In 1688 Dame Mechtilde de Bar assisted Marie Casimire Louise de La Grange d'Arquien, queen consort of Poland, to establish a Benedictine foundation in Warsaw. Abbeys were among the institutions of the Catholic Church swept away during the French Revolution. Monasteries and convents were again allowed to form in the 19th century under the Bourbon Restoration. Later that century, under the Third French Republic, laws were enacted preventing religious teaching. The original intent was to allow secular schools. Thus in 1880 and 1882, Benedictine teaching monks were effectively exiled; this was not completed until 1901. In 1898 Marie-Adèle Garnier, in religion, Mother Marie de Saint-Pierre, founded in Montmartre ("Mount of the Martyr"), Paris a Benedictine house. However, the Waldeck-Rousseau's "Law of Associations", passed in 1901, placed severe restrictions on religious bodies which were obliged to leave France. Garnier and her community relocated to another place associated with executions, this time it was in London, near the site of Tyburn tree where 105 Catholic martyrs—including Saint Oliver Plunkett and Saint Edmund Campion had been executed during the English Reformation. A stone's throw from Marble Arch, the Tyburn Convent is now the Mother House of the Congregation. Poland & Lithuania. Benedictines are thought to have arrived in the Kingdom of Poland in the 11th-century. One of the earliest foundations is Tyniec Abbey on a promontory by the Vistula river. The Tyniec monks led the translation of the Bible into Polish vernacular. Other surviving Benedictine houses can be found in Stary Kraków Village, Biskupów, Lubiń. Older foundations are in Mogilno, Trzemeszno, Łęczyca, Łysa Góra and in Opactwo, among others. In the Middle Ages the city of Płock, also on the Vistula, had a successful monastery, which played a significant role in the local economy. In the 18th-century benedictine convents were opened for women, notably in Warsaw's New Town. A 15th-century Benedictine foundation can be found in Senieji Trakai, a village in Eastern Lithuania. Switzerland. Kloster Rheinau was a Benedictine monastery in Rheinau in the Canton of Zürich, Switzerland, founded in about 778. The abbey of Our Lady of the Angels was founded in 1120. United Kingdom. The English Benedictine Congregation is the oldest of the nineteen Benedictine congregations. Through the influence of Wilfrid, Benedict Biscop, and Dunstan, the Benedictine Rule spread rapidly, and in the North it was adopted in most of the monasteries that had been founded by the Celtic missionaries from Iona. Many of the episcopal sees of England were founded and governed by the Benedictines, and no fewer than nine of the old cathedrals were served by the black monks of the priories attached to them. Monasteries served as hospitals and places of refuge for the weak and homeless. The monks studied the healing properties of plants and minerals to alleviate the sufferings of the sick. During the English Reformation, all monasteries were dissolved and their lands confiscated by the Crown, forcing those who wished to continue in the monastic life to flee into exile on the Continent. During the 19th century English members of these communities were able to return to England. St. Mildred's Priory, on the Isle of Thanet, Kent, was built in 1027 on the site of an abbey founded in 670 by the daughter of the first Christian King of Kent. Currently the priory is home to a community of Benedictine nuns. Five of the most notable English abbeys are the Basilica of St Gregory the Great at Downside, commonly known as Downside Abbey, The Abbey of St Edmund, King and Martyr commonly known as Douai Abbey in Upper Woolhampton, Reading, Berkshire, Ealing Abbey in Ealing, West London, and Worth Abbey. Prinknash Abbey, used by Henry VIII as a hunting lodge, was officially returned to the Benedictines four hundred years later, in 1928. During the next few years, so-called Prinknash Park was used as a home until it was returned to the order. St. Lawrence's Abbey in Ampleforth, Yorkshire was founded in 1802. In 1955, Ampleforth set up a daughter house, a priory at St. Louis, Missouri which became independent in 1973 and became Saint Louis Abbey in its own right in 1989. As of 2015, the English Congregation consists of three abbeys of nuns and ten abbeys of monks. Members of the congregation are found in England, Wales, the United States of America, Peru and Zimbabwe. In England there are also houses of the Subiaco Cassinese Congregation: Farnborough, Prinknash, and Chilworth: the Solesmes Congregation, Quarr and St Cecilia's on the Isle of Wight, as well as a diocesan monastery following the Rule of Saint Benedict: The Community of Our Lady of Glastonbury. Since the Oxford Movement, there has also been a modest flourishing of Benedictine monasticism in the Anglican Church and Protestant Churches. Anglican Benedictine Abbots are invited guests of the Benedictine Abbot Primate in Rome at Abbatial gatherings at Sant'Anselmo. In 1168 local Benedictine monks instigated the anti-semitic blood libel of Harold of Gloucester as a template for explaining child deaths. According to historian Joe Hillaby, the blood libel of Harold was crucially important because for the first time an unexplained child death occurring near the Easter festival was arbitrarily linked to Jews in the vicinity by local Christian churchmen: "they established a pattern quickly taken up elsewhere. Within three years the first ritual murder charge was made in France." Monastic libraries in England. The forty-eighth Rule of Saint Benedict prescribes extensive and habitual "holy reading" for the brethren. Three primary types of reading were done by the monks in medieval times. Monks would read privately during their personal time, as well as publicly during services and at mealtimes. In addition to these three mentioned in the Rule, monks would also read in the infirmary. Monasteries were thriving centers of education, with monks and nuns actively encouraged to learn and pray according to the Benedictine Rule. Rule 38 states that 'these brothers' meals should usually be accompanied by reading, and that they were to eat and drink in silence while one read out loud. Benedictine monks were not allowed worldly possessions, thus necessitating the preservation and collection of sacred texts in monastic libraries for communal use. For the sake of convenience, the books in the monastery were housed in a few different places, namely the sacristy, which contained books for the choir and other liturgical books, the rectory, which housed books for public reading such as sermons and lives of the saints, and the library, which contained the largest collection of books and was typically in the cloister. The first record of a monastic library in England is in Canterbury. To assist with Augustine of Canterbury's English mission, Pope Gregory the Great gave him nine books which included the Gregorian Bible in two volumes, the Psalter of Augustine, two copies of the Gospels, two martyrologies, an Exposition of the Gospels and Epistles, and a Psalter. Theodore of Tarsus brought Greek books to Canterbury more than seventy years later, when he founded a school for the study of Greek. United States. The first Benedictine to live in the United States was Pierre-Joseph Didier. He came to the United States in 1790 from Paris and served in the Ohio and St. Louis areas until his death. The first actual Benedictine monastery founded was Saint Vincent Archabbey, located in Latrobe, Pennsylvania. It was founded in 1832 by Boniface Wimmer, a German monk, who sought to serve German immigrants in America. In 1856, Wimmer started to lay the foundations for St. John's Abbey in Minnesota. In 1876, Herman Wolfe, of Saint Vincent Archabbey established Belmont Abbey in North Carolina. By the time of his death in 1887, Wimmer had sent Benedictine monks to Kansas, New Jersey, North Carolina, Georgia, Florida, Alabama, Illinois, and Colorado. Wimmer also asked for Benedictine sisters to be sent to America by St. Walburg Convent in Eichstätt, Bavaria. In 1852, Sister Benedicta Riepp and two other sisters founded St. Marys, Pennsylvania. Soon they would send sisters to Michigan, New Jersey, and Minnesota. By 1854, Swiss monks began to arrive and founded St. Meinrad Abbey in Indiana, and they soon spread to Arkansas and Louisiana. They were soon followed by Swiss sisters. There are now over 100 Benedictine houses across America. Most Benedictine houses are part of one of four large Congregations: American-Cassinese, Swiss-American, St. Scholastica, and St. Benedict. The congregations mostly are made up of monasteries that share the same lineage. For instance the American-Cassinese congregation included the 22 monasteries descended from Boniface Wimmer. Benedictine vows and life. A sense of community has been the defining characteristic of the order since the beginning. To that end, section 17 in chapter 58 of the Rule of Saint Benedict specifies the solemn vows candidates joining a Benedictine community are required to make: a vow of stability, to remain in the same community), and to adopt a "conversion of habits", in Latin, "conversatio morum" and obedience to the community's superior. The "Benedictine vows" are equivalent to the evangelical counsels accepted by all candidates entering a religious order. The interpretation of "conversatio morum" understood as "conversion of the habits of life" has generally been replaced by notions such as adoption of a monastic manner of life, drawing on the Vulgate's use of "conversatio" as indicating "citizenship" or "local customs", see Philippians 3:20. The Rule enjoins monks and nuns "to live in this place as a religious, in obedience to its rule and to the abbot or abbess." Benedictine abbots and abbesses have jurisdiction over their abbey and thus canonical authority over the monks or nuns who are resident. This authority includes the power to assign duties, to decide which books may or may not be read, to regulate comings and goings, and to punish and to excommunicate, in the sense of an enforced isolation from the monastic community. A tight communal timetablethe horariumis meant to ensure that the time given by God is not wasted but used in God's service, whether for prayer, work, meals, spiritual reading or sleep. The order's motto is "Ora et Labora" "pray and work". Although Benedictines do not take a vow of silence, hours of strict silence are set, and at other times silence is maintained as much as is practically possible. Social conversations tend to be limited to communal recreation times. Such details, like other aspects of the daily routine of a Benedictine house are left to the discretion of the superior, and are set out in its "customary", the code adopted by a particular Benedictine house by adapting the Rule to local conditions. According to the norms of the 1983 Code of Canon Law, a Benedictine abbey is a "religious institute" and its members therefore participate in consecrated life which Canon 588 §1 explains is intrinsically "neither clerical nor lay." Males in consecrated life, however, may be ordained. Benedictines' rules contain a reference to ritual purification, which is inspired by Benedict's encouragement of bathing. Benedictine monks have played a role in the development and promotion of spas. Organization. Benedictine monasticism differs from other Christian religious orders in that as congregations sometimes with several houses, some of them in other countries, they are not bound into a unified religious order headed by a "Superior General". Each Benedictine congregation is autonomous and governed by an abbot or abbess. The autonomous houses are characterised by their chosen charism or specific dedication to a particular devotion. For example, In 1313 Bernardo Tolomei established the Order of Our Lady of Mount Olivet. The community adopted the Rule of Saint Benedict and received canonical approval in 1344. The Olivetans are part of the Benedictine Confederation. Other specialisms, such as Gregorian chant as at Solesmes in France, or Perpetual Adoration of the "Holy Sacrament" have been adopted by different houses, as at the Warsaw Convent, or the Adorers of the Sacred Heart of Montmartre at Tyburn Convent in London. Other houses have dedicated themselves to books, reading, writing and printing them as at Stanbrook Abbey in England. Others still are associated with the places where they were founded or their founders centuries ago, hence Cassinese, Subiaco, Camaldolese or Sylvestrines. All Benedictine houses became federated in the Benedictine Confederation brought into existence by Pope Leo XIII's Apostolic Brief "Summum semper" on 12 July 1893. Pope Leo also established the office of Abbot Primate as the abbot elected to represent this Confederation at the Vatican and to the world. The headquarters of the Benedictine Confederation and the Abbot Primate is the Primatial Abbey of Sant'Anselmo built by Pope Leo XIII in Rome. Other orders. The Rule of Saint Benedict is also used by a number of religious orders that began as reforms of the Benedictine tradition such as the Cistercians and Trappists. These groups are separate congregations and not members of the Benedictine Confederation. Although most Benedictines are Roman Catholic, there are also other communities that follow the Rule of Saint Benedict. For example, of an estimated 2,400 celibate Anglican religious (1,080 men and 1,320 women) in the Anglican Communion as a whole, some have adopted the Rule of Benedict. Likewise, such communities can be found in the Eastern Orthodox Church, and the Lutheran Church. Notable Benedictines. Individuals are arranged in chronological order by date of death if deceased, and by date of birth if alive.
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Bayezid I
Bayezid I (; ), also known as Bayezid the Thunderbolt (; ; – 8 March 1403), was the sultan of the Ottoman Empire from 1389 to 1402. He adopted the title of "Sultan-i Rûm", "Rûm" being the Arabic name for the Eastern Roman Empire. In 1394, Bayezid unsuccessfully besieged Constantinople. Bayezid vanquished all the Beyliks and proceeded to conquer and vassalize the entirety of Anatolia. In 1402, he once more besieged Constantinople, appearing to find success, but he ultimately withdrew due to the invasion of the Turco-Mongol conqueror Timur. He defeated the crusaders at the Battle of Nicopolis in what is now Bulgaria in 1396. He was later defeated and captured by Timur at the Battle of Ankara in 1402 and died in captivity in March 1403, which triggered the Ottoman Interregnum. Biography. Bayezid was the son of Murad I and his Greek wife, Gülçiçek Hatun. His first major role was as governor of Kütahya, a city that he earned by marrying the daughter of a Germiyanid ruler, Devletşah. He was an impetuous soldier, earning the nickname "Thunderbolt" in a battle against the Karamanids. Bayezid ascended to the throne following the death of his father, Murad I, who was killed by Serbian knight Miloš Obilić during (15 June), or immediately after (16 June), the Battle of Kosovo in 1389, soon after which Serbia became a vassal of the Ottoman Sultanate. Immediately after obtaining the throne, he had his younger brother strangled to avoid a plot. In 1390, Bayezid took as a wife Princess Olivera Despina, the daughter of Prince Lazar of Serbia, who also lost his life in Kosovo. Bayezid recognized Stefan Lazarević, the son of Lazar, as the new Serbian leader - later despot - with considerable autonomy. Upper Serbia resisted the Ottomans until Bayezid captured Skopje in 1391, converting the city into an important base of operations. Efforts to unify Anatolia. Meanwhile, Bayezid began unifying Anatolia under his rule. Forcible expansion into Muslim territories could have endangered the Ottoman relationship with the gazis, who were an important source of warriors for this ruling house on the European frontier. Thus Bayezid began the practice of first securing "fatwas", or legal rulings from Islamic scholars, to justify wars against these Muslim states. However, Bayezid doubted the loyalty of his Muslim Turkish followers, so he relied heavily on his Serbian and Byzantine vassal troops in these conquests. In a single campaign over the summer and fall of 1390, Bayezid conquered the beyliks of Aydin, Saruhan and Menteshe. His major rival Sulayman, the emir of Karaman, responded by allying himself with the ruler of Sivas, Kadi Burhan al-Din and the remaining Turkish beyliks. Nevertheless, Bayezid pushed on and overwhelmed the remaining beyliks (Hamid, Teke, and Germiyan), as well as taking the cities of Akşehir and Niğde, as well as their capital Konya from the Karaman. At this point, Bayezid accepted peace proposals from Karaman (1391), concerned that further advances would antagonize his Turkoman followers and lead them to ally with Kadi Burhan al-Din. Once peace had been made with Karaman, Bayezid moved north against Kastamonu which had given refuge to many fleeing from his forces, and conquered both that city as well as Sinop. However, his subsequent campaign was stopped by Burhan al-Din at the Battle of Kırkdilim. From 1389 to 1395 he conquered Bulgaria and Northern Greece. In 1394 Bayezid crossed the River Danube to attack Wallachia, ruled at that time by Mircea the Elder. The Ottomans were superior in number, but on 10 October 1394 (or 17 May 1395), in the Battle of Rovine, on forested and swampy terrain, the Wallachians won the fierce battle and prevented Bayezid's army from advancing beyond the Danube. In 1394, Bayezid laid siege to Constantinople, the capital of the Byzantine Empire. Anadoluhisarı fortress was built between 1393 and 1394 as part of preparations for the second Ottoman siege of Constantinople, which took place in 1395. On the urgings of the Byzantine emperor Manuel II Palaeologus, a new crusade was organized to defeat him. This proved unsuccessful: in 1396 the Christian allies, under the leadership of the King of Hungary and future Holy Roman Emperor (in 1433) Sigismund, were defeated in the Battle of Nicopolis. Bayezid built the magnificent Ulu Cami in Bursa, to celebrate this victory. Thus the siege of Constantinople continued, lasting until 1402. The beleaguered Byzantines had their reprieve when Bayezid fought the Timurid Empire in the east. At this time, the empire of Bayezid included Thrace (except Constantinople), Macedonia, Bulgaria, and parts of Serbia in Europe. In Asia, his domains extended to the Taurus Mountains. His army was considered one of the best in the Islamic world. Clash with Timur. In 1397, Bayezid defeated the emir of Karaman in Akçay, killing him and annexing his territory. In 1398, the sultan conquered the Djanik emirate and the territory of Burhan al-Din, violating the accord with the Turco-Mongol emir Timur. Finally, Bayezid occupied Elbistan and Malatya. In 1400, Timur succeeded in rousing the local Turkic beyliks who had been vassals of the Ottomans to join him in his attack on Bayezid, who was also considered one of the most powerful rulers in the Muslim world during that period. Years of insulting letters had passed between Timur and Bayezid. Both rulers insulted each other in their own way while Timur preferred to undermine Bayezid's position as a ruler and play down the significance of his military successes. This is the excerpt from one of Timur's letters addressed to the Ottoman sultan: In the fateful Battle of Ankara, on 20 July 1402, the Ottoman army was defeated. Bayazid tried to escape, but was captured and taken to Timur. Historians describe their first meeting as follows: Many writers claim that Bayezid was mistreated by the Timurids. However, writers and historians from Timur's own court reported that Bayezid was treated well, and that Timur even mourned his death. One of Bayezid's sons, Mustafa Çelebi, was captured with him and held captive in Samarkand until 1405. Four of Bayezid's sons, specifically Süleyman Çelebi, İsa Çelebi, Mehmed Çelebi, and Musa Çelebi, however, escaped from the battlefield and later started a civil war for the Ottoman throne known as the Ottoman Interregnum. After Mehmed's victory, his coronation as Mehmed I, and the deaths of the other three, Bayezid's other son Mustafa Çelebi emerged from hiding and began two failed rebellions against his brother Mehmed and, after Mehmed's death, his nephew Murad II. Bayezid in captivity. In Europe, the legend of Bayezid's humiliation in captivity was very popular. He was allegedly chained, and forced to watch how his beloved wife, Olivera, served Timur at dinner. According to a legend, Timur took Bayezid with himself everywhere in a barred palanquin or cage, humiliating him in various ways, used Bayezid as a support under his legs, and at dinner had him placed under the table where bones were thrown at him. Different versions on Bayezid's death existed, too. One of them mentioned the suicide of Bayezid. Allegedly, the Sultan committed suicide through hitting his head against the bars of his cell or taking poison. The version was promoted by Ottoman historians: Lutfi Pasha, Ashik Pasha-Zade. There was also a version where Bayezid was supposedly poisoned on Timur's order. This is considered unlikely, because there is evidence that the Turco-Mongol ruler entrusted the care of Bayezid to his personal doctors. In the descriptions of contemporaries and witnesses of the events, neither a cell nor humiliation is mentioned. German traveller and writer Johann Schiltberger did not write anything about the cell, bars or violent death. Another contemporary, Jean II Le Maingre, who witnessed Bayezid's captivity, wrote nothing about the cell or poisoning either. Clavijo, who came to Timur's court in 1404 as part of the embassy and visited Constantinople on his return trip, also did not mention the cell. All Greek sources of the first decade of the 15th century are equally silent about the cell. Sharafaddin Yazdi () in "Zafar-nama" wrote that Bayezid was treated with respect, and at his request, Turco-Mongols found his son among the captives and brought him to his father. Regarding Bayezid's wife, Sharafaddin wrote that Timur sent her and his daughters to her husband. Olivera allegedly became a Muslim under the influence of Timur. First references to a disrespectful attitude towards Bayazid appear in the works of ibn Arabshah (1389–1450) and Constantine of Ostrovica. Ibn Arabshah wrote that "Bayezid's heart was broken to pieces" when he saw that his wives and concubines were serving at a banquet. Ibn Arabshah wrote the following about the captivity of Bayezid: However, this is just a "flowery style", and not a real cell. According to literary historian H.A.R. Gibb, "the flowery elegance of style has also affected historiography. Most of the authors of the Timurid era succumbed to its influence ." Constantine of Ostrovica wrote neither about the cell, nor about the nudity of Bayezid's wife; though he did write that Bayezid committed suicide. In the story of Constantine, just like in that of ibn Arabshah, the sultan was so struck by the fact that his wife carried wine to a feast that he poisoned himself with a poison from his ring. Ottoman historian Mehmed Neshri (1450–1520) described Bayezid's imprisonment and mentioned the cell twice. According to him, Timur asked Bayezid what he would do in Timur's place with regard to the captive. "I would have planted him in an iron cage," Bayezid answered. To which Timur replied: "This is a bad answer." He ordered to prepare the cage and the Sultan was put into it. The complete set of legends may perhaps be found in the work of Pope Pius II "Asiae Europaeque elegantissima descriptio", written in 1450–1460 (published in 1509): Bayezid is kept in a cage, fed with garbage under the table, Timur uses Bayezid as a support to get on or off a horse. Further development can be found in later authors, such as Theodore Spandounes. The first version of his story was written in Italian and completed in 1509, and a French translation was published in 1519. In these versions of the text, Spandounes wrote only about the golden chains and that the sultan was used as a stand. Spandounes added the cell only in later versions of the text. Later versions of the text also include a description of the public humiliation of Bayezid's wife: Family. Consorts. Bayezid I had at least nine consorts: Sons. Bayezid I had at least twelve sons: Daughters. Bayezid I had at least five daughters: Personality. According to the British orientalist, Lord Kinross, Bayezid was distinguished by haste, impulsivity, unpredictability and imprudence. He cared little for state affairs, which he entrusted to his governors. As Kinross writes, between campaigns Bayezid was often engaged in pleasures: gluttony, drunkenness and debauchery. The court of the sultan was famous for its luxury and was comparable to the Byzantine court during its heyday. At the same time, the sultan was a talented commander. Despite his lust for earthly pleasures, Bayezid was a religious man and used to spend hours in his personal mosque in Bursa. He also kept Islamic theologians in his circle. In the words of the contemporary Greek historian Doukas: Evaluation of rule. Bayezid managed to expand the territory of the Ottoman Empire to the Danube and the Euphrates. However, his reign culminated with a humiliating defeat at Ankara, whereby the empire was reduced to the size of a beylik from the time of Orhan. This small territory was divided between Bayezid's two sons by Timur and many beyliks regained their independence. The defeat at Ankara marked the beginning of the Ottoman interregnum, which lasted 10 years. In fiction. The defeat of Bayezid became a popular subject for later Western European writers, composers, and painters. They embellished the legend that he was taken by Timur to Samarkand with a cast of characters to create an oriental fantasy that has maintained its appeal over the years. Christopher Marlowe's play "Tamburlaine the Great" was first performed in London in 1587, three years after the formal opening of English-Ottoman trade relations when William Harborne sailed for Constantinople as an agent of the Levant Company. In 1648, the play "Le Gran Tamerlan et Bejezet" by Jean Magnon appeared in London, and in 1725, Handel's "Tamerlano" was first performed and published in London; Vivaldi's version of the story, "Bajazet", was written in 1735. Magnon had given Bayezid an intriguing wife and daughter; the Handel and Vivaldi renditions included, as well as Tamerlane and Bayezid and his daughter, a prince of Byzantium and a princess of Trebizond (Trabzon) in a passionate love story. A cycle of paintings in Schloss Eggenberg, near Graz in Austria, translated the theme to a different medium; this was completed in the 1670s shortly before the Ottoman army attacked the Habsburgs in central Europe. The historical novel "The Grand Cham" (1921) by Harold Lamb focuses on the quest of its European hero to gain the assistance of Tamerlane in defeating Bayezid. Bayezid (spelled Bayazid) is a central character in the Robert E. Howard story "Lord of Samarcand," where he commits suicide at Tamerlane's victory banquet. Bayazid is a main character in the novel "The Walls of Byzantium" (2013) by James Heneage. In popular culture. Sultan Bayezid was portrayed in the Serbian 1989 historical drama film "Battle of Kosovo", as a participant of the Battle of Kosovo by actor Branislav Lečić, and in the Romanian historical drama "Mircea (Proud heritage)" by Ion Ritiu as a young Sultan who fought in the battles of Rovine, Nicopolis and Angora. In the 29th Degree of the Scottish Rite, Northern Masonic Jurisdiction, Bayezid appears as a central figure in a drama that is historical fiction.
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Bayezid II
Bayezid II (; ; 3 December 1447 – 26 May 1512) was the sultan of the Ottoman Empire from 1481 to 1512. During his reign, Bayezid consolidated the Ottoman Empire, thwarted a pro-Safavid rebellion and finally abdicated his throne to his son, Selim I. Bayezid evacuated Sephardi Jews from Spain following the fall of the Nasrid Kingdom of Granada and the proclamation of the Alhambra Decree and resettled them throughout Ottoman lands, especially in Salonica. Early life. Bayezid II was the son of Şehzade Mehmed (later Mehmed II) and Gülbahar Hatun, an Albanian concubine. At the time he was born, his grandfather Murad II was Sultan. When his grandfather died in 1451, his father became Sultan. There are sources that claim that Bayezid was the son of Sittişah Hatun, due to the two women's common middle name, Mükrime. This would make Ayşe Hatun, one of Bayezid's consorts, a first cousin of Bayezid II. However, the marriage of Sittişah Hatun took place two years after Bayezid was born and the whole arrangement was not to Mehmed's liking. Born in Demotika, Bayezid II was educated in Amasya and later served there as a bey for 27 years. In 1473, he fought in the Battle of Otlukbeli against the Aq Qoyunlu. Fight for the throne. Bayezid II's overriding concern was the quarrel with his brother Cem Sultan, who claimed the throne and sought military backing from the Mamluks in Egypt. Karamani Mehmed Pasha, latest grand vizier of Mehmed II, informed him of the death of the Sultan and invited Bayezid to ascend the throne. Having been defeated by his brother's armies, Cem sought protection from the Knights of St. John in Rhodes. Eventually, the Knights handed Cem over to Pope Innocent VIII (1484–1492). The Pope thought of using Cem as a tool to drive the Turks out of Europe, but as the papal crusade failed to come to fruition, Cem died in Naples. Reign. Bayezid II ascended the Ottoman throne in 1481. Like his father, Bayezid II was a patron of western and eastern culture. Unlike many other sultans, he worked hard to ensure a smooth running of domestic politics, which earned him the epithet of "the Just". Throughout his reign, Bayezid II engaged in numerous campaigns to conquer the Venetian possessions in Morea, accurately defining this region as the key to future Ottoman naval power in the Eastern Mediterranean. In 1497, he went to war with Poland and decisively defeated the 80,000 strong Polish army during the Moldavian campaign. The last of these wars ended in 1501 with Bayezid II in control of the whole Peloponnese. Rebellions in the east, such as that of the Qizilbash, plagued much of Bayezid II's reign and were often backed by the shah of Iran, Ismail I, who was eager to promote Shi'ism to undermine the authority of the Ottoman state. Ottoman authority in Anatolia was indeed seriously threatened during this period and at one point Bayezid II's vizier, Hadım Ali Pasha, was killed in battle against the Şahkulu rebellion. Hadım Ali Pasha's death prompted a power vacuum. As a result, many important statesmen secretly pledged allegiance to Kinsman Karabœcu Pasha (Turkish: "Karaböcü Kuzen Paşa") who made his reputation in conducting espionage operations during the Fall of Constantinople in his youth. Jewish and Muslim immigration. In July 1492, the new state of Spain expelled its Jewish and Muslim populations as part of the Spanish Inquisition. Bayezid II sent out the Ottoman Navy under the command of admiral Kemal Reis to Spain in 1492 in order to evacuate them safely to Ottoman lands. He sent out proclamations throughout the empire that the refugees were to be welcomed. He granted the refugees the permission to settle in the Ottoman Empire and become Ottoman citizens. He ridiculed the conduct of Ferdinand II of Aragon and Isabella I of Castile in expelling a class of people so useful to their subjects. "You venture to call Ferdinand a wise ruler," he said to his courtiers, "he who has impoverished his own country and enriched mine!" Bayezid addressed a firman to all the governors of his European provinces, ordering them not only to refrain from repelling the Spanish refugees, but to give them a friendly and welcome reception. He threatened with death all those who treated the Jews harshly or refused them admission into the empire. Moses Capsali, who probably helped to arouse the sultan's friendship for the Jews, was most energetic in his assistance to the exiles. He made a tour of the communities and was instrumental in imposing a tax upon the rich, to ransom the Jewish victims of the persecution. The Muslims and Jews of al-Andalus contributed much to the rising power of the Ottoman Empire by introducing new ideas, methods and craftsmanship. The first printing press in Constantinople (now Istanbul) was established by the Sephardic Jews in 1493. It is reported that under Bayezid's reign, Jews enjoyed a period of cultural flourishing, with the presence of such scholars as the Talmudist and scientist Mordecai Comtino; astronomer and poet Solomon ben Elijah Sharbiṭ ha-Zahab; Shabbethai ben Malkiel Cohen, and the liturgical poet Menahem Tamar. Succession. During Bayezid II's final years, on 14 September 1509, Constantinople was devastated by an earthquake, and a succession battle developed between his sons Selim and Ahmet. Ahmet unexpectedly captured Karaman, and began marching to Constantinople to exploit his triumph. Fearing for his safety, Selim staged a revolt in Thrace but was defeated by Bayezid and forced to flee back to the Crimean peninsula. Bayezid II developed fears that Ahmet might in turn kill him to gain the throne, so he refused to allow his son to enter Constantinople.Selim returned from Crimea and, with support from the Janissaries, he forced his father to abdicate the throne on 25 April 1512. Bayezid departed for retirement in his native Dimetoka, but he died on 26 May 1512 at Havsa, before reaching his destination and only a month after his abdication. He was buried next to the Bayezid Mosque in Istanbul. Legacy. Bayezid was praised in a ghazal of Abdürrezzak Bahşı, a scribe who came to Constantinople from Samarkand in the second half of the 15th century that worked at the courts of Mehmed II and Bayezid II, and wrote in Chagatai with the Old Uyghur alphabet: Bayezid II ordered al-ʿAtufi, the librarian of Topkapı Palace, to prepare a register. The library's diverse holdings reflect a cosmopolitanism that was encyclopaedic in scope. Family. Consorts. Bayezid had ten known consorts: Sons. Bayezid had at least eight sons: Daughters. Bayezid II, once ascended to the throne, granted his daughters and granddaughters in the male line the title of ""Sultan" and his granddaughters in the female line that of "Hanımsultan", which replaced the simple honorific "Hatun" in use until then. His grandsons in female line obtained instead the title of "Sultanzade"". Bayezid's reform of female titles remains in effect today among the surviving members of the Ottoman dynasty. Bayezid had at least sixteen daughters:
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Boxing
Boxing is a combat sport and martial art. Taking place in a boxing ring, it involves two people – usually wearing protective equipment, such as protective gloves, hand wraps, and mouthguards – throwing punches at each other for a predetermined amount of time. Although the term "boxing" is commonly attributed to western boxing, in which only fists are involved, it has developed in different ways in different geographical areas and cultures of the World. In global terms, "boxing" today is also a set of combat sports focused on striking, in which two opponents face each other in a fight using at least their fists, and possibly involving other actions, such as kicks, elbow strikes, knee strikes, and headbutts, depending on the rules. Some of these variants are the bare-knuckle boxing, kickboxing, Muay Thai, Lethwei, savate, and sanda. Boxing techniques have been incorporated into many martial arts, military systems, and other combat sports. Humans have engaged in hand-to-hand combat since the earliest days of human history. The origins of boxing in any of its forms as a sport remain uncertain, but some sources suggest that it has prehistoric roots in what is now Ethiopia, emerging as early as the sixth millennium BC. It is believed that when the Egyptians invaded Nubia, they adopted boxing from the local populace, subsequently popularizing it in Egypt. From there, the sport of boxing spread to various regions, including Greece, eastward to Mesopotamia, and northward to Rome. The earliest visual evidence of any type of boxing is from Egypt and Sumer, both from the third millennia, and can be seen in Sumerian carvings from the third and second millennia BC. The earliest evidence of boxing rules dates back to Ancient Greece, where boxing was established as an Olympic game in 688 BC. Boxing evolved from 16th- and 18th-century prizefights, largely in Great Britain, to the forerunner of modern boxing in the mid-19th century with the 1867 introduction of the Marquess of Queensberry Rules. Amateur boxing is both an Olympic and Commonwealth Games sport and is a standard fixture in most international games – it also has its world championships. Boxing is overseen by a referee over a series of one-to-three-minute intervals called "rounds". A winner can be resolved before the completion of the rounds when a referee deems an opponent incapable of continuing, disqualifies an opponent, or the opponent resigns. When the fight reaches the end of its final round with both opponents still standing, the judges' scorecards determine the victor. In case both fighters gain equal scores from the judges, a professional bout is considered a draw. In Olympic boxing, because a winner must be declared, judges award the contest to one fighter on technical criteria. History. Ancient history. Hitting with different extremities of the body, such as kicks and punches, as an act of human aggression, has existed across the world throughout human history, being a combat system as old as wrestling. However, in terms of sports competition, due to the lack of writing in the prehistoric times and the lack of references, it is not possible to determine rules of any kind of boxing in prehistory, and in ancient times only can be inferred from the few intact sources and references to the sport. The origin of the sport of boxing is unknown, however according to some sources boxing in any of its forms has prehistoric origins in present-day Ethiopia, where it appeared in the sixth millennium BC. When the Egyptians invaded Nubia they learned the art of boxing from the local population, and they took the sport to Egypt where it became popular. From Egypt, boxing spread to other countries including Greece, eastward to Mesopotamia, and northward to Rome. The earliest visual evidence of any type of boxing comes from Egypt and Sumer both from the third millennium BC. A relief sculpture from Egyptian Thebes () shows both boxers and spectators. These early Middle-Eastern and Egyptian depictions showed contests where fighters were either bare-fisted or had a band supporting the wrist. The earliest evidence of use of gloves can be found in Minoan Crete (–1400 BC). Various types of boxing existed in ancient India. The earliest references to "musti-yuddha" come from classical Vedic epics such as the "Rig Veda" (c. 1500–1000 BCE) and "Ramayana" (c. 700–400 BCE). The "Mahabharata" describes two combatants boxing with clenched fists and fighting with kicks, finger strikes, knee strikes and headbutts during the time of King Virata. Duels ("niyuddham") were often fought to the death. During the period of the Western Satraps, the ruler Rudradaman – in addition to being well-versed in "the great sciences" which included Indian classical music, Sanskrit grammar, and logic – was said to be an excellent horseman, charioteer, elephant rider, swordsman and boxer. The "Gurbilas Shemi", an 18th-century Sikh text, gives numerous references to "musti-yuddha". The martial art is related to other forms of martial arts found in other parts of the Indian cultural sphere including Muay Thai in Thailand, Muay Lao in Laos, Pradal Serey in Cambodia and Lethwei in Myanmar. In Ancient Greece boxing was a well developed sport called "pygmachia", and enjoyed consistent popularity. In Olympic terms, it was first introduced in the 23rd Olympiad, 688 BC. The boxers would wind leather thongs around their hands in order to protect them. There were no rounds and boxers fought until one of them acknowledged defeat or could not continue. Weight categories were not used, which meant heavier fighters had a tendency to dominate. The style of boxing practiced typically featured an advanced left leg stance, with the left arm semi-extended as a guard, in addition to being used for striking, and with the right arm drawn back ready to strike. It was the head of the opponent which was primarily targeted, and there is little evidence to suggest that targeting the body or the use of kicks was common, in which it resembled modern western boxing. Boxing was a popular spectator sport in Ancient Rome. Fighters protected their knuckles with leather strips wrapped around their fists. Eventually harder leather was used and the strips became a weapon. Metal studs were introduced to the strips to make the cestus. Fighting events were held at Roman amphitheatres. Early London prize ring rules. Records of boxing activity disappeared in the west after the fall of the Western Roman Empire when the wearing of weapons became common once again and interest in fighting with the fists waned. However, there are detailed records of various fist-fighting sports that were maintained in different cities and provinces of Italy between the 12th and 17th centuries. There was also a sport in ancient Rus called "kulachniy boy" or 'fist fighting'. As the wearing of swords became less common, there was renewed interest in fencing with the fists. The sport later resurfaced in England during the early 16th century in the form of bare-knuckle boxing, sometimes referred to as "prizefighting". The first documented account of a bare-knuckle fight in England appeared in 1681 in the "London Protestant Mercury", and the first English bare-knuckle champion was James Figg in 1719. This is also the time when the word "boxing" first came to be used. This earliest form of modern boxing was very different. Contests in Mr. Figg's time, in addition to fist fighting, also contained fencing and cudgeling. On 6 January 1681, the first recorded boxing match took place in Britain when Christopher Monck, 2nd Duke of Albemarle (and later Lieutenant Governor of Jamaica), engineered a bout between his butler and his butcher with the latter winning the prize. Early fighting had no written rules. There were no weight divisions or round limits, and no referee. In general, it was extremely chaotic. An early article on boxing was published in Nottingham in 1713, by Sir Thomas Parkyns, 2nd Baronet, a wrestling patron from Bunny, Nottinghamshire, who had practised the techniques he described. The article, a single page in his manual of wrestling and fencing, "Progymnasmata: The inn-play, or Cornish-hugg wrestler", described a system of headbutting, punching, eye-gouging, chokes, and hard throws, not recognized in boxing today. The first boxing rules, called the Broughton Rules, were introduced by champion Jack Broughton in 1743 to protect fighters in the ring where deaths sometimes occurred. Under these rules, if a man went down and could not continue after a count of 30 seconds, the fight was over. Hitting a downed fighter and grasping below the waist were prohibited. Broughton encouraged the use of "mufflers", a form of padded bandage or mitten, to be used in "jousting" or sparring sessions in training, and in exhibition matches. These rules did allow the fighters an advantage not enjoyed by today's boxers; they permitted the fighter to drop to one knee to end the round and begin the 30-second count at any time. Thus a fighter realizing he was in trouble had an opportunity to recover. However, this was considered "unmanly" and was frequently disallowed by additional rules negotiated by the seconds of the boxers. In modern boxing, there is a three-minute limit to rounds (unlike the downed fighter ends the round rule). Intentionally going down in modern boxing will cause the recovering fighter to lose points in the scoring system. Furthermore, as the contestants did not have heavy leather gloves and wristwraps to protect their hands, they used different punching technique to preserve their hands because the head was a common target to hit full out. Almost all period manuals have powerful straight punches with the whole body behind them to the face (including forehead) as the basic blows. The British sportswriter Pierce Egan coined the term "the sweet science" as an epithet for prizefighting – or more fully "the sweet science of bruising" as a description of England's bare-knuckle fight scene in the early nineteenth century. Boxing could also be used to settle disputes even by females. In 1790 in Waddington, Lincolnshire Mary Farmery and Susanna Locker both laid claim to the affections of a young man; this produced a challenge from the former to fight for the prize, which was accepted by the latter. Proper sidesmen were chosen, and every matter conducted in form. After several knock-down blows on both sides, the battle ended in favour of Mary Farmery. The London Prize Ring Rules introduced measures that remain in effect for professional boxing to this day, such as outlawing butting, gouging, scratching, kicking, hitting a man while down, holding the ropes, and using resin, stones or hard objects in the hands, and biting. Marquess of Queensberry rules (1867). In 1867, the Marquess of Queensberry rules were drafted by John Chambers for amateur championships held at Lillie Bridge in London for lightweights, middleweights and heavyweights. The rules were published under the patronage of the Marquess of Queensberry, whose name has always been associated with them. There were twelve rules in all, and they specified that fights should be "a fair stand-up boxing match" in a 24-foot-square or similar ring. Rounds were three minutes with one-minute rest intervals between rounds. Each fighter was given a ten-second count if he was knocked down, and wrestling was banned. The introduction of gloves of "fair-size" also changed the nature of the bouts. An average pair of boxing gloves resembles a bloated pair of mittens and are laced up around the wrists. The gloves can be used to block an opponent's blows. As a result of their introduction, bouts became longer and more strategic with greater importance attached to defensive maneuvers such as slipping, bobbing, countering and angling. Because less defensive emphasis was placed on the use of the forearms and more on the gloves, the classical forearms outwards, torso leaning back stance of the bare knuckle boxer was modified to a more modern stance in which the torso is tilted forward and the hands are held closer to the face. Late 19th and early 20th centuries. Through the late 19th century, the martial art of boxing or prizefighting was primarily a sport of dubious legitimacy. Outlawed in England and much of the United States, prizefights were often held at gambling venues and broken up by police. Brawling and wrestling tactics continued, and riots at prizefights were common occurrences. Still, throughout this period, there arose some notable bare knuckle champions who developed fairly sophisticated fighting tactics. The English case of "R v. Coney" in 1882 found that a bare-knuckle fight was an assault occasioning actual bodily harm, despite the consent of the participants. This marked the end of widespread public bare-knuckle contests in England. The first world heavyweight champion under the Queensberry Rules was "Gentleman Jim" Corbett, who defeated John L. Sullivan in 1892 at the Pelican Athletic Club in New Orleans. The first instance of film censorship in the United States occurred in 1897 when several states banned the showing of prize fighting films from the state of Nevada, where it was legal at the time. Throughout the early 20th century, boxers struggled to achieve legitimacy. They were aided by the influence of promoters like Tex Rickard and the popularity of great champions such as John L. Sullivan. Modern boxing. The modern sport arose from illegal venues and outlawed prizefighting and has become a multibillion-dollar commercial enterprise. A majority of young talent still comes from poverty-stricken areas around the world. Places like Mexico, Africa, South America, and Eastern Europe prove to be filled with young aspiring athletes who wish to become the future of boxing. Even in the U.S., places like the inner cities of New York, and Chicago have given rise to promising young talent. According to Rubin, "boxing lost its appeal with the American middle class, and most of who boxes in modern America come from the streets and are street fighters". Rules. The "Marquess of Queensberry Rules" have been the general rules governing modern boxing since their publication in 1867. A boxing match typically consists of a determined number of three-minute rounds, a total of up to 9 to 12 rounds with a minute spent between each round with the fighters resting in their assigned corners and receiving advice and attention from their coach and staff. The fight is controlled by a referee who works within the ring to judge and control the conduct of the fighters, rule on their ability to fight safely, count knocked-down fighters, and rule on fouls. Up to three judges are typically present at ringside to score the bout and assign points to the boxers, based on punches and elbows that connect, defense, knockdowns, hugging and other, more subjective, measures. Because of the open-ended style of boxing judging, many fights have controversial results, in which one or both fighters believe they have been "robbed" or unfairly denied a victory. Each fighter has an assigned corner of the ring, where their coach, as well as one or more "seconds" may administer to the fighter at the beginning of the fight and between rounds. Each boxer enters into the ring from their assigned corners at the beginning of each round and must cease fighting and return to their corner at the signalled end of each round. A bout in which the predetermined number of rounds passes is decided by the judges, and is said to "go the distance". The fighter with the higher score at the end of the fight is ruled the winner. With three judges, unanimous and split decisions are possible, as are draws. A boxer may win the bout before a decision is reached through a knock-out; such bouts are said to have ended "inside the distance". If a fighter is knocked down during the fight, determined by whether the boxer touches the canvas floor of the ring with any part of their body other than the feet as a result of the opponent's punch and not a slip, as determined by the referee, the referee begins counting until the fighter returns to their feet and can continue. Some jurisdictions require the referee to count to eight regardless of if the fighter gets up before. Should the referee count to ten, then the knocked-down boxer is ruled "knocked out" (whether unconscious or not) and the other boxer is ruled the winner by knockout (KO). A "technical knock-out" (TKO) is possible as well, and is ruled by the referee, fight doctor, or a fighter's corner if a fighter is unable to safely continue to fight, based upon injuries or being judged unable to effectively defend themselves. Many jurisdictions and sanctioning agencies also have a "three-knockdown rule", in which three knockdowns in a given round result in a TKO. A TKO is considered a knockout in a fighter's record. A "standing eight" count rule may also be in effect. This gives the referee the right to step in and administer a count of eight to a fighter that the referee feels may be in danger, even if no knockdown has taken place. After counting the referee will observe the fighter, and decide if the fighter is fit to continue. For scoring purposes, a standing eight count is treated as a knockdown. In general, boxers are prohibited from hitting below the belt, holding, tripping, pushing, biting, or spitting. The boxer's shorts are raised so the opponent is not allowed to hit to the groin area with intent to cause pain or injury. Failure to abide by the former may result in a foul. They also are prohibited from kicking, head-butting, or hitting with any part of the arm other than the knuckles of a closed fist (including hitting with the elbow, shoulder or forearm, as well as with open gloves, the wrist, the inside, back or side of the hand). They are prohibited as well from hitting the back, back of the head or neck (called a "rabbit-punch") or the kidneys. They are prohibited from holding the ropes for support when punching, holding an opponent while punching, or ducking below the belt of their opponent (dropping below the waist of your opponent, no matter the distance between). If a "clinch" – a defensive move in which a boxer wraps their opponent's arms and holds on to create a pause – is broken by the referee, each fighter must take a full step back before punching again (alternatively, the referee may direct the fighters to "punch out" of the clinch). When a boxer is knocked down, the other boxer must immediately cease fighting and move to the furthest neutral corner of the ring until the referee has either ruled a knockout or called for the fight to continue. Violations of these rules may be ruled "fouls" by the referee, who may issue warnings, deduct points, or disqualify an offending boxer, causing an automatic loss, depending on the seriousness and intentionality of the foul. An intentional foul that causes injury that prevents a fight from continuing usually causes the boxer who committed it to be disqualified. A fighter who suffers an accidental low-blow may be given up to five minutes to recover, after which they may be ruled knocked out if they are unable to continue. Accidental fouls that cause injury ending a bout may lead to a "no contest" result, or else cause the fight to go to a decision if enough rounds (typically four or more, or at least three in a four-round fight) have passed. Unheard of in the modern era, but common during the early 20th Century in North America, a "newspaper decision (NWS)" might be made after a no decision bout had ended. A "no decision" bout occurred when, by law or by pre-arrangement of the fighters, if both boxers were still standing at the fight's conclusion and there was no knockout, no official decision was rendered and neither boxer was declared the winner. But this did not prevent the pool of ringside newspaper reporters from declaring a consensus result among themselves and printing a newspaper decision in their publications. Officially, however, a "no decision" bout resulted in neither boxer winning or losing. Boxing historians sometimes use these unofficial newspaper decisions in compiling fight records for illustrative purposes only. Often, media outlets covering a match will personally score the match, and post their scores as an independent sentence in their report. Professional vs. amateur boxing. Throughout the 17th to 19th centuries, boxing bouts were motivated by money, as the fighters competed for prize money, promoters controlled the gate, and spectators bet on the result. The modern Olympic movement revived interest in amateur sports, and amateur boxing became an Olympic sport in 1908. In their current form, Olympic and other amateur bouts are typically limited to three or four rounds, scoring is computed by points based on the number of clean blows landed, regardless of impact, and fighters wear protective headgear, reducing the number of injuries, knockdowns, and knockouts. Currently scoring blows in amateur boxing are subjectively counted by ringside judges, but the Australian Institute for Sport has demonstrated a prototype of an Automated Boxing Scoring System, which introduces scoring objectivity, improves safety, and arguably makes the sport more interesting to spectators. Professional boxing remains by far the most popular form of the sport globally, though amateur boxing is dominant in Cuba and some former Soviet republics. For most fighters, an amateur career, especially at the Olympics, serves to develop skills and gain experience in preparation for a professional career. Western boxers typically participate in one Olympics and then turn pro, while Cubans and boxers from other socialist countries have an opportunity to collect multiple medals. In 2016, professional boxers were admitted in the Olympic Games and other tournaments sanctioned by AIBA. This was done in part to level the playing field and give all of the athletes the same opportunities government-sponsored boxers from socialist countries and post-Soviet republics have. However, professional organizations strongly opposed that decision. Amateur boxing. Amateur boxing may be found at the collegiate level, at the Olympic Games, Commonwealth Games, Asian Games, etc. In many other venues sanctioned by amateur boxing associations. Amateur boxing has a point scoring system that measures the number of clean blows landed rather than physical damage. Bouts consist of three rounds of three minutes in the Olympic and Commonwealth Games, and three rounds of three minutes in a national ABA (Amateur Boxing Association) bout, each with a one-minute interval between rounds. Competitors wear protective headgear and gloves with a white strip or circle across the knuckle. There are cases however, where white ended gloves are not required but any solid color may be worn. The white end is just a way to make it easier for judges to score clean hits. Each competitor must have their hands properly wrapped, pre-fight, for added protection on their hands and for added cushion under the gloves. Gloves worn by the fighters must be twelve ounces in weight unless the fighters weigh under , thus allowing them to wear ten ounce gloves. A punch is considered a scoring punch only when the boxers connect with the white portion of the gloves. Each punch that lands cleanly on the head or torso with sufficient force is awarded a point. A referee monitors the fight to ensure that competitors use only legal blows. A belt worn over the torso represents the lower limit of punches – any boxer repeatedly landing low blows below the belt is disqualified. Referees also ensure that the boxers don't use holding tactics to prevent the opponent from swinging. If this occurs, the referee separates the opponents and orders them to continue boxing. Repeated holding can result in a boxer being penalized or ultimately disqualified. Referees will stop the bout if a boxer is seriously injured, if one boxer is significantly dominating the other or if the score is severely imbalanced. Amateur bouts which end this way may be noted as "RSC" (referee stopped contest) with notations for an outclassed opponent (RSCO), outscored opponent (RSCOS), injury (RSCI) or head injury (RSCH). Professional boxing. Professional bouts are usually much longer than amateur bouts, typically ranging from ten to twelve rounds, though four-round fights are common for less experienced fighters or club fighters. There are also some two- and three-round professional bouts, especially in Australia. Through the early 20th century, it was common for fights to have unlimited rounds, ending only when one fighter quit, benefiting high-energy fighters like Jack Dempsey. Fifteen rounds remained the internationally recognized limit for championship fights for most of the 20th century until the early 1980s, when the death of boxer Kim Duk-koo eventually prompted the World Boxing Council and other organizations sanctioning professional boxing to reduce the limit to twelve rounds. Headgear is not permitted in professional bouts, and boxers are generally allowed to take much more damage before a fight is halted. At any time, the referee may stop the contest if he believes that one participant cannot defend himself due to injury. In that case, the other participant is awarded a technical knockout win. A technical knockout would also be awarded if a fighter lands a punch that opens a cut on the opponent, and the opponent is later deemed not fit to continue by a doctor because of the cut. For this reason, fighters often employ cutmen, whose job is to treat cuts between rounds so that the boxer is able to continue despite the cut. If a boxer simply quits fighting, or if his corner stops the fight, then the winning boxer is also awarded a technical knockout victory. In contrast with amateur boxing, professional male boxers have to be bare-chested. Boxing styles. Definition of style. "Style" is often defined as the strategic approach a fighter takes during a bout. No two fighters' styles are alike, as each is determined by that individual's physical and mental attributes. Three main styles exist in boxing: outside fighter ("boxer"), brawler (or "slugger"), and inside fighter ("swarmer"). These styles may be divided into several special subgroups, such as counter puncher, etc. The main philosophy of the styles is, that each style has an advantage over one, but disadvantage over the other one. It follows the rock paper scissors scenario – boxer beats brawler, brawler beats swarmer, and swarmer beats boxer. Boxer/out-fighter. A classic "boxer" or stylist (also known as an "out-fighter") seeks to maintain distance between himself and his opponent, fighting with faster, longer range punches, most notably the jab, and gradually wearing his opponent down. Due to this reliance on weaker punches, out-fighters tend to win by point decisions rather than by knockout, though some out-fighters have notable knockout records. They are often regarded as the best boxing strategists due to their ability to control the pace of the fight and lead their opponent, methodically wearing him down and exhibiting more skill and finesse than a brawler. Out-fighters need reach, hand speed, reflexes, and footwork. Notable out-fighters include Muhammad Ali, Larry Holmes, Joe Calzaghe, Wilfredo Gómez, Salvador Sánchez, Cecilia Brækhus, Gene Tunney, Ezzard Charles, Willie Pep, Meldrick Taylor, Ricardo "Finito" López, Floyd Mayweather Jr., Roy Jones Jr., Sugar Ray Leonard, Miguel Vázquez, Sergio "Maravilla" Martínez, Wladimir Klitschko and Guillermo Rigondeaux. This style was also used by fictional boxer Apollo Creed. Boxer-puncher. A boxer-puncher is a well-rounded boxer who is able to fight at close range with a combination of technique and power, often with the ability to knock opponents out with a combination and in some instances a single shot. Their movement and tactics are similar to that of an out-fighter (although they are generally not as mobile as an out-fighter), but instead of winning by decision, they tend to wear their opponents down using combinations and then move in to score the knockout. A boxer must be well rounded to be effective using this style. Notable boxer-punchers include Muhammad Ali, Canelo Álvarez, Sugar Ray Leonard, Roy Jones Jr., Wladimir Klitschko, Vasyl Lomachenko, Lennox Lewis, Joe Louis, Wilfredo Gómez, Oscar De La Hoya, Archie Moore, Miguel Cotto, Nonito Donaire, Sam Langford, Henry Armstrong, Sugar Ray Robinson, Tony Zale, Carlos Monzón, Alexis Argüello, Érik Morales, Terry Norris, Marco Antonio Barrera, Naseem Hamed, Thomas Hearns, Julian Jackson and Gennady Golovkin. Counter puncher. Counter punchers are slippery, defensive style fighters who often rely on their opponent's mistakes in order to gain the advantage, whether it be on the score cards or more preferably a knockout. They use their well-rounded defense to avoid or block shots and then immediately catch the opponent off guard with a well placed and timed punch. A fight with a skilled counter-puncher can turn into a war of attrition, where each shot landed is a battle in itself. Thus, fighting against counter punchers requires constant feinting and the ability to avoid telegraphing one's attacks. To be truly successful using this style they must have good reflexes, a high level of prediction and awareness, pinpoint accuracy and speed, both in striking and in footwork. Notable counter punchers include Muhammad Ali, Joe Calzaghe, Vitali Klitschko, Evander Holyfield, Max Schmeling, Chris Byrd, Jim Corbett, Jack Johnson, Bernard Hopkins, Laszlo Papp, Jerry Quarry, Anselmo Moreno, James Toney, Marvin Hagler, Juan Manuel Márquez, Humberto Soto, Floyd Mayweather Jr., Roger Mayweather, Pernell Whitaker, Sergio Martínez and Guillermo Rigondeaux. This style of boxing is also used by fictional boxer Little Mac. Counter punchers usually wear their opponents down by causing them to miss their punches. The more the opponent misses, the faster they tire, and the psychological effects of being unable to land a hit will start to sink in. The counter puncher often tries to outplay their opponent entirely, not just in a physical sense, but also in a mental and emotional sense. This style can be incredibly difficult, especially against seasoned fighters, but winning a fight without getting hit is often worth the pay-off. They usually try to stay away from the center of the ring, in order to outmaneuver and chip away at their opponents. A large advantage in counter-hitting is the forward momentum of the attacker, which drives them further into your return strike. As such, knockouts are more common than one would expect from a defensive style. Brawler/slugger. A brawler is a fighter who generally lacks finesse and footwork in the ring, but makes up for it through sheer punching power. Many brawlers tend to lack mobility, preferring a less mobile, more stable platform and have difficulty pursuing fighters who are fast on their feet. They may also have a tendency to ignore combination punching in favor of continuous beat-downs with one hand and by throwing slower, more powerful single punches (such as hooks and uppercuts). Their slowness and predictable punching pattern (single punches with obvious leads) often leaves them open to counter punches, so successful brawlers must be able to absorb a substantial amount of punishment. However, not all brawler/slugger fighters are not mobile; some can move around and switch styles if needed but still have the brawler/slugger style such as Wilfredo Gómez, Prince Naseem Hamed and Danny García. A brawler's most important assets are power and chin (the ability to absorb punishment while remaining able to continue boxing). Examples of this style include George Foreman, Rocky Marciano, Jack Dempsey, Riddick Bowe, Danny García, Wilfredo Gómez, Sonny Liston, John L. Sullivan, Max Baer, Prince Naseem Hamed, Ray Mancini, David Tua, Arturo Gatti, Micky Ward, Brandon Ríos, Ruslan Provodnikov, Michael Katsidis, James Kirkland, Marcos Maidana, Vitali Klitschko, Jake LaMotta, Manny Pacquiao, and Ireland's John Duddy. This style of boxing was also used by fictional boxers Rocky Balboa and James "Clubber" Lang. Brawlers tend to be more predictable and easy to hit but usually fare well enough against other fighting styles because they train to take punches very well. They often have a higher chance than other fighting styles to score a knockout against their opponents because they focus on landing big, powerful hits, instead of smaller, faster attacks. Oftentimes they place focus on training on their upper body instead of their entire body, to increase power and endurance. They also aim to intimidate their opponents because of their power, stature and ability to take a punch. Swarmer/in-fighter. In-fighters/swarmers (sometimes called "pressure fighters") attempt to stay close to an opponent, throwing intense flurries and combinations of hooks and uppercuts. Mainly Mexican, Irish, Irish-American, Puerto Rican, and Mexican-American boxers popularized this style. A successful in-fighter often needs a good "chin" because swarming usually involves being hit with many jabs before they can maneuver inside where they are more effective. In-fighters operate best at close range because they are generally shorter and have less reach than their opponents and thus are more effective at a short distance where the longer arms of their opponents make punching awkward. However, several fighters tall for their division have been relatively adept at in-fighting as well as out-fighting. The essence of a swarmer is non-stop aggression. Many short in-fighters use their stature to their advantage, employing a bob-and-weave defense by bending at the waist to slip underneath or to the sides of incoming punches. Unlike blocking, causing an opponent to miss a punch disrupts his balance, this permits forward movement past the opponent's extended arm and keeps the hands free to counter. A distinct advantage that in-fighters have is when throwing uppercuts, they can channel their entire bodyweight behind the punch; Mike Tyson was famous for throwing devastating uppercuts. Marvin Hagler was known for his hard "chin", punching power, body attack and the stalking of his opponents. Some in-fighters, like Mike Tyson, have been known for being notoriously hard to hit. The key to a swarmer is aggression, endurance, chin, and bobbing-and-weaving. Notable in-fighters include Henry Armstrong, Aaron Pryor, Julio César Chávez, Jack Dempsey, Shawn Porter, Miguel Cotto, Gennady Golovkin, Joe Frazier, Danny García, Mike Tyson, Manny Pacquiao, Rocky Marciano, Wayne McCullough, James Braddock, Gerry Penalosa, Harry Greb, David Tua, James Toney and Ricky Hatton. Combinations of styles. All fighters have primary skills with which they feel most comfortable, but truly elite fighters are often able to incorporate auxiliary styles when presented with a particular challenge. For example, an out-fighter will sometimes plant his feet and counter punch, or a slugger may have the stamina to pressure fight with his power punches. Old history of the development of boxing and its prevalence contribute to fusion of various types of martial arts and the emergence of new ones that are based on them. For example, a combination of boxing and sportive sambo techniques gave rise to a combat sambo. Style matchups. There is a generally accepted rule of thumb about the success each of these boxing styles has against the others. In general, an in-fighter has an advantage over an out-fighter, an out-fighter has an advantage over a brawler, and a brawler has an advantage over an in-fighter; these form a cycle with each style being stronger relative to one, and weaker relative to another, with none dominating, as in rock paper scissors. Naturally, many other factors, such as the skill level and training of the combatants, determine the outcome of a fight, but the widely held belief in this relationship among the styles is embodied in the cliché amongst boxing fans and writers that "styles make fights". Brawlers tend to overcome swarmers or in-fighters because, in trying to get close to the slugger, the in-fighter will invariably have to walk straight into the guns of the much harder-hitting brawler, so, unless the former has a very good chin and the latter's stamina is poor, the brawler's superior power will carry the day. A famous example of this type of match-up advantage would be George Foreman's knockout victory over Joe Frazier in their original bout "The Sunshine Showdown". Although in-fighters struggle against heavy sluggers, they typically enjoy more success against out-fighters or boxers. Out-fighters prefer a slower fight, with some distance between themselves and the opponent. The in-fighter tries to close that gap and unleash furious flurries. On the inside, the out-fighter loses a lot of his combat effectiveness, because he cannot throw the hard punches. The in-fighter is generally successful in this case, due to his intensity in advancing on his opponent and his good agility, which makes him difficult to evade. For example, the swarming Joe Frazier, though easily dominated by the slugger George Foreman, was able to create many more problems for the boxer Muhammad Ali in their three fights. Joe Louis, after retirement, admitted that he hated being crowded, and that swarmers like untied/undefeated champ Rocky Marciano would have caused him style problems even in his prime. The boxer or out-fighter tends to be most successful against a brawler, whose slow speed (both hand and foot) and poor technique makes him an easy target to hit for the faster out-fighter. The out-fighter's main concern is to stay alert, as the brawler only needs to land one good punch to finish the fight. If the out-fighter can avoid those power punches, he can often wear the brawler down with fast jabs, tiring him out. If he is successful enough, he may even apply extra pressure in the later rounds in an attempt to achieve a knockout. Most classic boxers, such as Muhammad Ali, enjoyed their best successes against sluggers. An example of a style matchup was the historical fight of Julio César Chávez, a swarmer or in-fighter, against Meldrick Taylor, the boxer or out-fighter (see Julio César Chávez vs. Meldrick Taylor). The match was nicknamed "Thunder Meets Lightning" as an allusion to punching power of Chávez and blinding speed of Taylor. Chávez was the epitome of the "Mexican" style of boxing. Taylor's hand and foot speed and boxing abilities gave him the early advantage, allowing him to begin building a large lead on points. Chávez remained relentless in his pursuit of Taylor and due to his greater punching power Chávez slowly punished Taylor. Coming into the later rounds, Taylor was bleeding from the mouth, his entire face was swollen, the bones around his eye socket had been broken, he had swallowed a considerable amount of his own blood, and as he grew tired, Taylor was increasingly forced into exchanging blows with Chávez, which only gave Chávez a greater chance to cause damage. While there was little doubt that Taylor had solidly won the first three quarters of the fight, the question at hand was whether he would survive the final quarter. Going into the final round, Taylor held a secure lead on the scorecards of two of the three judges. Chávez would have to knock Taylor out to claim a victory, whereas Taylor merely needed to stay away from the Mexican legend. However, Taylor did not stay away, but continued to trade blows with Chávez. As he did so, Taylor showed signs of extreme exhaustion, and every tick of the clock brought Taylor closer to victory unless Chávez could knock him out. With about a minute left in the round, Chávez hit Taylor squarely with several hard punches and stayed on the attack, continuing to hit Taylor with well-placed shots. Finally, with about 25 seconds to go, Chávez landed a hard right hand that caused Taylor to stagger forward towards a corner, forcing Chávez back ahead of him. Suddenly Chávez stepped around Taylor, positioning him so that Taylor was trapped in the corner, with no way to escape from Chávez' desperate final flurry. Chávez then nailed Taylor with a tremendous right hand that dropped the younger man. By using the ring ropes to pull himself up, Taylor managed to return to his feet and was given the mandatory 8-count. Referee Richard Steele asked Taylor twice if he was able to continue fighting, but Taylor failed to answer. Steele then concluded that Taylor was unfit to continue and signaled that he was ending the fight, resulting in a TKO victory for Chávez with only two seconds to go in the bout. Equipment. Since boxing involves forceful, repetitive punching, precautions must be taken to prevent damage to bones in the hand. Most trainers do not allow boxers to train and spar without wrist wraps and boxing gloves. Hand wraps are used to secure the bones in the hand, and the gloves are used to protect the hands from blunt injury, allowing boxers to throw punches with more force than if they did not use them. Gloves have been required in competition since the late nineteenth century, though modern boxing gloves are much heavier than those worn by early twentieth-century fighters. Prior to a bout, both boxers agree upon the weight of gloves to be used in the bout, with the understanding that lighter gloves allow heavy punchers to inflict more damage. The brand of gloves can also affect the impact of punches, so this too is usually stipulated before a bout. Both sides are allowed to inspect the wraps and gloves of the opponent to help ensure both are within agreed upon specifications and no tampering has taken place. A mouthguard is important to protect the teeth and gums from injury, and to cushion the jaw, resulting in a decreased chance of knockout. Both fighters must wear soft soled shoes to reduce the damage from accidental (or intentional) stepping on feet. While older boxing boots more commonly resembled those of a professional wrestler, modern boxing shoes and boots tend to be quite similar to their amateur wrestling counterparts. Boxers practice their skills on several types of punching bags. A small, tear-drop-shaped "speed bag" is used to hone reflexes and repetitive punching skills, while a large cylindrical "heavy bag" filled with sand, a synthetic substitute, or water is used to practice power punching and body blows. The double-end bag is usually connected by elastic on the top and bottom and moves randomly upon getting struck and helps the fighter work on accuracy and reflexes. In addition to these distinctive pieces of equipment, boxers also use sport-nonspecific training equipment to build strength, speed, agility, and stamina. Common training equipment includes free weights, rowing machines, jump rope, and medicine balls. Boxers also use punch/focus mitts in which a trainer calls out certain combinations and the fighter strikes the mitts accordingly. This is a great exercise for stamina as the boxer isn't allowed to go at his own pace but that of the trainer, typically forcing the fighter to endure a higher output and volume than usual. In addition, they also allow trainers to make boxers utilize footwork and distances more accurately. Recently boxing clubs have started using something called music boxing machines to train newbies in a more musical way to gain rhythm. Boxing matches typically take place in a boxing ring, a raised platform surrounded by ropes attached to posts rising in each corner. The term "ring" has come to be used as a metaphor for many aspects of prize fighting in general. Technique. Stance. The modern boxing stance differs substantially from the typical boxing stances of the 19th and early 20th centuries. The modern stance has a more upright vertical-armed guard, as opposed to the more horizontal, knuckles-facing-forward guard adopted by early 20th century hook users such as Jack Johnson. Upright stance – In a fully upright stance, the boxer stands with the legs shoulder-width apart and the rear foot a half-step in front of the lead man. Right-handed or orthodox boxers lead with the left foot and fist (for most penetration power). Both feet are parallel, and the right heel is off the ground. The lead (left) fist is held vertically about six inches in front of the face at eye level. The rear (right) fist is held beside the chin and the elbow tucked against the ribcage to protect the body. The chin is tucked into the chest to avoid punches to the jaw which commonly cause knock-outs and is often kept slightly off-center. Wrists are slightly bent to avoid damage when punching and the elbows are kept tucked in to protect the ribcage. Crouching stance – Some boxers fight from a crouch, leaning forward and keeping their feet closer together. The stance described is considered the "textbook" stance and fighters are encouraged to change it around once it's been mastered as a base. Case in point, many fast fighters have their hands down and have almost exaggerated footwork, while brawlers or bully fighters tend to slowly stalk their opponents. In order to retain their stance boxers take 'the first step in any direction with the foot already leading in that direction.' Different stances allow for bodyweight to be differently positioned and emphasised; this may in turn alter how powerfully and explosively a type of punch can be delivered. For instance, a crouched stance allows for the bodyweight to be positioned further forward over the lead left leg. If a lead left hook is thrown from this position, it will produce a powerful springing action in the lead leg and produce a more explosive punch. This springing action could not be generated effectively, for this punch, if an upright stance was used or if the bodyweight was positioned predominantly over the back leg. Mike Tyson was a keen practitioner of a crouched stance and this style of power punching. The preparatory positioning of the bodyweight over the bent lead leg is also known as an isometric preload. Orthodox stance refers to a stance where the left leg, and usually the left arm, is forward. Southpaw stance – refers to a stance where the right leg, and usually the right arm, is forward. Left-handed or southpaw fighters use a mirror image of the orthodox stance, which can create problems for orthodox fighters unaccustomed to receiving jabs, hooks, or crosses from the opposite side. The southpaw stance, conversely, is vulnerable to a straight right hand. Open stance - refers to when one fighter is in an orthodox stance and the other is in a southpaw stance. Closed stance - refers to when both fighters are in orthodox stances or both fighters are in southpaw stances. Square stance – North American fighters tend to favor a more balanced stance, facing the opponent almost squarely. Bladed stance – many European fighters stand with their torso turned more to the side. The positioning of the hands may also vary, as some fighters prefer to have both hands raised in front of the face, risking exposure to body shots. Punches. There are four basic punches in boxing: the jab, cross, hook and uppercut. Any punch other than a jab is considered a power punch. If a boxer is right-handed (orthodox), their left hand is the lead hand and his right hand is the rear hand. For a left-handed boxer or southpaw, the hand positions are reversed. For clarity, the following assumes a right-handed boxer. These different punch types can be thrown in rapid succession to form combinations or "combos". The most common is the jab and cross combination, nicknamed the "one-two combo". This is usually an effective combination, because the jab blocks the opponent's view of the cross, making it easier to land cleanly and forcefully. A large, swinging circular punch starting from a cocked-back position with the arm at a longer extension than the hook and all of the fighter's weight behind it is sometimes referred to as a "roundhouse", "haymaker", "overhand", or sucker-punch. Relying on body weight and centripetal force within a wide arc, the roundhouse can be a powerful blow, but it is often a wild and uncontrolled punch that leaves the fighter delivering it off balance and with an open guard. Wide, looping punches have the further disadvantage of taking more time to deliver, giving the opponent ample warning to react and counter. For this reason, the haymaker or roundhouse is not a conventional punch, and is regarded by trainers as a mark of poor technique or desperation. Sometimes it has been used, because of its immense potential power, to finish off an already staggering opponent who seems unable or unlikely to take advantage of the poor position it leaves the puncher in. Another unconventional punch is the rarely used bolo punch, in which the opponent swings an arm out several times in a wide arc, usually as a distraction, before delivering with either that or the other arm. An illegal punch to the back of the head or neck is known as a rabbit punch. Both the hook and uppercut may be thrown with both hands, resulting in differing footwork and positioning from that described above if thrown by the other hand. Generally the analogous opposite is true of the footwork and torso movement. Defense. There are several basic maneuvers a boxer can use in order to evade or block punches, depicted and discussed below. Guards. There are 4 main defensive positions (guards or styles) used in boxing: All fighters have their own variations to these styles. Some fighters may have their guard higher for more head protection while others have their guard lower to provide better protection against body punches. Many fighters don't strictly use a single position, but rather adapt to the situation when choosing a certain position to protect them. Peek-a-Boo — a defensive style often used by a fighter where the hands are placed in front of the boxer's face, like in the babies' game of the same name. It offers extra protection to the face and makes it easier to jab the opponent's face. Peek-a-Boo boxing was developed by legendary trainer Cus D'Amato. Peek-a-Boo boxing utilizes relaxed hands with the forearms in front of the face and the fist at nose-eye level. Other unique features includes side to side head movements, bobbing, weaving and blind siding your opponent. The number system e.g. 3-2-3-Body-head-body or 3-3-2 Body-Body-head is drilled with a stationary dummy called the "Willie bag", named by Cus after boxer Willie Pastrano, until the fighter is able to punch rapid combinations with what D'Amato called "bad intentions." The theory behind the style is that when combined with effective bobbing and weaving head movement, the fighter has a very strong defense and becomes more elusive, able to throw hooks and uppercuts with great effectiveness. Also it allows swift neck movements as well quick duckings and bad returning damage, usually by rising uppercuts or even rising hooks. Since it is a defense designed for close range fighting, it is mainly used by in-fighters. Bobo Olson was the first known champion to use this as a defense. Crab Style guards include: Cross-armed guard (sometimes known as the armadillo) - the forearms are placed on top of each other horizontally in front of the face with the glove of one arm being on the top of the elbow of the other arm. This style is greatly varied when the back hand (right for an orthodox fighter and left for a southpaw) rises vertically. This style is the most effective for reducing head damage. The only head punch that a fighter is susceptible to is a jab to the top of the head. The body is open, but most fighters who use this style bend and lean to protect the body, but while upright and unaltered the body is there to be hit. This position is very difficult to counterpunch from, but virtually eliminates all head damage. Reverse cross-armed guard - The forearms can be placed on top of each other horizontally or diagonally in front of the face with the lead arm (left for an orthodox fighter and right for a southpaw) being on the top of the rear arm with lead glove over the rear shoulder. The position of the lead arm (left for an orthodox fighter and right for a southpaw) is greatly varied when it rises vertically. Philly Shell or Michigan Defense — This is a variation of the cross-arm. The lead arm (left for an orthodox fighter and right for a southpaw) is placed across the torso usually somewhere in between the belly button and chest and the lead hand rests on the opposite side of the fighter's torso. The back hand is placed on the side of the face (right side for orthodox fighters and left side for southpaws). The lead shoulder is brought in tight against the side of the face (left side for orthodox fighters and right side for southpaws). This style is used by fighters who like to counterpunch. To execute this guard a fighter must be very athletic and experienced. This style is so effective for counterpunching because it allows fighters to slip punches by rotating and dipping their upper body and causing blows to glance off the fighter. After the punch glances off, the fighter's back hand is in perfect position to hit their out-of-position opponent. The weakness to this style is that when a fighter is stationary and not rotating they are open to be hit so a fighter must be athletic and well conditioned to effectively execute this style. To beat this style, fighters like to jab their opponents shoulder causing the shoulder and arm to be in pain and to demobilize that arm. But if mastered and perfected it can be an effective way to play defense in the sport of boxing. Long guards also knows as Extended Guards include: Mummy Guard is a boxing stance where both arms are extended with slightly bent elbows and palms facing the opponent, while the chin is tucked and shoulders are raised for protection. This guard allows fighters to block their opponent's vision and smother jabs, particularly against Classic or Peek-a-boo guards, though it is less effective against low-hand styles like the Crab Guards. Taller fighters benefit from this stance as it discourages hooks and uppercuts, while shorter fighters can adjust by raising their shoulders and tucking elbows. However, the Mummy Guard limits power punches since strikes require retracting the arms first, telegraphing movements and leaving the lead side vulnerable. Additionally, opponents can exploit lateral movement to close the distance and land punches before the extended arms can react. Classic Long Guard - The is a hybrid guard that combines the extended lead arm of the mummy guard with the rear hand in a classic guard, typically positioned at a 90-degree angle near the face. Advantages include the lead hand controls distance, blocks vision, parries, traps hands, and frames. The rear hand remains ready for power punches and defends against hooks. Disadvantages include a weak passive defense against uppercuts and straights that bypass the lead arm. Powerful lead hooks and uppercuts are harder to throw since the arm must retract first, telegraphing the punch. It exposes the lead side of the body and allows opponents to gauge reach and distance easily. Dracula Guard - A hybrid boxing guard that combines elements of the extended lead arm of the Mummy guard and the rear hand in a Cross Guard positioned for defense. Named for its resemblance to Dracula hiding behind a cape, it uses the lead arm to block vision, control distance, parry, and trap hands, while the rear hand remains ready for power punches and defense. Advantages include that it is good for obscuring vision and setting up traps. Allows quick jabs and rear hand power punches. Protects against straight punches, hooks, and uppercuts. Disadvantages include it limits powerful lead hooks and uppercuts as it requires pulling the arm back first, telegraphing the strike. Exposes the lead side of the body and makes reach more predictable. Classic Guards or Basic Guards include: Traditional Guard - This guard involves bending both arms at 90 degrees or less, with the lead arm extended slightly away from the head and the rear fist held near the chin or jaw. This guard offers passive defense against hooks by using the gloves, forearms, and elbows to block, while the bent-arm position allows for powerful punches and better visibility. However, it leaves the centerline exposed, requiring quick reflexes and active defense, like parries, against straight punches and uppercuts, which can be difficult to master due to the need for specific blocking. The guard also limits close-range effectiveness and lateral movement, as the high hand position makes punches more predictable, and reliance on blocking with the hands can delay counterpunching opportunities. Conventional Guard - This guard involves holding both arms bent at 90 degrees or less, with the lead arm guarding the side of the head and the rear fist near the face or chin, offering passive defense against hooks by using gloves and elbows while enabling powerful punches due to the bent-arm position. It benefits fighters with slower reflexes by keeping hands closer for quicker blocks and parries but limits visibility and leaves the centerline exposed, requiring active defense against straight punches and uppercuts. It lacks redundant defense lines, relying heavily on hand blocks, which can delay counterpunches and make fighters vulnerable to hand traps, framing, and predictable punches. Mastering this guard demands high defensive specificity despite its initial ease of learning. High Guard - This guard involves bending both arms at 90 degrees or less, positioning the gloves in front of the face at eyebrow level, with hands resembling holding binoculars or making a heart shape, with raised shoulders to protect the jaw and elbows pressed together to block uppercuts. Its advantages include ease of learning, passive defense against straight punches, uppercuts, and hooks, and better power generation due to bent arms, while also protecting the centerline. However, it limits visibility, allows opponents to close distance more easily, and exposes the lower body to attacks, relying heavily on forearm blocking, which can cause cumulative damage. Additionally, it offers only one line of defense, makes counterpunching slower, and leaves fighters vulnerable to hand traps, framing, and split guards, though skilled boxers can bait opponents into counterattacks. Ring corner. In boxing, each fighter is given a corner of the ring where they rest in between rounds for one minute and where their trainers stand. Typically, three individuals stand in the corner besides the boxer; these are the trainer, the assistant trainer and the cutman. The trainer and assistant typically give advice to the boxer on what they are doing wrong as well as encouraging them if they are losing. The cutman is a cutaneous doctor responsible for keeping the boxer's face and eyes free of cuts, blood and excessive swelling. This is of particular importance because many fights are stopped because of cuts or swelling that threaten the boxer's eyes. In addition, the corner is responsible for stopping the fight if they feel their fighter is in grave danger of permanent injury. The corner will occasionally throw in a white towel to signify a boxer's surrender (the idiomatic phrase "to throw in the towel", meaning to give up, derives from this practice). This can be seen in the fight between Diego Corrales and Floyd Mayweather. In that fight, Corrales' corner surrendered despite Corrales' steadfast refusal. Health concerns. Participating in boxing causes physical injuries. Injuries to the head are most commonly experienced by participants. Deaths of boxers during or after a bout from injuries received in the ring do occur. A 2011 study of bouts from 1890 and 2011 calculated an average death rate of 13 participants per year, for the years studied. An Australian study from 2022 found that efforts passed to improve safety in the sport in 2011 were unsuccessful at preventing deaths of participants in the sport. Knocking a person unconscious or even causing a concussion may cause permanent brain damage. There is no clear division between the force required to knock a person out and the force likely to kill a person. Additionally, contact sports, especially combat sports, are directly related to a brain disease called chronic traumatic encephalopathy, abbreviated as CTE. This disease begins to develop during the life of the athlete, and continues to develop even after sports activity has ceased. In March 1981, neurosurgeon Fred Sonstein sought to use CAT scans in an attempt to track the degeneration of boxers' cognitive functions after seeing the decline of Bennie Briscoe. From 1980 to 2007, more than 200 amateur boxers, professional boxers and Toughman fighters died due to ring or training injuries. In 1983, editorials in the "Journal of the American Medical Association" called for a ban on boxing. The editor, George Lundberg, called boxing an "obscenity" that "should not be sanctioned by any civilized society". Since then, the British, Canadian and Australian Medical Associations have called for bans on boxing. Supporters of the ban state that boxing is the only sport where hurting the other athlete is the goal. Bill O'Neill, boxing spokesman for the British Medical Association, has supported the BMA's proposed ban on boxing: "It is the only sport where the intention is to inflict serious injury on your opponent, and we feel that we must have a total ban on boxing." Opponents respond that such a position is misguided opinion, stating that amateur boxing is scored solely according to total connecting blows with no award for "injury". They observe that many skilled professional boxers have had rewarding careers without inflicting injury on opponents by accumulating scoring blows and avoiding punches winning rounds scored 10–9 by the 10-point must system, and they note that there are many other sports where concussions are much more prevalent. However, the data shows that the concussion rate in boxing is the highest of all contact sports. In addition, repetitive and subconcussive blows to the head, and not just concussions, cause CTE, and the evidence indicates that brain damage and the effects of CTE are more severe in boxing. In 2007, one study of amateur boxers showed that protective headgear did not prevent brain damage, and another found that amateur boxers faced a high risk of brain damage. The Gothenburg study analyzed temporary levels of neurofilament light in cerebral spinal fluid which they conclude is evidence of damage, even though the levels soon subside. More comprehensive studies of neurological function on larger samples performed by Johns Hopkins University in 1994 and accident rates analyzed by National Safety Council in 2017 show amateur boxing is a comparatively safe sport due to the regulations of amateur boxing and a greater control of the athletes, although the studies did not focus on CTE or its long-term effects. In addition, a good training methodology and short career can reduce the effects of brain damage. In 1997, the American Association of Professional Ringside Physicians was established to create medical protocols through research and education to prevent injuries in boxing. Professional boxing is forbidden in Iceland, Iran and North Korea. It was banned in Sweden until 2007 when the ban was lifted but strict restrictions, including four three-minute rounds for fights, were imposed. Boxing was banned in Albania from 1965 until the fall of Communism in 1991. Norway legalized professional boxing in December 2014. The International Boxing Association (AIBA) restricted the use of head guards for senior males at the World Championships and Olympics after 2013. A literature review study analyses present knowledge about protecting headgear and injury prevention in boxing to determine if injury risks associated with not head guard usage increased. The research of the reviewed literature indicates that head guards cover well against lacerations and skull fractures. Therefore, AIBA's decision to terminate the head guard must be considered cautiously, and injury rates among (male) boxers should be continuously evaluated. Possible health benefits. Like other active and dynamic sports, boxing may be argued to provide some general health benefits, such as fat burning, increased muscle tone, strong bones and ligaments, cardiovascular fitness, muscular endurance, improved core stability, co-ordination and body awareness, strength and power, stress relief and self-esteem, though it's unlikely these offset the much greater risks. Boxing Halls of Fame. The sport of boxing has two internationally recognized boxing halls of fame; the International Boxing Hall of Fame (IBHOF) and the Boxing Hall of Fame Las Vegas. The latter opened in Las Vegas, Nevada in 2013 and was founded by Steve Lott, former assistant manager for Mike Tyson. The International Boxing Hall of Fame opened in Canastota, New York in 1989. The first inductees in 1990 included Jack Johnson, Benny Leonard, Jack Dempsey, Henry Armstrong, Sugar Ray Robinson, Archie Moore, and Muhammad Ali. Other world-class figures include Salvador Sanchez, Jose Napoles, Roberto "Manos de Piedra" Durán, Ricardo Lopez, Gabriel "Flash" Elorde, Vicente Saldivar, Ismael Laguna, Eusebio Pedroza, Carlos Monzón, Azumah Nelson, Rocky Marciano, Pipino Cuevas, Wilfred Benitez, Wilfredo Gomez, Felix Trinidad and Ken Buchanan. The Hall of Fame's induction ceremony is held every June as part of a four-day event. The fans who come to Canastota for the Induction Weekend are treated to a number of events, including scheduled autograph sessions, boxing exhibitions, a parade featuring past and present inductees, and the induction ceremony itself. The Boxing Hall of Fame Las Vegas features the $75 million ESPN Classic Sports fight film and tape library and radio broadcast collection. The collection includes the fights of many great champions, including: Muhammad Ali, Mike Tyson, George Foreman, Roberto Durán, Marvin Hagler, Jack Dempsey, Joe Louis, Joe Frazier, Rocky Marciano and Sugar Ray Robinson. It is this exclusive fight film library that will separate the Boxing Hall of Fame Las Vegas from the other halls of fame which do not have rights to any video of their sports. The inaugural inductees included Muhammad Ali, Henry Armstrong, Tony Canzoneri, Ezzard Charles, Julio César Chávez Sr., Jack Dempsey, Roberto Durán, Joe Louis, and Sugar Ray Robinson. Boxing rankings. There are various organization and websites, that rank boxers in both weight class and pound-for-pound manner.
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Hindi cinema
Hindi cinema, popularly known as Bollywood and formerly as Bombay cinema, is primarily produced in Mumbai. The popular term Bollywood is a portmanteau of "Bombay" (former name of Mumbai) and "Hollywood". The industry, producing films in the Hindi language, is a part of the larger Indian cinema industry, which also includes South Indian cinema and other smaller film industries. The term 'Bollywood', often mistakenly used to refer to Indian cinema as a whole, only refers to Hindi-language films, with Indian cinema being an umbrella term that includes all the film industries in the country, each offering films in diverse languages and styles. In 2017, Indian cinema produced 1,986 feature films, of which the largest number, 364, have been in Hindi. In 2022, Hindi cinema represented 33% of box office revenue, followed by Telugu and Tamil representing 20% and 16% respectively. Mumbai is one of the largest centres for film production in the world. Hindi films sold an estimated 341 million tickets in India in 2019. Earlier Hindi films tended to use vernacular Hindustani, mutually intelligible by speakers of either Hindi or Urdu, while modern Hindi productions increasingly incorporate elements of Hinglish. The most popular commercial genre in Hindi cinema since the 1970s has been the masala film, which freely mixes different genres including action, comedy, romance, drama and melodrama along with musical numbers. Masala films generally fall under the musical film genre, of which Indian cinema has been the largest producer since the 1960s when it exceeded the American film industry's total musical output after musical films declined in the West. The first Indian talkie, "Alam Ara" (1931), was produced in the Hindustani language, four years after Hollywood's first sound film, "The Jazz Singer" (1927). Alongside commercial masala films, a distinctive genre of art films known as parallel cinema has also existed, presenting realistic content and avoidance of musical numbers. In more recent years, the distinction between commercial masala and parallel cinema has been gradually blurring, with an increasing number of mainstream films adopting the conventions which were once strictly associated with parallel cinema. Etymology. "Bollywood" is a portmanteau derived from Bombay (the former name of Mumbai) and "Hollywood", a shorthand reference for the American film industry which is based in Hollywood, California. The term "Tollywood", for the Tollygunge-based cinema of West Bengal, predated "Bollywood". It was used in a 1932 "American Cinematographer" article by Wilford E. Deming, an American engineer who helped produce the first Indian sound picture. "Bollywood" was probably invented in Bombay-based film trade journals in the 1960s or 1970s, though the exact inventor varies by account. Film journalist Bevinda Collaco claims she coined the term for the title of her column in "Screen" magazine. Her column entitled "On the Bollywood Beat" covered studio news and celebrity gossip. Other sources state that lyricist, filmmaker and scholar Amit Khanna was its creator. It is unknown if it was derived from "Hollywood" through "Tollywood", or was inspired directly by "Hollywood". The term has been criticised by some film journalists and critics, who believe it implies that the industry is a poor cousin of Hollywood. History. Early history (1890s–1930s). In 1897, a film presentation by Professor Stevenson featured a stage show at Calcutta's Star Theatre. With Stevenson's encouragement and camera, Hiralal Sen, an Indian photographer, made a film of scenes from that show, "The Flower of Persia" (1898). "The Wrestlers" (1899) by H. S. Bhatavdekar showed a wrestling match at the Hanging Gardens in Bombay. Dadasaheb Phalke's silent film "Raja Harishchandra" (1913) is the first feature-length film made in India. The film, being silent, had English, Marathi, and Hindi-language intertitles. By the 1930s, the Indian film industry as a whole was producing over 200 films per year. The first Indian sound film, Ardeshir Irani's "Alam Ara" (1931), made in Hindustani language, was commercially successful. With a great demand for talkies and musicals, Hindustani cinema (as Hindi cinema was then known as) and the other language film industries quickly switched to sound films. Challenges and market expansion (1930s–1940s). The 1930s and 1940s were tumultuous times; India was buffeted by the Great Depression, World War II, the Indian independence movement, and the violence of the Partition. Although most early Bombay films were unabashedly escapist, a number of filmmakers tackled tough social issues or used the struggle for Indian independence as a backdrop for their films. Irani made the first Hindi colour film, "Kisan Kanya", in 1937. The following year, he made a colour version of "Mother India". However, colour did not become a popular feature until the late 1950s. At this time, lavish romantic musicals and melodramas were cinematic staples. The decade of the 1940s saw an expansion of Bombay cinema's commercial market and its presence in the national consciousness. The year 1943 saw the arrival of Indian cinema's first 'blockbuster' offering, the movie "Kismet", which grossed in excess of the important barrier of one crore (10 million) rupees, made on a budget of only two lakh (200,000) rupees. The film tackled contemporary issues, especially those arising from the Indian Independence movement, and went on to become "the longest running hit of Indian cinema", a title it held till the 1970s. Film personalities like Bimal Roy, Sahir Ludhianvi and Prithviraj Kapoor participated in the creation of a national movement against colonial rule in India, while simultaneously leveraging the popular political movement to increase their own visibility and popularity. Themes from the Independence Movement deeply influenced Bombay film directors, screen-play writers, and lyricists, who saw their films in the context of social reform and the problems of the common people. Before the Partition, the Bombay film industry was closely linked to the Lahore film industry (known as "Lollywood"; now part of the Pakistani film industry); both produced films in Hindustani (also known as Hindi-Urdu), the "lingua franca" of northern and central India. Another centre of Hindustani-language film production was the Bengal film industry in Calcutta, Bengal Presidency (now Kolkata, West Bengal), which produced Hindustani-language films and local Bengali language films. Many actors, filmmakers and musicians from the Lahore industry migrated to the Bombay industry during the 1940s, including actors K. L. Saigal, Prithviraj Kapoor, Dilip Kumar and Dev Anand as well as playback singers Mohammed Rafi, Noorjahan and Shamshad Begum. Around the same time, filmmakers and actors from the Calcutta film industry began migrating to Bombay; as a result, Bombay became the center of Hindustani-language film production. The 1947 partition of India divided the country into the Republic of India and Pakistan, which precipitated the migration of filmmaking talent from film production centres like Lahore and Calcutta, which bore the brunt of the partition violence. This included actors, filmmakers and musicians from Bengal, Punjab (particularly the present-day Pakistani Punjab), and the North-West Frontier Province (present-day Khyber Pakhtunkhwa). These events further consolidated the Bombay film industry's position as the preeminent center for film production in India. Golden age (late 1940s–1960s). The period from the late 1940s to the early 1960s, after India's independence, is regarded by film historians as the Golden Age of Hindi cinema. Some of the most critically acclaimed Hindi films of all time were produced during this time. Examples include "Pyaasa" (1957) and "Kaagaz Ke Phool" (1959), directed by Guru Dutt; "Awaara" (1951) and "Shree 420" (1955), directed by Raj Kapoor, and "Aan" (1952), directed by Mehboob Khan and starring Dilip Kumar. The films explored social themes, primarily dealing with working-class life in India (particularly urban life) in the first two examples. "Awaara" presented the city as both nightmare and dream, and "Pyaasa" critiqued the unreality of urban life. Guru Dutt was lauded for his artistry, notably his usage of close-up shots, lighting, and depictions of melancholia. He directed a total of Hindi films, several of which have gained a cult following internationally. This includes "Pyaasa" (1957), which made its way onto "Time" magazine's 100 Greatest Movies list, as well as "Kaagaz Ke Phool" (1959), all of which are frequently listed among the greatest films in Hindi cinema. He was included among CNN's "Top 25 Asian Actors" in 2012. Mehboob Khan's "Mother India" (1957), a remake of his earlier "Aurat" (1940), was the first Indian film nominated for the Academy Award for Best Foreign Language Film; it lost by a single vote. "Mother India" defined conventional Hindi cinema for decades. It spawned a genre of dacoit films, in turn defined by "Gunga Jumna" (1961). Written and produced by Dilip Kumar, "Gunga Jumna" was a dacoit crime drama about two brothers on opposite sides of the law (a theme which became common in Indian films during the 1970s). Some of the best-known epic films of Hindi cinema were also produced at this time, such as K. Asif's "Mughal-e-Azam" (1960). Other acclaimed mainstream Hindi filmmakers during this period included Kamal Amrohi and Vijay Bhatt. The three most popular male Indian actors of the 1950s and 1960s were Dilip Kumar, Raj Kapoor, and Dev Anand, each with a unique acting style. Kapoor adopted Charlie Chaplin's tramp persona; Anand modeled himself on suave Hollywood stars like Gregory Peck and Cary Grant, and Kumar pioneered a form of method acting which predated Hollywood method actors such as Marlon Brando. Kumar, who was described as "the ultimate method actor" by Satyajit Ray, inspired future generations of Indian actors. Much like Brando's influence on Robert De Niro and Al Pacino, Kumar had a similar influence on Amitabh Bachchan, Naseeruddin Shah, Shah Rukh Khan and Nawazuddin Siddiqui. Veteran actresses such as Suraiya, Nargis, Sumitra Devi, Vyjayanthimala, Madhubala, Meena Kumari, Waheeda Rehman, Nutan, Sadhana and Mala Sinha have had their share of influence on Hindi cinema. While commercial Hindi cinema was thriving, the 1950s also saw the emergence of a parallel cinema movement. Although the movement (emphasising social realism) was led by Bengali cinema, it also began gaining prominence in Hindi cinema. Early examples of parallel cinema include (1946), directed by Khwaja Ahmad Abbas and based on the Bengal famine of 1943, (1946) directed by Chetan Anand and written by Khwaja Ahmad Abbas, and Bimal Roy's "Do Bigha Zamin" (1953). Their critical acclaim and the latter's commercial success paved the way for Indian neorealism and the Indian New Wave (synonymous with parallel cinema). Internationally acclaimed Hindi filmmakers involved in the movement included Mani Kaul, Kumar Shahani, Ketan Mehta, Govind Nihalani, Shyam Benegal, and Vijaya Mehta. After the social-realist film received the Palme d'Or at the inaugural 1946 Cannes Film Festival, Hindi films were frequently in competition for Cannes' top prize during the 1950s and early 1960s and some won major prizes at the festival. Guru Dutt, overlooked during his lifetime, received belated international recognition during the 1980s. Film critics polled by the British magazine "Sight & Sound" included several of Dutt's films in a 2002 list of greatest films, and Time's All-Time 100 Movies lists "Pyaasa" as one of the greatest films of all time. During the late 1960s and early 1970s, the industry was dominated by musical romance films with romantic-hero leads. Classic Hindi cinema (1970s–1980s). By 1970, Hindi cinema was thematically stagnant and dominated by musical romance films. The arrival of screenwriting duo Salim–Javed (Salim Khan and Javed Akhtar) was a paradigm shift, revitalising the industry. They began the genre of gritty, violent, Bombay underworld crime films early in the decade with films such as "Zanjeer" (1973) and "Deewaar" (1975). Salim-Javed reinterpreted the rural themes of Mehboob Khan's "Mother India" (1957) and Dilip Kumar's "Gunga Jumna" (1961) in a contemporary urban context, reflecting the socio-economic and socio-political climate of 1970s India and channeling mass discontent, disillusionment and the unprecedented growth of slums with anti-establishment themes and those involving urban poverty, corruption and crime. Their "angry young man", personified by Amitabh Bachchan, reinterpreted Dilip Kumar's performance in "Gunga Jumna" in a contemporary urban context and anguished urban poor. By the mid-1970s, romantic confections had given way to gritty, violent crime films and action films about gangsters (the Bombay underworld) and bandits (dacoits). Salim-Javed's writing and Amitabh Bachchan's acting popularised the trend with films such as "Zanjeer" and (particularly) "Deewaar", a crime film inspired by "Gunga Jumna" which pitted "a policeman against his brother, a gang leader based on real-life smuggler Haji Mastan" (Bachchan); according to Danny Boyle, "Deewaar" was "absolutely key to Indian cinema". In addition to Bachchan, several other actors followed by riding the crest of the trend (which lasted into the early 1990s). Actresses from the era include Hema Malini, Jaya Bachchan, Raakhee, Shabana Azmi, Zeenat Aman, Parveen Babi, Rekha, Dimple Kapadia, Smita Patil, Jaya Prada and Padmini Kolhapure. The name "Bollywood" was coined during the 1970s, when the conventions of commercial Hindi films were defined. Key to this was the masala film, which combines a number of genres (action, comedy, romance, drama, melodrama, and musical). The masala film was pioneered early in the decade by filmmaker Nasir Hussain, and the Salim-Javed screenwriting duo, pioneering the Bollywood-blockbuster format. "Yaadon Ki Baarat" (1973), directed by Hussain and written by Salim-Javed, has been identified as the first masala film and the first quintessentially "Bollywood" film. Salim-Javed wrote more successful masala films during the 1970s and 1980s. Masala films made Amitabh Bachchan the biggest star of the period. A landmark of the genre was "Amar Akbar Anthony" (1977), directed by Manmohan Desai and written by Kader Khan. Desai was considered the pioneer of making Masala films in the 1970's. Both genres (masala and violent-crime films) are represented by the blockbuster "Sholay" (1975), written by Salim-Javed and starring Dharmendra and Amitabh Bachchan. It combined the dacoit film conventions of "Mother India" and "Gunga Jumna" with spaghetti Westerns, spawning the Dacoit Western (also known as the curry Western) which was popular during the 1970s. Some Hindi filmmakers, such as Shyam Benegal, Mani Kaul, Kumar Shahani, Ketan Mehta, Govind Nihalani and Vijaya Mehta, continued to produce realistic parallel cinema throughout the 1970s. Although the art film bent of the Film Finance Corporation was criticised during a 1976 Committee on Public Undertakings investigation which accused the corporation of not doing enough to encourage commercial cinema, the decade saw the rise of commercial cinema with films such as "Sholay" (1975) which consolidated Amitabh Bachchan's position as a star. The devotional classic "Jai Santoshi Ma" was also released that year. By 1983, the Bombay film industry was generating an estimated annual revenue of ( 7 billion, ), equivalent to (, 111.33 billion) when adjusted for inflation. By 1986, India's annual film output had increased from 741 films produced annually to 833 films annually, making India the world's largest film producer. The most internationally acclaimed Hindi film of the 1980s was Mira Nair's "Salaam Bombay!" (1988), which won the Camera d'Or at the 1988 Cannes Film Festival and was nominated for the Academy Award for Best Foreign Language Film. New Hindi cinema (1990s onwards). Hindi cinema experienced another period of box-office decline during the late 1980s with due to concerns by audiences over increasing violence and a decline in musical quality, and a rise in video piracy. One of the turning points came with such films as "Qayamat Se Qayamat Tak" (1988), presenting a blend of youthfulness, family entertainment, emotional intelligence and strong melodies, all of which lured audiences back to the big screen. It brought back the template for Bollywood musical romance films which went on to define 1990s Hindi cinema. Known since the 1990s as "New Bollywood", contemporary Bollywood is linked to economic liberalization in India during the early 1990s. Early in the decade, the pendulum swung back toward family-centered romantic musicals, introducing a new generation of popular actors, including Aamir Khan, Ajay Devgan, Akshay Kumar, Shah Rukh Khan, and Salman Khan, who have starred in some of the most of the highest-grossing Bollywood films between 1990's and 2010's. The 1990's also marked the entrance of new performers in art and independent films, some of which were commercially successful. The most influential example was "Satya" (1998), directed by Ram Gopal Varma and written by Anurag Kashyap. Its critical and commercial success led to the emergence of a genre known as Mumbai noir: urban films reflecting the city's social problems. This led to a resurgence of parallel cinema by the end of the decade. The films featured actors whose performances were often praised by critics. The 2000s saw increased Bollywood recognition worldwide due to growing (and prospering) NRI and South Asian diaspora communities overseas. Aditya Chopra and Karan Johar are considered to have started the "NRI phase" in Hindi cinema, which catered to the overseas population of Indians. The growth of the Indian economy and a demand for quality entertainment in this era led the country's film industry to new heights in production values, cinematography and screenwriting as well as technical advances in areas such as special effects and animation. Some of the largest production houses, among them Yash Raj Films and Dharma Productions were the producers of new modern films. Some popular films of the decade were "Kaho Naa... Pyaar Hai" (2000), "Kabhi Khushi Kabhie Gham..." (2001), "" (2001), "Lagaan" (2001), "Koi... Mil Gaya" (2003), "Kal Ho Naa Ho" (2003), "Munnabhai M.B.B.S." (2003), "Veer-Zaara" (2004), "Rang De Basanti" (2006), "Lage Raho Munna Bhai" (2006), "Dhoom 2" (2006), "Krrish" (2006), and "Jab We Met" (2007), among others, showing the rise of new movie stars. During the 2010s, the industry saw established stars such as making big-budget masala films like "Dabangg" (2010), "Singham" (2011)"," "Ek Tha Tiger" (2012), "Son of Sardaar" (2012), "Rowdy Rathore" (2012), "Chennai Express" (2013), "Kick" (2014) and "Happy New Year" (2014) with much-younger actresses. Although the films were often not praised by critics, they were commercially successful. Most stars from the 2000s continued successful careers into the next decade, and the 2010s saw a new generation of popular actors in different films. Among new conventions, female-centred films such as "The Dirty Picture" (2011), "Kahaani" (2012), and "Queen" (2014), "Pink" (2016), "Raazi" (2018), "Gangubai Kathiawadi" (2022) and "Crew" started gaining wide financial success. Influences on Hindi cinema. Moti Gokulsing and Wimal Dissanayake identify six major influences which have shaped Indian popular cinema: Sharmistha Gooptu identifies Indo-Persian-Islamic culture as a major influence. During the early 20th century, Urdu was the lingua franca of popular cultural performance across northern India and established in popular performance art traditions such as nautch dancing, Urdu poetry, and Parsi theater. Urdu and related Hindi dialects were the most widely understood across northern India, and Hindustani became the standard language of early Indian talkies. Films based on "Persianate adventure-romances" led to a popular genre of ""Arabian Nights" cinema". Scholars Chaudhuri Diptakirti and Rachel Dwyer and screenwriter Javed Akhtar identify Urdu literature as a major influence on Hindi cinema. Most of the screenwriters and scriptwriters of classic Hindi cinema came from Urdu literary backgrounds, from Khwaja Ahmad Abbas and Akhtar ul Iman to Salim–Javed and Rahi Masoom Raza; a handful came from other Indian literary traditions, such as Bengali and Hindi literature. Most of Hindi cinema's classic scriptwriters wrote primarily in Urdu, including Salim-Javed, Gulzar, Rajinder Singh Bedi, Inder Raj Anand, Rahi Masoom Raza and Wajahat Mirza. Urdu poetry and the ghazal tradition strongly influenced filmi (Bollywood lyrics). Javed Akhtar was also greatly influenced by Urdu novels by Pakistani author Ibn-e-Safi, such as the "Jasoosi Dunya" and "Imran" series of detective novels; they inspired, for example, famous Bollywood characters such as Gabbar Singh in "Sholay" (1975) and Mogambo in "Mr. India" (1987). Todd Stadtman identifies several foreign influences on 1970s commercial Bollywood masala films, including New Hollywood, Italian exploitation films, and Hong Kong martial arts cinema. After the success of Bruce Lee films (such as "Enter the Dragon") in India, "Deewaar" (1975) and other Bollywood films incorporated fight scenes inspired by 1970s martial arts films from Hong Kong cinema until the 1990s. Bollywood action scenes emulated Hong Kong rather than Hollywood, emphasising acrobatics and stunts and combining kung fu (as perceived by Indians) with Indian martial arts such as pehlwani. Influence of Hindi cinema. India. Perhaps Hindi cinema's greatest influence has been on India's national identity, where (with the rest of Indian cinema) it has become part of the "Indian story". In India, Bollywood is often associated with India's national identity. According to economist and Bollywood biographer Meghnad Desai, "Cinema actually has been the most vibrant medium for telling India its own story, the story of its struggle for independence, its constant struggle to achieve national integration and to emerge as a global presence". Scholar Brigitte Schulze has written that Indian films, most notably Mehboob Khan's "Mother India" (1957), played a key role in shaping the Republic of India's national identity in the early years after independence from the British Raj; the film conveyed a sense of Indian nationalism to urban and rural citizens alike. Bollywood has long influenced Indian society and culture as the biggest entertainment industry; many of the country's musical, dancing, wedding and fashion trends are Bollywood-inspired. Bollywood fashion trendsetters have included Madhubala in "Mughal-e-Azam" (1960) and Madhuri Dixit in "Hum Aapke Hain Koun..!" (1994). Hindi films have also had a socio-political impact on Indian society, reflecting Indian politics. In classic 1970s Bollywood films, Bombay underworld crime films written by Salim–Javed and starring Amitabh Bachchan such as "Zanjeer" (1973) and "Deewaar" (1975) reflected the socio-economic and socio-political realities of contemporary India. They channeled growing popular discontent and disillusionment and state failure to ensure welfare and well-being at a time of inflation, shortages, loss of confidence in public institutions, increasing crime and the unprecedented growth of slums. Salim-Javed and Bachchan's films dealt with urban poverty, corruption and organised crime; they were perceived by audiences as anti-establishment, often with an "angry young man" protagonist presented as a vigilante or anti-hero whose suppressed rage voiced the anguish of the urban poor. Overseas. Hindi films have been a significant form of soft power for India, increasing its influence and changing overseas perceptions of India. In Germany, Indian stereotypes included bullock carts, beggars, sacred cows, corrupt politicians, and catastrophes before Bollywood and the IT industry transformed global perceptions of India. According to author Roopa Swaminathan, "Bollywood cinema is one of the strongest global cultural ambassadors of a new India." Its role in expanding India's global influence is comparable to Hollywood's similar role with American influence. Monroe Township, Middlesex County, New Jersey, in the New York metropolitan area, has been profoundly impacted by Bollywood; this U.S. township has displayed one of the fastest growth rates of its Indian population in the Western Hemisphere, increasing from 256 (0.9%) as of the 2000 Census to an estimated 5,943 (13.6%) as of 2017, representing a 2,221.5% (a multiple of 23) numerical increase over that period, including many affluent professionals and senior citizens as well as charitable benefactors to the COVID-19 relief efforts in India in official coordination with Monroe Township, as well as actors with second homes. During the 2000s, Hindi cinema began influencing musical films in the Western world and was instrumental role in reviving the American musical film. Baz Luhrmann said that his musical film, "Moulin Rouge!" (2001), was inspired by Bollywood musicals; the film incorporated a Bollywood-style dance scene with a song from the film "China Gate". The critical and financial success of "Moulin Rouge!" began a renaissance of Western musical films such as "Chicago", "Rent", and "Dreamgirls". Indian film composer A. R. Rahman wrote the music for Andrew Lloyd Webber's "Bombay Dreams", and a musical version of "Hum Aapke Hain Koun" was staged in London's West End. The sports film "Lagaan" (2001) was nominated for the Academy Award for Best Foreign Language Film, and two other Hindi films (2002's "Devdas" and 2006's "Rang De Basanti") were nominated for the BAFTA Award for Best Film Not in the English Language. Danny Boyle's "Slumdog Millionaire" (2008), which won four Golden Globes and eight Academy Awards, was inspired by mainstream Hindi films and is considered an "homage to Hindi commercial cinema". It was also inspired by Mumbai-underworld crime films, such as "Deewaar" (1975), "Satya" (1998), "Company" (2002) and "Black Friday" (2007). "Deewaar" had a Hong Kong remake, "The Brothers" (1979), which inspired John Woo's internationally acclaimed breakthrough "A Better Tomorrow" (1986); the latter was a template for Hong Kong action cinema's heroic bloodshed genre. "Angry young man" 1970s epics such as "Deewaar" and "Amar Akbar Anthony" (1977) also resemble the heroic-bloodshed genre of 1980s Hong Kong action cinema. The influence of "filmi" may be seen in popular music worldwide. Technopop pioneers Haruomi Hosono and Ryuichi Sakamoto of the Yellow Magic Orchestra produced a 1978 electronic album, "Cochin Moon", based on an experimental fusion of electronic music and Bollywood-inspired Indian music. Truth Hurts' 2002 song "Addictive", produced by DJ Quik and Dr. Dre, was lifted from Lata Mangeshkar's "Thoda Resham Lagta Hai" in "Jyoti" (1981). The Black Eyed Peas' Grammy Award winning 2005 song "Don't Phunk with My Heart" was inspired by two 1970s Bollywood songs: "Ye Mera Dil Yaar Ka Diwana" from "Don" (1978) and "Ae Nujawan Hai Sub" from "Apradh" (1972). Both songs were composed by Kalyanji Anandji, sung by Asha Bhosle, and featured the dancer Helen. The Kronos Quartet re-recorded several R. D. Burman compositions sung by Asha Bhosle for their 2005 album, "You've Stolen My Heart: Songs from R.D. Burman's Bollywood", which was nominated for Best Contemporary World Music Album at the 2006 Grammy Awards. "Filmi" music composed by A. R. Rahman (who received two Academy Awards for the "Slumdog Millionaire" soundtrack) has frequently been sampled by other musicians, including the Singaporean artist Kelly Poon, the French rap group La Caution and the American artist Ciara. Many Asian Underground artists, particularly those among the overseas Indian diaspora, have also been inspired by Bollywood music. Genres. Hindi films are primarily musicals, and are expected to have catchy song-and-dance numbers woven into the script. A film's success often depends on the quality of such musical numbers. A film's music, song, and dance portions are usually produced first, and these are often released before the film itself, increasing its audience. Indian audiences expect value for money, and a good film is generally referred to as "paisa vasool" (literally, "money's worth"). Songs, dances, love triangles, comedy and dare-devil thrills are combined in a three-hour show (with an intermission). These are called "masala films", after the Hindi word for a spice mixture. Like "masalas", they are a mixture of action, comedy, and romance; most have heroes who can fight off villains single-handedly. Bollywood plots have tended to be melodramatic, frequently using formulaic ingredients such as star-crossed lovers, angry parents, love triangles, family ties, sacrifice, political corruption, kidnapping, villains, kind-hearted courtesans, long-lost relatives and siblings, reversals of fortune and serendipity. Parallel cinema films tended to be less popular at the box office. A large Indian diaspora in English-speaking countries and increased Western influence in India have nudged Bollywood films closer to Hollywood. According to film critic Lata Khubchandani, "Our earliest films ... had liberal doses of sex and kissing scenes in them. Strangely, it was after Independence [that] the censor board came into being and so did all the strictures." Although Bollywood plots feature Westernised urbanites dating and dancing in clubs rather than pre-arranged marriages, traditional Indian culture continues to exist outside the industry and is an element of resistance by some to Western influences. Bollywood plays a major role, however, in Indian fashion. Studies have indicated that some people, unaware that changing fashion in Bollywood films is often influenced by globalisation, consider the clothes worn by Bollywood actors as authentically Indian. Scripts, dialogues, and lyrics. Film scripts (known as dialogues in Indian English) and their song lyrics are often written by different people. Earlier, scripts were usually written in an unadorned Hindustani, which would be understood by the largest possible audience. Post-Independence, Hindi films tended to use a colloquial register of Hindustani, mutually intelligible by Hindi and Urdu speakers, but the use of the latter has declined over years. Some films have used regional dialects to evoke a village setting, or archaic Urdu in medieval historical films. A number of the dominant early scriptwriters of Hindi cinema primarily wrote in Urdu; Salim-Javed wrote in Urdu script, which was then transcribed by an assistant into Devanagari script so Hindi readers could read them. During the 1970s, Urdu writers Krishan Chander and Ismat Chughtai said that "more than seventy-five per cent of films are made in Urdu" but were categorised as Hindi films by the government. "Encyclopedia of Hindi Cinema" noted a number of top Urdu writers for preserving the language through film. Urdu poetry has strongly influenced Hindi film songs, whose lyrics also draw from the ghazal tradition (filmi-ghazal). According to Javed Akhtar in 1996, despite the loss of Urdu in Indian society, Urdu diction dominated Hindi film dialogue and lyrics. In her book, "The Cinematic ImagiNation", Jyotika Virdi wrote about the presence and decline of Urdu in Hindi films. Virdi notes that although Urdu was widely used in classic Hindi cinema decades after partition because it was widely taught in pre-partition India, its use has declined in modern Hindi cinema: "The extent of Urdu used in commercial Hindi cinema has not been stable ... the ultimate victory of Hindi in the official sphere has been more or less complete. This decline of Urdu is mirrored in Hindi films ... It is true that many Urdu words have survived and have become part of Hindi cinema's popular vocabulary. But that is as far as it goes. The fact is, for the most part, popular Hindi cinema has forsaken the florid Urdu that was part of its extravagance and retained a 'residual' Urdu, affected by an aggressive state policy that promoted a Sanskritized version of Hindi as the national language." Contemporary mainstream films also use English, with the authors of an October 2005 "South Asian Popular Culture" article writing, "English has begun to challenge the ideological work done by Urdu." Some film scripts are first written in Latin script. Characters may shift between languages to evoke a particular atmosphere (for example, English in a business setting and Hindi in an informal one). The blend of Hindi and English sometimes heard in modern Hindi films, known as Hinglish, has become increasingly common. Before and following the turn of the millennium, cinematic language (in dialogues or lyrics) would often be melodramatic, invoking God, family, mother, duty, and self-sacrifice. Song lyrics are often about love and, especially in older films, frequently used the poetic vocabulary of court Urdu, with a number of Persian loanwords. Another source for love lyrics in films such as "Jhanak Jhanak Payal Baje" and "Lagaan" is the long Hindu tradition of poetry about the loves of Krishna, Radha, and the "gopi"s. Music directors often prefer working with certain lyricists, and the lyricist and composer may be seen as a team. This phenomenon has been compared to the pairs of American composers and songwriters who created classic Broadway musicals. Before 2008, Bollywood scripts were often handwritten because, in the industry, there is a perception that manual writing is the quickest way to create scripts. Sound. Sound in early Bollywood films was usually not recorded on location (sync sound). It was usually created (or re-created) in the studio, with the actors speaking their lines in the studio and sound effects added later; this created synchronisation problems. Commercial Indian films are known for their lack of ambient sound, and the Arriflex 3 camera necessitated dubbing. "Lagaan" (2001) was filmed with sync sound, and several Bollywood films have recorded on-location sound since then. Female makeup artists. In 1955, the Bollywood Cine Costume Make-Up Artist & Hair Dressers' Association (CCMAA) ruled that female makeup artists were barred from membership. The Supreme Court of India ruled in 2014 that the ban violated Indian constitutional guarantees under Article 14 (right to equality), 19(1)(g) (freedom to work) and Article 21 (right to liberty). According to the court, the ban had no "rationale nexus" to the cause sought to be achieved and was "unacceptable, impermissible and inconsistent" with the constitutional rights guaranteed to India's citizens. The court also found illegal the rule which mandated that for any artist to work in the industry, they must have lived for five years in the state where they intend to work. In 2015, it was announced that Charu Khurana was the first woman registered by the Cine Costume Make-Up Artist & Hair Dressers' Association. Song and dance. Bollywood film music is called "filmi" (from the Hindi "of films"). Bollywood songs were introduced with Ardeshir Irani's "Alam Ara" (1931) song, "De De Khuda Ke Naam pay pyaare". Bollywood songs are generally pre-recorded by professional playback singers, with the actors then lip syncing the words to the song on-screen (often while dancing). Although most actors are good dancers, few are also singers; a notable exception was Kishore Kumar, who starred in several major films during the 1950s while having a rewarding career as a playback singer. K. L. Saigal, Suraiyya, and Noor Jehan were known as singers and actors, and some actors in the last thirty years have sung one or more songs themselves. Songs can make and break a film, determining whether it will be a flop or a hit: "Few films without successful musical tracks, and even fewer without any songs and dances, succeed". Globalization has changed Bollywood music, with lyrics an increasing mix of Hindi and English. Global trends such as salsa, pop and hip hop have influenced the music heard in Bollywood films. Playback singers are featured in the opening credits, and have fans who will see an otherwise-lackluster film to hear their favourites. Notable singers are Lata Mangeshkar, Asha Bhosle, Geeta Dutt, Shamshad Begum, Kavita Krishnamurthy, Sadhana Sargam, Alka Yagnik and Shreya Goshal (female), and K. L. Saigal, Kishore Kumar, Talat Mahmood, Mukesh, Mohammed Rafi, Manna Dey, Hemant Kumar, Kumar Sanu, Udit Narayan and Sonu Nigam (male). Composers of film music, known as music directors, are also well-known. Remixing of film songs with modern rhythms is common, and producers may release remixed versions of some of their films' songs with the films' soundtrack albums. Dancing in Bollywood films, especially older films, is modeled on Indian dance: classical dance, dances of north-Indian courtesans (tawaif) or folk dances. In modern films, Indian dance blends with Western dance styles as seen on MTV or in Broadway musicals; Western pop and classical-dance numbers are commonly seen side-by-side in the same film. The hero (or heroine) often performs with a troupe of supporting dancers. Many song-and-dance routines in Indian films contain unrealistically-quick shifts of location or changes of costume between verses of a song. If the hero and heroine dance and sing a duet, it is often staged in natural surroundings or architecturally-grand settings. Songs typically comment on the action taking place in the film. A song may be worked into the plot, so a character has a reason to sing. It may externalise a character's thoughts, or presage an event in the film (such as two characters falling in love). The songs are often referred to as a "dream sequence", with things happening which would not normally happen in the real world. Song and dance scenes were often filmed in Kashmir but, due to political unrest in Kashmir since the end of the 1980s, they have been shot in western Europe (particularly Switzerland and Austria). Contemporary movie stars attracted popularity as dancers, including Madhuri Dixit, Hrithik Roshan, Aishwarya Rai Bachchan, Sridevi, Meenakshi Seshadri, Malaika Arora Khan, Shahid Kapoor, Katrina Kaif and Tiger Shroff. Older dancers include Helen (known for her cabaret numbers), Madhubala, Vyjanthimala, Padmini, Hema Malini, Mumtaz, Cuckoo Moray, Parveen Babi , Waheeda Rahman, Meena Kumari, and Shammi Kapoor. Film producers have been releasing soundtracks (as tapes or CDs) before a film's release, hoping that the music will attract audiences; a soundtrack is often more popular than its film. Some producers also release music videos, usually (but not always) with a song from the film. Finances. Bollywood films are multi-million dollar productions, with the most expensive productions costing up to 1 billion (about US$20 million). The science-fiction film "Ra.One" was made on a budget of 1.35 billion (about $27 million), making it the most expensive Bollywood film of all time. Sets, costumes, special effects and cinematography were less than world-class, with some notable exceptions, until the mid-to-late 1990s. As Western films and television are more widely distributed in India, there is increased pressure for Bollywood films to reach the same production levels (particularly in action and special effects). Recent Bollywood films, like "Krrish" (2006), have employed international technicians such as Hong Kong-based action choreographer Tony Ching. The increasing accessibility of professional action and special effects, coupled with rising film budgets, have seen an increase in action and science-fiction films. Since overseas scenes are attractive at the box office, Mumbai film crews are filming in Australia, Canada, New Zealand, the United Kingdom, the United States, Europe and elsewhere. Indian producers have also obtained funding for big-budget films shot in India, such as "Lagaan" and "Devdas". Funding for Bollywood films often comes from private distributors and a few large studios. Although Indian banks and financial institutions had been forbidden from lending to film studios, the ban has been lifted. Finances are not regulated; some funding comes from illegitimate sources such as the Mumbai underworld, which is known to influence several prominent film personalities. Mumbai organised-crime hitmen shot Rakesh Roshan, a film director and father of star Hrithik Roshan, in January 2000. In 2001, the Central Bureau of Investigation seized all prints of "Chori Chori Chupke Chupke" after the film was found to be funded by members of the Mumbai underworld. Another problem facing Bollywood is widespread copyright infringement of its films. Often, bootleg DVD copies of movies are available before they are released in cinemas. Manufacturing of bootleg DVD, VCD, and VHS copies of the latest movie titles is an established small-scale industry in parts of south and southeast Asia. The Federation of Indian Chambers of Commerce and Industry (FICCI) estimates that the Bollywood industry loses $100 million annually from unlicensed home videos and DVDs. In addition to the homegrown market, demand for these copies is large amongst portions of the Indian diaspora. Bootleg copies are the only way people in Pakistan can watch Bollywood movies, since the Pakistani government has banned their sale, distribution and telecast. Films are frequently broadcast without compensation by small cable-TV companies in India and other parts of South Asia. Small convenience stores, run by members of the Indian diaspora in the US and the UK, regularly stock tapes and DVDs of dubious provenance; consumer copying adds to the problem. The availability of illegal copies of movies on the Internet also contributes to industry losses. Satellite TV, television and imported foreign films are making inroads into the domestic Indian entertainment market. In the past, most Bollywood films could make money; now, fewer do. Most Bollywood producers make money, however, recouping their investments from many sources of revenue (including the sale of ancillary rights). There are increasing returns from theatres in Western countries like the United Kingdom, Canada, and the United States, where Bollywood is slowly being noticed. As more Indians migrate to these countries, they form a growing market for upscale Indian films. In 2002, Bollywood sold 3.6 billion tickets and had a total revenue (including theatre tickets, DVDs and television) of $1.3 billion; Hollywood films sold 2.6 billion tickets, and had a total revenue of $51 billion. Advertising. A number of Indian artists hand-painted movie billboards and posters. M. F. Husain painted film posters early in his career; human labour was found to be cheaper than printing and distributing publicity material. Most of the large, ubiquitous billboards in India's major cities are now created with computer-printed vinyl. Old hand-painted posters, once considered ephemera, are collectible folk art. Releasing film music, or music videos, before a film's release may be considered a form of advertising. A popular tune is believed to help attract audiences. Bollywood publicists use the Internet as a venue for advertising. Most bigger-budget films have a websites on which audiences can view trailers, stills and information on the story, cast, and crew. Bollywood is also used to advertise other products. Product placement, used in Hollywood, is also common in Bollywood. International filming. Bollywood's increasing use of international settings such as Switzerland, London, Paris, New York, Mexico, Brazil and Singapore does not necessarily represent the people and cultures of those locales. Contrary to these spaces and geographies being filmed as they are, they are actually Indianised by adding Bollywood actors and Hindi speaking extras to them. While immersing in Bollywood films, viewers get to see their local experiences duplicated in different locations around the world. According to Shakuntala Rao, "Media representation can depict India's shifting relation with the world economy, but must retain its 'Indianness' in moments of dynamic hybridity"; "Indianness" (cultural identity) poses a problem with Bollywood's popularity among varied diaspora audiences, but gives its domestic audience a sense of uniqueness from other immigrant groups. Awards. The Filmfare Awards are some of the most prominent awards given to Hindi films in India. The Indian screen magazine "Filmfare" began the awards in 1954 (recognising the best films of 1953), and they were originally known as the Clare Awards after the magazine's editor. Modeled on the Academy of Motion Picture Arts and Sciences' poll-based merit format, individuals may vote in separate categories. A dual voting system was developed in 1956. The National Film Awards were also introduced in 1954. The Indian government has sponsored the awards, given by its Directorate of Film Festivals (DFF), since 1973. The DFF screens Bollywood films, films from the other regional movie industries, and independent/art films. The awards are made at an annual ceremony presided over by the president of India. Unlike the Filmfare Awards, which are chosen by the public and a committee of experts, the National Film Awards are decided by a government panel. Other awards ceremonies for Hindi films in India are the Screen Awards (begun in 1995) and the Stardust Awards, which began in 2003. The International Indian Film Academy Awards (begun in 2000) and the Zee Cine Awards, begun in 1998, are held abroad in a different country each year. Global markets. In addition to their popularity among the Indian diaspora from Nigeria and Senegal to Egypt and Russia, generations of non-Indians have grown up with Bollywood. Indian cinema's early contacts with other regions made inroads into the Soviet Union, the Middle East, Southeast Asia, and China. Bollywood entered the consciousness of Western audiences and producers during the late 20th century, and Western actors now seek roles in Bollywood films. Asia-Pacific. South Asia. Bollywood films are also popular in Pakistan, Bangladesh, and Nepal, where Hindustani is widely understood. Many Pakistanis understand Hindi, due to its linguistic similarity to Urdu. Although Pakistan banned the import of Bollywood films in 1965, trade in unlicensed DVDs and illegal cable broadcasts ensured their continued popularity. Exceptions to the ban were made for a few films, such as the colourised re-release of "Mughal-e-Azam" and "Taj Mahal" in 2006. Early in 2008, the Pakistani government permitted the import of 16 films. More easing followed in 2009 and 2010. Although it is opposed by nationalists and representatives of Pakistan's small film industry, it is embraced by cinema owners who are making a profit after years of low receipts. The most popular actors in Pakistan are the three Khans of Bollywood: Salman, Shah Rukh, and Aamir. The most popular actress is Madhuri Dixit; at India-Pakistan cricket matches during the 1990s, Pakistani fans chanted "Madhuri dedo, Kashmir lelo!" ("Give Madhuri, take Kashmir!") Bollywood films in Nepal earn more than Nepali films, and Salman Khan, Akshay Kumar and Shah Rukh Khan are popular in the country. The films are also popular in Afghanistan due to its proximity to the Indian subcontinent and their cultural similarities, particularly in music. Popular actors include Shah Rukh Khan, Ajay Devgan, Sunny Deol, Aishwarya Rai, Preity Zinta, and Madhuri Dixit. A number of Bollywood films were filmed in Afghanistan and some dealt with the country, including "Dharmatma", "Kabul Express", "Khuda Gawah" and "Escape From Taliban". Southeast Asia. Bollywood films are popular in Southeast Asia, particularly in maritime Southeast Asia. The three Khans are very popular in the Malay world, including Indonesia, Malaysia, and Singapore. The films are also fairly popular in Thailand. India has cultural ties with Indonesia, and Bollywood films were introduced to the country at the end of World War II in 1945. The "angry young man" films of Amitabh Bachchan and Salim–Javed were popular during the 1970s and 1980s before Bollywood's popularity began gradually declining in the 1980s and 1990s. It experienced an Indonesian revival with the release of Shah Rukh Khan's "Kuch Kuch Hota Hai" (1998) in 2001, which was a bigger box-office success in the country than "Titanic" (1997). Bollywood has had a strong presence in Indonesia since then, particularly Shah Rukh Khan films such as "Mohabbatein" (2000), "Kabhi Khushi Kabhie Gham..." (2001), "Kal Ho Naa Ho", "Chalte Chalte" and "Koi... Mil Gaya" (all 2003), and "Veer-Zaara" (2004). East Asia. Some Bollywood films have been widely appreciated in China, Japan, and South Korea. Several Hindi films have been commercially successful in Japan, including Mehboob Khan's "Aan" (1952, starring Dilip Kumar) and Aziz Mirza's "Raju Ban Gaya Gentleman" (1992, starring Shah Rukh Khan). The latter sparked a two-year boom in Indian films after its 1997 release, with "Dil Se.." (1998) a beneficiary of the boom. The highest-grossing Hindi film in Japan is "3 Idiots" (2009), starring Aamir Khan, which received a Japanese Academy Award nomination. The film was also a critical and commercial success in South Korea. "Dr. Kotnis Ki Amar Kahani", "Awaara", and "Do Bigha Zamin" were successful in China during the 1940s and 1950s, and remain popular with their original audience. Few Indian films were commercially successful in the country during the 1970s and 1980s, among them Tahir Hussain's "Caravan", "Noorie" and "Disco Dancer". Indian film stars popular in China included Raj Kapoor, Nargis, and Mithun Chakraborty. Hindi films declined significantly in popularity in China during the 1980s. Films by Aamir Khan have recently been successful, and "Lagaan" was the first Indian film with a nationwide Chinese release in 2011. Chinese filmmaker He Ping was impressed by "Lagaan" (particularly its soundtrack), and hired its composer A. R. Rahman to score his "Warriors of Heaven and Earth" (2003). When "3 Idiots" was released in China, China was the world's 15th-largest film market (partly due to its widespread pirate DVD distribution at the time). The pirate market introduced the film to Chinese audiences, however, and it became a cult hit. According to the Douban film-review site, "3 Idiots" is China's 12th-most-popular film of all time; only one domestic Chinese film ("Farewell My Concubine") ranks higher, and Aamir Khan acquired a large Chinese fan base as a result. After "3 Idiots", several of Khan's other films (including 2007's and 2008's "Ghajini") also developed cult followings. China became the world's second-largest film market (after the United States) by 2013, paving the way for Khan's box-office success with "Dhoom 3" (2013), "PK" (2014), and "Dangal" (2016). The latter is the 16th-highest-grossing film in China, the fifth-highest-grossing non-English language film worldwide, and the highest-grossing non-English foreign film in any market. Several Khan films, including , "3 Idiots", and "Dangal", are highly rated on Douban. His next film, "Secret Superstar" (2017, starring Zaira Wasim), broke "Dangal"s record for the highest-grossing opening weekend by an Indian film and cemented Khan's status as "a king of the Chinese box office"; "Secret Superstar" was China's highest-grossing foreign film of 2018 to date. Khan has become a household name in China, with his success described as a form of Indian soft power improving China–India relations despite political tensions. With Bollywood competing with Hollywood in the Chinese market, the success of Khan's films has driven up the price for Chinese distributors of Indian film imports. Salman Khan's "Bajrangi Bhaijaan" and Irrfan Khan's "Hindi Medium" were also Chinese hits in early 2018. Oceania. Although Bollywood is less successful on some Pacific islands such as New Guinea, it ranks second to Hollywood in Fiji (with its large Indian minority), Australia and New Zealand. Australia also has a large South Asian diaspora, and Bollywood is popular amongst non-Asians in the country as well. Since 1997, the country has been a backdrop for an increasing number of Bollywood films. Indian filmmakers, attracted to Australia's diverse locations and landscapes, initially used the country as a setting for song-and-dance scenes; however, Australian locations now figure in Bollywood film plots. Hindi films shot in Australia usually incorporate Australian culture. Yash Raj Films' "Salaam Namaste" (2005), the first Indian film shot entirely in Australia, was the most successful Bollywood film of 2005 in that country. It was followed by the box-office successes "Heyy Babyy", (2007) "Chak De! India" (2007), and "Singh Is Kinng" (2008). Prime Minister John Howard said during a visit to India after the release of "Salaam Namaste" that he wanted to encourage Indian filmmaking in Australia to increase tourism, and he appointed Steve Waugh as tourism ambassador to India. Australian actress Tania Zaetta, who appeared in "Salaam Namaste" and several other Bollywood films, was eager to expand her career in Bollywood. Eastern Europe and Central Asia. Bollywood films are popular in the former Soviet Union (Russia, Eastern Europe, and Central Asia), and have been dubbed into Russian. Indian films were more popular in the Soviet Union than Hollywood films and, sometimes, domestic Soviet films. The first Indian film released in the Soviet Union was "Dharti Ke Lal" (1946), directed by Khwaja Ahmad Abbas and based on the Bengal famine of 1943, in 1949. Three hundred Indian films were released in the Soviet Union after that; most were Bollywood films with higher average audience figures than domestic Soviet productions. Fifty Indian films had over 20 million viewers, compared to 41 Hollywood films. Some, such as "Awaara" (1951) and "Disco Dancer" (1982), had more than 60 million viewers and established actors Raj Kapoor, Nargis, Rishi Kapoor and Mithun Chakraborty in the country. According to diplomat Ashok Sharma, who served in the Commonwealth of Independent States, After the collapse of the Soviet film-distribution system, Hollywood filled the void in the Russian film market and Bollywood's market share shrank. In Poland, Shah Rukh Khan has a large following. He was introduced to Polish audiences with the 2005 release of "Kabhi Khushi Kabhie Gham..." (2001) and his other films, including "Dil Se.." (1998), "Main Hoon Na" (2004) and "Kabhi Alvida Naa Kehna" (2006), became hits in the country. Bollywood films are often covered in "Gazeta Wyborcza", formerly Poland's largest newspaper. "Squad" (2021) is the first Indian film to be shot in Belarus. A majority of the film was shot at Belarusfilm studios, in Minsk. Middle East and North Africa. Hindi films have become popular in Arab countries, and imported Indian films are usually subtitled in Arabic when they are released. Bollywood has progressed in Israel since the early 2000s, with channels dedicated to Indian films on cable television; MBC Bollywood and Zee Aflam show Hindi movies and serials. In Egypt, Bollywood films were popular during the 1970s and 1980s. In 1987, however, they were restricted to a handful of films by the Egyptian government. Amitabh Bachchan has remained popular in the country and Indian tourists visiting Egypt are asked, "Do you know Amitabh Bachchan?" Bollywood movies are regularly screened in Dubai cinemas, and Bollywood is becoming popular in Turkey; "Barfi!" was the first Hindi film to have a wide theatrical release in that country. Bollywood also has viewers in Central Asia (particularly Uzbekistan and Tajikistan). South America. Bollywood films are not influential in most of South America, although its culture and dance is recognised. Due to significant South Asian diaspora communities in Suriname and Guyana, however, Hindi-language movies are popular. In 2006, "Dhoom 2" became the first Bollywood film to be shot in Rio de Janeiro. In January 2012, it was announced that UTV Motion Pictures would begin releasing films in Peru with "Guzaarish". Africa. Hindi films were originally distributed to some parts of Africa by Lebanese businessmen. In the 1950s, Hindi and Egyptian films were generally more popular than Hollywood films in East Africa. By the 1960s, East Africa was one of the largest overseas export markets for Indian films, accounting for about 20-50% of global earnings for many Indian films. "Mother India" (1957) continued to be screened in Nigeria decades after its release. Indian movies have influenced Hausa clothing, songs have been covered by Hausa singers, and stories have influenced Nigerian novelists. Stickers of Indian films and stars decorate taxis and buses in Nigeria's Northern Region, and posters of Indian films hang on the walls of tailoring shops and mechanics' garages. Unlike Europe and North America, where Indian films cater to the expatriate market, Bollywood films became popular in West Africa despite the lack of a significant Indian audience. One possible explanation is cultural similarity: the wearing of turbans, animals in markets; porters carrying large bundles, and traditional wedding celebrations. Within Muslim culture, Indian movies were said to show "respect" toward women; Hollywood movies were seen as having "no shame". In Indian movies, women are modestly dressed; men and women rarely kiss and there is no nudity, so the films are said to "have culture" which Hollywood lacks. The latter "don't base themselves on the problems of the people"; Indian films are based on socialist values and the reality of developing countries emerging from years of colonialism. Indian movies permitted a new youth culture without "becoming Western." The first Indian film shot in Mauritius was "Souten", starring Rajesh Khanna, in 1983. In South Africa, film imports from India were watched by black and Indian audiences. Several Bollywood figures have travelled to Africa for films and off-camera projects. "Padmashree Laloo Prasad Yadav" (2005) was filmed in South Africa. "Dil Jo Bhi Kahey..." (2005) was also filmed almost entirely in Mauritius, which has a large ethnic-Indian population. Bollywood, however, seems to be diminishing in popularity in Africa. New Bollywood films are more sexually explicit and violent. Nigerian viewers observed that older films (from the 1950s and 1960s) had more culture and were less Westernised. The old days of India avidly "advocating decolonization ... and India's policy was wholly influenced by his missionary zeal to end racial domination and discrimination in the African territories" were replaced. The emergence of Nollywood (West Africa's film industry) has also contributed to the declining popularity of Bollywood films, as sexualised Indian films became more like American films. Kishore Kumar and Amitabh Bachchan have been popular in Egypt and Somalia. In Ethiopia, Bollywood movies are shown with Hollywood productions in town square theatres such as the Cinema Ethiopia in Addis Ababa. Less-commercial Bollywood films are also screened elsewhere in North Africa. Western Europe and North America. The first Indian film to be released in the Western world and receive mainstream attention was "Aan" (1952), directed by Mehboob Khan and starring Dilip Kumar and Nimmi. It was subtitled in 17 languages and released in 28 countries, including the United Kingdom, the United States, and France. "Aan" received significant praise from British critics, and "The Times" compared it favourably to Hollywood productions. Mehboob Khan's later Academy Award-nominated "Mother India" (1957) was a success in overseas markets, including Europe, Russia, the Eastern Bloc, French territories, and Latin America. Many Bollywood films have been commercially successful in the United Kingdom. The most successful Indian actor at the British box office has been Shah Rukh Khan, whose popularity in British Asian communities played a key role in introducing Bollywood to the UK with films such as "Darr" (1993), "Dilwale Dulhaniya Le Jayenge" (1995), and "Kuch Kuch Hota Hai" (1998). "Dil Se" (1998) was the first Indian film to enter the UK top ten. A number of Indian films, such as "Dilwale Dulhaniya Le Jayenge" and "Kabhi Khushi Kabhie Gham" (2001), have been set in London. Bollywood is also appreciated in France, Germany, the Netherlands, and Scandinavia. Bollywood films are dubbed in German and shown regularly on the German television channel RTL II. Germany is the second-largest European market for Indian films, after the United Kingdom. The most recognised Indian actor in Germany is Shah Rukh Khan, who has had box-office success in the country with films such as "Don 2" (2011) and "Om Shanti Om" (2007). He has a large German fan base, particularly in Berlin (where the tabloid "Die Tageszeitung" compared his popularity to that of the pope). Bollywood has experienced revenue growth in Canada and the United States, particularly in the South Asian communities of large cities such as Toronto, Chicago, and New York City. Yash Raj Films, one of India's largest production houses and distributors, reported in September 2005 that Bollywood films in the United States earned about $100 million per year in theatre screenings, video sales and the sale of movie soundtracks; Indian films earn more money in the United States than films from any other non-English speaking country. Since the mid-1990s, a number of Indian films have been largely (or entirely) shot in New York, Los Angeles, Vancouver or Toronto. Films such as "The Guru" (2002) and "" (2007) attempted to popularise Bollywood for Hollywood. Plagiarism. Pressured by rushed production schedules and tight deadlines, some Hindi cinema writers and musicians have been notorious for plagiarising. Ideas, plot lines, tunes or riffs have been copied from other Indian film industries (including Telugu cinema, Tamil cinema, Malayalam cinema and others) or foreign films (including Hollywood and other Asian films) without acknowledging the source. Before the 1990s, plagiarism occurred with impunity. Copyright enforcement was lax in India, and few actors or directors saw an official contract. The Hindi film industry was not widely known in the Global North (except in the Soviet states), who would be unaware that their material had been copied. Audiences may not have been aware of plagiarism, since many in India were unfamiliar with foreign films and music. Although copyright enforcement in India is still somewhat lenient, Bollywood and other film industries are more aware of each other and Indian audiences are more familiar with foreign films and music. Organisations such as the India EU Film Initiative seek to foster a community between filmmakers and industry professionals in India and the European Union. A commonly reported justification for plagiarism in Bollywood is that cautious producers want to remake popular Hollywood films in an Indian context. Although screenwriters generally produce original scripts, many are rejected due to uncertainty about whether a film will be successful. Poorly-paid screenwriters have also been criticised for a lack of creativity. Some filmmakers see plagiarism in Bollywood as an integral part of globalisation, with which Western (particularly American) culture is embedding itself into Indian culture. Vikram Bhatt, director of "Raaz" (a remake of "What Lies Beneath") and "Kasoor" (a remake of "Jagged Edge"), has spoken about the influence of American culture and Bollywood's desire to produce box-office hits based along the same lines: "Financially, I would be more secure knowing that a particular piece of work has already done well at the box office. Copying is endemic everywhere in India. Our TV shows are adaptations of American programmes. We want their films, their cars, their planes, their Diet Cokes and also their attitude. The American way of life is creeping into our culture." According to Mahesh Bhatt, "If you hide the source, you're a genius. There's no such thing as originality in the creative sphere". Although very few cases of film-copyright violations have been taken to court because of a slow legal process, the makers of "Partner" (2007) and "Zinda" (2005) were targeted by the owners and distributors of the original films: "Hitch" and "Oldboy". The American studio 20th Century Fox brought Mumbai-based B. R. Films to court over the latter's forthcoming "Banda Yeh Bindaas Hai", which Fox alleged was an illegal remake of "My Cousin Vinny". B. R. Films eventually settled out of court for about $200,000, paving the way for its film's release. Some studios comply with copyright law; in 2008, Orion Pictures secured the rights to remake Hollywood's "Wedding Crashers". Music. The Pakistani Qawwali musician Nusrat Fateh Ali Khan had a major impact on Hindi film music, inspiring numerous Indian musicians working in Bollywood, especially during the 1990s. However, there were many instances of Indian music directors plagiarising Khan's music to produce hit filmi songs. Several popular examples include Viju Shah's hit song "Tu Cheez Badi Hai Mast Mast" in "Mohra" (1994) being plagiarised from Khan's popular Qawwali song "Dam Mast Qalandar", "Mera Piya Ghar Aya" used in "Yaarana" (1995), and "Sanoo Ek Pal Chain Na Aaye" in "Judaai" (1997). Despite the significant number of hit Bollywood songs plagiarised from his music, Nusrat Fateh Ali Khan reportedly tolerated plagiarism. One of the Bollywood music directors who frequently plagiarised him, Anu Malik, claimed that he loved Khan's music and was actually showing admiration by using his tunes. However, Khan was reportedly aggrieved when Malik turned his spiritual "Allah Hoo, Allah Hoo" into "I Love You, I Love You" in "Auzaar" (1997). Khan said "he has taken my devotional song "Allahu" and converted it into "I love you". He should at least respect my religious songs." Bollywood soundtracks also plagiarised Guinean singer Mory Kanté, particularly his 1987 album "Akwaba Beach". His song, "Tama", inspired two Bollywood songs: Bappi Lahiri's "Tamma Tamma" in "Thanedaar" (1990) and "Jumma Chumma" in Laxmikant–Pyarelal's soundtrack for "Hum" (1991). The latter also featured "Ek Doosre Se", which copied Kanté's "Inch Allah". His song "Yé ké yé ké" was used as background music in the 1990 Bollywood film "Agneepath", inspired the Bollywood song "Tamma Tamma" in "Thanedaar".
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Bowls
Bowls, also known as lawn bowls or lawn bowling, is a sport in which players try to roll their ball (called a bowl) closest to a smaller ball (known as a "jack" or sometimes a "kitty"). The bowls are shaped (biased), so that they follow a curved path when being rolled. The game is played either in teams or one against one. The game was first played in the 13th century. The game is played on grass, although other surfaces are sometimes used. Matches are held either until one player gets to a score, or when a number of "ends" are played. The game is mostly played on a bowling green, which can vary by the type of bowls being played. Whilst the game is often played outdoors, there are indoor bowling venues, and can also be played on rollable carpets. For outdoor games, this is usually on grass; however, it can also be played on cotula in New Zealand. History. Bowls is a variant of the "boules" games (Italian: "bocce"), which, in their general form, are of ancient or prehistoric origin. Ancient Greek variants are recorded that involved throwing light objects (such as flat stones, coins, or later also stone balls) as far as possible. The aspect of tossing the balls to approach a target as closely as possible is recorded in ancient Rome. This game was spread to Roman Gaul by soldiers or sailors. A Roman sepulchre in Florence shows people playing this game, stooping down to measure the points. Bowls in England has been traced certainly to the 13th century, and conjecturally to the 12th century. William Fitzstephen (d. about 1190), in his biography of Thomas Becket, gives a graphic sketch of the London of his day and, writing of the summer amusements of young men, says that on holidays they were "exercised in Leaping, Shooting, Wrestling, Casting of Stones ["in jactu lapidum"], and Throwing of Javelins fitted with Loops for the Purpose, which they strive to fling before the Mark; they also use Bucklers, like fighting Men." It is commonly supposed that by "jactus lapidum", Fitzstephen refers to an early variety of bowls, possibly played using round stone; there is a record of iron bowls being used, though at a much later date, on festive occasions at Nairn.. On the other hand, the "jactus lapidum" of which he speaks may have been more akin to shot put. It is clear, at any rate, that a rudimentary form of the game was played in England in the 13th century. A manuscript of that period in the royal library, Windsor (No. 20, E iv.), contains a drawing representing two players aiming at a small cone instead of an earthenware ball or jack. The world's oldest surviving bowling green is the Southampton Old Bowling Green, which was first used in 1299. Another manuscript of the same century has a crude but spirited picture which brings us into close touch with the existing game. Three figures are introduced and a jack. The first player's bowl has come to rest just in front of the jack; the second has delivered his bowl and is following after it with one of those eccentric contortions still not unusual on modern greens, the first player meanwhile making a repressive gesture with his hand, as if to urge the bowl to stop short of his own; the third player is depicted as in the act of delivering his bowl. A 14th-century manuscript, "Book of Prayers", in the Francis Douce collection in the Bodleian Library at Oxford, contains a drawing in which two persons are shown, but they bowl to no mark. Strutt (Sports and Pastimes) suggests that the first player's bowl may have been regarded by the second player as a species of jack; but in that case it is not clear what was the first player's target. In these three earliest illustrations of the pastime each player has one bowl only, and that the attitude in delivering it was as various five or six hundred years ago as it is today. In the third, he stands almost upright; in the first, he kneels; in the second, he stoops, halfway between the upright and the kneeling position. The game eventually came under the ban of king and Parliament, both fearing it might jeopardise the practice of archery, then so important in battle. Statutes forbidding it and other sports were enacted in the reigns of Edward III, Richard II and other monarchs. Even when, on the invention of gunpowder and firearms, the bow had fallen into disuse as a weapon of war, the prohibition was continued. The discredit attaching to bowling alleys, first established in London in 1455, probably encouraged subsequent repressive legislation, for many of the alleys were connected with taverns frequented by the dissolute and gamesters. Erasmus referred to the game as . The name of "bowls" is implied in the gerund "bowlyn", recorded in the mid-15th century. The term "bowl" for "wooden ball" is recorded in the early 1400s. The name is explicitly mentioned, as "bowles", in a list of unlawful games in a 1495 act by Henry VII ("Tenys, Closshe, Dise, Cardes, Bowles"). It occurs again in a similar statute by Henry VIII (1511). By a further act, the Unlawful Games Act 1541—which was not repealed until 1845—artificers, labourers, apprentices, servants and the like were forbidden to play bowls at any time except Christmas, and then only in their master's house and presence. It was further enjoined that any one playing bowls outside his own garden or orchard was liable to a penalty of 6s. 8d. (6 shillings and 8 pence), while those possessed of lands of the yearly value of £100 might obtain licences to play on their own private greens. In 1864, William Wallace Mitchell (1803–1884), a Glasgow Cotton Merchant, published his "Manual of Bowls Playing" following his work as the secretary formed in 1849 by Scottish bowling clubs which became the basis of the rules of the modern game. Young Mitchell was only 11 years old when he played on Kilmarnock bowling green, the oldest club in Scotland, instituted in 1740. The patenting of the first lawn mower in 1830, in Britain, is strongly believed to have been the catalyst for the worldwide preparation of modern-style greens, sporting ovals, playing fields, pitches, grass courts, etc. This, in turn, led to the codification of modern rules for many sports, including lawn bowls, most football codes, lawn tennis and others. National Bowling Associations were established in the late 1800s. The Victorian Bowling Association was formed in Victoria, Australia in 1880. The Scottish Bowling Association was established in 1892, although there had been a failed attempt in 1848 by 200 Scottish clubs. Today, bowls is played in over 40 countries with more than 50 member national authorities. Game. Lawn bowls is usually played on a large, rectangular, precisely levelled and manicured grass or synthetic surface known as a bowling green which is divided into parallel playing strips called rinks. In the simplest competition, singles, one of the two opponents flips a coin to see who wins the "mat" and begins a segment of the competition (in bowling parlance, an "end"), by placing the mat and rolling the jack to the other end of the green to serve as a target. Once it has come to rest, the jack is aligned to the centre of the rink and the players take turns to roll their bowls from the mat towards the jack and thereby build up the "head". A bowl may curve outside the rink boundary on its path, but must come to rest within the rink boundary to remain in play. Bowls falling into the ditch are dead and removed from play, except in the event when one has "touched" the jack on its way. "Touchers" are marked with chalk and remain alive in play even if they get into the ditch. Similarly if the jack is knocked into the ditch it is still alive unless it is out of bounds to the side resulting in a "dead" end which is replayed, though according to international rules the jack is "respotted" to the centre of the rink and the end is continued. After each competitor has delivered all of their bowls (four each in singles and pairs, three each in triples, and two bowls each in fours), the distance of the closest bowls to the jack is determined (the jack may have been displaced) and points, called "shots", are awarded for each bowl which a competitor has closer than the opponent's nearest to the jack. For instance, if a competitor has bowled two bowls closer to the jack than their opponent's nearest, they are awarded two shots. The exercise is then repeated for the next end, a game of bowls typically being of twenty-one ends. Lawn bowls is played on grass and variations from green to green are common. Greens come in all shapes and sizes: the most common are fast, slow, big crown, small crown. Bowls is generally played in a very good spirit, even at the highest professional level, acknowledgment of opponents' successes and near misses being quite normal. Scoring. Scoring systems vary from competition to competition. Games can be decided when: Games to a specified number of ends may also be drawn. The draw may stand, or the opponents may be required to play an extra end to decide the winner. These provisions are always published beforehand in the event's Conditions of Play. In the Laws of the Sport of Bowls the winner in a singles game is the first player to score 21 shots. In all other disciplines (pairs, triples, fours), the winner is the team who has scored the most shots after 21 or 25 ends of play. Often local tournaments will play shorter games (usually 10 or 12 ends). Some competitions use a "set" scoring system, with the first to seven points awarded a set in a best-of-three or best-of-five set match. As well as singles competition, there can be two (pairs), three (triples) and four-player (fours) teams. In these, teams bowl alternately, with each player within a team bowling all their bowls, then handing over to the next player. The team captain or "" always plays last and is instrumental in directing his team's shots and tactics. The current method of scoring in the professional tour (World Bowls Tour) is sets. Each set consists of nine ends and the player with the most shots at the end of a set wins the set. If the score is tied the set is halved. If a player wins two sets, or gets a win and a tie, that player wins the game. If each player wins a set, or both sets end tied, there is a 3-end tiebreaker to determine a winner. Bias of bowls. Bowls are designed to travel a curved path because of a weight bias which was originally produced by inserting weights in one side of the bowl. The word "bias" itself is recorded as a technical term of the game in the 1560s. The insertion of weights is no longer permitted by the rules and bias is now produced entirely by the shape of the bowl. A bowler determines the bias direction of the bowl in his hand by a dimple or symbol on one side. Regulations determine the minimum bias allowed, and the range of diameters (), but within these rules bowlers can and do choose bowls to suit their own preference. They were originally made from lignum vitae, a dense wood giving rise to the term "woods" for bowls, but are now more typically made of a hard plastic composite material. Bowls were once only available coloured black or brown, but they are now available in a variety of colours. They have unique symbol markings engraved on them for identification. Since many bowls look the same, coloured, adhesive stickers or labels are also used to mark the bowls of each team in bowls matches. Some local associations agree on specific colours for stickers for each of the clubs in their area. Provincial or national colours are often assigned in national and international competitions. These stickers are used by officials to distinguish teams. Bowls have symbols unique to the set of four for identification. The side of the bowl with a larger symbol within a circle indicates the side away from the bias. That side with a smaller symbol within a smaller circle is the bias side toward which the bowl will turn. It is not uncommon for players to deliver a "wrong bias" shot from time to time and see their carefully aimed bowl crossing neighbouring rinks rather than heading towards their jack. When bowling there are several types of delivery. "Draw" shots are those where the bowl is rolled to a specific location without causing too much disturbance of bowls already in the head. For a right-handed bowler, "forehand draw" or "finger peg" is initially aimed to the right of the jack, and curves in to the left. The same bowler can deliver a "backhand draw" or "thumb peg" by turning the bowl over in his hand and curving it the opposite way, from left to right. In both cases, the bowl is rolled as close to the jack as possible, unless tactics demand otherwise. A "drive" or "fire" or "strike" involves bowling with force with the aim of knocking either the jack or a specific bowl out of play - and with the drive's speed, there is virtually no noticeable (or, at least, much less) curve on the shot. An "upshot" or "yard on" shot involves delivering the bowl with an extra degree of weight (often referred to as "controlled" weight or "rambler"), enough to displace the jack or disturb other bowls in the head without killing the end. A "block" shot is one that is intentionally placed short to defend from a drive or to stop an oppositions draw shot. The challenge in all these shots is to be able to adjust line and length accordingly, the faster the delivery, the narrower the line or "green". Variations of play. Particularly in team competition there can be a large number of bowls on the green towards the conclusion of the end, and this gives rise to complex tactics. Teams "holding shot" with the closest bowl will often make their subsequent shots not with the goal of placing the bowl near the jack, but in positions to make it difficult for opponents to get their bowls into the head, or to places where the jack might be deflected to if the opponent attempts to disturb the head. There are many different ways to set up the game. Crown Green Bowling utilises the entire green. A player can send the jack anywhere on the green in this game and the green itself is more akin to a golf green, with much undulation. It is played with only two woods each. The jack also has a bias and is only slightly smaller than the woods. At the amateur level it is usual for several ends to be played simultaneously on one green. If two moving woods meet, both are taken back and the shots replayed. If a moving wood strikes a stationary wood or jack from another end, it is again taken back and replayed, but the bowl struck is replaced where contact took place. The game is played usually to 21-up in Singles and Doubles format with some competitions playing to 31-up. The Panel (Professional Crown Green Bowls) is played at the Red Lion Bowling Green, Westhoughton daily and is played to 41-up with greenside betting throughout play. The Green was formerly owned by the pub (now demolished) but was purchased in 2007 by The Panel who paid the brewery £12,000 for the green and its surrounds. Singles, triples and fours and Australian pairs are some ways the game can be played. In singles, two people play against each other and the first to reach 21, 25, or 31 shots (as decided by the controlling body) is the winner. In one variation of singles play, each player uses two bowls only and the game is played over 21 ends. A player concedes the game before the 21st end if the score difference is such that it is impossible to draw equal or win within the 21 ends. If the score is equal after 21 ends, an extra end is played to decide the winner. An additional scoring method is set play. This comprises two sets over nine ends. Should a player win a set each, they then play a further 3 ends that will decide the winner. Pairs allows both people on a team to play Skip and Lead. The lead throws two bowls, the skip delivers two, then the lead delivers his remaining two, the skip then delivers his remaining two bowls. Each end, the leads and skips switch positions. This is played over 21 ends or sets play. Triples is with three players while Fours is with four players in each team and is played over 21 ends. Another pairs variation is 242 pairs (also known as Australian Pairs). In the first end of the game the A players lead off with 2 bowls each, then the B players play 4 bowls each, before the A players complete the end with their final 2 bowls. The A players act as lead and skip in the same end. In the second end the roles are reversed with the A players being in the middle. This alternating pattern continues through the game which is typically over 15 ends. Short Mat Bowls is an all-year sport unaffected by weather conditions and it does not require a permanent location as the rink mats can be rolled up and stowed away. This makes it particularly appropriate for small communities as it can be played in village halls, schools, sports and social clubs. Bowls are played by the blind and paraplegic. Blind bowlers are extremely skillful. A string is run out down the centre of the lane and wherever the jack lands, it is moved across to the string and the length is called out by a sighted marker. When the woods are sent the distance from the jack is called out, in yards, feet and inches. The position in relation to the jack is given using the clock; 12.00 is behind the jack. Tra bowls. In the province of West Flanders (and surrounding regions), tra bowls is the most popular variation of bowls. As opposed to playing it on a flat or uneven terrain, the terrain is made smooth but hollow ("tra" just means "hollow road" in Flemish). The hollow road causes the path to be curving even more. The balls are biased in the same way as the lawn bowls balls but with a diameter of about , a thickness of and a weight of about , they are a bit bigger than usual bowls. The target is an unmovable feather or metal plate on the ground, instead of a small ball. The length of the tra is about . The scoring is also different, as a point is awarded for every shot that brings the ball closer to the target than any opponent's ball. This causes pure blocking strategies to be less effective. In 1972, the West-Flemish tra bowls federation was founded to uniform the local differing rules and to organise a match calendar. Meanwhile, they also organise championships and tournaments. New Zealand Indoor Bowls. A unique variant of indoor bowls developed in New Zealand in the early 20th century. It is played on a carpet mat 6.7 m long and 1.8 m wide. The sport reached its heyday in New Zealand in the 1960s and 1970s with upward of 70,000 registered players, but has seen a gradual decline in membership since. The New Zealand Indoor Bowls Federation is the sport's governing body and it is only played competitively in New Zealand, though there is a biennial Trans-Tasman fixture using custom rules compromising between those used in Australia and New Zealand. Competitions. There are various bowls competitions held around the world (see - World Bowls Events). Bowls is one of the "core sports" that must be included at each edition of the Commonwealth Games. With the exception of the 1966 Games, the sport has been included in all Games since their inception in 1930. England has so far dominated the sport with 51 medals.
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Barcelonnette
Barcelonnette (; , also ; obsolete ) is a commune of France and a subprefecture in the department of Alpes-de-Haute-Provence, in the Provence-Alpes-Côte d'Azur region. It is located in the southern French Alps, at the crossroads between Provence, Piedmont and the Dauphiné, and is the largest town in the Ubaye Valley. The town's inhabitants are known as "Barcelonnettes". Toponymy. Barcelonnette was founded and named in 1231, by Ramon Berenguer IV, Count of Provence. While the town's name is generally seen as a diminutive form of Barcelona in Catalonia, Albert Dauzat and Charles Rostaing point out an earlier attestation of the name "Barcilona" in Barcelonnette in around 1200, and suggest that it is derived instead from two earlier stems signifying a mountain, *"bar" and *"cin" (the latter of which is also seen in the name of Mont Cenis). In the Vivaro-Alpine dialect of Occitan, the town is known as "Barcilona de Provença" or more rarely "Barciloneta" according to the classical norm; under the Mistralian norm it is called "Barcilouna de Prouvença" or "Barcilouneto". In "Valéian" (the dialect of Occitan spoken in the Ubaye Valley), it is called "Barcilouna de Prouvença" or "Barcilounéta". "Barcino Nova" is the town's Latin name meaning "new Barcelona"; "Barcino" was the Roman name for Barcelona in Catalonia from its foundation by Emperor Augustus in 10 BC, and the name was changed to "Barcelona" only during the Middle Ages. The inhabitants of the town are called "Barcelonnettes", or "Vilandroises" in Valéian. History. Origins. The Barcelonnette region was populated by Ligures from the 1st millennium BC onwards, and the arrival of the Celts several centuries later led to the formation of a mixed Celto-Ligurian people, the Vesubians. Polybius described the Vesubians as belligerent but nonetheless civilised and mercantile, and Julius Caesar praised their bravery. The work "History of the Gauls" also places the Vesubians in the Ubaye Valley. Following the Roman conquest of Provence, Barcelonnette was included in a small province with modern Embrun as its capital and governed by Albanus Bassalus. This was integrated soon afterwards into Gallia Narbonensis. In 36 AD, Emperor Tiberius transferred Barcelonnette to the province of the Cottian Alps. The town was known as "Rigomagensium" under the Roman Empire and was the capital of a civitas (a provincial subdivision), though no Roman money has yet been found in the canton of Barcelonnette. Medieval town. The town of Barcelonnette was founded in 1231 by Ramon Berenguer IV, Count of Provence. According to Charles Rostaing, this act of formal "foundation", according certain privileges to the town, was a means of regenerating the destroyed town of "Barcilona". The town was afforded a "consulat" (giving it the power to administer and defend itself) in 1240. Control of the area in the Middle Ages swung between the Counts of Savoy and of Provence. In 1388, after Count Louis II of Provence had left to conquer Naples, the Count of Savoy Amadeus VIII took control of Barcelonnette; however, it returned to Provençal control in 1390, with the d'Audiffret family as its lords. On the death of Louis II in 1417 it reverted to Savoy, and, although Count René again retook the area for Provence in 1471, it had returned to Savoyard dominance by the start of the 16th century, by which point the County of Provence had become united with the Kingdom of France due to the death of Count Charles V in 1481. Ancien Régime. During Charles V's invasion of Provence in 1536, Francis I of France sent the Count of Fürstenberg's 6000 "Landsknechte" to ravage the area in a scorched earth policy. Barcelonnette and the Ubaye Valley remained under French sovereignty until the second Treaty of Cateau-Cambrésis on 3 April 1559. In 1588 the troops of François, Duke of Lesdiguières entered the town and set fire to the church and convent during their campaign against the Duke of Savoy. In 1600, after the Treaty of Vervins, conflict returned between Henry IV of France and Savoy, and Lesdiguières retook Barcelonnette until the conclusion of the Treaty of Lyon on 17 January the following year. In 1628, during the War of the Mantuan Succession, Barcelonnette and the other towns of the Ubaye Valley were pillaged and burned by Jacques du Blé d'Uxelles and his troops, as they passed through towards Italy to the Duke of Mantua's aid. The town was retaken by the Duke of Savoy in 1630; and in 1691 it was captured by the troops of the Marquis de Vins during the War of the League of Augsburg. Between 1614 and 1713, Barcelonnette was the seat of one of the four prefectures under the jurisdiction of the Senate of Nice. At this time, the community of Barcelonnette successfully purchased the "seigneurie" of the town as it was put to auction by the Duke of Savoy; it thereby gained its own justicial powers. In 1646, a college was founded in Barcelonnette. A "significant" part of the town's inhabitants had, by the 16th century, converted to Protestantism, and were repressed during the French Wars of Religion. The "viguerie" of Barcelonnette (also comprising Saint-Martin and Entraunes) was reattached to France in 1713 as part of a territorial exchange with the Duchy of Savoy during the Treaties of Utrecht. The town remained the site of a "viguerie" until the French Revolution. A decree of the council of state on 25 December 1714 reunited Barcelonnete with the general government of Provence. Revolution. Barcelonnette was one of few settlements in Haute-Provence to acquire a Masonic Lodge before the Revolution, in fact having two: In March 1789, riots took place as a result of a crisis in wheat production. In July, the Great Fear of aristocratic reprisal against the ongoing French Revolution struck France, arriving in the Barcelonnette area on 31 July 1789 (when the news of the storming of the Bastille first reached the town) before spreading towards Digne. This agitation continued in the Ubaye Valley; a new revolt broke out on 14 June, and famine was declared in April 1792. The patriotic society of the commune was one of the first 21 created in Alpes-de-Haute-Provence, in spring 1792, by the envoys of the departmental administration. Around a third of the male population attended at the club. Another episode of political violence occurred in August 1792. Barcelonnette was the seat of the District of Barcelonnette from 1790 to 1800. Modern history. In December 1851, the town was home to a movement of republican resistance towards Napoleon III's coup. Though only a minority of the population, the movement rebelled on Sunday 7 December, the day after the news of the coup arrived. Town officials and gendarmes were disarmed and placed in the maison d'arrêt. A committee of public health was created on 8 December; on 9 December the inhabitants of Jausiers and its surroundings formed a colony under the direction of general councillor Brès, and Mayor Signoret of Saint-Paul-sur-Ubaye. This was stopped, however, on 10 December before it could reach Barcelonnette, as the priest of the subprefecture had intervened. On 11 December, several officials escaped and found refuge in L'Argentière in Piedmont. The arrival of troops on 16 December put a final end to the republican resistance without bloodshed, and 57 insurgents were tried; 38 were condemned to deportation (though several were pardoned in April). Between 1850 and 1950, Barcelonnette was the source of a wave of emigration to Mexico. Among these emigrants was Jean Baptiste Ebrard, founder of the Liverpool department store chain in Mexico. On the edges of Barcelonnette and Jausiers there are several houses and villas of colonial style (known as "maisons mexicaines"), constructed by emigrants to Mexico who returned to France between 1870 and 1930. A plaque in the town commemorates the deaths of ten Mexican citizens who returned to Barcelonnette to fight in the First World War. During the Second World War, 26 Jews were arrested in Barcelonnette before being deported. The 89th "compagnie de travailleurs étrangers" (Company of Foreign Workers), consisting of foreigners judged as undesirable by the Third Republic and the Vichy regime and committed to forced labour, was established in Barcelonnette. The 11th Battalion of "Chasseurs alpins" was garrisoned at Barcelonnette between 1948 and 1990. Geography. Barcelonnette is situated in the wide and fertile Ubaye Valley, of which it is the largest town. It lies at an elevation of 1132 m (3717 ft) on the right bank of the Ubaye River, and is surrounded by mountains which reach peaks of over 3000 m; the tallest of these is the Needle of Chambeyron at 3412 m. Barcelonnette is situated 210 km from Turin, 91 km from Nice and 68 km from Gap. Biodiversity. As a result of its relief and geographic situation, the Ubaye Valley has an "abundance of plant and animal species". The fauna is largely constituted of golden eagles, marmots, ibex and vultures, and the flora includes a large proportion of larches, génépis and white asphodels. Climate. The Ubaye Valley has an alpine climate and winters are harsh as a result of the altitude, but there are only light winds as a result of the relief. There are on average almost 300 days of sun and 700 mm of rain per year. Hazards. None of the 200 communes of the department is entirely free of seismic risk; the canton of Barcelonnette is placed in zone 1b (low risk) by the determinist classification of 1991 based on seismic history, and zone 4 (average risk) according to the probabilistic EC8 classification of 2011. The commune is also vulnerable to avalanches, forest fires, floods, and landslides. Barcelonnette is also exposed to the possibility of a technological hazard in that road transport of dangerous materials is allowed to pass through on the RD900. The town has been subject to several orders of natural disaster: floods and mudslides in 1994 and 2008, and landslides in 1996 and 1999. The strongest recorded earthquakes in the region occurred on 5 April 1959, with its epicentre at Saint-Paul-sur-Ubaye and a recorded intensity of 6.5 at Barcelonnette, and on 17 February 1947, with its epicentre at Prazzo over the Italian border. Architecture. The subprefecture has been situated since 1978 in a "maison mexicaine", the Villa l'Ubayette, constructed between 1901 and 1903. Population. In 1471, the community of Barcelonnette (including several surrounding parishes) comprised 421 fires (households). In 1765, it had 6,674 inhabitants, but emigration, particularly to Mexico, slowed the town's growth in the period before the Second World War. According to the census of 2017, Barcelonnette has a population of 2,598 (municipal population) across a total area of 16.42 km2. The town is characterised by low population density. Between 1990 and 1999 the town's annual mean population growth was -0.6%, though between 1999 and 2007 this increased to an average of -0.2%. Economy. The city is mainly a tourist and resort centre, serving many ski lodges. The Pra-Loup resort is 7 km from Barcelonnette; Le Sauze is 5 km away. It and the Ubaye Valley are served by the Barcelonnette – Saint-Pons Airfield. Notably, Barcelonnette is the only subprefecture of France not served by rail transport; the Ubaye line which would have linked Chorges to Barcelonnette was never completed as a result of the First World War and the construction of the Serre-Ponçon Dam between 1955 and 1961. Education. An "école normale" (an institute for training primary school teachers) was founded in Barcelonnette in 1833, and remained there until 1888 when it was transferred to Digne. The "", originally the "collège Saint-Maurice" and renamed after the politician André Honnorat in 1919, is located in the town; Pierre-Gilles de Gennes and Carole Merle both studied there. Currently, three schools exist in Barcelonnette: a public nursery school, a public elementary school, and a private school (under a contract by which the teachers are paid by the national education system). In 2010 the "lycée André-Honnorat" opened a boarding school aimed at gifted students of poorer social backgrounds, in order to give them better conditions in which to study. It is located in the "Quartier Craplet", formerly the garrison of the 11th Battalion of "Chasseurs Alpins" and then the French Army's "Centre d'instruction et d'entraînement au combat en montagne" (CIECM). Transportation. Barcelonnette – Saint-Pons Airfield (IATA: BAE, ICAO LFMR) is located at Saint Pons, 3 km (2 miles) west of Barcelonnette. International links. Barcelonnette is twinned with: It is also the site of a Mexican honorary consulate.
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Baháʼí Faith
The Baháʼí Faith is a religion founded in the 19th century that teaches the essential worth of all religions and the unity of all people. Established by Baháʼu'lláh, it initially developed in Iran and parts of the Middle East, where it has faced ongoing persecution since its inception. The religion has 5–8 million adherents (known as Baháʼís) spread throughout most of the world's countries and territories. The Baháʼí Faith has three central figures: the Báb (1819–1850), executed for heresy, who taught that a prophet similar to Jesus and Muhammad would soon appear; Baháʼu'lláh (1817–1892), who claimed to be said prophet in 1863 and who had to endure both exile and imprisonment; and his son, ʻAbdu'l-Bahá (1844–1921), who made teaching trips to Europe and the United States after his release from confinement in 1908. After ʻAbdu'l-Bahá's death in 1921, the leadership of the religion fell to his grandson Shoghi Effendi (1897–1957). Baháʼís annually elect local, regional, and national Spiritual Assemblies that govern the religion's affairs, and every five years an election is held for the Universal House of Justice, the nine-member governing institution of the worldwide Baháʼí community that is located in Haifa, Israel, near the Shrine of the Báb. According to Baháʼí teachings, religion is revealed in an orderly and progressive way by a single God through Manifestations of God, who are the founders of major world religions throughout human history; the Buddha, Jesus, and Muhammad are cited as the most recent of these Manifestations of God before the Báb and Baháʼu'lláh. Baháʼís regard the world's major religions as fundamentally unified in their purpose, but divergent in their social practices and interpretations. The Baháʼí Faith stresses the unity of all people as its core teaching; as a result, it explicitly rejects notions of racism, sexism, and nationalism. At the heart of Baháʼí teachings is the desire to establish a unified world order that ensures the prosperity of all nations, races, creeds, and classes. Letters and epistles by Baháʼu'lláh, along with writings and talks by his son ʻAbdu'l-Bahá, have been collected and assembled into a canon of Baháʼí scriptures. This collection also includes works by the Báb, who is regarded as Baháʼu'lláh's forerunner. Prominent among the works of Baháʼí literature are the "Kitáb-i-Aqdas", the "Kitáb-i-Íqán", "Some Answered Questions", and "The Dawn-Breakers". Etymology. The word "Baháʼí" (, ; ) is used either as an adjective to refer to the Baháʼí Faith or as a term for a follower of Baháʼu'lláh. The proper name of the religion is the "Baháʼí Faith", not "Baháʼí" or "Baháʼism" (the latter, once common among academics, is regarded as derogatory by the Baháʼís). It is derived from the Arabic "Baháʼ" (), a name Baháʼu'lláh chose for himself, referring to the 'glory' or 'splendor' of God. In English, the word is commonly pronounced (), but the more accurate rendering of the Arabic is (). The accent marks above the letters, representing long vowels, derive from a system of transliterating Arabic and Persian script that was adopted by Baháʼís in 1923, and which has been used in almost all Baháʼí publications since. Baháʼís prefer the orthographies "Baháʼí", "the Báb", "Baháʼu'lláh", and "ʻAbdu'l-Bahá". When accent marks are unavailable, "Bahaʼi" or "Bahaʼuʼllah" are often used. History. The Baháʼí Faith traces its beginnings to the religion of the Báb and the Shaykhi movement that immediately preceded it. The Báb was a merchant who began preaching in 1844 that he was the bearer of a new revelation from God, but was rejected by the generality of Islamic clergy in Iran, ending in his public execution in 1850 for the crime of heresy. The Báb taught that God would soon send a new messenger, and Baháʼís consider Baháʼu'lláh to be that person. Although they are distinct movements, the Báb is so interwoven into Baháʼí theology and history that Baháʼís celebrate his birth, death, and declaration as holy days, and consider him one of their three central figures (along with Baháʼu'lláh and ʻAbdu'l-Bahá). A historical account of the Bábí movement ("The Dawn-Breakers") is considered one of three books that every Baháʼí should "master" and read "over and over again". The Baháʼí community was mostly confined to the Iranian and Ottoman empires until after the death of Baháʼu'lláh in 1892; at that time, he had followers in 13 countries of Asia and Africa. Under the leadership of his son, ʻAbdu'l-Bahá, the religion gained a footing in Europe and America, and was consolidated in Iran, where it still suffers intense persecution. ʻAbdu'l-Bahá's death in 1921 marks the end of what Baháʼís call the "heroic age" of the religion. Báb. On the evening of 22 May 1844, Siyyid ʻAlí-Muhammad of Shiraz gained his first convert and took on the title of "the Báb" ( "Gate"), referring to his later claim to the status of Mahdi of Shiʻa Islam. His followers were known as Bábís. As the Báb's teachings spread, which the Islamic clergy saw as blasphemous, his followers came under increased persecution and torture. The conflicts escalated in several places to military sieges by the Shah's army. The Báb himself was imprisoned and eventually executed in 1850. Baháʼís see the Báb as the forerunner of the Baháʼí Faith, because the Báb's writings introduced the concept of "He whom God shall make manifest", a messianic figure whose coming, according to Baháʼís, was announced in the scriptures of all of the world's great religions, and whom Baháʼu'lláh, the founder of the Baháʼí Faith, claimed to be. The Báb's tomb, located on Mount Carmel in Haifa, Israel, is an important place of pilgrimage for Baháʼís. The remains of the Báb were brought secretly from Iran to the Holy Land and eventually interred in the tomb built for them in a spot specifically designated by Baháʼu'lláh. The writings of the Báb are considered inspired scripture by Baháʼís, though having been superseded by the laws and teachings of Baháʼu'lláh. The main written works translated into English of the Báb are compiled in "Selections from the Writings of the Báb" (1976) out of the estimated 135 works. Baháʼu'lláh. Mírzá Husayn ʻAlí Núrí was one of the early followers of the Báb, and later took the title of Baháʼu'lláh. In August 1852, a few Bábís made a failed attempt to assassinate the Shah, Naser al-Din Shah Qajar. The Shah responded by ordering the killing and in some cases torturing of about 50 Bábís in Tehran. Further bloodshed spread throughout the country and hundreds were reported in period newspapers by October, and tens of thousands by the end of December. Baháʼu'lláh was not involved in the assassination attempt but was imprisoned in Tehran until his release was arranged four months later by the Russian ambassador, after which he joined other Bábís in exile in Baghdad. Shortly thereafter he was expelled from Iran and traveled to Baghdad, in the Ottoman Empire. In Baghdad, his leadership revived the persecuted followers of the Báb in Iran, so Iranian authorities requested his removal, which instigated a summons to Constantinople (now Istanbul) from the Ottoman Sultan. In 1863, at the time of his removal from Baghdad, Baháʼu'lláh first announced his claim of prophethood to his family and followers, which he said came to him years earlier while in a dungeon of Tehran. From the time of the initial exile from Iran, tensions grew between him and Subh-i-Azal, the appointed leader of the Bábís, who did not recognize Baháʼu'lláh's claim. Throughout the rest of his life Baháʼu'lláh gained the allegiance of almost all of the Bábís, who came to be known as Baháʼís, while a remnant of Bábís became known as Azalis, and are regarded by Bahá'ís as equivalent to apostates. He spent less than four months in Constantinople. After receiving chastising letters from Baháʼu'lláh, Ottoman authorities turned against him and put him under house arrest in Adrianople (now Edirne), where he remained for four years, until a royal decree of 1868 banished all Bábís to either Cyprus or ʻAkká. It was in or near the Ottoman penal colony of ʻAkká, in Palestine, that Baháʼu'lláh spent the remainder of his life. After initially strict and harsh confinement, he was allowed to live in a home near ʻAkká, while still officially a prisoner of that city. He died there in 1892. Baháʼís regard his resting place at Bahjí as the Qiblih to which they turn in prayer each day. He produced over 18,000 works in his lifetime, in both Arabic and Persian, of which only 8% have been translated into English. During the period in Adrianople, he began declaring his mission as a Messenger of God in letters to the world's religious and secular rulers, including Pope Pius IX, Napoleon III, and Queen Victoria. ʻAbdu'l-Bahá. ʻAbbás Effendi was Baháʼu'lláh's eldest son, who chose for himself the title of ʻAbdu'l-Bahá ("Servant of Bahá"). His father left a will that appointed ʻAbdu'l-Bahá as the leader of the Baháʼí community. ʻAbdu'l-Bahá had shared his father's long exile and imprisonment, which continued until ʻAbdu'l-Bahá's own release as a result of the Young Turk Revolution in 1908. Following his release, he led a life of travelling, speaking, teaching, and maintaining correspondence with communities of believers and individuals, expounding the principles of the Baháʼí Faith. Bahá'ís consider ʻAbdu'l-Bahá to be a perfect exemplar of the Baháʼí teachings. As of 2020, there are over 38,000 extant documents containing the words of ʻAbdu'l-Bahá, which are of widely varying lengths. Only a fraction of these documents have been translated into English. Among the more well known are "The Secret of Divine Civilization", "Some Answered Questions", the "Tablet to Auguste-Henri Forel", the "Tablets of the Divine Plan", and the "Tablet to The Hague". Additionally notes taken of a number of his talks were published in various volumes like "Paris Talks" during his journeys to the West. Shoghi Effendi. Baháʼu'lláh's "Kitáb-i-Aqdas" and "The Will and Testament of ʻAbdu'l-Bahá" are foundational documents of the Baháʼí administrative order. Baháʼu'lláh established the elected Universal House of Justice, and ʻAbdu'l-Bahá established the appointed hereditary Guardianship and clarified the relationship between the two institutions. In his Will, ʻAbdu'l-Bahá appointed Shoghi Effendi, his eldest grandson, as the first Guardian of the Baháʼí Faith. Shoghi Effendi served for 36 years as the head of the religion until his death in 1957. Throughout his lifetime, Shoghi Effendi translated Baháʼí texts; developed global plans for the expansion of the Baháʼí community; developed the Baháʼí World Centre; carried on a voluminous correspondence with communities and individuals around the world; and built the administrative structure of the religion, preparing the community for the election of the Universal House of Justice. In 1937, Shoghi Effendi launched a seven-year plan for the Baháʼís of North America, followed by another in 1946. In 1953, he launched the first international plan, the Ten Year World Crusade. This plan included extremely ambitious goals for the expansion of Baháʼí communities and institutions, the translation of Baháʼí texts into several new languages, and the sending of Baháʼí pioneers into previously unreached nations. He announced in letters during the Ten Year Crusade that it would be followed by other plans under the direction of the Universal House of Justice, which was elected in 1963 at the culmination of the Ten Year Crusade. Shoghi Effendi died unexpectedly after a brief illness on 4 November 1957 in London, England, under conditions that did not allow for a successor to be appointed. He is buried in New Southgate Cemetery in Barnet, London. Universal House of Justice. Since 1963, the Universal House of Justice has been the elected head of the Baháʼí Faith. The general functions of this body are defined through the writings of Baháʼu'lláh and clarified in the writings of Abdu'l-Bahá and Shoghi Effendi. These functions include teaching and education, implementing Baháʼí laws, addressing social issues, and caring for the weak and the poor. Starting with the Nine Year Plan that began in 1964, the Universal House of Justice has directed the work of the Baháʼí community through a series of multi-year international plans. Starting with the Nine-Year Plan that began in 1964, the Baháʼí leadership sought to continue the expansion of the religion but also to "consolidate" new members, meaning increase their knowledge of the Baháʼí teachings. In this vein, in the 1970s, the Ruhi Institute was founded by Baháʼís in Colombia to offer short courses on Baháʼí beliefs, ranging in length from a weekend to nine days. The associated Ruhi Foundation, whose purpose was to systematically "consolidate" new Baháʼís, was registered in 1992, and since the late 1990s the courses of the Ruhi Institute have been the dominant way of teaching the Baháʼí Faith around the world. By 2013 there were over 300 Baháʼí training institutes around the world and 100,000 people participating in courses. The courses of the Ruhi Institute train communities to self-organize classes for the spiritual education of children and youth, among other activities. Additional lines of action the Universal House of Justice has encouraged for the contemporary Baháʼí community include social action and participation in the prevalent discourses of society. Annually, on 21 April, the Universal House of Justice sends a 'Ridván' message to the worldwide Baháʼí community, that updates Baháʼís on current developments and provides further guidance for the year to come. At local, regional, and national levels, Baháʼís elect members to nine-person Spiritual Assemblies, which run the affairs of the religion. There are also appointed individuals working at various levels, including locally and internationally, which perform the function of propagating the teachings and protecting the community. The latter do not serve as clergy, which the Baháʼí Faith does not have. The Universal House of Justice remains the supreme governing body of the Baháʼí Faith, and its 9 members are elected every five years by the members of all National Spiritual Assemblies. Any male Baháʼí, 18 years or older, is eligible to be elected to the Universal House of Justice; all other positions are open to male and female Baháʼís. Beliefs. The teachings of Baháʼu'lláh form the foundation of Baháʼí beliefs. Three principles are central to these teachings: the unity of God, the unity of religion, and the unity of humanity. Bahá'ís believe that God periodically reveals his will through divine messengers, whose purpose is to transform the character of humankind and to develop, within those who respond, moral and spiritual qualities. Religion is thus seen as orderly, unified, and progressive from age to age. God. Baháʼí writings describe a single, personal, inaccessible, omniscient, omnipresent, imperishable, and almighty God who is the creator of all things in the universe. The existence of God and the universe are thought to be eternal, with no beginning or end. Even though God is not directly accessible, he is seen as being conscious of creation, with a will and a purpose which is expressed through messengers who are called Manifestations of God. The Baháʼí conception of God is of an "unknowable essence" who is the source of all existence and known through the perception of human virtues. In another sense, Baháʼí teachings on God are also panentheistic, seeing signs of God in all things, but the reality of God being exalted and above the physical world. Baháʼí teachings state that God is too great for humans to fully comprehend, and based on them, humans cannot create a complete and accurate image of God by themselves. Therefore, human understanding of God is achieved through the recognition of the person of the Manifestation and through the understanding of his revelations via his Manifestations. In the Baháʼí Faith, God is often referred to by titles and attributes (for example, the All-Powerful, or the All-Loving), and there is a substantial emphasis on monotheism. Baháʼí teachings state that these attributes do not apply to God directly but are used to translate Godliness into human terms and to help people concentrate on their own attributes in worshipping God to develop their potential on their spiritual path. According to the Baháʼí teachings the human purpose is to learn to know and love God through such methods as prayer, reflection, and being of service to others. Religion. Baháʼí notions of progressive religious revelation result in their accepting the validity of the well known religions of the world, whose founders and central figures are seen as Manifestations of God. Religious history is interpreted as a series of dispensations, where each "manifestation" brings a somewhat broader and more advanced revelation that is rendered as a text of scripture and passed on through history with greater or lesser reliability but at least true in substance, suited for the time and place in which it was expressed. Specific religious social teachings (for example, the direction of prayer, or dietary restrictions) may be revoked by a subsequent manifestation so that a more appropriate requirement for the time and place may be established. Conversely, certain general principles (for example, neighbourliness, or charity) are seen to be universal and consistent. In Baháʼí belief, this process of progressive revelation will not end; it is, however, believed to be cyclical. Baháʼís do not expect a new manifestation of God to appear within 1000 years of Baháʼu'lláh's revelation. Baháʼís assert that their religion is a distinct tradition with its own scriptures and laws, and not a sect of another religion. Most religious specialists now see it as an independent religion, with its religious background in Shiʻa Islam being seen as analogous to the Jewish context in which Christianity was established. Baháʼís describe their faith as an independent world religion, differing from the other traditions in its relative age and modern context. Human beings. The Baháʼí writings state that human beings have a "rational soul", and that this provides the species with a unique capacity to recognize God's status and humanity's relationship with its creator. Every human is seen to have a duty to recognize God through his Messengers, and to conform to their teachings. Through recognition and obedience, service to humanity and regular prayer and spiritual practice, the Baháʼí writings state that the soul becomes closer to God, the spiritual ideal in Baháʼí belief. According to Baháʼí belief, when a human dies, the soul is permanently separated from the body and carries on in the next world where it is judged based on the person's actions in the physical world. Heaven and Hell are taught to be spiritual states of nearness or distance from God that describe relationships in this world and the next, and not physical places of reward and punishment achieved after death. The Baháʼí writings emphasize the essential equality of human beings, and the abolition of prejudice. Humanity is seen as essentially one, though highly varied; its diversity of race and culture are seen as worthy of appreciation and acceptance. Doctrines of racism, nationalism, caste, social class, and gender-based hierarchy are seen as artificial impediments to unity. The Baháʼí teachings state that the unification of humanity is the paramount issue in the religious and political conditions of the present world. Social principles. When ʻAbdu'l-Bahá first traveled to Europe and America in 1911–1912, he gave public talks that articulated the basic principles of the Baháʼí Faith. These included preaching on the equality of men and women, race unity, the need for world peace, and other ideas considered progressive in the early 20th century. Published summaries of the Baháʼí teachings often include a list of these principles, and lists vary in wording and what is included. The concept of the unity of humankind, seen by Baháʼís as an ancient truth, is the starting point for many of the ideas. The equality of races and the elimination of extremes of wealth and poverty, for example, are implications of that unity. Another outgrowth of the concept is the need for a united world federation, and some practical recommendations to encourage its realization involve the establishment of a universal language, a standard economy and system of measurement, universal compulsory education, and an international court of arbitration to settle disputes between nations. Nationalism, according to this viewpoint, should be abandoned in favor of allegiance to the whole of humankind. With regard to the pursuit of world peace, Baháʼu'lláh prescribed a world-embracing collective security arrangement. Other Baháʼí social principles revolve around spiritual unity. Religion is viewed as progressive from age to age, but to recognize a newer revelation one has to abandon tradition and independently investigate. Baháʼís are taught to view religion as a source of unity, and religious prejudice as destructive. Science is also viewed in harmony with true religion. Though Baháʼu'lláh and ʻAbdu'l-Bahá called for a united world that is free of war, they also anticipate that over the long term, the establishment of a lasting peace (The Most Great Peace) and the purging of the "overwhelming Corruptions" requires that the people of the world unite under a universal faith with spiritual virtues and ethics to complement material civilization. Shoghi Effendi, the head of the religion from 1921 to 1957, wrote the following summary of what he considered to be the distinguishing principles of Baháʼu'lláh's teachings, which, he said, together with the laws and ordinances of the "Kitáb-i-Aqdas" constitute the bedrock of the Baháʼí Faith: Covenant. Baháʼís highly value unity, and Baháʼu'lláh clearly established rules for holding the community together and resolving disagreements. Within this framework, no individual follower may propose 'inspired' or 'authoritative' interpretations of scripture, and individuals agree to support the line of authority established in Baháʼí scriptures. This practice has left the Baháʼí community unified and free of any serious fracturing. The Universal House of Justice is the final authority to resolve any disagreements among Baháʼís, and the few attempts at schism have all either become extinct or remained extremely small, numbering a few hundred adherents collectively. The followers of such divisions are regarded as Covenant-breakers and shunned. Sacred texts. The "canonical texts" of the Baháʼí Faith are the writings of the Báb, Baháʼu'lláh, ʻAbdu'l-Bahá, Shoghi Effendi and the Universal House of Justice, and the authenticated talks of ʻAbdu'l-Bahá. The writings of the Báb and Baháʼu'lláh are considered as divine revelation, the writings and talks of ʻAbdu'l-Bahá and the writings of Shoghi Effendi as authoritative interpretation, and those of the Universal House of Justice as authoritative legislation and elucidation. Some measure of divine guidance is assumed for all of these texts. Some of Baháʼu'lláh's most important writings include the "Kitáb-i-Aqdas" ("Most Holy Book"), which defines many laws and practices for individuals and society, the "Kitáb-i-Íqán" ("Book of Certitude"), which became the foundation of much of Baháʼí belief, and "Gems of Divine Mysteries", which includes further doctrinal foundations. Although the Baháʼí teachings have a strong emphasis on social and ethical issues, a number of foundational texts have been described as mystical. These include the "Seven Valleys" and the "Four Valleys". "The Seven Valleys" was written to a follower of Sufism, in the style of ʻAttar, the Persian Muslim poet, and sets forth the stages of the soul's journey towards God. It was first translated into English in 1906, becoming one of the earliest available books of Baháʼu'lláh to the West. "The Hidden Words" is another book written by Baháʼu'lláh during the same period, containing 153 short passages in which Baháʼu'lláh claims to have taken the basic essence of certain spiritual truths and written them in brief form. Demographics. As of 2020, there were about 8 million Bahá'ís in the world. In 2013, two scholars of demography wrote that, "The Baha'i Faith is the only religion to have grown faster in every United Nations region over the past 100 years than the general population; Bahaʼi [sic] was thus the fastest-growing religion between 1910 and 2010, growing at least twice as fast as the population of almost every UN region." The largest proportions of the total worldwide Bahá'í population were found in sub-Saharan Africa (29.9%) and South Asia (26.8%), followed by Southeast Asia (12.7%) and Latin America (12.2%). Lesser numbers are found in North America (7.6%) and the Middle East/North Africa (6.2%), with the smallest being in Europe (2.0%), Australasia (1.6%), and Northeast Asia (0.9%). In 2015, the Bahá'í Faith was the second largest religion in Iran, Panama, Belize, Bolivia, Zambia, and Papua New Guinea, and the third largest in Chad and Kenya. From the Bahá'í Faith's origins in the 19th century until the 1950s, the vast majority of Baháʼís were found in Iran; converts from outside Iran were mostly found in India and the Western world. From having roughly 200,000 Baháʼís in 1950, the religion grew to have over 4 million by the late 1980s, with a wide international distribution. As of 2008, there were about 110,000 followers in Iran. Most of the growth in the late 20th century was seeded out of North America by means of the planned migration of individuals. Yet, rather than being a cultural spread from either Iran or North America, in 2001, sociologist David B. Barrett wrote that the Baháʼí Faith is, "A world religion with no racial or national focus". However, the growth has not been even. From the late 1920s to the late 1980s, the religion was banned and its adherents were harassed in the Soviet-led Eastern Bloc, and then again from the 1970s into the 1990s across some countries in sub-Saharan Africa. The most intense opposition has been in Iran and neighboring Shia-majority countries, considered an attempted genocide by some scholars, watchdog agencies and human rights organizations. Meanwhile, in other times and places, the religion has experienced surges in growth. Before it was banned in certain countries, the religion "hugely increased" in sub-Saharan Africa. In 1989 the Universal House of Justice named Bolivia, Bangladesh, Haiti, India, Liberia, Peru, the Philippines, and Taiwan as countries where the growth of the religion had been notable in the previous decades. Bahá'í sources claimed "more than five million" Bahá'ís in 1991–92. However, since around 2001 the Universal House of Justice has prioritized statistics of the community by their levels of activity rather than simply their population of avowed adherents or numbers of local assemblies. Because Bahá'ís do not represent the majority of the population in any country, and most often represent only a tiny fraction of countries' total populations, there are problems of under-reporting. In addition, there are examples where the adherents have their highest density among minorities in societies who face their own challenges. Malietoa Tanumafili II of Samoa, who became Baháʼí in 1968 and died in 2007, was the first serving head of state to embrace the Baháʼí Faith. Baháʼís consider Queen Marie of Romania to be the first crowned head to accept and promote the teachings of Baháʼu'lláh. Social practices. Exhortations. The following are a few examples from Baháʼu'lláh's teachings on personal conduct that are required or encouraged of his followers: Prohibitions. The following are a few acts of personal conduct that are prohibited or discouraged by Baháʼu'lláh's teachings: The observance of personal laws, such as prayer or fasting, is the sole responsibility of the individual. There are, however, occasions when a Baháʼí might be administratively expelled from the community for a public disregard of the laws, or gross immorality. Such expulsions are administered by the National Spiritual Assembly and do not involve shunning. While some of the laws in the "Kitáb-i-Aqdas" are applicable at the present time, other laws are dependent upon the existence of a predominantly Baháʼí society, such as the punishments for arson and murder. The laws, when not in direct conflict with the civil laws of the country of residence, are binding on every Baháʼí. Marriage. The purpose of marriage in the Baháʼí Faith is mainly to foster spiritual harmony, fellowship and unity between a man and a woman and to provide a stable and loving environment for the rearing of children. The Baháʼí teachings on marriage call it a "fortress for well-being and salvation" and place marriage and the family as the foundation of the structure of human society. Baháʼu'lláh highly praised marriage, discouraged divorce, and required chastity outside of marriage; Baháʼu'lláh taught that a husband and wife should strive to improve the spiritual life of each other. Interracial marriage is also highly praised throughout Baháʼí scripture. Baháʼís intending to marry are asked to obtain a thorough understanding of the other's character before deciding to marry. Although parents should not choose partners for their children, once two individuals decide to marry, they must receive the consent of all living biological parents, whether they are Baháʼí or not. The Baháʼí marriage ceremony is simple; the only compulsory part of the wedding is the reading of the wedding vows prescribed by Baháʼu'lláh which both the groom and the bride read, in the presence of two witnesses. The vows are "We will all, verily, abide by the Will of God." Transgender people can gain recognition of their gender in the Baháʼí Faith if they have medically transitioned and undergone sex reassignment surgery (SRS). After SRS, they are considered transitioned and may have a Baháʼí marriage. Work. Baháʼu'lláh prohibited a mendicant and ascetic lifestyle. Monasticism is forbidden, and Baháʼís are taught to practice spirituality while engaging in useful work. The importance of self-exertion and service to humanity in one's spiritual life is emphasised further in Baháʼu'lláh's writings, where he states that work done in the spirit of service to humanity enjoys a rank equal to that of prayer and worship in the sight of God. Places of worship. Bahá'í devotional meetings in most communities currently take place in people's homes or Bahá'í centres, but in some communities Bahá'í Houses of Worship (also known as Bahá'í temples) have been built. Bahá'í Houses of Worship are places where both Baháʼís and non-Baháʼís can express devotion to God. They are also known by the name "Mashriqu'l-Adhkár" (Arabic for "Dawning-place of the remembrance of God"). Only the holy scriptures of the Bahá'í Faith and other religions can be read or chanted inside, and while readings and prayers that have been set to music may be sung by choirs, no musical instruments may be played inside. Furthermore, no sermons may be delivered, and no ritualistic ceremonies practiced. All Bahá'í Houses of Worship have a nine-sided shape (nonagon) as well as nine pathways leading outward and nine gardens surrounding them. There are currently eight "continental" Bahá'í Houses of Worship and some local Bahá'í Houses of Worship completed or under construction. The Bahá'í writings also envision Bahá'í Houses of Worship being surrounded by institutions for humanitarian, scientific, and educational pursuits, though none has yet been built up to such an extent. Calendar. The Baháʼí calendar is based upon the calendar established by the Báb. The year consists of 19 months, each having 19 days, with four or five intercalary days, to make a full solar year. The Baháʼí New Year corresponds to the traditional Iranian New Year, called Naw Rúz, and occurs on the vernal equinox, near 21 March, at the end of the month of fasting. Once every Baháʼí month there is a gathering of the Baháʼí community called a Nineteen Day Feast with three parts: first, a devotional part for prayer and reading from Baháʼí scripture; second, an administrative part for consultation and community matters; and third, a social part for the community to interact freely. Each of the 19 months is given a name which is an attribute of God; some examples include Baháʼ (Splendour), ʻIlm (Knowledge), and Jamál (Beauty). The Baháʼí week is familiar in that it consists of seven days, with each day of the week also named after an attribute of God. Baháʼís observe 11 Holy Days throughout the year, with work suspended on 9 of these. These days commemorate important anniversaries in the history of the religion. Symbols. The symbols of the religion are derived from the Arabic word Baháʼ ( "splendor" or "glory"), with a numerical value of nine. This numerical connection to the name of Baháʼu'lláh, as well as nine being the highest single-digit, symbolizing completeness, are why the most common symbol of the religion is a nine-pointed star, and Baháʼí temples are nine-sided. The nine-pointed star is commonly set on Baháʼí gravestones. The ringstone symbol and calligraphy of the Greatest Name are also often encountered. The ringstone symbol consists of two five-pointed stars interspersed with a stylized Baháʼ whose shape is meant to recall God, the Manifestation of God, and the world of man; the Greatest Name is a calligraphic rendering of the phrase Yá Baháʼu'l-Abhá ( "O Glory of the Most Glorious!") and is commonly found in Baháʼí temples and homes. Socio-economic development. Since its inception the Baháʼí Faith has had involvement in socio-economic development beginning by giving greater freedom to women, promulgating the promotion of female education as a priority concern, and that involvement was given practical expression by creating schools, agricultural co-ops, and clinics. The religion entered a new phase of activity when a message from the Universal House of Justice dated 20 October 1983 was released. Baháʼís were urged to seek out ways, compatible with the Baháʼí teachings, in which they could become involved in the social and economic development of the communities in which they lived. Worldwide in 1979 there were 129 officially recognized Baháʼí socio-economic development projects. By 1987, the number of officially recognized development projects had increased to 1,482. Current initiatives of social action include activities in areas like health, sanitation, education, gender equality, arts and media, agriculture, and the environment. Educational projects include schools, which range from village tutorial schools to large secondary schools, and some universities. By 2017, the Baháʼí Office of Social and Economic Development estimated that there were 40,000 small-scale projects, 1,400 sustained projects, and 135 Baháʼí-inspired organizations. United Nations. Baháʼu'lláh wrote of the need for world government in this age of humanity's collective life. Because of this emphasis the international Baháʼí community has chosen to support efforts of improving international relations through organizations such as the League of Nations and the United Nations, with some reservations about the present structure and constitution of the UN. The Baháʼí International Community is an agency under the direction of the Universal House of Justice in Haifa, and has consultative status with the following organizations: The Baháʼí International Community has offices at the United Nations in New York and Geneva and representations to United Nations regional commissions and other offices in Addis Ababa, Bangkok, Nairobi, Rome, Santiago, and Vienna. In recent years, an Office of the Environment and an Office for the Advancement of Women were established as part of its United Nations Office. The Baháʼí Faith has also undertaken joint development programs with various other United Nations agencies. In the 2000 Millennium Forum of the United Nations a Baháʼí was invited as one of the only non-governmental speakers during the summit. Persecution. Baháʼís continue to be persecuted in some majority-Islamic countries, whose leaders do not recognize the Baháʼí Faith as an independent religion, but rather as apostasy from Islam. The most severe persecutions have occurred in Iran, where more than 200 Baháʼís were executed between 1978 and 1998. The rights of Baháʼís have been restricted to greater or lesser extents in numerous other countries, including Egypt, Afghanistan, Indonesia, Iraq, Morocco, Yemen, and several countries in sub-Saharan Africa. Iran. The most enduring persecution of Baháʼís has been in Iran, the birthplace of the religion. When the Báb started attracting a large following, the clergy hoped to stop the movement from spreading by stating that its followers were enemies of God. These clerical directives led to mob attacks and public executions. Starting in the twentieth century, in addition to repression aimed at individual Baháʼís, centrally directed campaigns that targeted the entire Baháʼí community and its institutions were initiated. In one case in Yazd in 1903 more than 100 Baháʼís were killed. Baháʼí schools, such as the Tarbiyat boys' and girls' schools in Tehran, were closed in the 1930s and 1940s, Baháʼí marriages were not recognized and Baháʼí texts were censored. During the reign of Mohammad Reza Pahlavi, to divert attention from economic difficulties in Iran and from a growing nationalist movement, a campaign of persecution against the Baháʼís was instituted. An approved and coordinated anti-Baháʼí campaign (to incite public passion against the Baháʼís) started in 1955 and it included the spreading of anti-Baháʼí propaganda on national radio stations and in official newspapers. During that campaign, initiated by Mulla Muhammad Taghi Falsafi, the Bahá'í center in Tehran was demolished at the orders of Tehran military governor, General Teymur Bakhtiar. In the late 1970s the Shah's regime consistently lost legitimacy due to criticism that it was pro-Western. As the anti-Shah movement gained ground and support, revolutionary propaganda was spread which alleged that some of the Shah's advisors were Baháʼís. Baháʼís were portrayed as economic threats, and as supporters of Israel and the West, and societal hostility against the Baháʼís increased. Since the Islamic Revolution of 1979, Iranian Baháʼís have regularly had their homes ransacked or have been banned from attending university or from holding government jobs, and several hundred have received prison sentences for their religious beliefs, most recently for participating in study circles. Baháʼí cemeteries have been desecrated and property has been seized and occasionally demolished, including the House of Mírzá Buzurg, Baháʼu'lláh's father. The House of the Báb in Shiraz, one of three sites to which Baháʼís perform pilgrimage, has been destroyed twice. In May 2018, the Iranian authorities expelled a young woman student from university of Isfahan because she was Baháʼí. In March 2018, two more Baháʼí students were expelled from universities in the cities of Zanjan and Gilan because of their religion. According to a US panel, attacks on Baháʼís in Iran increased under Mahmoud Ahmadinejad's presidency. The United Nations Commission on Human Rights revealed an October 2005 confidential letter from Command Headquarters of the Armed Forces of Iran ordering its members to identify Baháʼís and to monitor their activities. Due to these actions, the Special Rapporteur of the United Nations Commission on Human Rights stated on 20 March 2006, that she "also expresses concern that the information gained as a result of such monitoring will be used as a basis for the increased persecution of, and discrimination against, members of the Baháʼí faith, in violation of international standards. The Special Rapporteur is concerned that this latest development indicates that the situation with regard to religious minorities in Iran is, in fact, deteriorating." On 14 May 2008, members of an informal body known as the "Friends" that oversaw the needs of the Baháʼí community in Iran were arrested and taken to Evin prison. The Friends court case has been postponed several times, but was finally underway on 12 January 2010. Other observers were not allowed in the court. Even the defense lawyers, who for two years have had minimal access to the defendants, had difficulty entering the courtroom. The chairman of the U.S. Commission on International Religious Freedom said that it seems that the government has already predetermined the outcome of the case and is violating international human rights law. Further sessions were held on 7 February 2010, 12 April 2010 and 12 June 2010. On 11 August 2010 it became known that the court sentence was 20 years imprisonment for each of the seven prisoners which was later reduced to ten years. After the sentence, they were transferred to Gohardasht prison. In March 2011 the sentences were reinstated to the original 20 years. On 3 January 2010, Iranian authorities detained ten more members of the Baha'i minority, reportedly including Leva Khanjani, granddaughter of Jamaloddin Khanjani, one of seven Baha'i leaders jailed since 2008 and in February, they arrested his son, Niki Khanjani. The Iranian government claims that the Baháʼí Faith is not a religion, but is instead a political organization, and hence refuses to recognize it as a minority religion. However, the government has never produced convincing evidence supporting its characterization of the Baháʼí community. The Iranian government also accuses the Baháʼí Faith of being associated with Zionism. These accusations against the Baháʼís appear to lack basis in historical fact, with some arguing they were invented by the Iranian government in order to use the Baháʼís as scapegoats. In 2019, the Iranian government made it impossible for the Baháʼís to legally register with the Iranian state. National identity card applications in Iran no longer include the "other religions" option effectively making the Baháʼí Faith unrecognized by the state. Egypt. During the 1920s, Egypt's religious Tribunal recognized the Baha'i Faith as a new religion, independent from Islam, due to the nature of the 'laws, principles and beliefs' of the Baha'is. Baháʼí institutions and community activities have been illegal under Egyptian law since 1960. All Baháʼí community properties, including Baháʼí centers, libraries, and cemeteries, have been confiscated by the government and fatwas have been issued charging Baháʼís with apostasy. The Egyptian identification card controversy began in the 1990s when the government modernized the electronic processing of identity documents, which introduced a de facto requirement that documents must list the person's religion as Muslim, Christian, or Jewish (the only three religions officially recognized by the government). Consequently, Baháʼís were unable to obtain government identification documents (such as national identification cards, birth certificates, death certificates, marriage or divorce certificates, or passports) necessary to exercise their rights in their country unless they lied about their religion, which conflicts with Baháʼí religious principle. Without documents, they could not be employed, educated, treated in hospitals, travel outside of the country, or vote, among other hardships. Following a protracted legal process culminating in a court ruling favorable to the Baháʼís, the interior minister of Egypt released a decree on 14 April 2009, amending the law to allow Egyptians who are not Muslim, Christian, or Jewish to obtain identification documents that list a dash in place of one of the three recognized religions. The first identification cards were issued to two Baháʼís under the new decree on 8 August 2009. Ottoman Empire. The Bahá'ís arrived in what is now Acre, Israel, in the 19th century, fleeing persecution. Ottoman authorities viewed Bahá'u'lláh as politically dangerous, which led to his exile to various locations within the Ottoman Empire, including Constantinople (Istanbul) and Adrianople (Edirne). After several exiles, Bahá'u'lláh finally arrived in Acre, where he lived under house arrest until his passing in 1892. His followers later established the Bahá'í Gardens and shrines in Haifa and Acre, both of which are now UNESCO World Heritage sites.
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Baiuvarii
The Baiuvarii or Bavarii, sometimes simply called Bavarians (; ) were a Germanic people who lived in and near present-day southern Bavaria, which is named after them. They began to appear in records by the 6th century AD, and their culture, language and political institutions are the predecessors of those of the medieval Duchy of Bavaria and Margraviate of Austria. Among the Baiuvarii the Bavarian language developed, which is West Germanic language related to Standard German, still spoken not only by modern-day Bavarians, but also by Austrians and South Tyroleans. Name. The name of the Baiuvarii is also spelled "Baiuvari". It probably means "men from Bohemia". The placename Bohemia is believed to be connected to that of the Boii, a Celtic people who partly left the region before the Roman era and then were dominated by Germanic peoples. The Baiuvarii gave their name to the region of Bavaria. Language. The language of the Baiuvarii is classified as Germanic. It is uncertain whether they originally spoke an East Germanic or West Germanic language. Early evidence regarding the language of the Baiuvarii is limited to personal names and a few Runic inscriptions. By the 8th century AD, the Baiuvarii were speakers of an early form of the Austro-Bavarian language within the West Germanic family. History. The name is first attested in Latin sources in the 6th century AD. Evidence from the etymology of their name implies that the Baiuvarii, being named after Bohemia, can not have existed under that name before the 1st century AD. During this period Maroboduus, king of the Germanic Marcomanni, lead his people into their area which had previously been inhabited by the Celtic Boii. Whether the Baiuvarii settled Bavaria in a specific later migration, after Maroboduus, either from the north (Bohemia) or from Pannonia, is uncertain. A possible earlier record of the Baiuvarii, is the 2nd century mention of the Banochaemae, whose name appears to have a similar etymology. Claudius Ptolemy described them in his "Geography" as living near the Elbe, east of the Melibokus mountains, and north of the Asciburgius mountains. According to Karl Bosl, Bavarian migration to present-day Bavaria is a legend. The early Baiuvarii are often associated with the archaeological group, but this is controversial. During the time of Attila in the 5th century, the entire Middle Danube region saw the entry of many new peoples from north and east of the Carpathians, and the formation and destruction of many new and old political entities. It is thus more probable that the Baiuvarii emerged in the provinces of Noricum ripense and Raetia secunda following Odoacer's withdrawal of population to Italy in 488, and the subsequent expansion of Italian Ostrogothic, and Merovingian Frankish influence into the area. They are believed to have incorporated elements from several Germanic peoples, including the Sciri, Heruli, Suebi, Alemanni, Naristi, Thuringi and Lombards. They might also have included non-Germanic Romance people (romanized Celtic people). The region was under the influence of the Ostrogothic Kingdom of Theodoric the Great. During this period, the Frankish king Theudebert I (died 548) claimed control from the North Sea to Pannonia. After his death, his uncle Chlothar I appointed Garibald I as "dux" of Bavaria. He established the Agilolfings dynasty with his power base at Augsburg or Regensburg. By the 8th century, many Baiuvarii had converted to Christianity. Through their ruling Agilolfings dynasty, they were closely connected with the Franks. Culture. A collection of Bavarian tribal laws was compiled in the 8th century. This document is known as "Lex Baiuvariorum". Elements of it possibly date back to the 6th century. It is very similar to "Lex Thuringorum", which was the legal code of the Thuringi, with whom the Baiuvarii had close relations. The funerary traditions of the Baiuvarii are similar to those of the Alemanni, but quite different from those of the Thuringi. The Baiuvarii are distinguished by the presence of individuals with artificially deformed craniums in their cemeteries. These individuals were predominantly female; there is no undisputed evidence of males with artificially deformed skulls in Bavaria. Genetic and archeological evidence shows that these women were migrants from eastern cultures, who married Bavarii males, suggesting the importance of exogamy within the Bavarii culture. The migrant women were fully integrated in to Bavarii culture. In 2018, genomic research showed that these foreign women had southeastern European and East Asian ancestry. The presence of these women among the Bavarii people indicates that men from the Bavarii culture practiced exogamy, preferentially marrying women from eastern populations. Genetics. A genetic study published in the "Proceedings of the National Academy of Sciences of the United States of America" in 2018 examined the remains of 41 individuals buried at a Bavarian cemetery ca. 500 AD. Of these, 11 whole genomes were generated. The males were found to be genetically homogeneous and of north-central European origin. The females were less homogeneous, carried less Northern European ancestry, and were found to combine Southeast European and East Asian ancestry. There were significant gender differences in skin, hair and eye pigmentation in the sample. While 80% of the Bavarii males had blond hair and blue eyes, the women had much higher rates of brown eyes and darker hair colors. The local women with East Asian and Southern European-related ancestry, generally had brown eyes, and 60% were dark haired. No significant admixture with Roman populations from territories further south of the area was detected. Among modern populations, the surveyed male individuals did not have modified skulls and were found to be most closely related to modern-day Germans.
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Burgundians
The Burgundians were an early Germanic tribe or group of tribes. They appeared east in the middle Rhine region in the third century AD, and were later moved west into the Roman Empire, in Gaul. In the first and second centuries AD, they or a people with the same name were mentioned by Roman writers living west of the Vistula river, in the region of Germania, which is now part of Poland. The Burgundians were first mentioned near the Rhine regions together with the Alamanni as early as the 11th panegyric to Emperor Maximian given in Trier in 291 AD, referring to events that must have happened between 248 and 291, and these two peoples apparently remained neighbours for centuries. By 411 AD, Burgundians had established control over Roman cities on the Rhine, between Franks and Alamanni, including Worms, Speyer and Strasbourg. In 436 AD, Aëtius defeated the Burgundians on the Rhine with the help of Hunnish forces, and then in 443, he re-settled the Burgundians within the empire, in eastern Gaul. This Gaulish domain became the Kingdom of the Burgundians, which much later became a component of the Frankish Empire. The name of the kingdom survives in the regional appellation Burgundy, which is now a region of France although the modern region represents only a part of that kingdom. Another part of the Burgundians formed a contingent in Attila's Hunnic army by 451 AD. Before clear documentary evidence begins, the Burgundians may have originally emigrated from the Baltic island of Bornholm to the Vistula region. Name. The ethnonym Burgundians is commonly used in English to refer to the "Burgundi" ("Burgundionei", "Burgundiones" or "Burgunds") who settled in eastern Gaul and the western Alps during the 5th century AD. The much larger original Kingdom of the Burgundians barely intersected the modern "Bourgogne" and more closely matched the boundaries of Franche-Comté in northeastern France, the Rhône-Alpes in southeastern France, Romandy in west Switzerland, and Aosta Valley, in north west Italy. In modern usage, however, "Burgundians" can sometimes refer to later inhabitants of the geographical "Bourgogne" or "Borgogne" (Burgundy), named after the old kingdom, but not corresponding to the original boundaries of it. Between the 6th and 20th centuries, the boundaries and political connections of "Burgundy" have changed frequently. In modern times the only area still referred to as Burgundy is in France, which derives its name from the Duchy of Burgundy. But in the context of the Middle Ages the term Burgundian (or similar spellings) can refer even to the powerful political entity the Dukes controlled which included not only Burgundy itself but had actually expanded to have a strong association with areas now in modern Belgium and Southern Netherlands. The parts of the old Kingdom not within the French controlled Duchy tended to come under different names, except for the County of Burgundy. History. Uncertain origins. The origins of the Burgundians before they reached the area near the Roman-controlled Rhine is a subject of various old proposals, but these are doubted by some modern historians. As remarked by Susan Reynolds, citing Ian N. Wood: They have long been associated with Scandinavian origin based on place-name evidence and archaeological evidence (Stjerna) and many consider their tradition to be correct (e.g. Musset, p. 62). According to such proposals, the Burgundians are believed to have then emigrated to the Baltic island of Bornholm ("the island of the Burgundians" in Old Norse). By about 250 AD, the population of Bornholm had largely disappeared from the island. Most cemeteries ceased to be used, and those that were still used had few burials (Stjerna, in German 1925:176). In "Þorsteins saga Víkingssonar" ("The Saga of Thorstein, Viking's Son"), a man (or group) named Veseti settled on a holm (island) called "borgundarhólmr" in Old Norse, i.e. Bornholm. Alfred the Great's translation of "Orosius" uses the name "Burgenda land" to refer to a territory next to the land of Sweons ("Swedes"). The 19th century poet and mythologist Viktor Rydberg asserted from an early medieval source, "Vita Sigismundi", that they themselves retained oral traditions about their Scandinavian origin. Roman accounts. A people with the same name, Burgundiones, were described by early Roman writers as living in present-day Poland. It has also been proposed that there several important Germanic tribes later found settled near Roman frontiers originally had their origins around the Baltic sea, including the Rugii, Goths, Gepidae, Vandals, and others. According to such proposals, their movement south created turmoil along the entire Roman frontier. Southwards migrations are believed to have triggered the Marcomannic Wars, which resulted in widespread destruction and the first invasion of Italy in the Roman Empire period. Writing in the 6th century, Jordanes reported that during the 3rd century AD, the Burgundians had been living near the Vistula basin, where they were almost annihilated by Fastida, king of the Gepids, whose kingdom was also originally near the mouth of the Vistula. In the late 3rd century AD, the Burgundians appeared on the east bank of the Rhine, apparently confronting Roman Gaul. Zosimus (1.68) reports them being defeated by the emperor Probus in 278 near a river, together with the Silingi and Vandals. A few years later, Claudius Mamertinus mentions them along with the Alamanni, a Suebic people. These two peoples had moved into the Agri Decumates on the eastern side of the Rhine, an area still referred to today as Swabia, at times attacking Roman Gaul together and sometimes fighting each other. He also mentions that the Goths had previously defeated the Burgundians. Ammianus Marcellinus, on the other hand, claimed that the Burgundians descended from the Romans. The Roman sources do not speak of any specific migration from Poland by the Burgundians, and so there have historically been some doubts about the link between the eastern and western Burgundians. In 369/370 AD, the Emperor Valentinian I enlisted the aid of the Burgundians in his war against the Alamanni. Approximately four decades later, the Burgundians appear again. Following Stilicho's withdrawal of troops to fight Alaric I the Visigoth in 406–408 AD, a large group of peoples from central Europe north of the Danube came west and crossed the Rhine, entering the Empire near the lands of the Burgundians who had moved much earlier. The dominant groups were Alans, Vandals (Hasdingi and Silingi), and Danubian Suevi. The majority of these Danubian peoples moved through Gaul and eventually established themselves in kingdoms in Roman Hispania. One group of Alans was settled in northern Gaul by the Romans. Some Burgundians were settled as "foederati" in the Roman province of Germania Prima along the Middle Rhine. Other Burgundians, however, remained outside the empire and apparently formed a contingent in Attila's Hunnic army by 451 AD. Kingdom. Rhineland. In 411, the Burgundian king Gundahar (or "Gundicar") set up a puppet emperor, Jovinus, in cooperation with Goar, king of the Alans. With the authority of the Gallic emperor that he controlled, Gundahar settled on the left (Roman) bank of the Rhine, between the river Lauter and the Nahe, seizing Worms, Speyer, and Strassburg. Apparently as part of a truce, the Emperor Honorius later officially "granted" them the land, with its capital at the old Celtic Roman settlement of Borbetomagus (present Worms). Despite their new status as "foederati", Burgundian raids into Roman Upper Gallia Belgica became intolerable and were ruthlessly brought to an end in 436, when the Roman general Aëtius called in Hun mercenaries, who overwhelmed the Rhineland kingdom in 437. Gundahar was killed in the fighting, reportedly along with the majority of the Burgundian tribe. The destruction of Worms and the Burgundian kingdom by the Huns became the subject of heroic legends that were afterwards incorporated in the "Nibelungenlied"—on which Wagner based his Ring Cycle—where King Gunther (Gundahar) and Queen Brünhild hold their court at Worms, and Siegfried comes to woo Kriemhild. (In Old Norse sources the names are "Gunnar", "Brynhild", and "Gudrún" as normally rendered in English.) In fact, the "Etzel" of the "Nibelungenlied" is based on Attila the Hun. Settlement in eastern Gaul. For reasons not cited in the sources, the Burgundians were granted "foederati" status a second time, and in 443 were resettled by Aëtius in Sapaudia, part of the Gallo-Roman province of Maxima Sequanorum. Burgundians probably even lived near "Lugdunum", known today as Lyon. A new king, Gundioc or "Gunderic", presumed to be Gundahar's son, appears to have reigned following his father's death. The historian Pline tells us that Gunderic ruled the areas of Saône, Dauphiny, Savoie and a part of Provence. He set up Vienne as the capital of the kingdom of Burgundy. In all, eight Burgundian kings of the house of Gundahar ruled until the kingdom was overrun by the Franks in 534. As allies of Rome in its last decades, the Burgundians fought alongside Aëtius and a confederation of Visigoths and others against Attila at the Battle of Châlons (also called "The Battle of the Catalaunian Fields") in 451. The alliance between Burgundians and Visigoths seems to have been strong, as Gundioc and his brother Chilperic I accompanied Theodoric II to Spain to fight the Sueves in 455. Aspirations to the empire. Also in 455, an ambiguous reference "infidoque tibi Burdundio ductu" implicates an unnamed treacherous Burgundian leader in the murder of the emperor Petronius Maximus in the chaos preceding the sack of Rome by the Vandals. The Patrician Ricimer is also blamed; this event marks the first indication of the link between the Burgundians and Ricimer, who was probably Gundioc's brother-in-law and Gundobad's uncle. In 456, the Burgundians, apparently confident in their growing power, negotiated a territorial expansion and power sharing arrangement with the local Roman senators. In 457, Ricimer overthrew another emperor, Avitus, raising Majorian to the throne. This new emperor proved unhelpful to Ricimer and the Burgundians. The year after his ascension, Majorian stripped the Burgundians of the lands they had acquired two years earlier. After showing further signs of independence, he was murdered by Ricimer in 461. Ten years later, in 472, Ricimer–who was by now the son-in-law of the Western Emperor Anthemius–was plotting with Gundobad to kill his father-in-law; Gundobad beheaded the emperor (apparently personally). Ricimer then appointed Olybrius; both died, surprisingly of natural causes, within a few months. Gundobad seems then to have succeeded his uncle as Patrician and king-maker, and raised Glycerius to the throne. In 474, Burgundian influence over the empire seems to have ended. Glycerius was deposed in favor of Julius Nepos, and Gundobad returned to Burgundy, presumably at the death of his father Gundioc. At this time or shortly afterwards, the Burgundian kingdom was divided among Gundobad and his brothers, Godigisel, Chilperic II, and Gundomar I. Consolidation of the kingdom. According to Gregory of Tours, the years following Gundobad's return to Burgundy saw a bloody consolidation of power. Gregory states that Gundobad murdered his brother Chilperic, drowning his wife and exiling their daughters (one of whom was to become the wife of Clovis the Frank, and was reputedly responsible for his conversion). This is contested by, e.g., Bury, who points out problems in much of Gregory's chronology for the events. In c. 500, when Gundobad and Clovis were at war, Gundobad appears to have been betrayed by his brother Godegisel, who joined the Franks; together Godegisel's and Clovis' forces "crushed the army of Gundobad". Gundobad was temporarily holed up in Avignon, but was able to re-muster his army and sacked Vienne, where Godegisel and many of his followers were put to death. From this point, Gundobad appears to have been the sole king of Burgundy. This would imply that his brother Gundomar was already dead, though there are no specific mentions of the event in the sources. Either Gundobad and Clovis reconciled their differences, or Gundobad was forced into some sort of vassalage by Clovis' earlier victory, as the Burgundian king appears to have assisted the Franks in 507 in their victory over Alaric II the Visigoth. During the upheaval, sometime between 483 and 501, Gundobad began to set forth the "Lex Gundobada" (see below), issuing roughly the first half, which drew upon the "Lex Visigothorum". Following his consolidation of power, between 501 and his death in 516, Gundobad issued the second half of his law, which was more originally Burgundian. Fall. The Burgundians were extending their power over eastern Gaul—that is western Switzerland and eastern France, as well as northern Italy. In 493, Clovis, king of the Franks, married the Burgundian princess Clotilda (daughter of Chilperic), who converted him to the Catholic faith. At first allied with Clovis' Franks against the Visigoths in the early 6th century, the Burgundians were eventually conquered at Autun by the Franks in 532 after a first attempt in the Battle of Vézeronce. The Burgundian kingdom was made part of the Merovingian kingdoms, and the Burgundians themselves were by and large absorbed as well. Physical appearance. The 5th century Gallo-Roman poet and landowner Sidonius, who at one point lived with the Burgundians, described them as a long-haired people of immense physical size: Language. The Burgundians and their language were described as Germanic by the poet Sidonius Apollinaris. Herwig Wolfram has interpreted this as being because they had entered Gaul from "Germania". More specifically their language is thought to have belonged to the East Germanic language group, based upon their presumed equivalence to the Burgundians named much earlier by Pliny in the east, and some names and placenames. However, this is now considered uncertain. Little is known of the language. Some proper names of Burgundians are recorded, and some words used in the area in modern times are thought to be derived from the ancient Burgundian language, but it is often difficult to distinguish these from Germanic words of other origin, and in any case the modern form of the words is rarely suitable to infer much about the form in the old language. The language appears to have become extinct during the late 6th century, likely due to the early conversion of the Burgundians to Latin Christianity. Religion. Somewhere in the east the Burgundians had converted to the Arian Christianity from earlier Germanic paganism. Their Arianism proved a source of suspicion and distrust between the Burgundians and the Catholic Western Roman Empire. Divisions were evidently healed or healing circa 500, however, as Gundobad, one of the last Burgundian kings, maintained a close personal friendship with Avitus, the bishop of Vienne. Moreover, Gundobad's son and successor, Sigismund, was himself a Catholic, and there is evidence that many of the Burgundian people had converted by this time as well, including several female members of the ruling family. Law. The Burgundians left three legal codes, among the earliest from any of the Germanic tribes. The "Liber Constitutionum sive Lex Gundobada" ("The Book of Constitutions or Law of Gundobad"), also known as the "Lex Burgundionum", or more simply the "Lex Gundobada" or the "Liber", was issued in several parts between 483 and 516, principally by Gundobad, but also by his son, Sigismund. It was a record of Burgundian customary law and is typical of the many Germanic law codes from this period. In particular, the "Liber" borrowed from the "Lex Visigothorum" and influenced the later "Lex Ripuaria". The "Liber" is one of the primary sources for contemporary Burgundian life, as well as the history of its kings. Like many of the Germanic tribes, the Burgundians' legal traditions allowed the application of separate laws for separate ethnicities. Thus, in addition to the "Lex Gundobada", Gundobad also issued (or codified) a set of laws for Roman subjects of the Burgundian kingdom, the "Lex Romana Burgundionum" ("The Roman Law of the Burgundians"). In addition to the above codes, Gundobad's son Sigismund later published the "Prima Constitutio".
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Dots and boxes
Dots and boxes is a pencil-and-paper game for two players (sometimes more). It was first published in the 19th century by French mathematician Édouard Lucas, who called it . It has gone by many other names, including dots and dashes, game of dots, dot to dot grid, boxes, and pigs in a pen. The game starts with an empty grid of dots. Usually two players take turns adding a single horizontal or vertical line between two unjoined adjacent dots. A player who completes the fourth side of a 1×1 box earns one point and takes another turn. A point is typically recorded by placing a mark that identifies the player in the box, such as an initial. The game ends when no more lines can be placed. The winner is the player with the most points. The board may be of any size grid. When short on time, or to learn the game, a 2×2 board (3×3 dots) is suitable. A 5×5 board, on the other hand, is good for experts. Strategy. For most novice players, the game begins with a phase of more-or-less randomly connecting dots, where the only strategy is to avoid adding the third side to any box. This continues until all the remaining (potential) boxes are joined into "chains" – groups of one or more adjacent boxes in which any move gives all the boxes in the chain to the opponent. At this point, players typically take all available boxes, then "open" the smallest available chain to their opponent. For example, a novice player faced with a situation like position 1 in the diagram on the right, in which some boxes can be captured, may take all the boxes in the chain, resulting in position 2. But with their last move, they have to open the next, larger chain, and the novice loses the game. A more experienced player faced with position 1 will instead play the "double-cross strategy", taking all but 2 of the boxes in the chain and leaving position 3. The opponent will take these two boxes and then be forced to open the next chain. By achieving position 3, player A wins. The same double-cross strategy applies no matter how many long chains there are: a player using this strategy will take all but two boxes in each chain and take all the boxes in the last chain. If the chains are long enough, then this player will win. The next level of strategic complexity, between experts who would both use the double-cross strategy (if they were allowed to), is a battle for control: an expert player tries to force their opponent to open the first long chain, because the player who first opens a long chain usually loses. Against a player who does not understand the concept of a sacrifice, the expert simply has to make the correct number of sacrifices to encourage the opponent to hand them the first chain long enough to ensure a win. If the other player also sacrifices, the expert has to additionally manipulate the number of available sacrifices through earlier play. In combinatorial game theory, Dots and Boxes is an impartial game and many positions can be analyzed using Sprague–Grundy theory. However, Dots and Boxes lacks the normal play convention of most impartial games (where the last player to move wins), which complicates the analysis considerably. Unusual grids and variants. Dots and Boxes need not be played on a rectangular gridit can be played on a triangular grid or a hexagonal grid. Dots and boxes has a dual graph form called "Strings-and-Coins". This game is played on a network of coins (vertices) joined by strings (edges). Players take turns cutting a string. When a cut leaves a coin with no strings, the player "pockets" the coin and takes another turn. The winner is the player who pockets the most coins. Strings-and-Coins can be played on an arbitrary graph. In analyses of Dots and Boxes, a game that starts with outer lines already drawn is called a "Swedish board" while the standard version that starts fully blank is called an "American board". An intermediate version with only the left and bottom sides starting with drawn lines is called an "Icelandic board". A related game is Dots, played by adding coloured dots to a blank grid, and joining them with straight or diagonal line in an attempt to surround an opponent's dots.
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Big Brother (Nineteen Eighty-Four)
Big Brother is a character and symbol in George Orwell's dystopian 1949 novel "Nineteen Eighty-Four". He is ostensibly the leader of Oceania, a totalitarian state wherein the ruling party, Ingsoc, wields total power "for its own sake" over the inhabitants. The ubiquitous slogan "Big Brother is watching you" serves as a constant reminder that Party members are not entitled to privacy. They are subject to constant surveillance to ensure their ideological purity. This is primarily through omnipresent telescreens that provide two-way video communication and constantly blare propaganda. This close surveillance does not extend to the "proles", who constitute the majority of Oceanic society. They are viewed as inferior beings whose ideas and opinions simply do not matter because they lack both the intelligence and conviction to recognize and assert their latent political power. (In British English, "prole" is an abbreviation of proletarian. It is often derogatory.) "Big Brother" has become a synecdoche for abuse of government power, particularly in respect to civil liberties, often specifically related to mass surveillance and a lack of choice in society. Character origins. There are many theories about the origin of the character. In the essay section of his novel "1985", Anthony Burgess states that Orwell got the idea for the name of Big Brother from advertising billboards for educational correspondence courses from a company called Bennett's during World War II. The original posters showed J. M. Bennett himself, a kindly-looking old man offering guidance and support to would-be students with the phrase "Let me be your father." According to Burgess, after Bennett's death, his son took over the company and the posters were replaced with pictures of the son (who looked imposing and stern in contrast to his father's kindly demeanor) with the text "Let me be your big brother". Additional speculation from Douglas Kellner of the University of California, Los Angeles, argued that Big Brother represents Joseph Stalin, representing Stalinism, and Adolf Hitler, representing Nazism. Another theory is that the inspiration for Big Brother was Brendan Bracken, the Minister of Information, a government department in wartime United Kingdom, until 1945. Orwell worked under Bracken on the BBC's Indian, Hong Kong and Malayan Service. Bracken was customarily referred to by his employees by his initials, B.B., the same initials as the character Big Brother. Orwell also resented the wartime censorship and need to manipulate information which he felt came from the highest levels of the Ministry of Information and from Bracken's office in particular. The idea of Big Brother could be also borrowed from the 1937 H. G. Wells novel "Star Begotten", in which "Big Brother" is referenced as a fictitious example of "mystical personifications" able to easily manipulate the common man, as well as the Soviet Union, where there was an ideology of "brotherly nations" or "brotherly countries". The Soviet Union presented itself as a big brother who watches over its younger brothers (other nations). The ideological word 'big brother' or 'older brother' was very well known and used in the Soviet Republics before and after the Second World War. In the "Circe" episode of James Joyce's "Ulysses" (1922) the prophet Elijah addresses God as "Big Brother up there, Mr President". Portrayal in the novel. Existence. In the novel, it is unclear if Big Brother is or had been a real person, or is a fictional personification of the Party, similar to Britannia and Uncle Sam. Big Brother is described as appearing on posters and telescreens as a man in his mid-forties. In Party propaganda, Big Brother is presented as one of the founders of the Party. At one point, Winston Smith, the protagonist of Orwell's novel, tries "to remember in what year he had first heard mention of Big Brother. He thought it must have been at some time in the sixties, but it was impossible to be certain. In the Party histories, Big Brother figured as the leader and guardian of the Revolution since its very earliest days. His exploits had been gradually pushed backwards in time until already they extended into the fabulous world of the forties and the thirties, when the capitalists in their strange cylindrical hats still rode through the streets of London". In the fictional book "The Theory and Practice of Oligarchical Collectivism", read by Winston Smith and purportedly written by political theorist Emmanuel Goldstein, Big Brother is referred to as infallible and all-powerful. No one has ever seen him and there is a reasonable certainty that he will never die. He is simply "the guise in which the Party chooses to exhibit itself to the world" since the emotions of love, fear and reverence are more easily focused on an individual (if only a face on the hoardings and a voice on the telescreens) than an organisation. When Winston Smith is later arrested, O'Brien repeats that Big Brother will never die. When Smith asks if Big Brother exists, O'Brien describes him as "the embodiment of the Party" and says that he will exist as long as the Party exists. When Winston asks "Does Big Brother exist the same way I do?" (meaning is Big Brother an actual human being), O'Brien replies "You do not exist" (meaning that Smith is now an unperson, an example of doublethink). Cult of personality. Big Brother is the subject of a cult of personality. A spontaneous ritual of devotion to "BB" is illustrated at the end of the compulsory Two Minutes Hate: Film adaptations. The character, as represented solely by a single still photograph, was played in the 1954 BBC adaptation by production designer Roy Oxley. In the 1956 film adaptation, Big Brother was represented by an illustration of a stern-looking disembodied head. In the film starring John Hurt released in 1984, the Big Brother photograph was of actor Bob Flag. Both Oxley and Flag sported small moustaches. Use as metaphor. Since the publication of "Nineteen Eighty-Four", the phrase "Big Brother" has come into common use to describe any prying or overly-controlling authority figure and attempts by government to increase surveillance. Big Brother and other Orwellian imagery are often referenced in the joke known as the Russian reversal. Iain Moncreiffe and Don Pottinger jokingly mentioned in their 1956 book "Blood Royal" the sentence: "Without Little Father need for Big Brother", referring to the Russian Revolution and the Soviet Union. The worldwide reality television show "Big Brother" is based on the novel's concept of people being under constant surveillance. In 2000, after the United States version of the CBS program "Big Brother" premiered, the Estate of George Orwell sued CBS and its production company Orwell Productions, Inc. in federal court in Chicago for copyright and trademark infringement. The case was "Estate of Orwell v. CBS", 00-c-5034 (ND Ill). On the eve of trial, the case settled worldwide to the parties' "mutual satisfaction", but the amount that CBS paid to the Orwell Estate was not disclosed. CBS had not asked the Estate for permission. Under current laws, the novel will remain under copyright protection until 2044 in the United States; it entered the public domain in 2020 within the European Union. The magazine "Book" ranked Big Brother no. 59 on its "100 best characters in fiction since 1900" list. "Wizard" magazine rated him the 75th-greatest villain of all time. The iconic image of Big Brother (played by David Graham) played a key role in Apple's "1984" television commercial introducing the Macintosh. The Orwell Estate viewed the Apple commercial as a copyright infringement and sent a cease-and-desist letter to Apple and its advertising agency. The commercial was never televised again, though the date mentioned in the ad (24 January) was but two days later, making it unlikely that it would have been re-aired regardless. Subsequent ads featuring Steve Jobs for a variety of products have mimicked the format and appearance of that original ad campaign, with the appearance of Jobs nearly identical to that of Big Brother. China's Social Credit System has been described as akin to "Big Brother" by detractors, where citizens and businesses are given or deducted good behavior points depending on their choices.
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Binary search
In computer science, binary search, also known as half-interval search, logarithmic search, or binary chop, is a search algorithm that finds the position of a target value within a sorted array. Binary search compares the target value to the middle element of the array. If they are not equal, the half in which the target cannot lie is eliminated and the search continues on the remaining half, again taking the middle element to compare to the target value, and repeating this until the target value is found. If the search ends with the remaining half being empty, the target is not in the array. Binary search runs in logarithmic time in the worst case, making formula_1 comparisons, where formula_2 is the number of elements in the array. Binary search is faster than linear search except for small arrays. However, the array must be sorted first to be able to apply binary search. There are specialized data structures designed for fast searching, such as hash tables, that can be searched more efficiently than binary search. However, binary search can be used to solve a wider range of problems, such as finding the next-smallest or next-largest element in the array relative to the target even if it is absent from the array. There are numerous variations of binary search. In particular, fractional cascading speeds up binary searches for the same value in multiple arrays. Fractional cascading efficiently solves a number of search problems in computational geometry and in numerous other fields. Exponential search extends binary search to unbounded lists. The binary search tree and B-tree data structures are based on binary search. Algorithm. Binary search works on sorted arrays. Binary search begins by comparing an element in the middle of the array with the target value. If the target value matches the element, its position in the array is returned. If the target value is less than the element, the search continues in the lower half of the array. If the target value is greater than the element, the search continues in the upper half of the array. By doing this, the algorithm eliminates the half in which the target value cannot lie in each iteration. Procedure. Given an array formula_3 of formula_2 elements with values or records formula_5sorted such that formula_6, and target value formula_7, the following subroutine uses binary search to find the index of formula_7 in formula_3. This iterative procedure keeps track of the search boundaries with the two variables formula_10 and formula_12. The procedure may be expressed in pseudocode as follows, where the variable names and types remain the same as above, codice_1 is the floor function, and codice_2 refers to a specific value that conveys the failure of the search. function binary_search(A, n, T) is L := 0 R := n − 1 while L ≤ R do m := L + floor((R - L) / 2) if A[m] < T then L := m + 1 else if A[m] > T then R := m − 1 else: return m return unsuccessful Alternatively, the algorithm may take the ceiling of formula_17. This may change the result if the target value appears more than once in the array. Alternative procedure. In the above procedure, the algorithm checks whether the middle element (formula_15) is equal to the target (formula_7) in every iteration. Some implementations leave out this check during each iteration. The algorithm would perform this check only when one element is left (when formula_32). This results in a faster comparison loop, as one comparison is eliminated per iteration, while it requires only one more iteration on average. Hermann Bottenbruch published the first implementation to leave out this check in 1962. Where codice_3 is the ceiling function, the pseudocode for this version is: function binary_search_alternative(A, n, T) is L := 0 R := n − 1 while L != R do m := L + ceil((R - L) / 2) if A[m] > T then R := m − 1 else: L := m if A[L] = T then return L return unsuccessful Duplicate elements. The procedure may return any index whose element is equal to the target value, even if there are duplicate elements in the array. For example, if the array to be searched was formula_51 and the target was formula_52, then it would be correct for the algorithm to either return the 4th (index 3) or 5th (index 4) element. The regular procedure would return the 4th element (index 3) in this case. It does not always return the first duplicate (consider formula_53 which still returns the 4th element). However, it is sometimes necessary to find the leftmost element or the rightmost element for a target value that is duplicated in the array. In the above example, the 4th element is the leftmost element of the value 4, while the 5th element is the rightmost element of the value 4. The alternative procedure above will always return the index of the rightmost element if such an element exists. Procedure for finding the leftmost element. To find the leftmost element, the following procedure can be used: If formula_70 and formula_71, then formula_72 is the leftmost element that equals formula_7. Even if formula_7 is not in the array, formula_10 is the rank of formula_7 in the array, or the number of elements in the array that are less than formula_7. Where codice_1 is the floor function, the pseudocode for this version is: function binary_search_leftmost(A, n, T): L := 0 R := n while L < R: m := L + floor((R - L) / 2) if A[m] < T: L := m + 1 else: R := m return L Procedure for finding the rightmost element. To find the rightmost element, the following procedure can be used: If formula_94 and formula_95, then formula_96 is the rightmost element that equals formula_7. Even if "formula_7" is not in the array, formula_99 is the number of elements in the array that are greater than "formula_7". Where codice_1 is the floor function, the pseudocode for this version is: function binary_search_rightmost(A, n, T): L := 0 R := n while L < R: m := L + floor((R - L) / 2) if A[m] > T: R := m else: L := m + 1 return R - 1 Approximate matches. The above procedure only performs "exact" matches, finding the position of a target value. However, it is trivial to extend binary search to perform approximate matches because binary search operates on sorted arrays. For example, binary search can be used to compute, for a given value, its rank (the number of smaller elements), predecessor (next-smallest element), successor (next-largest element), and nearest neighbor. Range queries seeking the number of elements between two values can be performed with two rank queries. Performance. In terms of the number of comparisons, the performance of binary search can be analyzed by viewing the run of the procedure on a binary tree. The root node of the tree is the middle element of the array. The middle element of the lower half is the left child node of the root, and the middle element of the upper half is the right child node of the root. The rest of the tree is built in a similar fashion. Starting from the root node, the left or right subtrees are traversed depending on whether the target value is less or more than the node under consideration. In the worst case, binary search makes formula_105 iterations of the comparison loop, where the formula_106 notation denotes the floor function that yields the greatest integer less than or equal to the argument, and formula_107 is the binary logarithm. This is because the worst case is reached when the search reaches the deepest level of the tree, and there are always formula_105 levels in the tree for any binary search. The worst case may also be reached when the target element is not in the array. If formula_109 is one less than a power of two, then this is always the case. Otherwise, the search may perform formula_105iterations if the search reaches the deepest level of the tree. However, it may make formula_111 iterations, which is one less than the worst case, if the search ends at the second-deepest level of the tree. On average, assuming that each element is equally likely to be searched, binary search makes formula_112 iterations when the target element is in the array. This is approximately equal to formula_113 iterations. When the target element is not in the array, binary search makes formula_114 iterations on average, assuming that the range between and outside elements is equally likely to be searched. In the best case, where the target value is the middle element of the array, its position is returned after one iteration. In terms of iterations, no search algorithm that works only by comparing elements can exhibit better average and worst-case performance than binary search. The comparison tree representing binary search has the fewest levels possible as every level above the lowest level of the tree is filled completely. Otherwise, the search algorithm can eliminate few elements in an iteration, increasing the number of iterations required in the average and worst case. This is the case for other search algorithms based on comparisons, as while they may work faster on some target values, the average performance over "all" elements is worse than binary search. By dividing the array in half, binary search ensures that the size of both subarrays are as similar as possible. Space complexity. Binary search requires three pointers to elements, which may be array indices or pointers to memory locations, regardless of the size of the array. Therefore, the space complexity of binary search is formula_115 in the word RAM model of computation. Derivation of average case. The average number of iterations performed by binary search depends on the probability of each element being searched. The average case is different for successful searches and unsuccessful searches. It will be assumed that each element is equally likely to be searched for successful searches. For unsuccessful searches, it will be assumed that the intervals between and outside elements are equally likely to be searched. The average case for successful searches is the number of iterations required to search every element exactly once, divided by formula_2, the number of elements. The average case for unsuccessful searches is the number of iterations required to search an element within every interval exactly once, divided by the formula_117 intervals. Successful searches. In the binary tree representation, a successful search can be represented by a path from the root to the target node, called an "internal path". The length of a path is the number of edges (connections between nodes) that the path passes through. The number of iterations performed by a search, given that the corresponding path has length , is formula_118 counting the initial iteration. The "internal path length" is the sum of the lengths of all unique internal paths. Since there is only one path from the root to any single node, each internal path represents a search for a specific element. If there are elements, which is a positive integer, and the internal path length is formula_119, then the average number of iterations for a successful search formula_120, with the one iteration added to count the initial iteration. Since binary search is the optimal algorithm for searching with comparisons, this problem is reduced to calculating the minimum internal path length of all binary trees with nodes, which is equal to: formula_121 For example, in a 7-element array, the root requires one iteration, the two elements below the root require two iterations, and the four elements below require three iterations. In this case, the internal path length is: formula_122 The average number of iterations would be formula_123 based on the equation for the average case. The sum for formula_119 can be simplified to: formula_125 Substituting the equation for formula_119 into the equation for formula_127: formula_128 For integer , this is equivalent to the equation for the average case on a successful search specified above. Unsuccessful searches. Unsuccessful searches can be represented by augmenting the tree with "external nodes", which forms an "extended binary tree". If an internal node, or a node present in the tree, has fewer than two child nodes, then additional child nodes, called external nodes, are added so that each internal node has two children. By doing so, an unsuccessful search can be represented as a path to an external node, whose parent is the single element that remains during the last iteration. An "external path" is a path from the root to an external node. The "external path length" is the sum of the lengths of all unique external paths. If there are formula_2 elements, which is a positive integer, and the external path length is formula_130, then the average number of iterations for an unsuccessful search formula_131, with the one iteration added to count the initial iteration. The external path length is divided by formula_132 instead of formula_2 because there are formula_132 external paths, representing the intervals between and outside the elements of the array. This problem can similarly be reduced to determining the minimum external path length of all binary trees with formula_2 nodes. For all binary trees, the external path length is equal to the internal path length plus formula_136. Substituting the equation for formula_119: formula_138 Substituting the equation for formula_130 into the equation for formula_140, the average case for unsuccessful searches can be determined: formula_141 Performance of alternative procedure. Each iteration of the binary search procedure defined above makes one or two comparisons, checking if the middle element is equal to the target in each iteration. Assuming that each element is equally likely to be searched, each iteration makes 1.5 comparisons on average. A variation of the algorithm checks whether the middle element is equal to the target at the end of the search. On average, this eliminates half a comparison from each iteration. This slightly cuts the time taken per iteration on most computers. However, it guarantees that the search takes the maximum number of iterations, on average adding one iteration to the search. Because the comparison loop is performed only formula_105 times in the worst case, the slight increase in efficiency per iteration does not compensate for the extra iteration for all but very large formula_109. Additional considerations. Cost of comparison. In analyzing the performance of binary search, another consideration is the time required to compare two elements. For integers and strings, the time required increases linearly as the encoding length (usually the number of bits) of the elements increase. For example, comparing a pair of 64-bit unsigned integers would require comparing up to double the bits as comparing a pair of 32-bit unsigned integers. The worst case is achieved when the integers are equal. This can be significant when the encoding lengths of the elements are large, such as with large integer types or long strings, which makes comparing elements expensive. Furthermore, comparing floating-point values (the most common digital representation of real numbers) is often more expensive than comparing integers or short strings. Fast floating point comparison is possible via comparing as an integer. However, this kind of comparison forms a total order, which makes "every" floating-point value compare differently from each other and the same as itself. This is different from the typical comparison where -0.0 should be the same as 0.0 and NaN should not compare the same as any other value including itself. Branch prediction. According to Steel Bank Common Lisp contributor Paul Khuong, binary search leads to very few branch mispredictions despite its data-dependent nature. This is in part because most of it can be expressed as conditional moves instead of branches. The same applies to most logarithmic divide-and-conquer search algorithms. Cache usage. On most computer architectures, the processor has a hardware cache separate from RAM. Since they are located within the processor itself, caches are much faster to access but usually store much less data than RAM. Therefore, most processors store memory locations that have been accessed recently, along with memory locations close to it. For example, when an array element is accessed, the element itself may be stored along with the elements that are stored close to it in RAM, making it faster to sequentially access array elements that are close in index to each other (locality of reference). On a sorted array, binary search can jump to distant memory locations if the array is large, unlike algorithms (such as linear search and linear probing in hash tables) which access elements in sequence. This adds slightly to the running time of binary search for large arrays on most systems. Paul Khuong has noted that binary search on large (≥ 512 KiB) arrays of exactly a power-of-two size tends to cause an additional problem with how CPU caches are implemented. Specifically, the translation lookaside buffer (TLB) is often implemented as a content-addressable memory (CAM), with the "key" usually being the lower bits of a requested address. When searching on an array of exactly a power-of-two size, memory address with the same lower bits tend to be accessed, causing collisions ("aliasing") with the "key" used to fetch the CAM. The typical TLB is 4-way associative, meaning it can handle at most four addresses hitting the same "key", after which TLB thrashing happens. (Although the other levels of CPU caches also use a similar setup, they manage smaller areas with a higher way count, usually 8 or 16, so they are less affected.) This can be prevented by offsetting the split point of the binary search so it divides at instead of exactly the middle. Binary search versus other schemes. Sorted arrays with binary search are a very inefficient solution when insertion and deletion operations are interleaved with retrieval, taking formula_144 time for each such operation. In addition, sorted arrays can complicate memory use especially when elements are often inserted into the array. There are other data structures that support much more efficient insertion and deletion. Binary search can be used to perform exact matching and set membership (determining whether a target value is in a collection of values). There are data structures that support faster exact matching and set membership. However, unlike many other searching schemes, binary search can be used for efficient approximate matching, usually performing such matches in formula_145 time regardless of the type or structure of the values themselves. In addition, there are some operations, like finding the smallest and largest element, that can be performed efficiently on a sorted array. Linear search. Linear search is a simple search algorithm that checks every record until it finds the target value. Linear search can be done on a linked list, which allows for faster insertion and deletion than an array. Binary search is faster than linear search for sorted arrays except if the array is short, although the array needs to be sorted beforehand. All sorting algorithms based on comparing elements, such as quicksort and merge sort, require at least formula_146 comparisons in the worst case. Unlike linear search, binary search can be used for efficient approximate matching. There are operations such as finding the smallest and largest element that can be done efficiently on a sorted array but not on an unsorted array. Trees. A binary search tree is a binary tree data structure that works based on the principle of binary search. The records of the tree are arranged in sorted order, and each record in the tree can be searched using an algorithm similar to binary search, taking on average logarithmic time. Insertion and deletion also require on average logarithmic time in binary search trees. This can be faster than the linear time insertion and deletion of sorted arrays, and binary trees retain the ability to perform all the operations possible on a sorted array, including range and approximate queries. However, binary search is usually more efficient for searching as binary search trees will most likely be imperfectly balanced, resulting in slightly worse performance than binary search. This even applies to balanced binary search trees, binary search trees that balance their own nodes, because they rarely produce the tree with the fewest possible levels. Except for balanced binary search trees, the tree may be severely imbalanced with few internal nodes with two children, resulting in the average and worst-case search time approaching formula_109 comparisons. Binary search trees take more space than sorted arrays. Binary search trees lend themselves to fast searching in external memory stored in hard disks, as binary search trees can be efficiently structured in filesystems. The B-tree generalizes this method of tree organization. B-trees are frequently used to organize long-term storage such as databases and filesystems. Hashing. For implementing associative arrays, hash tables, a data structure that maps keys to records using a hash function, are generally faster than binary search on a sorted array of records. Most hash table implementations require only amortized constant time on average. However, hashing is not useful for approximate matches, such as computing the next-smallest, next-largest, and nearest key, as the only information given on a failed search is that the target is not present in any record. Binary search is ideal for such matches, performing them in logarithmic time. Binary search also supports approximate matches. Some operations, like finding the smallest and largest element, can be done efficiently on sorted arrays but not on hash tables. Set membership algorithms. A related problem to search is set membership. Any algorithm that does lookup, like binary search, can also be used for set membership. There are other algorithms that are more specifically suited for set membership. A bit array is the simplest, useful when the range of keys is limited. It compactly stores a collection of bits, with each bit representing a single key within the range of keys. Bit arrays are very fast, requiring only formula_148 time. The Judy1 type of Judy array handles 64-bit keys efficiently. For approximate results, Bloom filters, another probabilistic data structure based on hashing, store a set of keys by encoding the keys using a bit array and multiple hash functions. Bloom filters are much more space-efficient than bit arrays in most cases and not much slower: with formula_149 hash functions, membership queries require only formula_150 time. However, Bloom filters suffer from false positives. Other data structures. There exist data structures that may improve on binary search in some cases for both searching and other operations available for sorted arrays. For example, searches, approximate matches, and the operations available to sorted arrays can be performed more efficiently than binary search on specialized data structures such as van Emde Boas trees, fusion trees, tries, and bit arrays. These specialized data structures are usually only faster because they take advantage of the properties of keys with a certain attribute (usually keys that are small integers), and thus will be time or space consuming for keys that lack that attribute. As long as the keys can be ordered, these operations can always be done at least efficiently on a sorted array regardless of the keys. Some structures, such as Judy arrays, use a combination of approaches to mitigate this while retaining efficiency and the ability to perform approximate matching. Variations. Uniform binary search. Uniform binary search stores, instead of the lower and upper bounds, the difference in the index of the middle element from the current iteration to the next iteration. A lookup table containing the differences is computed beforehand. For example, if the array to be searched is , the middle element (formula_15) would be . In this case, the middle element of the left subarray () is and the middle element of the right subarray () is . Uniform binary search would store the value of as both indices differ from by this same amount. To reduce the search space, the algorithm either adds or subtracts this change from the index of the middle element. Uniform binary search may be faster on systems where it is inefficient to calculate the midpoint, such as on decimal computers. Exponential search. Exponential search extends binary search to unbounded lists. It starts by finding the first element with an index that is both a power of two and greater than the target value. Afterwards, it sets that index as the upper bound, and switches to binary search. A search takes formula_152 iterations before binary search is started and at most formula_153 iterations of the binary search, where formula_154 is the position of the target value. Exponential search works on bounded lists, but becomes an improvement over binary search only if the target value lies near the beginning of the array. Interpolation search. Instead of calculating the midpoint, interpolation search estimates the position of the target value, taking into account the lowest and highest elements in the array as well as length of the array. It works on the basis that the midpoint is not the best guess in many cases. For example, if the target value is close to the highest element in the array, it is likely to be located near the end of the array. A common interpolation function is linear interpolation. If formula_3 is the array, formula_156 are the lower and upper bounds respectively, and formula_7 is the target, then the target is estimated to be about formula_158 of the way between formula_10 and formula_12. When linear interpolation is used, and the distribution of the array elements is uniform or near uniform, interpolation search makes formula_161 comparisons. In practice, interpolation search is slower than binary search for small arrays, as interpolation search requires extra computation. Its time complexity grows more slowly than binary search, but this only compensates for the extra computation for large arrays. Fractional cascading. Fractional cascading is a technique that speeds up binary searches for the same element in multiple sorted arrays. Searching each array separately requires formula_162 time, where formula_149 is the number of arrays. Fractional cascading reduces this to formula_164 by storing specific information in each array about each element and its position in the other arrays. Fractional cascading was originally developed to efficiently solve various computational geometry problems. Fractional cascading has been applied elsewhere, such as in data mining and Internet Protocol routing. Generalization to graphs. Binary search has been generalized to work on certain types of graphs, where the target value is stored in a vertex instead of an array element. Binary search trees are one such generalization—when a vertex (node) in the tree is queried, the algorithm either learns that the vertex is the target, or otherwise which subtree the target would be located in. However, this can be further generalized as follows: given an undirected, positively weighted graph and a target vertex, the algorithm learns upon querying a vertex that it is equal to the target, or it is given an incident edge that is on the shortest path from the queried vertex to the target. The standard binary search algorithm is simply the case where the graph is a path. Similarly, binary search trees are the case where the edges to the left or right subtrees are given when the queried vertex is unequal to the target. For all undirected, positively weighted graphs, there is an algorithm that finds the target vertex in formula_1 queries in the worst case. Noisy binary search. Noisy binary search algorithms solve the case where the algorithm cannot reliably compare elements of the array. For each pair of elements, there is a certain probability that the algorithm makes the wrong comparison. Noisy binary search can find the correct position of the target with a given probability that controls the reliability of the yielded position. Every noisy binary search procedure must make at least formula_166 comparisons on average, where formula_167 is the binary entropy function and formula_168 is the probability that the procedure yields the wrong position. The noisy binary search problem can be considered as a case of the Rényi-Ulam game, a variant of Twenty Questions where the answers may be wrong. Quantum binary search. Classical computers are bounded to the worst case of exactly formula_169 iterations when performing binary search. Quantum algorithms for binary search are still bounded to a proportion of formula_170 queries (representing iterations of the classical procedure), but the constant factor is less than one, providing for a lower time complexity on quantum computers. Any "exact" quantum binary search procedure—that is, a procedure that always yields the correct result—requires at least formula_171 queries in the worst case, where formula_172 is the natural logarithm. There is an exact quantum binary search procedure that runs in formula_173 queries in the worst case. In comparison, Grover's algorithm is the optimal quantum algorithm for searching an unordered list of elements, and it requires formula_174 queries. History. The idea of sorting a list of items to allow for faster searching dates back to antiquity. The earliest known example was the Inakibit-Anu tablet from Babylon dating back to . The tablet contained about 500 sexagesimal numbers and their reciprocals sorted in lexicographical order, which made searching for a specific entry easier. In addition, several lists of names that were sorted by their first letter were discovered on the Aegean Islands. "Catholicon", a Latin dictionary finished in 1286 CE, was the first work to describe rules for sorting words into alphabetical order, as opposed to just the first few letters. In 1946, John Mauchly made the first mention of binary search as part of the Moore School Lectures, a seminal and foundational college course in computing. In 1957, William Wesley Peterson published the first method for interpolation search. Every published binary search algorithm worked only for arrays whose length is one less than a power of two until 1960, when Derrick Henry Lehmer published a binary search algorithm that worked on all arrays. In 1962, Hermann Bottenbruch presented an ALGOL 60 implementation of binary search that placed the comparison for equality at the end, increasing the average number of iterations by one, but reducing to one the number of comparisons per iteration. The uniform binary search was developed by A. K. Chandra of Stanford University in 1971. In 1986, Bernard Chazelle and Leonidas J. Guibas introduced fractional cascading as a method to solve numerous search problems in computational geometry. Implementation issues. When Jon Bentley assigned binary search as a problem in a course for professional programmers, he found that ninety percent failed to provide a correct solution after several hours of working on it, mainly because the incorrect implementations failed to run or returned a wrong answer in rare edge cases. A study published in 1988 shows that accurate code for it is only found in five out of twenty textbooks. Furthermore, Bentley's own implementation of binary search, published in his 1986 book "Programming Pearls", contained an overflow error that remained undetected for over twenty years. The Java programming language library implementation of binary search had the same overflow bug for more than nine years. In a practical implementation, the variables used to represent the indices will often be of fixed size (integers), and this can result in an arithmetic overflow for very large arrays. If the midpoint of the span is calculated as formula_175, then the value of formula_176 may exceed the range of integers of the data type used to store the midpoint, even if formula_10 and formula_12 are within the range. If "formula_10" and "formula_12" are nonnegative, this can be avoided by calculating the midpoint as formula_181. An infinite loop may occur if the exit conditions for the loop are not defined correctly. Once "formula_10" exceeds "formula_12", the search has failed and must convey the failure of the search. In addition, the loop must be exited when the target element is found, or in the case of an implementation where this check is moved to the end, checks for whether the search was successful or failed at the end must be in place. Bentley found that most of the programmers who incorrectly implemented binary search made an error in defining the exit conditions. Library support. Many languages' standard libraries include binary search routines:
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Belle and Sebastian
Belle and Sebastian are a Scottish indie pop band formed in Glasgow in 1996. Led by Stuart Murdoch, the band has released twelve studio albums. They are often compared with acts such as the Smiths and Nick Drake. The band took their name from the 1965 television series "Belle and Sebastian". History. Formation, early years and "Tigermilk" (1994–1996). In 1994, Stuart Murdoch and Stuart David both enrolled at Stow College's Beatbox programme for unemployed musicians in Glasgow. Together, with music professor Alan Rankine (formerly of the Associates), they recorded some demos, which in 1996 were picked up by the college's Music Business course that produces and releases one single each year on the college's label, Electric Honey. As Murdoch had a number of songs already and the label was extremely impressed with the demos, he was granted permission to record a full-length album, which was recorded mostly live over three days, entitled "Tigermilk". Murdoch and David recruited local musicians Stevie Jackson (guitar and vocals), Isobel Campbell (cello/vocals), Chris Geddes (keys) and Richard Colburn (drums), the latter of whom shared a flat with David and was a student on the Music Business course, to perform on the album, with Murdoch describing the process as a "product of botched capitalism". The band chose the name Belle and Sebastian from a short story Murdoch had written inspired by the television series of the same name, about a six-year-old boy and his dog, named Belle, a Great Pyrenees. In June 1996, Electric Honey pressed up one thousand copies of "Tigermilk" on vinyl. "If You're Feeling Sinister" and early EPs (1996–1998). The warm response "Tigermilk" received led to the band being signed to Jeepster Records in August 1996, who released their second album "If You're Feeling Sinister" on 18 November. The album was named by "Spin" as one of the 100 greatest albums between 1985 and 2005, and it is widely considered the band's masterpiece. Just before the recording of "Sinister", Sarah Martin (violin/vocals) joined the band. Following this a series of EPs were released throughout 1997. The first of these was "Dog on Wheels", released in May and consisting of four demo tracks recorded prior to the real formation of the band. In fact, the only long-term band members to play on the songs were Murdoch, David, and Mick Cooke, who played trumpet on the EP but would not officially join the band until a few years later. It charted at No. 59 in the UK singles chart. The "Lazy Line Painter Jane" EP followed in July. The track was recorded in the church where Murdoch lived and features vocals from Monica Queen. The EP narrowly missed out on the UK top 40, peaking at No. 41. The last of the EPs was October's "3.. 6.. 9 Seconds of Light". The EP was made Single of the Week in both the "NME" and "Melody Maker" and reached No. 32 in the charts, thus becoming the band's first top 40 single. Despite the band's growing popularity, during this period they kept a low profile at the insistence of Murdoch, who was still regaining his strength following years struggling with myalgic encephalomyelitis/chronic fatigue syndrome (ME/CFS). The band played gigs sporadically, rarely gave interviews, and refused to appear in publicity photographs, often getting friends and acquaintances to pose instead. The relative reclusiveness helped to create an aura of mystique around them. "The Boy with the Arab Strap", "Fold Your Hands Child, You Walk Like a Peasant" and Line-up Changes (1998–2003). The band released their third LP, "The Boy with the Arab Strap" in 1998, and it reached No. 12 in the UK charts. "Arab Strap" garnered an NPR interview and positive reviews from "Rolling Stone" and "The Village Voice," and others; however, the album has its detractors, including "Pitchfork", who gave the album a particularly poor review, calling it a "parody" of their earlier work (Pitchfork has since removed the review from their website and re-reviewed the album positively in 2018). During the recording of the album, long-time studio trumpet-player Mick Cooke was asked to join the band as a full member. The "This Is Just a Modern Rock Song" EP followed later that year. In 1999, the band was awarded with Best Newcomer (for their third album) at the BRIT Awards, upsetting better-known acts such as Steps and 5ive. That same year, the band hosted their own festival, the Bowlie Weekender. "Tigermilk" was also given a full release by Jeepster before the band started work on their next LP. The result was "Fold Your Hands Child, You Walk Like a Peasant", which became the band's first top 10 album in the UK, though critics felt that the band were starting to stagnate. A stand-alone single, "Legal Man", reached No. 15 and gave them their first appearance on Top of the Pops. As the band's popularity and recognition was growing worldwide, their music began appearing in films and on television. The 2000 film "High Fidelity" mentions the band (with Jack Black's character referring to them as "old sad bastard music" and disdaining their soft style) and features a clip from the song "Seymour Stein" from "The Boy with the Arab Strap". Two songs by the band ("Expectations" and "Piazza, New York Catcher") appeared on the soundtrack for the 2007 hit film "Juno." Also, the title track from "Arab Strap" was played over the end credits of the UK television series "Teachers," and the lyric "Colour my life with the chaos of trouble" from the song was quoted by one of the characters in the 2009 film "(500) Days of Summer". Stuart David soon left the band to concentrate on his side project, Looper, and his book writing, which included his "The Idle Thoughts of a Daydreamer". He was replaced by Bobby Kildea of V-Twin. The "Jonathan David" single, sung by Stevie Jackson, was released in June 2001 and was followed by "I'm Waking Up to Us" in November, which saw the band use an outside producer (Mike Hurst) for the first time. Most of 2002 was spent touring and recording a soundtrack album, "Storytelling" (for "Storytelling" by Todd Solondz). Campbell left the band in the spring of 2002, in the middle of the band's North American tour to pursue a solo career, first as The Gentle Waves, and later under her own name. She later collaborated with singer Mark Lanegan on three albums. "Dear Catastrophe Waitress", "The Life Pursuit" and hiatus (2003–2010). The band left Jeepster in 2002, signing a four-album deal with Rough Trade Records. Their first album for Rough Trade, "Dear Catastrophe Waitress", was released in 2003 and was produced by Trevor Horn. The album showed a markedly more "produced" sound compared to their first four LPs, as the band was making a concerted effort to produce more "radio-friendly" music. At this point, the band began to engage more with the press and started appearing in publicity shots. The album was warmly received and is credited with restoring the band's "indie cred". The album also marked the return of Murdoch as the group's primary songwriter, following the poorly received "Fold Your Hands Child, You Walk Like a Peasant" and "Storytelling", both of which were more collaborative than the band's early work. A documentary DVD, "Fans Only", was released by Jeepster in October 2003, featuring promotional videos, live clips and unreleased footage. A single from the album, "Step into My Office, Baby" followed in November 2003; it would be their first single to be taken from an album, and included a track recorded with Divine Comedy producer Darren Allison entitled "Love on the March". The Thin Lizzy-inspired "I'm a Cuckoo" was the second single from the album. It achieved their highest chart position yet, reaching No. 14 in the UK. The "Books" EP followed, a double A-side single led by "Wrapped Up in Books" from "Dear Catastrophe Waitress" and the new "Your Cover's Blown". This EP became the band's third top 20 UK release, and the band was nominated for both the Mercury Music Prize and an Ivor Novello Award. In January 2005, B&S was voted Scotland's greatest band in a poll by "The List", beating Simple Minds, Idlewild, Travis, Franz Ferdinand, and the Proclaimers, among others. In April 2005, members of the band visited Israel and the Palestinian territories with the UK charity War on Want; the group subsequently recorded a song inspired by the trip titled "The Eighth Station of the Cross Kebab House", which would first appear on the digital-download version of the charity album "" and would later have a physical release as a B-side on 2006's "Funny Little Frog" single. "Push Barman to Open Old Wounds", a compilation of the Jeepster singles and EPs, was released in May 2005 while the band were recording their seventh album in California. The result of the sessions was "The Life Pursuit", produced by Tony Hoffer. The album, originally intended to be a double album, became the band's highest-charting album upon its release in February 2006, peaking at No. 8 in the UK and No. 65 on the US "Billboard" 200. "Funny Little Frog", which preceded it, also proved to be their highest-charting single, debuting at No. 13. On 6 July 2006, the band played a historic show with the Los Angeles Philharmonic at the Hollywood Bowl. The opening act at the 18,000 seat sell-out concert was the Shins. The members of the band see this as a landmark event, with Stevie Jackson saying, "This is the biggest thrill of my entire life". In October 2006, members of the band helped put together a CD collection of new songs for children titled "Colours Are Brighter", with the involvement of major bands such as Franz Ferdinand and the Flaming Lips. On 18 November 2008 the band released "The BBC Sessions", which features songs from the period of 1996–2001 (including the last recordings featuring Isobel Campbell before she left the band), along with a second disc featuring a recording of a live performance in Belfast from Christmas 2001. "Write About Love" and "Girls In Peacetime Want to Dance" (2010–2016). On 17 July 2010, the band performed their first UK gig in almost four years to a crowd of around 30,000 at Latitude Festival in Henham Park, Southwold. They performed two new songs, "I Didn't See It Coming" and "I'm Not Living in the Real World". Their eighth studio album, released in the UK and internationally on 25 September 2010, was titled "Write about Love". The first single from the album, as well as the record's title track "Write about Love", was released in the US on 7 September 2010. "Write about Love" entered the UK albums chart in its first week of release, peaking at No. 8 as of 19 October 2010. Norah Jones is featured on the track "Little Lou, Ugly Jack, Prophet John", and Carey Mulligan sings on the title track. In December 2010 Belle and Sebastian curated the sequel to the "Bowlie Weekender" in the form of "Bowlie 2" presented by All Tomorrow's Parties. In 2013, Pitchfork TV released an hour-long documentary in February, directed by RJ Bentler which focused on the band's 1996 album "If You're Feeling Sinister", as well as the formation and early releases of the band. The documentary featured interviews with every member that was present on the album, as well as several archival photos and videos from the band's early days. The band compiled a second compilation album "The Third Eye Centre" which included the B-sides and rarities released after "Push Barman to Open Old Wounds", from the albums "Dear Catastrophe Waitress", "The Life Pursuit", and "Write about Love". In an interview at the end of 2013, Mick Cooke confirmed he had left the band on good terms. The band received an 'Outstanding Contribution to Music Award' at the NME Awards 2014. In 2014, the band returned to the studio, recording in Atlanta, Georgia for their ninth studio album, along with announcing tour dates for various festivals and concerts across the world during 2014. Their ninth album "Girls in Peacetime Want to Dance" was released on 19 January 2015. It was their first album with Dave McGowan, who had been their touring bassist since 2011. The Belle and Sebastian song "There's Too Much Love" forms much of the soundtrack for the Brazilian film "The Way He Looks", about a blind, gay teenage boy and his friends, released in 2014. Belle and Sebastian performed at the Glastonbury Festival on 28 June 2015, on 'The Other Stage' and at O2 Academy, Glasgow in March 2017 which was televised in the UK as part of the 'BBC 6 MUSIC Presents Festival'. "How to Solve Our Human Problems", "A Bit of Previous" and "Late Developers" (2017–present). In mid-2017, the band put out a new single, "We Were Beautiful". During the same year, the band appeared in the news for a comical story that occurred during their US tour, in which they accidentally forgot Colburn in a North Dakota Walmart. In December 2017 and January and February 2018, the band released a trio of EPs under the name "How to Solve Our Human Problems". On 3 November 2018, the band announced that Dave McGowan had become a member. In August 2019, to celebrate the 20th anniversary of the first Bowlie Weekender festival, Belle & Sebastian held a third festival, dubbed the "Boaty Weekender". Unlike the previous two festivals, the Boaty Weekender was held on a cruise ship in the Mediterranean Sea instead of UK holiday parks. The band's eleventh studio album, "A Bit of Previous", was released in May 2022. In January 2023, the band announced the surprise release of their twelfth studio album, "Late Developers". Lead single "I Don't Know What You See in Me" was released on 9 January 2023 with the album released on 13 January 2023. Band members. Current members Former members Timeline Discography. Studio albums
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Broadcast domain
A broadcast domain is a logical division of a computer network, in which all nodes can reach each other by broadcast at the data link layer. A broadcast domain can be within the same LAN segment or it can be bridged to other LAN segments. In terms of current popular technologies, any computer connected to the same Ethernet repeater or switch is a member of the same broadcast domain. Further, any computer connected to the same set of interconnected switches or repeaters is a member of the same broadcast domain. Routers and other network-layer devices form boundaries between broadcast domains. The notion of a broadcast domain can be compared with a collision domain, which would be all nodes on the same set of inter-connected repeaters and divided by switches and network bridges. Collision domains are generally smaller than and contained within broadcast domains. While some data-link-layer devices are able to divide the collision domains, broadcast domains are only divided by network-layer devices such as routers or layer-3 switches. Separating VLANs divides broadcast domains as well. Further explanation. The distinction between broadcast and collision domains comes about because simple Ethernet and similar systems use a shared medium for communication. In simple Ethernet (without switches or bridges), data frames are transmitted to all other nodes on a network. Each receiving node checks the destination address of each frame and simply ignores any frame not addressed to its own MAC address or the broadcast address. Switches act as buffers, receiving and analyzing the frames from each connected network segment. Frames destined for nodes connected to the originating segment are not forwarded by the switch. Frames destined for a specific node on a different segment are sent only to that segment. Only broadcast frames are forwarded to all other segments. This reduces unnecessary traffic and collisions. In such a switched network, transmitted frames may not be received by all other reachable nodes. Nominally, only broadcast frames will be received by all other nodes. Collisions are localized to the physical-layer network segment they occur on. Thus, the broadcast domain is the entire inter-connected layer-2 network, and the segments connected to each switch or bridge port are each a collision domain. To clarify; repeaters do not divide collision domains but switches do. This means that since switches have become commonplace, collision domains are isolated to the specific segment between the switch port and the connected node. Full-duplex segments, or links, don't form a collision domain as there is a dedicated channel between each transmitter and receiver, eliminating the possibility of collisions. Broadcast domain control. With a sufficiently sophisticated switch, it is possible to create a network in which a broadcast domain is strictly controlled. One implementation of this concept is a private VLAN. Another implementation is possible with Linux and iptables. One analogy is that by creating multiple VLANs, the number of broadcast domains increases, but the size of each broadcast domain decreases. This is because a VLAN defines a broadcast domain. This is achieved by designating one or more "provider" nodes, either by MAC address or switch port. Broadcast frames are allowed to originate from these sources and are sent to all other nodes. Broadcast frames from all other sources are directed only to the provider nodes. Traffic from other sources not destined to the provider nodes (peer-to-peer traffic) is blocked. The result is a network based on a nominally shared transmission system; like Ethernet, but in which client nodes cannot communicate with each other, only with the provider. Allowing direct data link layer communication between client nodes exposes the network to various security attacks, such as ARP spoofing.
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Beechcraft
Beechcraft is an American brand of civil aviation and military aircraft owned by Textron Aviation since 2014, headquartered in Wichita, Kansas. Originally, it was a brand of Beech Aircraft Corporation, an American manufacturer of general aviation, commercial, and military aircraft, ranging from light single-engined aircraft to twin-engined turboprop transports, business jets, and military trainers. Beech later became a division of Raytheon and then Hawker Beechcraft before a bankruptcy sale turned its assets over to Textron (parent company of Beech's historical cross-town Wichita rival, Cessna Aircraft Company). It remains a brand of Textron Aviation. History. Beech Aircraft Company was founded in Wichita, Kansas, in 1932 by Walter Beech as president, his wife Olive Ann Beech as secretary, Ted A. Wells as vice president of engineering, K. K. Shaul as treasurer, and investor C. G. Yankey as vice president. The company began operations in an idle Cessna factory. With designer Ted Wells, they developed the first aircraft under the Beechcraft name, the classic Beechcraft Model 17 Staggerwing, which first flew in November 1932. Over 750 Staggerwings were built, with 352 manufactured for the United States Army Air Forces and 67 for the United States Navy during World War II. Beechcraft was not Beech's first company, as he had previously formed Travel Air in 1924 and the design numbers used at Beechcraft followed the sequence started at Travel Air, and were then continued at Curtiss-Wright, after Travel Air had been absorbed into the much larger company in 1929. Beech had become president of Curtiss-Wright's airplane division and VP of sales, but was dissatisfied with being so far removed from aircraft production. He quit to form Beechcraft, using the original Travel Air facilities and employing many of the same people. Model numbers prior to 11/11000 were built under the "Travel Air" name, while Curtiss-Wright built the CW-12, 14, 15, and 16 as well as previous successful Travel Air models (mostly the model 4). In 1942 Beech won its first Army-Navy "E" Award production award and became one of the elite five percent of war contracting firms in the country to win five straight awards for production efficiency, mostly for the production of the Beechcraft Model 18 which remains in widespread use worldwide. Beechcraft ranked 69th among United States corporations in the value of World War II military production contracts. After the war, the Staggerwing was replaced by the revolutionary Beechcraft Bonanza with a distinctive V-tail. Perhaps the best known Beech aircraft, the single-engined Bonanza has been manufactured in various models since 1947. The Bonanza has had the longest production run of any airplane, past or present, in the world. Other important Beech aircraft are the King Air and Super King Air line of twin-engined turboprops, in production since 1964, the Baron, a twin-engined variant of the Bonanza, and the Beechcraft Model 18, originally a business transport and commuter airliner from the late 1930s through the 1960s, which remains in active service as a cargo transport. In 1950, Olive Ann Beech was installed as president and CEO of the company, after the sudden death of her husband from a heart attack on November 29 of that year. She continued as CEO until Beech was purchased by Raytheon Company on February 8, 1980. Ted Wells had been replaced as chief engineer by Herbert Rawdon, who remained at the post until his retirement in the early 1960s. Throughout much of the mid-to-late 20th century, Beechcraft was considered one of the "Big Three" in the field of general aviation manufacturing, along with Cessna and Piper Aircraft. In 1973, Beechcraft found Beechcraft Heritage Museum to host its historical aircraft. In 1994, Raytheon merged Beechcraft with the Hawker product line it had acquired in 1993 from British Aerospace, forming Raytheon Aircraft Company. In 2002, the Beechcraft brand was revived to again designate the Wichita-produced aircraft. In 2006, Raytheon sold Raytheon Aircraft to Goldman Sachs creating Hawker Beechcraft. Since its inception Beechcraft has resided in Wichita, Kansas, also the home of chief competitor Cessna, the birthplace of Learjet and of Stearman, whose trainers were used in large numbers during WW II. The entry into bankruptcy of Hawker Beechcraft on May 3, 2012, ended with its emergence on February 16, 2013, as a new entity, Beechcraft Corporation, with the Hawker Beechcraft name being retired. The new and much smaller company produce the King Air line of aircraft as well as the T-6 and AT-6 military trainer/attack aircraft, as well as the piston-powered single-engined Bonanza and twin-engined Baron aircraft. The jet line was discontinued, but the new company continues to support the aircraft already produced with parts, plus engineering and airworthiness documentation. By October 2013, the company, now financially turned around, was up for sale. On December 26, 2013, Textron agreed to purchase Beechcraft, including the discontinued Hawker jet line, for $1.4 billion. The sale was concluded in the first half of 2014, with government approval. Textron CEO Scott Donnelly indicated that Beechcraft and Cessna would be combined to form a new light aircraft manufacturing concern, Textron Aviation, that would result in US$65M–$85M in annual savings over keeping the companies separate. Textron has kept both the Beechcraft and Cessna names as separate brands. Products. As of July 2019, Textron Aviation was producing the following models under the Beechcraft brand name:
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Battle of Peleliu
The Battle of Peleliu, codenamed Operation Stalemate II by the US military, was fought between the United States and Japan during the Mariana and Palau Islands campaign of World War II, from 15 September to 27 November 1944, on the island of Peleliu. US Marines of the 1st Marine Division and then soldiers of the US Army's 81st Infantry Division fought to capture an airfield on the small coral island of Peleliu. The battle was part of a larger offensive campaign known as Operation Forager, which ran from June to November 1944 in the Pacific War. Major General William Rupertus, the commander of the 1st Marine Division, predicted that the island would be secured within four days. However, after repeated Imperial Japanese Army defeats in previous island campaigns, Japan had developed new island-defense tactics and well-crafted fortifications, which allowed them to offer stiff resistance and extended the battle to more than two months. The heavily outnumbered Japanese defenders put up such staunch resistance, often fighting to the death in the name of the Japanese Emperor, that the island became known in Japanese as the "Emperor's Island." In the US, the battle was controversial because of the island's negligible strategic value and the high casualty rate incurred by American troops during the fighting, which exceeded that of all other amphibious operations during the Pacific War. The National Museum of the Marine Corps called it "the bitterest battle of the war for the Marines". Background. By 1944, American victories in the Southwest and Central Pacific had brought the war closer to Japan, with American bombers able to strike at the Japanese main islands from air bases secured during the Mariana Islands campaign (June–August 1944). There was disagreement among the U.S. Joint Chiefs over two proposed strategies to defeat the Japanese Empire. The strategy proposed by General Douglas MacArthur called for the recapture of the Philippines, followed by the capture of Okinawa, then an attack on the Japanese home islands. Admiral Chester W. Nimitz favored a more direct strategy of bypassing the Philippines but seizing Okinawa and Taiwan as staging areas to an attack on the Japanese mainland, followed by the future invasion of Japan's southernmost islands. The 1st Marine Division had already been chosen to make the assault. U.S. President Franklin D. Roosevelt traveled to Pearl Harbor to personally meet both MacArthur and Nimitz and hear their arguments. In the end, MacArthur's strategy was chosen. However, before MacArthur could retake the Philippines, the Palau Islands, specifically Peleliu and Angaur, were to be neutralized and an airfield built to protect the southern flank of MacArthur's planned landings on the Philippines. Preparations. Japanese. By 1944, Peleliu was occupied by about 11,000 Japanese troops of the 14th Infantry Division, along with a handful of Korean laborers. Considered a crack unit, the division had been detached from the Kwantung Army in Manchuria to garrison Peleliu after the fall of the Marshall Islands earlier in 1944, and had arrived on the island in May. Colonel Kunio Nakagawa, commander of the division's 2nd Regiment, led the preparations for the island's defense. After their losses in the Solomons, Gilberts, Marshalls and Marianas, the Imperial Japanese Army assembled a research team to develop new island-defense tactics. Previously, Japanese island garrisons had heavily contested enemy landings on the beach itself, rendering them vulnerable to naval bombardment. The Japanese formulated new tactics that envisioned only a token defense of the landing beaches, instead protracting the conflict by holding defensible terrain in the island interior. Peleliu's steep, twisting coral ridges were ideal for such a defense in depth. Colonel Nakagawa used this rough terrain to his advantage by ordering the construction of heavily fortified bunkers, caves, and other subterranean positions, all interlocked in a "honeycomb" system. Traditional "banzai charge" attacks were to be discontinued, as they wasted manpower and were ineffective. These changes in tactics were designed to force the Americans into a war of attrition, compelling them to spend more troops, materiel and time to secure Japanese island garrisons. Nakagawa's defenses were centered on Peleliu's highest point. Located at the center of Peleliu, the hills and steep ridges of Umurbrogol Mountain overlooked much of the island, including its crucial airfield. The Umurbrogol contained some 500 limestone caves, connected via tunnel by Japanese engineers. Many of these caves were former mine shafts developed by Nanyo Kohatsu Kaisha (South Seas Development Company), a Japanese firm established in 1921 primarily to develop the sugar industry in Saipan, where its headquarters were located. However, the company also owned and worked the phosphate deposits on Peleliu. The phosphate material was mined with native labor and transported via narrow gauge railcars operated by manpower to a phosphate refinery located at the wharf on Peleliu. The mines and caves were turned into defensive positions. Engineers added sliding armored steel doors with multiple openings to many cave entrances, providing extra protection and concealment for artillery and machine guns. Cave entrances were opened or altered to be slanted as a defense against grenade and flamethrower attacks. The caves and bunkers were connected to a vast tunnel and trench system throughout central Peleliu, which allowed the Japanese to evacuate or reoccupy positions as needed, and to take advantage of shrinking interior lines. The Japanese garrison was well armed with and mortars and anti-aircraft cannons, backed by a light tank unit and an anti-aircraft detachment. The Japanese also used the beach terrain to their advantage. The northern end of the landing beaches faced a coral promontory that overlooked the beaches from a small peninsula, a spot later known to the Marines who assaulted it simply as "The Point". Holes were blasted into The Point to accommodate a gun and six 20 mm cannons. The positions were then sealed shut, leaving only a thin slit to fire on the beaches. The Japanese constructed similar positions along the stretch of landing beaches on the western shore of Peleliu. The beaches were also filled with thousands of obstacles for the landing craft, principally mines and a large number of heavy artillery shells buried with the fuses exposed, designed to explode when they were run over. Nakagawa placed a battalion along the beach to defend against the landing, but this unit was meant to merely delay the inevitable American advance inland. Neither Nakagawa nor his superior officers expected the garrison to survive if Peleliu was attacked, and Japanese military planners made no contingencies to evacuate any survivors. American. Unlike the Japanese, who drastically altered their tactics for the upcoming battle, the American invasion plan was unchanged from that of previous amphibious landings, even after suffering 3,000 casualties and enduring two months of delaying tactics while overcoming entrenched Japanese defenders at the Battle of Biak. On Peleliu, American planners chose to land on the southwest beaches because of their proximity to the airfield on south Peleliu. The 1st Marine Regiment, commanded by Colonel Lewis B. "Chesty" Puller, was to land on the northern end of the beaches. The 5th Marine Regiment, under Colonel Harold Harris, would land in the center, and the 7th Marine Regiment, under Colonel Herman Hanneken, would land at the southern end. The division's artillery regiment, the 11th Marines under Colonel William Harrison, would land after the infantry regiments. The plan was for the 1st and 7th Marines to push inland, guarding the 5th Marines' flanks and allowing them to capture the airfield located directly to the center of the landing beaches. The 5th Marines were to push across to the eastern shore, cutting the island in half. The 1st Marines would push north into the Umurbrogol, while the 7th Marines would clear the southern end of the island. Only one battalion was held in reserve, with the U.S. Army's 81st Infantry Division available for support from Angaur, just south of Peleliu. On 4 September the Marines shipped off from their station on Pavuvu, north of Guadalcanal, a trip across the Pacific. A Navy Underwater Demolition Team cleared the beaches of some obstacles as warships began their pre-invasion bombardment of Peleliu on 12 September. The battleships , , , and , heavy cruisers , , and , and light cruisers , and , led by the command ship , subjected the island to a massive three-day bombardment, pausing only to permit air strikes from the three aircraft carriers, five light aircraft carriers, and eleven escort carriers that sailed with the attack force. A total of 519 rounds of shells, 1,845 rounds of shells and 1,793 bombs pounded Peleliu during this period. The Americans believed the bombardment to be successful, as Rear Admiral Jesse Oldendorf claimed that the Navy had run out of targets. In reality, most Japanese soldiers survived; even the battalion left to defend the beaches was virtually unscathed. During the initial American assault, the island's defenders exercised unusual firing discipline to avoid giving away their positions. However, the bombardment destroyed Japan's aircraft on the island and the buildings surrounding the airfield. The Japanese remained in their fortified positions, waiting to attack the American landing troops. Opposing forces. American order of battle. United States Pacific Fleet Admiral Chester W. Nimitz US Third Fleet Admiral William F. Halsey Jr. Joint Expeditionary Force (Task Force 31) Vice Admiral Theodore S. Wilkinson Expeditionary Troops (Task Force 36) III Amphibious Corps Major General Julian C. Smith, USMC Western Landing Force (TG 36.1) Major General Roy S. Geiger, USMC 1st Marine Division Beach assignments Japanese order of battle. | direction = horizontal | width = 130 | image2 = 141-mm-japanese-mortar-peleliu.jpg | caption2 = Marine with captured Japanese 141 mm mortar | image1 = Nakagawa_Kunio.jpg | caption1 = Lt. Col. Kunio Nakagawa Lieutenant General Sadae Inoue{{efn|"...stern-voice and strict disciplinarian;" 1949 Sentenced to death His sentence was commuted to life imprisonment in 1951, and he was released in 1953. Inoue died in Japan in 1961..[Wikipedia]}}{{sfn|Moran|Rottman|2002|page=27}} (HQ on Koror Island) Vice Admiral Yoshioka Ito 14th Division (Lt. Gen. Sadae) Peleliu Sector Unit (Lt. Col. Kunio Nakagawa{{efn|Committed suicide along with Murai as the struggle for the Umurbrogol Pocket neared its end.}}) Battle. Landing. US Marines began landing on Peleliu at 08:32 on 15 September. The 1st Marines landed to the north on White Beach 1 and 2, while the 5th and 7th Marines landed to the center and south on Orange Beach 1, 2, and 3.{{sfn|Moran|Rottman|2002|pages=42-45}} As the additional landing craft approached the beaches, the Marines on shore were caught in a crossfire when the Japanese opened the steel doors guarding their positions and began firing artillery. The positions on the coral promontories guarding each flank fired on the Marines with 47 mm guns and 20 mm cannons. By 09:30 the Japanese had destroyed 60 LVTs and DUKWs. At the end of the first day, the Americans held their {{convert|2|mi|km|adj=on}} stretch of landing beaches but little else. Their biggest push in the south moved {{convert|1|mi|km}} inland, but the 1st Marines to the north made very little progress in the face of extremely heavy Japanese resistance.{{sfn|Moran|Rottman|2002|page=42}} The Marines had suffered 200 dead and 900 wounded on the first day. Rupertus, still unaware of his enemy's change of tactics, believed the Japanese defenses would quickly crumble since their perimeter had been broken. Airfield/South Peleliu. American forces began using the airfield on 17 September. Stinson OY-1 Sentinels from VMO-3 began aerial spotting missions for Marine artillery and naval gunfire support. On 26 September Marine F4U Corsairs from VMF-114 landed on the airstrip. The Corsairs began dive-bombing missions across Peleliu, firing rockets into open cave entrances in support of infantry attacks, and dropping napalm. This was only the second time that napalm had been used in the Pacific theater, {{Citation needed|reason=Statistical claim re: napalm needs support|date=December 2016}} and it proved effective at burning away vegetation hiding spider holes, usually killing their occupants. The time from takeoff to the target area for the Corsairs operating from Peleliu Airfield was very short, sometimes only 10 to 15 seconds. Most pilots did not bother to raise their landing gear, leaving them down during the strike. After a strike was completed, the Corsair simply turned back into the landing pattern again. The Point. A rifle platoon then began knocking out the Japanese gun positions one by one. Using smoke grenades for concealment, the platoon swept through each hole, destroying the positions via a combination of rifle grenades and close-quarters combat. After knocking out six machine gun positions, the Marines faced a cave housing the 47 mm gun. A lieutenant blinded the gun crew with a smoke grenade, allowing Corporal Henry W. Hahn to launch a grenade through the cave's aperture. The grenade detonated the 47 mm's shells, forcing the Japanese defenders out with their bodies alight and their ammunition belts exploding around their waists. A Marine fire team was positioned on the flank of the cave, where the emerging occupants were gunned down. K Company had captured "The Point", but Nakagawa again counterattacked. Over the next 30 hours the Japanese counterattacked four times against a single company, critically low on supplies, out of water and virtually surrounded. The Marines had to resort to hand-to-hand combat to fend off the Japanese attackers. By the time reinforcements arrived, the company had successfully repulsed all the Japanese attacks, but had been reduced to 18 men, suffering 157 casualties during the battle for The Point.{{sfn|Moran|Rottman|2002|pages=50-51}} Hunt and Hahn were both awarded the Navy Cross for their actions. Ngesebus Island. Harris coordinated a pre-landing bombardment of the island on 28 September, carried out by Army {{convert|155|mm|in|1|abbr=on}} guns, naval guns, howitzers from the 11th Marines, strafing runs from VMF-114's Corsairs and {{convert|75|mm|in|2|abbr=on}} fire from the approaching LVTs.{{sfn|Moran|Rottman|2002|page=77}} Unlike the Navy's bombardment of Peleliu, Harris' assault on Ngesebus successfully killed most of the Japanese defenders. The Marines still faced opposition in the ridges and caves, but the island fell quickly, with relatively light casualties for the 5th Marines. They had suffered 15 killed and 33 wounded and inflicted 470 casualties on the Japanese. Bloody Nose Ridge. After capturing "The Point", the 1st Marines moved north into the Umurbrogol pocket,{{sfn|Moran|Rottman|2002|page=81}} nicknamed "Bloody Nose Ridge" by the Marines. Puller led his men in numerous assaults, but each incurred severe casualties from Japanese fire. The 1st Marines' movement was constrained by the narrow paths between the ridges, with each ridge fortification able to support the others with direct and indirect fires. The Marines took increasingly heavy casualties as they slowly advanced through the ridges. The Japanese again showed unusual fire discipline, striking only when they could inflict maximum casualties. As casualties mounted, Japanese snipers began to take aim at stretcher bearers, knowing that if stretcher bearers were injured or killed, more would have to return to replace them, providing more targets. In small groups, Japanese soldiers also frequently attempted to infiltrate the American lines at night. The Marines built two-man fighting holes, so one Marine could sleep while the other kept watch for infiltrators. A particularly intense engagement occurred on Bloody Nose Ridge, when the 1st Battalion, 1st Marines—under the command of Major Raymond Davis—attacked Hill 100. Over six days of fighting, the battalion suffered 71% casualties. Captain Everett P. Pope and his company penetrated deep into the ridges, leading his remaining 90 men to seize what he thought was Hill 100. It took a day's fighting to reach what he thought was the crest of the hill, which was in fact another ridge occupied by more Japanese defenders. Trapped at the base of the ridge, Pope set up a small defensive perimeter, which was attacked relentlessly by the Japanese throughout the night. The Marines ran out of ammunition and had to fight the attackers with knives and fists, even resorting to throwing coral rock and empty ammunition boxes at the Japanese. Pope and his men managed to hold out until dawn, which brought on more deadly fire. When they evacuated the position, only nine men remained. Pope later received the Medal of Honor for the action. After emerging victorious in the Battle of Angaur, the 81st Infantry Division was ordered to assist the 1st Marine Division in their efforts to seize Peleliu. The 81st Infantry Division eventually relieved the 1st Marine Division, and assumed command of combat operations on Peleliu. The 81st Infantry Division remained engaged on the island until the end of organized Japanese resistance on 18 January 1945. On 24 November Nakagawa proclaimed, "Our sword is broken and we have run out of spears". He then burnt his regimental colors and performed ritual suicide.{{sfn|Moran|Rottman|2002|page=86}} He was posthumously promoted to lieutenant general for his concerted defensive campaign on Peleliu. On 27 November the island was declared secure, ending the 73-day-long battle. Aftermath. The reduction of the Japanese positions in "The Pocket" around Umurbrogol mountain has been called the most difficult fight that the U.S. military encountered during the entire war.{{sfn|Hough|1950|page=94}}The 1st Marine Division was severely mauled, and remained out of action until the invasion of Okinawa on 1 April 1945. In total, the 1st Marine Division suffered over 6,500 casualties during a month of combat on Peleliu, over one third of the entire division. The 81st Infantry Division also suffered heavy losses, incurring 3,300 casualties during its tenure on the island. The battle was controversial in the United States. Many felt that too many American lives had been lost for an island that had little strategic value. The Japanese defenders lacked the means to interfere with potential US operations in the Philippines{{sfn|Hastings|2009|pages=236-244}} and the airfield captured on Peleliu did not play a key role in any subsequent operations. Instead, Ulithi Atoll in the Caroline Islands was used as a staging base for the invasion of Okinawa. The casualty rate exceeded all other amphibious operations during the Pacific War. In addition, few news reports were published about the battle because Rupertus's prediction of a "three days" victory motivated only six war reporters to report from shore. The battle was also overshadowed by MacArthur's return to the Philippines and the Allies' push towards Germany in Europe. The battles for Angaur and Peleliu offered the Americans a preview of future Japanese island defense, but American planners made few adjustments to their tactics before the battles of Iwo Jima and Okinawa. Naval bombardment prior to amphibious assault at Iwo Jima was only slightly more effective than at Peleliu, but at Okinawa the preliminary shelling was greatly improved.{{sfn|Alexander|1997|page=95}} Frogmen performing underwater demolition at Iwo Jima confused the enemy by sweeping both coasts, but later alerted Japanese defenders to the exact assault beaches at Okinawa.{{sfn|Alexander|1997|page=95}} American ground forces at Peleliu gained experience in assaulting heavily fortified positions, which they would encounter again on Iwo Jima and Okinawa. In his book "With the Old Breed", Eugene Sledge describes his experiences in the Battle for Peleliu. One of the final scenes in "Parer's War", a 2014 Australian television film, shows the Battle of Peleliu recorded by Damien Parer with his camera at the time of his death. Individual honors. Japan. Posthumous promotions. For heroism:
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Battle of Stalingrad
The Battle of Stalingrad (17 July 19422 February 1943) was a major battle on the Eastern Front of World War II, beginning when Nazi Germany and its Axis allies attacked and became locked in a protracted struggle with the Soviet Union for control over the Soviet city of Stalingrad (now known as Volgograd) in southern Russia. The battle was characterized by fierce close-quarters combat and direct assaults on civilians in aerial raids; the battle epitomized urban warfare, and it was the single largest and costliest urban battle in military history. It was the bloodiest and fiercest battle of the entirety of World War II—and arguably in all of human history—as both sides suffered tremendous casualties amidst ferocious fighting in and around the city. The battle is commonly regarded as the turning point in the European theatre of World War II, as Germany's was forced to withdraw a considerable amount of military forces from other regions to replace losses on the Eastern Front. By the time the hostilities ended, the German 6th Army and 4th Panzer Army had been destroyed and Army Group B was routed. The Soviets' victory at Stalingrad shifted the Eastern Front's balance of power in their favour, while also boosting the morale of the Red Army. Both sides placed great strategic importance on Stalingrad, for it was one of the largest industrial centres of the Soviet Union and an important transport hub on the Volga River: controlling Stalingrad meant gaining access to the oil fields of the Caucasus and having supreme authority over the Volga River. The city also held significant symbolic importance because it bore the name of Joseph Stalin, the leader of the Soviet Union. As the conflict progressed, Germany's fuel supplies dwindled and thus drove it to focus on moving deeper into Soviet territory and taking the country's oil fields at any cost. The German military first clashed with the Red Army's Stalingrad Front on the distant approaches to Stalingrad on 17 July. On 23 August, the 6th Army and elements of the 4th Panzer Army launched their offensive with support from intensive bombing raids by the "Luftwaffe", which reduced much of the city to rubble. The battle soon degenerated into house-to-house fighting, which escalated drastically as both sides continued pouring reinforcements into the city. By mid-November, the Germans, at great cost, had pushed the Soviet defenders back into narrow zones along the Volga's west bank. However, winter set in and conditions became particularly brutal, with temperatures often dropping tens of degrees below freezing. In addition to fierce urban combat, brutal trench warfare was prevalent at Stalingrad. On 19 November, the Red Army launched Operation Uranus, a two-pronged attack targeting the Romanian armies protecting the 6th Army's flanks. The Axis flanks were overrun and the 6th Army was encircled. Adolf Hitler was determined to hold the city for Germany at all costs and forbade the 6th Army from trying a breakout; instead, attempts were made to supply it by air and to break the encirclement from the outside. Though the Soviets were successful in preventing the Germans from making enough airdrops to the trapped Axis armies at Stalingrad, heavy fighting continued for another two months. On 2 February 1943, the 6th Army, having exhausted its ammunition and food, finally capitulated after several months of battle, making it the first of Hitler's field armies to have surrendered. In modern Russia, the legacy of the Red Army's victory at Stalingrad is commemorated among the Days of Military Honour. It is also well known in many other countries that belonged to the Allied powers, and has thus become ingrained in popular culture. Likewise, in a number of the post-Soviet states, the Battle of Stalingrad is recognized as an important aspect of what is known as the Great Patriotic War. Background. By the spring of 1942, despite the failure of Operation Barbarossa to defeat the Soviet Union in a single campaign, the Wehrmacht had captured vast territories, including Ukraine, Belarus, and the Baltic republics. On the Western Front, Germany held much of Europe, the U-boat offensive was curbing American support, and in North Africa, Erwin Rommel had just captured Tobruk. In the east, the Germans had stabilized a front running from Leningrad to Rostov, with several minor salients. Hitler remained confident of breaking the Red Army, despite heavy losses west of Moscow in the winter of 1941–42, because large parts of Army Group Centre had been rested and re-equipped. Hitler decided that the 1942 summer campaign would target the southern Soviet Union. The initial objectives around Stalingrad were to destroy the city's industrial capacity and block the Volga River traffic, crucial for connecting the Caucasus and Caspian Sea to central Russia. The capture of Stalingrad would also disrupt Lend-Lease supplies via the Persian Corridor. On 23 July 1942, Hitler expanded the campaign's objectives to include occupying Stalingrad, a city with immense propaganda value due to its name, which bore that of the Soviet leader. Hitler ordered the annihilation of Stalingrad's population, declaring that after its capture, all male citizens would be killed and women and children deported due to their "thoroughly communistic" nature. The city's fall was intended to secure the northern and western flanks of the German advance on Baku to capture its petroleum resources. This expansion of objectives stemmed from German overconfidence and an underestimation of Soviet reserves. Meanwhile, Stalin, convinced that the main German attack would target Moscow, prioritized defending the Soviet capital. As the Soviet winter counteroffensive of 1941–1942 culminated in March, the Soviet high command began planning for the summer campaign. Although Stalin desired a general offensive, he was dissuaded by Chief of the General Staff Boris Shaposhnikov, Deputy Chief of the General Staff Aleksandr Vasilevsky, and Western Main Direction commander Georgy Zhukov. Ultimately, Stalin instructed that the summer campaign be based on "active strategic defense," while also ordering local offensives across the Eastern Front. Southwestern Main Direction commander Semyon Timoshenko proposed an attack from the Izyum salient south of Kharkov to encircle and destroy the German 6th Army. Despite opposition from Shaposhnikov and Vasilevsky, Stalin approved the plan. After delays in troop movements and logistical challenges, the Kharkov operation began on 12 May. The Soviets achieved initial success, prompting 6th Army commander Friedrich Paulus to request reinforcements. However, a German counterattack on 13 May halted the Soviet advance. On 17 May, Ewald von Kleist's forces launched Operation Fridericus I, encircling and destroying much of the Soviet forces in the ensuing Second Battle of Kharkov. The defeat at Kharkov left the Soviets vulnerable to the German summer offensive. Despite the setback, Stalin continued to prioritize defending Moscow, allocating only limited reinforcements to the Southwestern Front. The commitment of panzer divisions needed for Case Blue to the Second Battle of Kharkov further delayed the offensive's start. On 1 June, Hitler modified the summer plans, delaying Case Blue to 20 June after preliminary operations in Ukraine. Prelude. Army Group South was selected for a sprint forward through the southern Russian steppes into the Caucasus to capture the vital Soviet oil fields there. The planned summer offensive, code-named "Fall Blau" (Case Blue), was to include the German 6th, 17th, 4th Panzer and 1st Panzer Armies. Hitler intervened, however, ordering the Army Group to split in two. Army Group South (A), under the command of Wilhelm List, was to continue advancing south towards the Caucasus as planned with the 17th Army and First Panzer Army. Army Group South (B), including Paulus's 6th Army and Hermann Hoth's 4th Panzer Army, was to move east towards the Volga and Stalingrad. Army Group B was commanded by General Maximilian von Weichs. The start of "Case Blue" had been planned for late May 1942. However, a number of German and Romanian units that were to take part in "Blau" were besieging Sevastopol on the Crimean Peninsula. Delays in ending the siege pushed back the start date for "Blau" several times, and the city did not fall until early July. Operation Fridericus I by the Germans against the "Izyum bulge", pinched off the Soviet salient in the Second Battle of Kharkov, and resulted in the envelopment of a large Soviet force between 17 May and 29 May. Similarly, Operation Wilhelm attacked Voltshansk on 13 June, and Operation Fridericus attacked Kupiansk on 22 June. "Blau" finally opened as Army Group South began its attack into southern Russia on 28 June 1942. The German offensive achieved rapid success, as Soviet forces offered little resistance in the vast empty steppes and started streaming eastward. Several attempts to re-establish a defensive line failed when German units outflanked them. Two major pockets were formed and destroyed: the first, northeast of Kharkov, on 2 July, and a second, around Millerovo, Rostov Oblast, a week later. Meanwhile, the Hungarian 2nd Army and the German 4th Panzer Army had launched an assault on Voronezh, capturing the city on 5 July. The initial advance of the 6th Army was so successful that Hitler intervened and ordered the 4th Panzer Army to join Army Group South (A) to the south. A massive road block resulted when the 4th Panzer and the 1st Panzer choked the roads, stopping both in their tracks while they cleared the mess of thousands of vehicles. The traffic jam is thought to have delayed the advance by at least one week. With the advance now slowed, Hitler changed his mind and reassigned the 4th Panzer Army back to the attack on Stalingrad. By the end of July, Soviet forces were pushed back across the Don River. At this point, the Don and Volga Rivers are only apart, and the Germans left their main supply depots west of the Don. The Germans began using the armies of their Italian, Hungarian and Romanian allies to guard their left (northern) flank. Italian actions were also mentioned in official German communiques. Italian forces were generally held in little regard by the Germans, and were accused of low morale: in reality, the Italian divisions fought comparatively well, with the 3rd Infantry Division "Ravenna" and 5th Infantry Division "Cosseria" showing spirit, according to a German liaison officer. Italian forces were forced to retreat only after a massive armoured attack in which German reinforcements failed to arrive in time. To the south, Army Group A was pushing far into the Caucasus, but the advance slowed as supply lines grew overextended. The two German army groups were too far apart to support one another. After German intentions became clear in July, Stalin appointed General Andrey Yeryomenko commander of the Southeastern Front on 1 August 1942. Yeryomenko and Commissar Nikita Khrushchev were tasked with planning the defence of Stalingrad. Beyond the Volga River on the eastern boundary of Stalingrad, additional Soviet units were formed into the 62nd Army under Lieutenant General Vasiliy Chuikov on 11 September 1942. Tasked with holding the city at all costs, Chuikov proclaimed, "We will defend the city or die in the attempt." The battle earned him one of his two Hero of the Soviet Union awards. Orders of battle. Red Army. During the defence of Stalingrad, the Red Army deployed five armies in and around the city (28th, 51st, 57th, 62nd and 64th Armies); and an additional nine armies in the encirclement counteroffensive (24th, 65th, 66th Armies and 16th Air Army from the north as part of the Don Front offensive, and 1st Guards Army, 5th Tank, 21st Army, 2nd Air Army and 17th Air Army from the south as part of the Southwestern Front). Attack on Stalingrad. Initial attack. German forces first clashed with the Stalingrad Front on 17 July on the distant approaches to Stalingrad, in the bend of the Don. A significant clash in the early stages of the battle was fought at Kalach, in which "We had had to pay a high cost in men and material ... left on the Kalach battlefield were numerous burnt-out or shot-up German tanks." Military historian David Glantz indicated that four hard-fought battles – collectively known as the Kotluban Operations – north of Stalingrad, where the Soviets made their greatest stand, decided Germany's fate before the Nazis ever set foot in the city itself, and were a turning point in the war. Beginning in late August and lasting into October, the Soviets committed between two and four armies in hastily coordinated and poorly controlled attacks against the Germans' northern flank. The actions resulted in over 200,000 Soviet Army casualties but did slow the German assault. The Germans formed bridgeheads across the Don on 20 August, with the 295th and 76th Infantry Divisions enabling the XIVth Panzer Corps "to thrust to the Volga north of Stalingrad." The German 6th Army was only a few dozen kilometres from Stalingrad. The 4th Panzer Army, ordered south on 13 July to block the Soviet retreat "weakened by the 17th Army and the 1st Panzer Army", had turned northwards to help take the city from the south. On 19 August, German forces were in position to launch an attack on the city. On 23 August, the 6th Army reached the outskirts of Stalingrad in pursuit of the 62nd and 64th Armies, which had fallen back into the city. Kleist said after the war: The Soviets had enough warning of the German advance to ship grain, cattle, and railway cars across the Volga out of harm's way. This "harvest victory" left the city short of food even before the German attack began. Before the "Heer" reached the city itself, the "Luftwaffe" had cut off shipping on the Volga. In the days between 25 and 31 July, 32 Soviet ships were sunk, with another nine crippled. "Generaloberst" Wolfram von Richthofen's "Luftflotte 4" dropped some 1,000 tons of bombs on 23 August, with the aerial attack on Stalingrad being the most single intense aerial bombardment at that point on the Eastern Front, and the heaviest bombing raid that had ever taken place on the Eastern Front. At least 90% of the city's housing stock was obliterated as a result. The Stalingrad Tractor Factory continued to turn out T-34 tanks up until German troops burst into the plant. The 369th (Croatian) Reinforced Infantry Regiment was the only non-German unit selected by the "Wehrmacht" to enter Stalingrad city during assault operations, with it fighting as part of the 100th Jäger Division. Georgy Zhukov, who was deputy commander-in-chief and commander of Stalingrad's defence during the battle, noted the importance of the battle, stating that:Stalin rushed all available troops to the east bank of the Volga, some from as far away as Siberia. Regular river ferries were quickly destroyed by the Luftwaffe, which then targeted troop barges being towed slowly across by tugs. It has been said that Stalin prevented civilians from leaving the city in the belief that their presence would encourage greater resistance from the city's defenders. Civilians, including women and children, were put to work building trenchworks and protective fortifications. Casualties due to the air raid on 23 August and beyond are debated, as between 23 and 26 August, Soviet reports indicate 955 people were killed and another 1,181 wounded as a result of the bombing. However, death toll of civilians due to the bombing has been estimated to have been 40,000, or as many as 70,000, though these estimates may be exaggerated. Also estimated are 150,000 wounded. The Soviet Air Force, the "Voyenno-Vozdushnye Sily" (VVS), was swept aside by the Luftwaffe. The VVS bases in the immediate area lost 201 aircraft between 23 and 31 August, and despite meagre reinforcements of some 100 aircraft in August, it was left with just 192 serviceable aircraft, 57 of which were fighters. Early on 23 August, the German 16th Panzer and 3rd Motorized Divisions attacked out of the Vertyachy bridgehead with a force 120 tanks and over 200 armored personnel carriers strong. The German attack broke through the 1382nd Rifle Regiment of the 87th Rifle Division and the 137th Tank Brigade, which were forced to retreat towards Dmitryevka. The 16th Panzer Division drove east towards the Volga, supported by the strikes of Henschel Hs 129 ground attack aircraft. Crossing the railway line to Stalingrad at 564 km Station around midday, both divisions continued their rush towards the river. Around 15:00, Hyacinth Graf Strachwitz's Panzer Detachment and the "kampfgruppe" of the 2nd Battalion, 64th Panzer Grenadier Regiment from the 16th Panzer reached the area of Latashanka, Rynok, and Spartanovka, northern suburbs of Stalingrad, and the Stalingrad Tractor Factory. A Soviet female soldier stated about the battle that:One of the first units to offer resistance in this area was the 1077th Anti-Aircraft Regiment, covering the Stalingrad Tractor Factory and the Volga ferry near Latashanka. The majority of the regiment was composed of men, but its directing and rangefinding crews and unit headquarters were made up of women. Several women also crewed anti-aircraft guns. The 1077th was notified of the German tanks' approach at 14:30 and its 6th Battery, dominating the Sukhaya Mechatka ravine, claimed the destruction of 28 German tanks. Later that day, its 3rd Battery on the road between Yerzovka and Stalingrad, saw particularly intense fighting against the 16th Panzer, reportedly fighting "shot for shot." Two women were decorated for their actions that day, and the regiment's report praised the "exceptional steadfastness and heroism" of the women soldiers. The regiment lost 35 guns, eighteen killed, 46 wounded, and 74 missing on 23 and 24 August. The 16th Panzer Division's history mentioned its encounter with the regiment, claiming the destruction of 37 guns, and the unit's surprise that its opponents had in part included women. In the early stages of the battle, the NKVD organised poorly armed "Workers' militias" similar to those that had defended the city twenty-four years earlier, composed of civilians not directly involved in war production for immediate use in the battle. The civilians were often sent into battle without rifles. Staff and students from the local technical university formed a "tank destroyer" unit. They assembled tanks from leftover parts at the tractor factory. These tanks, unpainted and lacking gun-sights, were driven directly from the factory floor to the front line. They could only be aimed at point-blank range through the bore of their gun barrels. Chuikov later remarked that soldiers approaching the battle would say "We are entering hell", but after one or two days, they said "No, this isn't hell, this is ten times worse than hell". By the end of August, Army Group South (B) had finally reached the Volga, north of Stalingrad. Another advance to the river south of the city followed, while the Soviets abandoned their Rossoshka position for the inner defensive ring west of Stalingrad. The wings of the 6th Army and the 4th Panzer Army met near Jablotchni along the Zaritza on 2 September. September city battles. A letter found on the body of a German officer described the insanity of the battle and brutal nature of the urban combat: Historian David Glantz stated that the grinding and brutal battle resembled "the fighting on the Somme and at Verdun in 1916 more than it did the familiar blitzkrieg war of the previous three summers". On 5 September, the Soviet 24th and 66th Armies organized a massive attack against XIV Panzer Corps. The "Luftwaffe" helped repel the offensive by heavily attacking Soviet artillery positions and defensive lines. The Soviets were forced to withdraw at midday after only a few hours. Of the 120 tanks the Soviets had committed, 30 were lost to air attack. On 13 September, the battle for the city itself began. With German forces launching an attack which overran the small hill where the 62nd Soviet Army headquarters was established, in addition, the railway station was captured, and German forces advanced far enough to threaten the Volga landing stage. Soviet operations were constantly hampered by the "Luftwaffe". On 18 September, the Soviet 1st Guards and 24th Army launched an offensive against VIII Army Corps at Kotluban. "VIII. Fliegerkorps" dispatched multiple waves of Stuka dive-bombers to prevent a breakthrough. The offensive was repelled. The Stukas claimed 41 of the 106 Soviet tanks knocked out that morning, while escorting Bf 109s destroyed 77 Soviet aircraft. Lieutenant General Alexander Rodimtsev was in charge of the 13th Guards Rifle Division, and received one of two Hero of the Soviet Union awards issued during the battle for his actions. Stalin's Order No. 227 of 27 July 1942 decreed that all commanders who ordered unauthorised retreats would be subject to a military tribunal. Blocking detachments composed of NKVD or regular troops were positioned behind Red Army units to prevent desertion and straggling, sometimes executing deserters and perceived malingerers. During the battle, the 62nd Army had the most arrests and executions: 203 in all, of which 49 were executed, while 139 were sent to penal companies and battalions. Blocking detachments of the Stalingrad and Don Fronts detained 51,758 men from the beginning of the battle to 15 October, with the majority returned to their units. Of those detained, the vast majority of which were from the Don Front, 980 were executed and 1,349 sent to penal companies. In the two-day period between 13 and 15 September, the 62nd Army blocking detachment detained 1,218 men, returning most to their units while shooting 21 men and arresting ten. Beevor claims that 13,500 Soviet soldiers were executed by Soviet authorities during the battle, however, this claim has been disputed. By 12 September, at the time of their retreat into the city, the Soviet 62nd Army had been reduced to 90 tanks, 700 mortars and just 20,000 personnel. The remaining tanks were used as immobile strong-points within the city. The initial German attack on 14 September attempted to take the city in a rush. The 51st Army Corps' 295th Infantry Division went after the Mamayev Kurgan hill, the 71st attacked the central rail station and toward the central landing stage on the Volga, while 48th Panzer Corps attacked south of the Tsaritsa River. Though initially successful, the German attacks stalled in the face of Soviet reinforcements brought in from across the Volga. Rodimtsev's 13th Guards Rifle Division had been hurried up to cross the river and join the defenders inside the city. Assigned to counterattack at the Mamayev Kurgan and at Railway Station No. 1, it suffered particularly heavy losses. Despite their losses, Rodimtsev's troops were able to inflict similar damage on their opponents. By 26 September, the opposing 71st Infantry Division had half of its battalions considered exhausted, reduced from all of them being considered average in combat capability when the attack began twelve days earlier. The brutality of the battle was noted in a journal found on German lieutenant Weiner of the 24th Panzer Division: A ferocious battle raged for several days at the giant grain elevator in the south of the city. About fifty Red Army defenders, cut off from resupply, held the position for five days and fought off ten different assaults before running out of ammunition and water. Only forty dead Soviet fighters were found, though the Germans had thought there were many more due to the intensity of resistance. The Soviets burned large amounts of grain during their retreat in order to deny the enemy food. The grain elevator and silos were decided upon by Paulus to be the symbol of Stalingrad for a patch he was having designed to commemorate the battle after victory. Mamayev Kurgan changed hands multiple times over the course of days, with fighting over the hill, rail station and Red Square being so intense that it was difficult to determine who was attacking and who was defending. In another part of the city, a Soviet platoon under the command of Sergeant Yakov Pavlov fortified a four-story building that oversaw a square 300 meters from the river bank, which was later called "Pavlov's House". The soldiers surrounded it with minefields, set up machine-gun positions at the windows and breached the walls in the basement for better communications. The soldiers found about ten Soviet civilians hiding in the basement. They were not relieved, and not significantly reinforced, for two months, with the defense lasting around 60 days. The building was labelled "Festung" ("Fortress") on German maps. Pavlov was awarded the Hero of the Soviet Union title for his actions. General Chuikov took note of the brutal efficiency of the defense of "Pavlov's House", stating that "Pavlov's small group of men, defending one house, killed more enemy soldiers than the Germans lost in taking Paris". "Generalmajor" Hans Doerr stated about the conditions of the battle that: Stubborn defenses of semi-fortified buildings in the center of the city cost the Germans countless soldiers. A violent battle occurred for the Univermag department store on Red Square, which served as the headquarters of the 1st Battalion of the 13th Guards Rifle Division's 42nd Guards Rifle Regiment. Another battle occurred for a nearby warehouse dubbed the "nail factory". In a three-story building close by, guardsmen fought on for five days, their noses and throats filled with brick dust from pulverized walls, with only six out of close to half a battalion escaping alive. The Germans made slow but steady progress through the city. Positions were taken individually, but the Germans were never able to capture the key crossing points along the river bank. By 27 September, the Germans occupied the southern portion of the city, but the Soviets held the centre and northern part. Most importantly, the Soviets controlled the ferries to their supplies on the east bank of the Volga. Fighting in the industrial district. After 27 September, much of the fighting in the city shifted north to the industrial district. Having slowly advanced over 10 days against strong Soviet resistance, the 51st Army Corps was finally in front of the three giant factories of Stalingrad: the Red October Steel Factory, the Barrikady Arms Factory and Stalingrad Tractor Factory. It took a few more days for them to prepare for the most savage offensive of all, which was unleashed on 14 October, which Chuikov considered to be the worst day of the battle. Exceptionally intense shelling and bombing paved the way for the first German assault groups. The main attack (led by the 14th Panzer and 305th Infantry Divisions) attacked towards the tractor factory, while another assault led by the 24th Panzer Division hit to the south of the giant plant. Werth points out the difficulties the Siberian Division faced, as throughout the course of an entire month, German forces launched 117 assaults at the division's regiments, and on one day they launched 23 attacks. Every trench, pillbox, rifle-pit and ruin in the area was turned into a strongpoint with its own direction and system of communications. According to Beevor, "The Red October complex and Barrikady gun factory had been turned into fortresses as lethal as those of Verdun. If anything, they were more dangerous because the Soviet regiments were so well hidden." The danger of the Barrikady Arms Factory was made apparent firsthand by German sergeant Ernst Wohlfahrt, who witnessed 18 German pioneers get killed by a Russian booby trap. The fighting for the Barrikady has been described as some of the most brutal and ferocious fighting ever, with it being stated that the "battlefield east of the Barrikady blazed with the most violent and profligate clash the world would ever see" and that in regard to hand-to-hand fighting, "nowhere was it more brutal, more savage, more relentless, than in the Barrikady". The German onslaught crushed the 37th Guards Rifle Division of Major General Viktor Zholudev and in the afternoon the forward assault group reached the tractor factory before arriving at the Volga River, splitting the 62nd Army into two. In response to the German breakthrough to the Volga, the front headquarters committed three battalions from the 300th Rifle Division and the 45th Rifle Division of Colonel Vasily Sokolov, a substantial force of over 2,000 men, to the fighting at the Red October Factory. According to Werth:Fighting raged inside the Barrikady Factory until the end of October. The Soviet-controlled area shrank down to a few strips of land along the western bank of the Volga, and in November the fighting concentrated around what Soviet newspapers referred to as "Lyudnikov's Island", a small patch of ground behind the Barrikady Factory where the remnants of Colonel Ivan Lyudnikov's 138th Rifle Division resisted all ferocious assaults thrown by the Germans and became a symbol of the stout Soviet defence of Stalingrad. In the north of Stalingrad, by early November, the 16th Panzer Division referred to the Rynok-Spartanovka region as "little Verdun" because "there was hardly a square meter that had not been churned up by bombs and shells." Air attacks. From 5 to 12 September, "Luftflotte 4" conducted 7,507 sorties (938 per day). From 16 to 25 September, it carried out 9,746 missions (975 per day). Determined to crush Soviet resistance, "Luftflotte" 4's "Stukawaffe" flew 900 individual sorties against Soviet positions at the Stalingrad Tractor Factory on 5 October. Several Soviet regiments were wiped out; the entire staff of the Soviet 339th Infantry Regiment was killed the following morning during an air raid. The "Luftwaffe" retained air superiority into November, and Soviet daytime aerial resistance was nonexistent. However, the combination of constant air support operations on the German side and the Soviet surrender of the daytime skies began to affect the strategic balance in the air. From 28 June to 20 September, "Luftflotte" 4's original strength of 1,600 aircraft, of which 1,155 were operational, fell to 950, of which only 550 were operational. The fleet's total strength decreased by 40 percent. Daily sorties decreased from 1,343 per day to 975 per day. Soviet offensives in the central and northern portions of the Eastern Front tied down "Luftwaffe" reserves and newly built aircraft, reducing "Luftflotte" 4's percentage of Eastern Front aircraft from 60 percent on 28 June to 38 percent by 20 September. The "Kampfwaffe" (bomber force) was the hardest hit, having only 232 out of an original force of 480 left. In mid-October, after receiving reinforcements from the Caucasus theatre, the "Luftwaffe" intensified its efforts against the remaining Red Army positions holding the west bank. "Luftflotte" 4 flew 1,250 sorties on 14 October and its Stukas dropped 550 tonnes of bombs, while German infantry surrounded the three factories. "Stukageschwader" 1, 2, and 77 had largely silenced Soviet artillery on the eastern bank of the Volga before turning their attention to the shipping that was once again trying to reinforce the narrowing Soviet pockets of resistance. The 62nd Army had been cut in two and, due to intensive air attack on its supply ferries, was receiving much less material support. With the Soviets forced into a strip of land on the western bank of the Volga, over 1,208 "Stuka" missions were flown in an effort to eliminate them. The Soviet bomber force, the "Aviatsiya Dal'nego Deystviya" (Long Range Aviation; ADD), having taken crippling losses over the past 18 months, was restricted to flying at night. The Soviets flew 11,317 night sorties over Stalingrad and the Don-bend sector between 17 July and 19 November. These raids caused little damage and were of nuisance value only. As historian Chris Bellamy notes, the Germans paid a high strategic price for the aircraft sent into Stalingrad: the "Luftwaffe" was forced to divert much of its air strength away from the oil-rich Caucasus, which had been Hitler's original grand-strategic objective. The Royal Romanian Air Force was also involved in the Axis air operations at Stalingrad. Starting 23 October 1942, Romanian pilots flew a total of 4,000 sorties, during which they destroyed 61 Soviet aircraft. The Romanian Air Force lost 79 aircraft, most of them captured on the ground along with their airfields. Germans reach the Volga. In August 1942 after three months of slow advance, the Germans finally reached the river banks, capturing 90% of the ruined city and splitting the remaining Soviet forces into two narrow pockets. Ice floes on the Volga now prevented boats and tugs from supplying the Soviet defenders. Nevertheless, the fighting continued, especially on the slopes of Mamayev Kurgan and inside the factory area in the northern part of the city. From 21 August to 20 November, the German 6th Army lost 60,548 men, including 12,782 killed, 45,545 wounded and 2,221 missing. Fighting for the Volga banks has been noted as the "most concentrated and ferocious fighting in perhaps the whole war". Soviet counter-offensives. Recognising that German troops were ill-prepared for offensive operations during the winter of 1942 and that most of them were deployed elsewhere on the southern sector of the Eastern Front, the Stavka decided to conduct a number of offensive operations between 19 November 1942 and 2 February 1943. These operations opened the Winter Campaign of 1942–1943 (19 November 1942 – 3 March 1943), which involved some fifteen Armies operating on several fronts. As per Zhukov, "German operational blunders were aggravated by poor intelligence: they failed to spot preparations for the major counter-offensive near Stalingrad where there were 10 field, 1 tank and 4 air armies." Weakness on the Axis flanks. During the siege, the German and allied Italian, Hungarian, and Romanian armies protecting Army Group B's north and south flanks had pressed their headquarters for support. The Hungarian 2nd Army was given the task of defending a section of the front north of Stalingrad between the Italian Army and Voronezh. This resulted in a very thin line, with some sectors where stretches were being defended by a single platoon (platoons typically have around 20 to 50 men). These forces were also lacking in effective anti-tank weapons. Zhukov states, "Compared with the Germans, the troops of the satellites were not so well armed, less experienced and less efficient, even in defence." Because of the total focus on the city, the Axis forces had neglected for months to consolidate their positions along the natural defensive line of the Don River. The Soviet forces were allowed to retain bridgeheads on the right bank from which offensive operations could be quickly launched. These bridgeheads in retrospect presented a serious threat to Army Group B. Similarly, on the southern flank of the Stalingrad sector, the front southwest of Kotelnikovo was held only by the Romanian 4th Army. Beyond that army, a single German division, the 16th Motorised Infantry, covered 400 km. Paulus had requested permission on 10 November to "withdraw the 6th Army behind the Don," but was rejected. According to Paulus's comments to his adjutant Wilhelm Adam, "There is still the order whereby no commander of an army group or an army has the right to relinquish a village, even a trench, without Hitler's consent." Operation Uranus. In autumn, Zhukov and Vasilevsky, responsible for strategic planning in the Stalingrad area, concentrated forces in the steppes to the north and south of the city. The northern flank was defended by Romanian units, often in open positions on the steppes. The natural line of defence, the Don River, had never been properly established by the German side. The armies in the area were also poorly equipped in terms of anti-tank weapons. The plan was to punch through the overstretched and weakly defended flanks and surround the German forces in the Stalingrad region. During the preparations for the attack, Marshal Zhukov personally visited the front and noticing the poor organisation, insisted on a one-week delay in the start date of the planned attack. The operation was code-named "Uranus" and launched in conjunction with Operation Mars, which was directed at Army Group Center about to the northwest. The plan was similar to that used by Zhukov to achieve victory at Khalkhin Gol in 1939, where he had sprung a double envelopment and destroyed the 23rd Division of the Japanese army. On 19 November 1942, Operation Uranus was launched. The attacking Soviet units under the command of Gen. Nikolay Vatutin consisted of three complete armies, the 1st Guards Army, 5th Tank Army and 21st Army, including a total of 18 infantry divisions, eight tank brigades, two motorised brigades, six cavalry divisions and one anti-tank brigade. The preparations for the attack were heard by the Romanians, who pushed for reinforcements, only to be refused. Romania's 3rd Army, which protected the northern flank of the German 6th Army, was overrun, due to thin lines, and being outnumbered and poorly equipped. On 20 November, a second Soviet offensive (two armies) was launched to the south of Stalingrad against points held by the Romanian 4th Army Corps. The Romanian forces, made up primarily of infantry, were overrun by large numbers of tanks. The Soviet forces raced west and met on 23 November at the town of Kalach, sealing the ring around Stalingrad. Sixth Army surrounded. By the time of the encirclement, approximately 330,000 Axis personnel, including Germans, Romanians, Italians, and Croatians, were trapped. Among them were between 40,000 and 65,000 "Hilfswillige" ("Hiwi"), or "volunteer auxiliaries," recruited from Soviet POWs and civilians. These "Hiwi" often served in supporting roles but were also deployed in frontline units due to their growing numbers. The conditions within the German 6th Army deteriorated to those reminiscent of World War I trench warfare. Troops were forced to take up positions in the open steppe, lacking basic sanitation, which led to rapid spread of infections and dysentery, further debilitating the soldiers. By 19 November 1942, the German forces in the pocket numbered about 210,000, with 50,000 soldiers outside the encirclement. Of those trapped, 10,000 continued to fight, 105,000 eventually surrendered, 35,000 were evacuated by air, and 60,000 died. Despite the 6th Army's dire situation, no reinforcements were pulled from Army Group A in the Caucasus to aid in the relief of Stalingrad. It was only after Soviet forces broke through in Operation Little Saturn, threatening to encircle Army Group A, that a withdrawal was ordered on December 31 to avoid complete entrapment. Army Group Don was established under Field Marshal von Manstein, tasked with leading the 20 German and two Romanian divisions encircled at Stalingrad. Despite Manstein's recommendation for a breakout, Hitler insisted on holding the city, relying on an ill-fated airlift to supply the 6th Army, which failed to deliver the necessary supplies. The airlift fell drastically short, delivering only 105 tons per day, far below the required 750 tons. The situation worsened after the Soviets captured Tatsinskaya Airfield on 24 December, forcing the Germans to relocate their air operations to more distant and less effective bases. As supplies dwindled, starvation and disease ravaged the 6th Army. By the time the airlift was terminated, the "Luftwaffe" had lost nearly 500 aircraft, including 266 Ju 52s, and failed to maintain adequate supply levels. Ultimately, the failure to relieve Stalingrad sealed the fate of the 6th Army, leading to one of the most catastrophic defeats in military history. End of the battle. Operation Winter Storm. Manstein's plan to rescue the Sixth Army – Operation Winter Storm – was developed in full consultation with Führer headquarters. It aimed to break through to the Sixth Army and establish a corridor to keep it supplied and reinforced, so that, according to Hitler's order, it could maintain its "cornerstone" position on the Volga, "with regard to operations in 1943". Manstein, however, who knew that Sixth Army could not survive the winter there, instructed his headquarters to draw up a further plan in the event of Hitler's seeing sense. This would include the subsequent breakout of Sixth Army, in the event of a successful first phase, and its physical reincorporation in Army Group Don. This second plan was given the name Operation Thunderclap. Winter Storm, as Zhukov had predicted, was originally planned as a two-pronged attack. One thrust would come from the area of Kotelnikovo, well to the south, and around from the Sixth Army. The other would start from the Chir front west of the Don, which was little more than from the edge of the Kessel, but the continuing attacks of Romanenko's 5th Tank Army against the German detachments along the river Chir ruled out that start-line. This left only the LVII Panzer Corps around Kotelnikovo, supported by the rest of Hoth's very mixed Fourth Panzer Army, to relieve Paulus's trapped divisions. The LVII Panzer Corps, commanded by General Friedrich Kirchner, had been weak at first. It consisted of two Romanian cavalry divisions and the 23rd Panzer Division, which mustered no more than thirty serviceable tanks. The 6th Panzer Division, arriving from France, was a vastly more powerful formation, but its members hardly received an encouraging impression. The Austrian divisional commander, General Erhard Raus, was summoned to Manstein's royal carriage in Kharkov station on 24 November, where the field marshal briefed him. "He described the situation in very sombre terms", recorded Raus. Three days later, when the first trainload of Raus's division steamed into Kotelnikovo station to unload, his troops were greeted by "a hail of shells" from Soviet batteries. "As quick as lightning, the Panzergrenadiers jumped from their wagons. But already the enemy was attacking the station with their battle-cries of 'Urrah!'" By 18 December, the German Army had pushed to within 48 km (30 mi) of Sixth Army's positions. However, the predictable nature of the relief operation brought significant risk for all German forces in the area. The starving encircled forces at Stalingrad made no attempt to break out or link up with Manstein's advance. Some German officers requested that Paulus defy Hitler's orders to stand fast and instead attempt to break out of the Stalingrad pocket. Paulus refused, concerned about the Red Army attacks on the flank of Army Group Don and Army Group B in their advance on Rostov-on-Don, "an early abandonment" of Stalingrad "would result in the destruction of Army Group A in the Caucasus", and the fact that his 6th Army tanks only had fuel for a 30 km advance towards Hoth's spearhead, a futile effort if they did not receive assurance of resupply by air. Of his questions to Army Group Don, Paulus was told, "Wait, implement Operation 'Thunderclap' only on explicit orders!" – Operation Thunderclap being the code word initiating the breakout. Operation Little Saturn. On 16 December, the Soviets launched Operation Little Saturn, which attempted to punch through the Axis army (mainly Italians) on the Don. The Germans set up a "mobile defence" of small units that were to hold towns until supporting armour arrived. From the Soviet bridgehead at Mamon, 15 divisions – supported by at least 100 tanks – attacked the Italian Cosseria and Ravenna Divisions, and although outnumbered 9 to 1, the Italians initially fought well, with the Germans praising the quality of the Italian defenders, but on 19 December, with the Italian lines disintegrating, ARMIR headquarters ordered the battered divisions to withdraw to new lines. The fighting forced a total revaluation of the German situation. Sensing that this was the last chance for a breakout, Manstein pleaded with Hitler on 18 December, but Hitler refused. Paulus himself also doubted the feasibility of such a breakout. The attempt to break through to Stalingrad was abandoned and Army Group A was ordered to pull back from the Caucasus. The 6th Army now was beyond all hope of German relief. While a motorised breakout might have been possible in the first few weeks, the 6th Army now had insufficient fuel and the German soldiers would have faced great difficulty breaking through the Soviet lines on foot in harsh winter conditions. But in its defensive position on the Volga, the 6th Army continued to tie down a significant number of Soviet Armies. On 23 December, the attempt to relieve Stalingrad was abandoned and Manstein's forces switched over to the defensive to deal with new Soviet offensives. As Zhukov states, Soviet victory. The Red Army High Command sent three envoys while, simultaneously, aircraft and loudspeakers announced the terms of capitulation on 7 January 1943. The letter was signed by Colonel-General of Artillery Voronov and the commander-in-chief of the Don Front, Lieutenant-General Rokossovsky. A low-level Soviet envoy party (comprising Major Aleksandr Smyslov, Captain Nikolay Dyatlenko and a trumpeter) carried generous surrender terms to Paulus: if he surrendered within 24 hours, he would receive a guarantee of safety for all prisoners, medical care for the sick and wounded, prisoners being allowed to keep their personal belongings, "normal" food rations, and repatriation to any country they wished after the war. Rokossovsky's letter also stressed that Paulus' men were in an untenable situation. Paulus requested permission to surrender, but Hitler rejected Paulus' request out of hand. Accordingly, Paulus did not respond. The German High Command informed Paulus, "Every day that the army holds out longer helps the whole front and draws away the Russian divisions from it." The operation launched on 10 January 1943 with what was the single largest bombardment of the war at that point, with nearly 7,000 field guns, launchers and mortars firing against German positions. The operation was likely the largest scale economy-of-force offensive conducted in military history. The Germans retreated from the suburbs of Stalingrad to the city. The loss of the two airfields, Pitomnik on 16 January 1943 and Gumrak on the night of 21/22 January, meant an end to air supplies and the evacuation of the wounded. The third and last serviceable runway was at the Stalingradskaya flight school, which had its last landings and takeoffs on 23 January. After 23 January, there were no more reported landings, just intermittent air drops of ammunition and food until the end. Despite the horrendous situation that German forces faced, both starving and running out of ammunition, they continued to resist, with transcripts showing that despite many German soldiers yelling "Hitler kaput" to avoid being shot while surrendering, the level of armed resistance remained extraordinarily high till the end of the battle. In particular, the so-called "HiWis", Soviet citizens fighting for the Germans, had no illusions about their fate if captured. Bloody urban warfare began again in Stalingrad, but this time it was the Germans who were pushed back to the banks of the Volga. The Germans adopted a simple defence of fixing wire nets over all windows to protect themselves from grenades. The Soviets responded by fixing fish hooks to the grenades so they stuck to the nets when thrown. On 22 January, Rokossovsky once again offered Paulus a chance to surrender. Paulus requested that he be granted permission to accept the terms. He told Hitler that he was no longer able to command his men, who were without ammunition or food. Hitler rejected it on a point of honour. He telegraphed the 6th Army later that day, claiming that it had made a historic contribution to the greatest struggle in German history and that it should stand fast "to the last soldier and the last bullet". Hitler told Goebbels that the plight of the 6th Army was a "heroic drama of German history". On 24 January, in his radio report to Hitler, Paulus reported: "18,000 wounded without the slightest aid of bandages and medicines." On 26 January 1943, the German forces inside Stalingrad were split into two pockets north and south of Mamayev-Kurgan. The northern pocket consisting of the VIIIth Corps, under General Walter Heitz, and the XIth Corps, was now cut off from telephone communication with Paulus in the southern pocket. Now "each part of the cauldron came personally under Hitler". On 28 January, the cauldron was split into three parts. The northern cauldron consisted of the XIth Corps, the central with the VIIIth and LIst Corps, and the southern with the XIVth Panzer Corps and IVth Corps "without units". The sick and wounded reached 40,000 to 50,000. On 30 January 1943, the 10th anniversary of Hitler's coming to power, Goebbels read out a proclamation that included the sentence: "The heroic struggle of our soldiers on the Volga should be a warning for everybody to do the utmost for the struggle for Germany's freedom and the future of our people, and thus in a wider sense for the maintenance of our entire continent." The same day, Hermann Göring broadcast from the air ministry, comparing the situation of the surrounded German 6th Army to that of the Spartans at the Battle of Thermopylae, the speech was not well received by soldiers however. Paulus notified Hitler that his men would likely collapse before the day was out. In response, Hitler then issued a tranche of field promotions to the Sixth Army's officers, with Paulus made a "Generalfeldmarschall". In deciding to promote Paulus, Hitler noted that there was no record of a German or Prussian field marshal having ever surrendered. The implication was clear: if Paulus surrendered, he would shame himself and would become the highest-ranking German officer ever to be captured. As a result, Hitler believed that Paulus would either fight to the last man or commit suicide. On the next day, the southern pocket in Stalingrad collapsed. Soviet forces reached the entrance to the German headquarters in the ruined GUM department store. Major Anatoly Soldatov described the conditions of the department store basement as such, "it was unbelievably filthy, you couldn't get through the front or back doors, the filth came up to your chest, along with human waste and who knows what else. The stench was unbelievable." When interrogated by the Soviets, Paulus claimed that he had not surrendered. He said that he had been taken by surprise. He denied that he was the commander of the remaining northern pocket in Stalingrad and refused to issue an order in his name for them to surrender. The central pocket, under the command of Heitz, surrendered the same day, while the northern pocket, under the command of General Karl Strecker, held out for two more days. Four Soviet armies were deployed against the northern pocket. At four in the morning on 2 February, Strecker was informed that one of his own officers had gone to the Soviets to negotiate surrender terms. Seeing no point in continuing, he sent a radio message saying that his command had done its duty and fought to the last man. When Strecker finally surrendered, he and his chief of staff, Helmuth Groscurth, drafted the final signal sent from Stalingrad, purposely omitting the customary exclamation to Hitler, replacing it with "Long live Germany!" Around 91,000 exhausted, ill, wounded, and starving prisoners were taken. The prisoners included 22 generals. Hitler was furious and confided that Paulus "could have freed himself from all sorrow and ascended into eternity and national immortality, but he prefers to go to Moscow". Tactics and battle conditions. German military doctrine was based on the principle of combined-arms teams and close cooperation between tanks, infantry, engineers, artillery and ground-attack aircraft. To negate the German usage of tanks and artillery in the ruins of the city, Soviet commander Chuikov introduced a tactic he described as "hugging" the enemy: keeping Soviet front-line positions as close as possible to those of the Germans, so German artillery and aircraft could not attack without risking friendly fire. After mid-September, to reduce casualties, he ceased launching organized daylight counterattacks, instead emphasizing small unit tactics in which infantry moved through the city's sewers to strike into the rear of attacking German units. The Soviets preferred night attacks, which disrupted German morale by depriving them of sleep. Soviet reconnaissance patrols were used to find German positions and take prisoners for interrogation, enabling them to anticipate attacks. When Soviet troops detected a coming attack, they launched their own counterattacks at dawn before German air support could arrive. Soviet troops blunted the German attacks themselves through ambushes that separated tanks from their supporting infantry, as well as the employment of booby traps and mines. These tactical innovations became widespread. The Soviets used the great amount of destruction to their advantage, by adding man-made defenses such as barbed wire, minefields, trenches, and bunkers to the rubble, while large factories even housed tanks and large-caliber guns within. "Red Army soldiers enjoyed inventing gadgets to kill Germans. New booby traps were dreamed up, each seemingly more ingenious and unpredictable in its results than the last." The battle saw all types of "MOUT" combat techniques at the time. The forces involved in the battle were composed of well-trained, and in some cases, very-experienced troops, with the German 6th Army highly regarded, as it is noted that "Stalingrad was fought and lost by the finest collection of divisions in an army that had not known strategic defeat for a quarter of a century" in reference to German forces. Stalingrad was the supreme example of "total war", described as "approaching Clausewitz's theoretical description of absolute war". The Soviets persisted against German forces by using all available means, with the commitment being reflected in their planning, orders and actions. Stalin’s commitment to Stalingrad became total, using every available resource to hold it, and ordering the city be held at all costs. Evidence of commitment was the vast casualties the Soviets were willing to sustain. Collateral damage was not a major concern, the first priority was victory and all weapons would be used to that end with little regard for collateral damage. This is also reflected by a common saying among the Soviet defenders, who often exclaimed that "for us, there is no land beyond the Volga". Total war was reflected by Axis forces, as they attacked without concern and committed to a bombing campaign which utterly destroyed the city and killed thousands of civilians, and Hitler would not allow for German forces to retreat, even with the threat of encirclement. On 14 October, Hitler suspended all operations along the entire Eastern Front except for Stalingrad, and continued pushing even harder for Army Group B to capture the city, showing his willingness to capture it at all costs. An important weapon was the flamethrower, which was "effectively terrifying" in its use of clearing sewer tunnels, cellars, and inaccessible hiding places. Operators were immediately targeted as soon as they were spotted. The Katyusha rocket launcher, known to the Germans as "Stalin's organ", was used with devastating effect. In hand-to-hand fighting, spades were used as axes. Equipment used during the battle represented a full spectrum of World War II equipment, encompassing manufactured and field-improvised systems, as both sides fielded and used their complete arsenals. The battle consumed a tremendous amount of ammunition and resources, in September fighting alone, the 6th Army expended 25 million rounds of small arms, 500,000 anti-tank rounds, 752,000 artillery shells and 178,000 hand grenades, with German forces expending 300 to 500 tons of artillery ammunition each day. The Red Army fired more ammunition in this battle than any other operation of the war. The Soviet urban warfare tactics relied on 20-to-50-man-assault groups, armed with machine guns, grenades and satchel charges, with buildings fortified as strongpoints with clear fields of fire. Strongpoints were defended by guns or tanks on the ground floor, while machine gunners and artillery observers operated from the upper floors. Assault groups used sewers or broke through walls into adjoining buildings, to maintain concealment while moving into the rear of German attacks. Soviet tactical innovations were a "combination of intelligence, discipline, and determination" enabling the Soviet defenders to keep fighting when the Germans had achieved victory by "all conventional measures." The battle was notable for hand-to-hand combat, the "most savage hand-to-hand battle in human memory". Ferocious fighting raged for ruins, streets, factories, houses, basements, and staircases. Blocks and buildings would change hands numerous times through intense hand-to-hand fighting. Combat was so close at times that soldiers preferred using melee weapons, such as knives, and grenades being tossed in such short distances they could be thrown back before they exploded. "Every building had to be fought for; single buildings and single blocks became major military objectives. Often both German and Russian troops occupied parts of the same building." Even the sewers saw firefights. The Germans called this unseen urban warfare "Rat War". Buildings had to be cleared room by room through the bombed-out debris of residential areas, office blocks, basements and apartment high-rises. Antony Beevor describes how this process was particularly brutal, "In its way, the fighting in Stalingrad was even more terrifying than the impersonal slaughter at Verdun...It possessed a savage intimacy which appalled their generals, who felt that they were rapidly losing control over events." According to Peter Calvocoressi and Guy Wint, "The closest and bloodiest battle of the war was fought among the stumps of buildings burnt or burning". Buildings saw floor-by-floor, close combat, with the Germans and Soviets on alternate levels, firing at each other through holes in the floors. Fighting on and around Mamayev Kurgan, a prominent hill above the city, was particularly merciless; indeed, the position changed hands many times. A notable building brutally fought for was Gerhardt's Mill, still kept as a memorial. It was eventually cleared by the 39th Guards Regiment in close-quarters combat. Another example was on 14 September, the main railway station changed hands five times, and over the course of the next three days, another thirteen times. The brutality was shown by the military casualties taken by units. The 13th Guards Rifle Division suffered 30% casualties in the first twenty-four hours, with only 320 men out of 10,000 remaining at the battle's conclusion. With buildings and floors changing hands dozens of times and taking up days to win, platoons and companies took up to 90% and even 100% casualties to win a building or floor within it. Chuikov estimated that about three thousand Germans had been killed during the fighting for the tractor factory on 14 October alone. The Germans used aircraft, tanks and heavy artillery to clear the city with varying success. Towards the end of August, the gigantic railroad gun nicknamed "Dora" was brought in, being withdrawn soon after due to Soviet threats to the gun. Germans would shell Soviet reinforcements coming across the Volga without pause, with the Soviets firing back. Despite the notion of the vulnerability of tanks in urban settings, tank warfare was important, and the basis of every Soviet position was anti-tank warfare, with significant efforts made to resist German tank assaults. The "Luftwaffe" conducted 100,000 sorties and dropped 100,000 tons of bombs on the city and river crossings. The battle epitomized the use of snipers in urban warfare. Snipers on both sides used the ruins to inflict casualties, with Soviet command heavily emphasizing sniper tactics to wear down the Germans. The most famous Soviet sniper was Vasily Zaytsev, who became a propaganda hero, credited with 225 kills. Targets were often soldiers bringing up food or water to forward positions. Artillery spotters were an especially prized target for snipers. The ferocious and intense fighting was not only within the city itself. Most brutal fighting that consumed both forces occurred outside and west of the city, in the snow-covered steppes. The battle turned from the mobile warfare during the German push towards the city into positional warfare, with trench warfare becoming common inside and outside the city, as both sides entrenched themselves and built up positions, with trenches being turned into strongpoints and brutally fought for. A historical debate concerns the degree of terror in the Red Army. Beevor noted the "sinister" message from the Stalingrad Front's Political Department on 8 October 1942 that: "The defeatist mood is almost eliminated and the number of treasonous incidents is getting lower" as an example of the coercion Red Army soldiers experienced under the Special Detachments (renamed SMERSH). On the other hand, Beevor noted the often extraordinary bravery of the Soviet soldiers, and argued terror alone cannot explain such self-sacrifice. A Soviet officer interviewed, explained the feeling, "There was this sense that every soldier and officer in Stalingrad was itching to kill as many Germans as possible. In Stalingrad people felt a particularly intense hatred for the Germans." German observers were perplexed by the relentlessness of the Soviets, with a 29 October 1942 article in the SS newspaper, "Das Schwarze Korps", stating "The Bolshevists attack until total exhaustion, and defend themselves until the physical extermination of the last man and weapon . . . Sometimes the individual will fight beyond the point considered humanly possible". One example of the heroism seen in Soviet troops was Soviet marine Mikhail Panikakha, who was covered in flames after his Molotov cocktail was shot while attempting to throw it, however he continued with another Molotov and destroyed a tank. Richard Overy addresses the question of how important the Red Army's coercive methods were to the war effort compared with other factors such as hatred for the enemy, stating that while it is "easy to argue that from the summer of 1942 the Soviet army fought because it was forced to fight," to concentrate solely on coercion is nonetheless to "distort our view of the Soviet war effort." After conducting interviews with Soviet veterans on the terror on the Eastern Front – and specifically Order No. 227 ("Not a step back!") – Catherine Merridale notes, seemingly paradoxically, "their response was frequently relief." Infantryman Lev Lvovich's explanation is typical, "[i]t was a necessary and important step. We all knew where we stood after we had heard it. And we all – it's true – felt better. Yes, we felt better." Many women fought on the Soviet side or were under fire. As General Chuikov acknowledged, "Remembering the defence of Stalingrad, I can't overlook the very important question … about the role of women in war, in the rear, but also at the front. Equally with men they bore all the burdens of combat life and together with us men, they went all the way to Berlin." At the beginning of the battle there were 75,000 women and girls from the Stalingrad area who had finished military or medical training, and they were to serve in the battle. Women staffed many anti-aircraft batteries that fought the "Luftwaffe" and German tanks. Soviet nurses not only treated wounded personnel under fire but were involved in the dangerous work of bringing wounded soldiers back to hospitals under fire. Many Soviet wireless and telephone operators were women who often suffered heavy casualties when their command posts came under fire. Though women were not usually trained as infantry, many Soviet women fought as machine gunners, mortar operators, scouts, and as snipers. Three air regiments at Stalingrad were entirely female. At least three women won the Hero of the Soviet Union while driving tanks. For Stalin and Hitler, Stalingrad became a matter of prestige beyond its strategic significance. A book analyzing urban warfare remarked that "Among the cases collected here, the most extreme example of politics and sentiment investing a city with importance is that of Stalingrad". Another paper notes "the battle between German and Soviet forces at Stalingrad was representative of the battle of wills between Hitler and Stalin". The strain on military commanders was immense: Paulus developed an uncontrollable tic in his eye, which eventually affected the left side of his face, while Chuikov experienced an outbreak of eczema that required him to have his hands completely bandaged. Troops on both sides faced the constant strain of close-range combat. The Soviets used psychological warfare tactics to intimidate and demoralize. On loudspeakers throughout the ruined city, it was continuously announced that "Every seven seconds a German soldier dies in Russia. Stalingrad. . .mass grave". The sound was interspersed with the monotonous sound of a ticking clock, and an orchestral melody dubbed the "Tango of Death". Medical and food conditions. The conditions of both armies were atrocious. Disease ran rampant, with many deaths due to dysentery, typhus, diphtheria, tuberculosis and jaundice, causing medical staff to fear a possible epidemic. Rats and mice were plentiful, serving as one reason Germans could not counterattack in time, due to mice having chewed their tank wiring. Lice were heavily prevalent, and plagues of flies would gather around kitchens, adding to the possibility of wound infections. Brutal winter conditions affected soldiers tremendously, with temperatures at times reaching as low as −40 °C in the second half of November, and −30 °C in late January. The weather conditions were considered to be extreme and the worst possible. The weather conditions caused rapid frostbite, with many cases of gangrene and amputation. The conditions saw soldiers dying en masse due to frostbite and hypothermia. Both armies suffered food shortages, with mass starvation on both sides. Stress, tiredness and the cold upset the metabolism of soldiers, receiving a reduced amount of calories from food. German forces eventually ran out of medical supplies such as ether, antiseptics and bandages. Surgery had to be done without anaesthesia. Biologist Kenneth Alibek suggested the Red Army used tularemia as a biological weapon during the battle, though this is thought to have resulted from natural causes. Casualties. The Axis suffered 800,000–1,500,000 casualties (killed, wounded or captured) among all branches of the German armed forces and their allies: 235,000 German and allied troops in total, from all units, including Manstein's ill-fated relief force, were captured during the battle. It is estimated that as many as over one million soldiers and civilians combined were killed during the battle. Historian William Craig, while researching for his , stressed the incredible death toll of the battle, stating that "Most appalling was the growing realization, formed by statistics I uncovered, that the battle was the greatest military bloodbath in recorded history. Well over a million men and women died because of Stalingrad, a number far surpassing the previous records of dead at the first battle of the Somme and Verdun in 1916." Historian Edwin P. Hoyt states that "In less than seven months the Stalingrad dead numbered over three million". Historian Jochen Hellbeck described the lethality of the battle as such, "The battle of Stalingrad—the most ferocious and lethal battle in human history—ended on February 2. With an estimated death toll in an excess of a million, the bloodletting at Stalingrad far exceeded that of Verdun, one of the costliest battles of World War I." According to military historian Louis A. DiMarco, "In terms of raw casualty numbers, the battle for Stalingrad was the single most brutal battle in history." Military historian Victor Davis Hanson affirmed that "The costliest land battle in history took place at Stalingrad" and that the "fighting inside a besieged Stalingrad proved to be the most costly single battle of World War II. At least 1.5 million Russians and Germans died over the months of contesting the city's rubble, comparably only to the World War I German attack on the fortress complex at Verdun." British historian Andrew Roberts stated that "Superlatives are unavoidable when describing the battle of Stalingrad; it was the struggle of Gog and Magog, the merciless clash where the rules of war were discarded . . . Around 1.1 million died in the battle on both sides". The Germans lost 900 aircraft (including 274 transports and 165 bombers used as transports), 500 tanks and 6,000 artillery pieces. A recent Soviet report states that 5,762 guns, 1,312 mortars, 12,701 heavy machine guns, 156,987 rifles, 80,438 sub-machine guns, 10,722 trucks, 744 aircraft; 1,666 tanks, 261 other armoured vehicles, 571 half-tracks and 10,679 motorcycles were captured by the Soviets. The USSR, according to archival figures, suffered 1,129,619 total casualties; 478,741 personnel killed or missing, termed to be "irrevocable", and 650,878 wounded or sick. The USSR lost 4,341 tanks destroyed or damaged, 15,728 artillery pieces and 2,769 combat aircraft. Though the losses given by Soviet officials have been met with criticism, for accuracy of Soviet losses and underreporting. Recent clarifications of data and estimates of losses state that the USSR suffered 1,347,214 total casualties, with 674,990 irrevocable losses, and 672,224 being wounded or sick, with an extension of this data to include NKVD troops and volunteer formations, the total casualties could extend to 1.36 to 1.37 million. However, the data is still questioned as being underestimated. The British historian Laurence Rees gives a figure of one million Soviet soldiers dead on the Stalingrad front. Russian historian Boris Vadimovich Sokolov cites the memoirs of a former director of the Tsaritsyn-Stalingrad Defense Museum, who noted that over two million Soviets dead were counted before being ordered to stop, with "still many months of work left". Sokolov states it as being closer to the true death toll than official statistics due to severe underreporting. According to incomplete data from the Volgograd party archive, 42,754 people died during the course of the battle. However, research by Russian historian Tatyana Pavlova calculated there to be 710,000 inhabitants in the city on 23 August, and of that amount, 185,232 people had died by the battle's conclusion, and including about 50,000 in the rural areas of Stalingrad, for a total of 235,232 civilians dead. Also from her research, Pavlova states that "The losses of the civilian population of Stalingrad are 32.3% higher than the losses of the population of Hiroshima from the atomic bombing" and that "In Stalingrad, an absolute world record was set for the mass destruction of the civilian population during World War II." A 2018 study concluded that the demographic losses due to the battle ranged from 2.5 to 3 million, thereby describing it as a "real demographic catastrophe". Luftwaffe losses. The losses of transport planes were especially serious, as they destroyed the capacity for supply of the trapped 6th Army. The destruction of 72 aircraft when the airfield at Tatsinskaya Airfield was overrun meant the loss of about 10 percent of the Luftwaffe transport fleet. Aftermath. The German public was not officially told of the impending disaster until the end of January 1943, though positive media reports had stopped in the weeks before the announcement. Stalingrad marked the first time that the Nazi government publicly acknowledged a failure in its war effort. On 31 January, regular programmes on German state radio were replaced by a broadcast of the sombre Adagio movement from Anton Bruckner's Seventh Symphony, followed by the announcement of the defeat at Stalingrad. On 18 February, Minister of Propaganda Joseph Goebbels gave the famous "Sportpalast" speech in Berlin, encouraging the Germans to accept a total war that would claim all resources and efforts from the entire population. Based on Soviet records, over 11,000 German soldiers continued to resist in isolated groups within the city for the next month. Some have presumed that they were motivated by a belief that fighting on was better than a slow death in Soviet captivity. Historian Omer Bartov claims they were motivated by belief in Hitler and National Socialism. He studied 11,237 letters sent by soldiers inside of Stalingrad between 20 December 1942 and 16 January 1943 to their families in Germany. Generally, the letters expressed belief in Germany's ultimate victory and the soldiers' willingness to fight and die at Stalingrad to achieve that victory. Bartov reported that a great many of the soldiers were well aware that they would not be able to escape from Stalingrad, but in their letters to their families stated that they were proud to "sacrifice themselves for the Führer". A Soviet officer interviewed months after the battle, Nikolai Nikitich Aksyonov, described the scale of devastation and conflict at Stalingrad, stating that "As a historian, I tried to draw comparisons to battles I know from history: Borodino, Verdun during the Imperialist War, but none of that was right because the scale of conflict in Stalingrad makes it hard to compare it to anything. It seemed as if Stalingrad was breathing fire for days on end." Some German soldiers expressed in their letters that they were trapped in a "second Verdun", while Soviet defenders described the battle as their "Red Verdun", in which they would refuse to surrender to the enemy. German captain Wilhelm Hosenfeld wrote in early October 1942 that, "The fight for Stalingrad now surpasses all our previous struggles—it has rightly been compared to Verdun. We must hope that the outcome is different. For I believe that the city holds a similar power for the Bolsheviks as Verdun did for the French in the First World War. It has become a symbol. This is a decisive moment. The French would say; Whoever holds Verdun will win the war.’ The Führer has spoken in similar fashion of Stalingrad—and the city still has not fallen to us." In October 1942, a Soviet war correspondent remarked that "A city of peace has become a city of war. The laws of warfare have placed it on the front line, at the epicenter of a battle that will shape the outcome of the entire war. After sixty days of fighting the Germans now know what this means. 'Verdun!' they scoff. 'This is no Verdun. This is something new in the history of warfare. This is Stalingrad." The world press commonly referred to it as the "Verdun on the Volga" during the battle. The American Historian David M. Glantz stated that Stalingrad was "the most brutal clash of arms in the most terrible of twentieth-century wars". The French historian François Kersaudy stated that "Stalingrad was unique in the Second World War, in terms of duration, the number of soldiers killed, the relentlessness, the significance" and that "It was terrifying on both sides. They both had to carry on fighting until the very end. The people present there would have preferred hell itself". British Historian Andrew Roberts stated that "The battle of Stalingrad is deservedly considered to be the most desperate in human history. The German Sixth Army was sucked into a house-by-house, street-by-street, factory-by-factory struggle often even more attritional than the trench warfare of the Great War." The battle is not only infamous for being a military bloodbath, but also for its disregard for civilians by both sides. When German forces reached the hospital for mentally handicapped children in the city, they promptly shot all the ten to fourteen year old patients. Soviet sniper Vasily Zaytsev took note of atrocities that took place during the battle, stating that, "another time you see young girls, children hanging from trees in the park. . .It has tremendous impact." A Soviet sergeant in the 389th Infantry Division noted that Russian women coming out of houses during the fighting for the Barrikady workers' settlement to take shelter from German firing, ended up being killed by Russian machine-gun fire. The bombing campaign and over five months of ferocious fighting had utterly destroyed 99% of the city, with the city being nothing more than a heap of rubble. Of the population of well over half a million before the battle, a quick census revealed only 1,515 people remained following the battle's conclusion. However, Beevor notes that a census revealed that 9,796 civilians were in the city at the battle's conclusion, including 994 children. The remaining forces continued to resist, hiding in cellars and sewers, but by early March 1943 the last small and isolated pockets of resistance had surrendered. According to Soviet intelligence documents shown in the documentary, a remarkable NKVD report from March 1943 is available showing the tenacity of some of these German groups: The operative report of the Don Front's staff issued on 5 February 1943, 22:00 said, The condition of the troops that surrendered was pitiful. British war correspondent Alexander Werth described the following scene in his "Russia at War" book, based on a first-hand account of his visit to Stalingrad on 3–5 February 1943, Most of the nearly 91,000 German prisoners captured in Stalingrad perished. Weakened by disease, starvation and lack of medical care during the encirclement, they were sent on forced marches to prisoner camps and later to labour camps all over the Soviet Union. Some 35,000 were eventually sent on transports, of which 17,000 did not survive. Most died of wounds, disease (particularly typhus), cold, overwork, mistreatment and malnutrition. Some were kept in the city to help rebuild it. A handful of senior officers were taken to Moscow and used for propaganda purposes, and some of them joined the National Committee for a Free Germany. Some, including Paulus, signed anti-Hitler statements that were broadcast to German troops. Paulus testified for the prosecution during the Nuremberg Trials and assured families in Germany that those soldiers taken prisoner at Stalingrad were safe. He remained in the Soviet Union until 1952, then moved to Dresden in East Germany, where he spent the remainder of his days defending his actions at Stalingrad and was quoted as saying that Communism was the best hope for postwar Europe. General Walther von Seydlitz-Kurzbach offered to raise an anti-Hitler army from the Stalingrad survivors, but the Soviets did not accept the offer. It was not until 1955 that the last of the 5,000–6,000 survivors were repatriated (to West Germany) after a plea to the Politburo by Konrad Adenauer. Significance. Stalingrad has been described as the greatest single defeat in the history of the German Army. Historian Geoffrey Roberts described it as "the biggest and most traumatic defeat in German military history" and that "the myth of the invincible "Wehrmacht" was gone forever". The German military historian Walter Görlitz stated that "It was a second Jena, and was certainly the greatest defeat in history that a German Army had ever undergone". The battle is commonly identified as the turning point on the Eastern Front, in the war against Germany overall, and in the entire Second World War. The battle is analyzed as being a "point of no return" on the Eastern Front and as the "final military consequence" of Germany's decreasing chances to win the war against the Soviet Union. The Soviet general Viktor Matsulenko deemed the battle to be "the beginning of a basic turning point not just in the course of the Great Patriotic War, but for the entire World War II" and that the battle was "the most important military-political event of World War II". The battle is also seen as the turning point in the air war, as German forces lost countless aircraft and experienced crewmen. Stalingrad gave the people of the Soviet Union hope, with military historian David M. Glantz asserting that "Russians, as well as many of the former Soviet Union’s other ethnic minorities, saw the Red Army’s victory at Stalingrad as a catharsis which saved Stalin’s city and salvaged a nation’s shattered pride". In 1989, a comprehensive quantitative analysis concluded that Stalingrad was the military turning point of the war, the turning point for the Soviet leadership, as Stalin recognized the practicality of using his experienced commanders and gave his generals more freedom in fighting the war, and that the Soviet Union had indeed seized the initiative as a result of the battle, based on some of the critical factors examined in the study. An analysis in 2004 also concluded that the epic battle sealed the fate of the Germans in the East, a blow in which they would never recover from, and as a result the strategic initiative shifted to the Soviet side, therefore establishing the Battle of Stalingrad as the fundamental turning point in the war on the Eastern Front. A year of Axis gains from Case Blue had been wiped out. The Sixth Army of Germany had ceased to exist, and the forces of Germany's European allies, except Finland, had been shattered. In a speech on 9 November 1944, Hitler himself blamed Stalingrad for Germany's impending doom. Furthermore, according to some historians, such as Mikhail Myagkov, a Russian historian, the battle ended up completely dissuading Turkey and Japan from declaring war on the Soviet Union. The battle also stifled plans for future joint strategy in the Indian Ocean area between the Japanese and the Germans once their forces met up, and made certain that the German ambitions to use Soviet resources to fight against the Western Allies were no longer feasible. Its importance was further noted by historian John Erickson, who stated that "If the battle of Poltava in 1709 turned Russia into a European power, then Stalingrad set the Soviet Union on the road to being a world power". According to Roberts, "Battles do change the course of history. They determine the outcome of wars, the shape and character of victory and the peace that follows. They also change how the history of a war is viewed. In both these respects no battle changed history more than Stalingrad", and that "The coming of the nuclear era meant that there would never be another battle like Stalingrad. The greatest battle of the last great war of the pre-atomic age was an epic struggle that will never be surpassed." Historian J. Bradford Delong expressed that the Battle of Stalingrad, "of any battle in human history, has made the greatest positive difference for humanity". The destruction of multiple armies and the halting of Germany's advance made the battle a watershed moment. Germany had lost its best army, as the Sixth Army was regarded as "the finest and most triumphant infantry in the world at that time" and was deemed to have been the "invincible, unstoppable spearhead of the Third Reich's arms". At the time, the global significance of the battle was not in doubt. A Dresden newspaper wrote in early August that the battle would become the "most fateful battle of the war", and an article from the British "Daily Telegraph" in September shared similar views. Joseph Goebbels also shared similar sentiment, declaring that the battle was a "question of life or death, and all of our prestige, just as that of the Soviet Union, will depend on how it will end". The Reich Ministry of Propaganda declared it to be "the greatest battle of attrition the world has ever seen". On 2 February 1943, American journalist Barnet Nover wrote in the "Washington Post" that "Stalingrad's role in this war was that of the Battles of the Marne, Verdun and the Second Marne of the last war rolled into one". While on 3 February 1943, the "New York Times" heralded the destruction of "the flower of Adolf Hitler's army". The next day, on 4 February, French newspaper, "La Semaine", headlined it as "the greatest battle of all time". Writing in his diary on 1 January 1943, British General Alan Brooke, Chief of the Imperial General Staff, reflected on the change in the position from a year before: At this point, the British had won the Battle of El Alamein in November 1942. However, there were only about 50,000 German soldiers at El Alamein in Egypt, while at Stalingrad, at least 200,000 Germans had been lost. Stalingrad is viewed as being more important than both El Alamein and Operation Torch. On 30 January 1943, the tenth anniversary of his coming to power, Hitler chose not to speak. Joseph Goebbels read the text of his speech for him on the radio. The speech contained an oblique reference to the battle, which suggested that Germany was now in a defensive war. The public mood was sullen, depressed, fearful, and war-weary. The reverse was the case on the Soviet side. There was an overwhelming surge in confidence and belief in victory. A common saying was: "You cannot stop an army which has done Stalingrad." Stalin was feted as the hero of the hour and made a Marshal of the Soviet Union. The news of the battle echoed round the world, with many people now believing that Hitler's defeat was inevitable. The Turkish Consul in Moscow predicted that "the lands which the Germans have destined for their living space will become their dying space". Britain's conservative "The Daily Telegraph" proclaimed that the victory had saved European civilisation. The country celebrated "Red Army Day" on 23 February 1943. A ceremonial Sword of Stalingrad was forged to the order of King George VI. After being put on public display in Britain, this was presented to Stalin by Winston Churchill at the Tehran Conference later in 1943. Soviet propaganda spared no effort and wasted no time in capitalising on the triumph, impressing a global audience. The prestige of Stalin, the Soviet Union, and the worldwide Communist movement was immense, and their political position greatly enhanced. Commemoration. In recognition of the determination of its defenders, Stalingrad was awarded the title Hero City in 1945. A colossal monument called "The Motherland Calls" was erected in 1967 on Mamayev Kurgan, the hill overlooking the city where bones and rusty metal splinters can still be found. The statue forms part of a war memorial complex which includes the ruins of the Grain Silo and Pavlov's House. On 2 February 2013 Volgograd hosted a military parade and other events to commemorate the 70th anniversary of the final victory. Since then, military parades have always commemorated the victory in the city. Every year still, hundreds of bodies of soldiers who died in the battle are recovered in the area around Stalingrad and reburied in the cemeteries at Mamayev Kurgan or Rossoshka. In popular culture. The events of the Battle for Stalingrad have been covered in numerous media works of British, American, German, and Russian origin, for its significance as a turning point in the Second World War and for the loss of life associated with the battle. Stalingrad has become synonymous with large-scale urban battles with immense casualties on both sides, and according to historian David Glantz, has become a "metaphor for the ferocity of the Soviet-German conflict and, indeed, for the devastating nature of twentieth-century warfare as a whole". Also, historian Geoffrey Roberts states that "No battle of any war has had more written about it than Stalingrad" and that "No battle of the Second World War has captured the public imagination as much as the clash between Soviet Russia and Nazi Germany at Stalingrad in 1942... Stalingrad was an epic battle unmatched by any other in its dimensions, drama and decisiveness." In addition, besides the battle being recognized as the bloodiest and fiercest of the war, it is also considered to have been the closest of the war as well, as Geoffrey Roberts quotes the Duke of Wellington's remark about the Battle of Waterloo as a "close-run thing" to describe the Battle of Stalingrad, further adding to its popularity status and notoriety.
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Bodhidharma
Bodhidharma was a semi-legendary Buddhist monk who lived during the 5th or 6th century CE. He is traditionally credited as the transmitter of Chan Buddhism to China, and is regarded as its first Chinese patriarch. He is also popularly regarded as the founder of Shaolin kung fu, an idea popularized in the 20th century, but based on the 17th century Yijin Jing and the Daoist association of "daoyin" gymnastics with Bodhidharma. Little contemporary biographical information on Bodhidharma is extant, and subsequent accounts became layered with legend and unreliable details. According to the principal Chinese sources, Bodhidharma came from the Western Regions, which typically refers to Central Asia but can also include the Indian subcontinent, and is described as either a "Persian Central Asian" or a "South Indian [...] the third son of a great Indian king." Aside from the Chinese accounts, several popular traditions also exist regarding Bodhidharma's origins. Throughout Buddhist art, Bodhidharma is depicted as an ill-tempered, large-nosed, profusely-bearded, wide-eyed non-Chinese person. He is referred to as "The Blue-Eyed Barbarian" () in Chan texts. The accounts also differ on the date of his arrival, with one early account claiming that he arrived during the Liu Song dynasty (420–479 CE) and later accounts dating his arrival to the Liang dynasty (502–557 CE). Bodhidharma was primarily active in the territory of the Northern Wei (386–534 CE). Modern scholarship dates him to about the early 5th century CE. Bodhidharma's teachings and practice centered on meditation and the "Laṅkāvatāra Sūtra". The "Anthology of the Patriarchal Hall" (952) identifies Bodhidharma as the 28th Patriarch of Buddhism in an uninterrupted line that extends back to the Gautama Buddha himself. Etymology. His name means 'dharma of awakening (bodhi)" in Sanskrit. Biography. Principal sources. There are two known extant accounts written by contemporaries of Bodhidharma. According to these sources, Bodhidharma came from the Western Regions, and is described as either a "Persian Central Asian" or a "South Indian [...] the third son of a great Indian king." Later sources draw on these two sources, adding additional details, including a change to being descended from a "Brahmin" king, which accords with the reign of the Pallavas, who "claim[ed] to belong to a brahmin lineage." The "Western Regions" was a historical name specified in the Chinese chronicles between the 3rd century BCE to the 8th century CE that referred to the regions west of Yumen Pass, most often Central Asia or sometimes, more specifically, the easternmost portion of it (e.g. Altishahr or the Tarim Basin in southern Xinjiang). Sometimes, it was used more generally to refer to other regions to the west of China as well, such as the Indian subcontinent (as in the novel "Journey to the West"). "The Record of the Buddhist Monasteries of Luoyang". The earliest text mentioning Bodhidharma is "The Record of the Buddhist Monasteries of Luoyang" ( "Luòyáng Qiélánjì") which was compiled in 547 by Yang Xuanzhi (), a writer and translator of Mahayana sutras into Chinese. Yang gave the following account: The account of Bodhidharma in the Luoyan Record does not particularly associate him with meditation, but rather depicts him as a thaumaturge capable of mystical feats. This may have played a role in his subsequent association with the martial arts and esoteric knowledge. Tanlin – preface to the Two Entrances and Four Acts. The second account was written by Tanlin (曇林; 506–574). Tanlin's brief biography of the "Dharma Master" is found in his preface to the "Long Scroll of the Treatise on the Two Entrances and Four Practices", a text traditionally attributed to Bodhidharma and the first text to identify him as South Indian: Tanlin's account was the first to mention that Bodhidharma attracted disciples, specifically mentioning Daoyu () and Dazu Huike (), the latter of whom would later figure very prominently in the Bodhidharma literature. Although Tanlin has traditionally been considered a disciple of Bodhidharma, it is more likely that he was a student of Huike. "Record of the Masters and Students of the Laṅka". The "Record of the Masters and Students of the Laṅka" (Léngqié Shīzī Jì 楞伽師資記), which survives both in Chinese and in Tibetan translation (although the surviving Tibetan translation is apparently of older provenance than the surviving Chinese version), states that Bodhidharma is not the first ancestor of Zen, but instead the second. This text instead claims that Guṇabhadra, the translator of the "Laṅkāvatāra Sūtra", is the first ancestor in the lineage. It further states that Bodhidharma was his student. The Tibetan translation is estimated to have been made in the late eighth or early ninth century, indicating that the original Chinese text was written at some point before that. Tanlin's preface has also been preserved in Jingjue's (683–750) "Lengjie Shizi ji" "Chronicle of the "Laṅkāvatāra" Masters", which dates from 713 to 716./ca. 715 He writes, "Further Biographies of Eminent Monks". In the 7th-century historical work "Further Biographies of Eminent Monks" (續高僧傳 "Xù gāosēng zhuàn"), Daoxuan () possibly drew on Tanlin's preface as a basic source, but made several significant additions: Firstly, Daoxuan adds more detail concerning Bodhidharma's origins, writing that he was of "South Indian Brahman stock" (南天竺婆羅門種 "nán tiānzhú póluómén zhŏng"). Secondly, more detail is provided concerning Bodhidharma's journeys. Tanlin's original is imprecise about Bodhidharma's travels, saying only that he "crossed distant mountains and seas" before arriving in Wei. Daoxuan's account, however, implies "a specific itinerary": "He first arrived at Nan-yüeh during the Sung period. From there, he turned north and came to the Kingdom of Wei" This implies that Bodhidharma had travelled to China by sea and that he had crossed over the Yangtze. Thirdly, Daoxuan suggests a date for Bodhidharma's arrival in China. He writes that Bodhidharma makes landfall in the time of the Song, thus making his arrival no later than the time of the Song's fall to the Southern Qi in 479. Finally, Daoxuan provides information concerning Bodhidharma's death. Bodhidharma, he writes, died at the banks of the Luo River, where he was interred by his disciple Dazu Huike, possibly in a cave. According to Daoxuan's chronology, Bodhidharma's death must have occurred prior to 534, the date of the Northern Wei's fall, because Dazu Huike subsequently leaves Luoyang for Ye. Furthermore, citing the shore of the Luo River as the place of death might possibly suggest that Bodhidharma died in the mass executions at Heyin () in 528. Supporting this possibility is a report in the Chinese Buddhist canon stating that a Buddhist monk was among the victims at Héyīn. Later accounts. "Anthology of the Patriarchal Hall". In the "Anthology of the Patriarchal Hall" (祖堂集 "Zǔtángjí") of 952, the elements of the traditional Bodhidharma story are in place. Bodhidharma is said to have been a disciple of Prajñātāra, thus establishing the latter as the 27th patriarch in India. After a three-year journey, Bodhidharma reached China in 527, during the Liang (as opposed to the Song in Daoxuan's text). The "Anthology of the Patriarchal Hall" includes Bodhidharma's encounter with Emperor Wu of Liang, which was first recorded around 758 in the appendix to a text by Shenhui (), a disciple of Huineng. Finally, as opposed to Daoxuan's figure of "over 180 years," the "Anthology of the Patriarchal Hall" states that Bodhidharma died at the age of 150. He was then buried on Mount Xiong'er (熊耳山), to the west of Luoyang. However, three years after the burial, in the Pamir Mountains, Song Yun ()—an official of one of the later Wei kingdoms—encountered Bodhidharma, who claimed to be returning to India and was carrying a single sandal. Bodhidharma predicted the death of Song Yun's ruler, a prediction which was borne out upon the latter's return. Bodhidharma's tomb was then opened, and only a single sandal was found inside. According to the "Anthology of the Patriarchal Hall", Bodhidharma left the Liang court in 527 and relocated to Mount Song near Luoyang and the Shaolin Monastery, where he "faced a wall for nine years, not speaking for the entire time", his date of death can have been no earlier than 536. Moreover, his encounter with the Wei official indicates a date of death no later than 554, three years before the fall of the Western Wei. Daoyuan – Transmission of the Lamp. Subsequent to the "Anthology of the Patriarchal Hall", the only dated addition to the biography of Bodhidharma is in the "Jingde Records of the Transmission of the Lamp" (景德傳燈錄 "Jĭngdé chuándēng lù", published 1004 CE), by Daoyuan (), in which it is stated that Bodhidharma's original name had been Bodhitāra but was changed by his master Prajñātāra. The same account is given by the Japanese master Keizan's 13th-century work of the same title. Popular traditions. Several contemporary popular traditions also exist regarding Bodhidharma's origins. An Indian tradition regards Bodhidharma to be the third son of a Pallava king from Kanchipuram. This is consistent with the Southeast Asian traditions which also describe Bodhidharma as a former South Indian Tamil prince who had awakened his kundalini and renounced royal life to become a monk. The Tibetan version similarly characterises him as a dark-skinned siddha from South India. Conversely, the Japanese tradition generally regards Bodhidharma as a red-haired Persian. Practice and teaching. Two Entrances and Four Practices. Bodhidharma is traditionally seen as introducing a Mahayana Buddhist practice of dhyana (meditation) in China. According to modern scholars, like the Japanese scholar of Chan Yanagida Seizan, generally hold that the "Two Entrances and Four Practices" "("二入四行論")" is the only extant work that can be attributed to Bodhidharma and as such, this is the main source for our knowledge of his teaching. According to this text, Bodhidharma taught two "entrances" to the Dharma. The first is a subitist teaching that directly apprehends the ultimate principle, that is, the true nature or buddha-nature. The second entrance deals with four practices: (1) accepting all our sufferings as the fruit of past karma, (2) accept our circumstances with equanimity, (3) to be without craving, and (4) to let go of wrong thoughts and practice the six perfections. According to Yanagida Seizan, the first "entrance of principle", was a subitist teaching which derives from the sudden enlightenment thought of Tao-sheng; while the four practices are a reworking of the "four foundations of mindfulness", which were popular in the late Six Dynasties period Buddhist meditation circles. Wall-gazing. Tanlin, in the preface to "Two Entrances and Four Practices", and Daoxuan, in the "Further Biographies of Eminent Monks", mentions a practice of Bodhidharma's termed "wall-gazing" (壁觀 "bìguān"). Both Tanlin and Daoxuan associate this "wall-gazing" with "quieting [the] mind" (). In the "Two Entrances and Four Practices", the term "wall-gazing" is given as follows: Daoxuan states, "the merits of Mahāyāna wall-gazing are the highest". These are the first mentions in the historical record of what may be a type of meditation being ascribed to Bodhidharma. Exactly what sort of practice Bodhidharma's "wall-gazing" was remains uncertain. Nearly all accounts have treated it either as an undefined variety of meditation, as Daoxuan and Dumoulin, or as a variety of seated meditation akin to the zazen () that later became a defining characteristic of Chan. The latter interpretation is particularly common among those working from a Chan standpoint. There have also, however, been interpretations of "wall-gazing" as a non-meditative phenomenon. Jeffrey Broughton points out that where Bodhidharma's teachings appear in Tibetan translation among the Dunhuang manuscripts, the Chinese phrase "in a coagulated state abides in wall-examining" (ning chu pi-kuan) is replaced in Tibetan with "rejects discrimination and "abides in brightness"" (rtogs pa spangs te | lham mer gnas na). Broughton sees this as a curious divergence, as Tibetan translations of Chinese Chan texts are usually quite literal. He concludes that in early Tibet, "wall examining" did not refer to a literal practice of sitting cross-legged facing a wall. The "Laṅkāvatāra Sūtra". There are early texts which explicitly associate Bodhidharma with the "Laṅkāvatāra Sūtra". Daoxuan, for example, in a late recension of his biography of Bodhidharma's successor Huike, has the sūtra as a basic and important element of the teachings passed down by Bodhidharma: Another early text, the "Record of the Masters and Disciples of the Laṅkāvatāra Sūtra" () of Jingjue (淨覺; 683–750), also mentions Bodhidharma in relation to this text. Jingjue's account also makes explicit mention of "sitting meditation" or zazen: In other early texts, the school that would later become known as Chan Buddhism is sometimes referred to as the "Laṅkāvatāra school" (楞伽宗 "Léngqié zōng"). The "Laṅkāvatāra Sūtra", one of the Mahayana sutras, is a highly "difficult and obscure" text whose basic thrust is to emphasize "the inner enlightenment that does away with all duality and is raised above all distinctions". It is among the first and most important texts for East Asian Yogācāra. According to Suzuki, one of the recurrent emphases in the "Laṅkāvatāra Sūtra" is a lack of reliance on words to effectively express reality: In contrast to the ineffectiveness of words, the sūtra instead stresses the importance of the "self-realization" that is "attained by noble wisdom" and, according to Suzuki, occurs "when one has an insight into reality as it is": "The truth is the state of self-realization and is beyond categories of discrimination". According to Suzuki, reflecting his own emphasis on kensho, the sūtra goes on to outline the ultimate effects of an experience of self-realization: Legends about Bodhidharma. Several stories about Bodhidharma have become popular legends, which are still being used in the Ch'an, Seon, and Zen-tradition. Encounter with Emperor Wu of Liang. The "Anthology of the Patriarchal Hall" says that in 527, Bodhidharma visited Emperor Wu of Liang, a fervent patron of Buddhism: This encounter was included as the first kōan of the "Blue Cliff Record". Nine years of wall-gazing. Failing to make a favorable impression in South China, Bodhidharma is said to have travelled to the Shaolin Monastery. After either being refused entry or being ejected after a short time, he lived in a nearby cave, where he "faced a wall for nine years, not speaking for the entire time". The biographical tradition is littered with apocryphal tales about Bodhidharma's life and circumstances. In one version of the story, he is said to have fallen asleep seven years into his nine years of wall-gazing. Becoming angry with himself, he cut off his eyelids to prevent it from happening again. According to the legend, as his eyelids hit the floor the first tea plants sprang up, and thereafter, tea would provide a stimulant to help keep students of Chan awake during zazen. The most popular account relates that Bodhidharma was admitted into the Shaolin temple after nine years in the cave and taught there for some time. However, other versions report that he "passed away, seated upright"; or that he disappeared, leaving behind the "Yijin Jing"; or that his legs atrophied after nine years of sitting, which is why Daruma dolls have no legs. Huike cuts off his arm. In one legend, Bodhidharma refused to resume teaching until his would-be student, Dazu Huike, who had kept vigil for weeks in the deep snow outside of the monastery, cut off his own left arm to demonstrate sincerity. Transmission. Skin, flesh, bone, marrow. "Jingde Records of the Transmission of the Lamp" (景德传灯录) of Daoyuan, presented to the emperor in 1004, records that Bodhidharma wished to return to India and called together his disciples: Bodhidharma passed on the symbolic robe and bowl of dharma succession to Dazu Huike and, some texts claim, a copy of the "Laṅkāvatāra Sūtra". Bodhidharma then either returned to India or died. Bodhidharma at Shaolin. Some Chinese myths and legends describe Bodhidharma as being disturbed by the poor physical shape of the Shaolin monks, after which, he instructed them in techniques to maintain their physical condition as well as teaching meditation. He is said to have taught a series of external exercises called the Eighteen Arhat Hands and an internal practice called the Sinew Metamorphosis Classic. In addition, after his departure from the temple, two manuscripts by Bodhidharma were said to have been discovered inside the temple: the "Yijin Jing" and the "Xisui Jing". Copies and translations of the "Yijin Jing" survive to the modern day. The "Xisui Jing" has been lost. Travels in Southeast Asia. According to Southeast Asian folklore, Bodhidharma travelled from Jambudvipa by sea to Palembang, Indonesia. Passing through Sumatra, Java, Bali, Malaysia, and Luzon Island, he eventually entered China through Nanyue. In his travels through the region, Bodhidharma is said to have transmitted his knowledge of the Mahayana doctrine and the martial arts. Malay legend holds that he introduced forms to silat. In Tagalog legend, Bodhidharma reached the island of Luzon in the Philippines passing through Palawan and he introduced Arnis to the locals. Vajrayana tradition links Bodhidharma with the 11th-century south Indian monk Dampa Sangye who travelled extensively to Tibet and China spreading tantric teachings. Appearance after his death. Three years after Bodhidharma's death, Ambassador Song Yun of northern Wei is said to have seen him walking while holding a shoe at the Pamir Mountains. Song asked Bodhidharma where he was going, to which Bodhidharma replied, "I am going home". When asked why he was holding his shoe, Bodhidharma answered, "You will know when you reach Shaolin monastery. Don't mention that you saw me or you will meet with disaster". After arriving at the palace, Song told the emperor that he met Bodhidharma on the way. The emperor said Bodhidharma was already dead and buried and had Song arrested for lying. At Shaolin Monastery, the monks informed them that Bodhidharma was dead and had been buried in a hill behind the temple. The grave was exhumed and was found to contain a single shoe. The monks then said, "Master has gone back home" and prostrated three times: "For nine years, he had remained and nobody knew him; Carrying a shoe in hand he went home quietly, without ceremony." Lineage. Construction of lineages. The idea of a patriarchal lineage in Ch'an dates back to the epitaph for Faru (), a disciple of the 5th patriarch Hongren (). In the "Long Scroll of the Treatise on the Two Entrances and Four Practices" and the "Continued Biographies of Eminent Monks", Daoyu and Dazu Huike are the only explicitly identified disciples of Bodhidharma. The epitaph gives a line of descent identifying Bodhidharma as the first patriarch. In the 6th century, the biographies of famous monks were collected. From this genre, the typical Chan lineage was developed: According to McRae, it is not clear that the practitioners surrounding Bodhidharma and his disciple Huike considered themselves as belonging to a unified movement or group, such as a "Chan school," nor did they have any sense of sharing any continuity with the later tradition. He says even the name "proto-Chan" is not really reflective of their activities. D. T. Suzuki contends that Chan's growth in popularity during the 7th and 8th centuries attracted criticism that it had "no authorized records of its direct transmission from the founder of Buddhism" and that Chan historians made Bodhidharma the 28th patriarch of Buddhism in response to such attacks. Six patriarchs. The earliest lineages described the lineage from Bodhidharma into the 5th to 7th generation of patriarchs. Various records of different authors are known, which give a variation of transmission lines: Continuous lineage from Gautama Buddha. Eventually, these descriptions of the lineage evolved into a continuous lineage from Śākyamuni Buddha to Bodhidharma. The idea of a line of descent from Śākyamuni Buddha is the basis for the distinctive lineage tradition of Chan Buddhism. According to the "Song of Enlightenment" (證道歌 "Zhèngdào gē") by Yongjia Xuanjue, Bodhidharma was the 28th Patriarch of Chan, in a line of descent from Gautama Buddha via his disciple Mahākāśyapa: <poem>Mahakashyapa was the first, leading the line of transmission; Twenty-eight Fathers followed him in the West; The Lamp was then brought over the sea to this country; And Bodhidharma became the First Father here His mantle, as we all know, passed over six Fathers, And by them many minds came to see the Light.</poem> The "Transmission of the Light" gives 28 patriarchs in this transmission: Modern scholarship. Bodhidharma has been the subject of critical scientific research, which has shed new light on the traditional stories about Bodhidharma. Biography as a hagiographic process. According to John McRae, Bodhidharma has been the subject of a hagiographic process which served the needs of Chan Buddhism. According to him, it is not possible to write an accurate biography of Bodhidharma: McRae's standpoint accords with Yanagida's standpoint: "Yanagida ascribes great historical value to the witness of the disciple Tanlin, but at the same time, acknowledges the presence of 'many puzzles in the biography of Bodhidharma'". Given the present state of the sources, he considers it impossible to compile a reliable account of Bodhidharma's life. Several scholars have suggested that the composed image of Bodhidharma depended on the combination of supposed historical information on various historical figures over several centuries. Bodhidharma as a historical person may even never have actually existed. Origins and place of birth. Dumoulin comments on the three principal sources. The Persian heritage is doubtful, according to Dumoulin: "In the "Description of the Lo-yang temple", Bodhidharma is called a Persian. Given the ambiguity of geographical references in writings of this period, such a statement should not be taken too seriously." Dumoulin considers Tanlin's account of Bodhidharma being "the third son of a great Brahman king" to be a later addition, and finds the exact meaning of "South Indian Brahman stock" unclear: "And when Daoxuan speaks of origins from South Indian Brahman stock, it is not clear whether he is referring to roots in nobility or to India in general as the land of the Brahmans." These Chinese sources lend themselves to make inferences about Bodhidharma's origins. "The third son of a Brahman king" has been speculated to mean "the third son of a Pallava king". Based on a specific pronunciation of the Chinese characters 香至 as Kang-zhi, meaning "fragrance extreme", Tsutomu Kambe identifies 香至 to be Kanchipuram, an old capital town in the state Tamil Nadu, India. According to Tsutomu Kambe, "Kanchi means 'a radiant jewel' or 'a luxury belt with jewels', and puram means a town or a state in the sense of earlier times. Thus, it is understood that the '香至-Kingdom' corresponds to the old capital 'Kanchipuram'." Acharya Raghu, in his work 'Bodhidharma Retold', used a combination of multiple factors to identify Bodhidharma from the state of Andhra Pradesh in South India, specifically to the geography around Mt. Sailum or modern day Srisailam. The Pakistani scholar Ahmad Hasan Dani speculated that according to popular accounts in Pakistan's northwest, Bodhidharma may be from the region around the Peshawar valley, or possibly around modern Afghanistan's eastern border with Pakistan. Caste. In the context of the Indian caste system, the mention of "Brahman king" acquires a nuance. Broughton notes that "king" implies that Bodhidharma was of a caste of warriors and rulers. Brahman is, in western contexts, easily understood as Brahmana or Brahmin, which means "priest". Name. According to tradition, Bodhidharma was given this name by his teacher, known variously as Panyatara, Prajnatara, or Prajñādhara. His name prior to monkhood is said to have been Jayavarman. Bodhidharma is associated with several other names, and is also known by the name Bodhitara. Faure notes that: Tibetan sources give his name as "Bodhidharmottara" or "Dharmottara", that is, "Highest teaching (dharma) of enlightenment". Abode in China. Buswell dates Bodhidharma's abode in China approximately at the early 5th century. Broughton dates Bodhidharma's presence in Luoyang to between 516 and 526, when the temple referred to—Yongning Temple (), was at the height of its glory. Starting in 526, Yǒngníngsì suffered damage from a series of events, ultimately leading to its destruction in 534. Shaolin boxing. The idea that Bodhidharma founded martial arts at the Shaolin Temple was spread in the 20th century. Martial arts historians have shown that this legend stems from a 17th-century qigong manual known as the "Yijin Jing" ("Muscle Change Classic," "Sinews Transformation's Classic"). While the Shaolin-minks attributed the origins of their fighting-skills to Vajrapani, the daoist author of the "Yijin Jing" wrongly assumed that the monks attributed these skills to Bodhidharma, due to the daoist tradition of attributing "daoyin" gymnastics to Bodhidharma, and the influence of Buddhism on Daoist meditation techniques. The preface of this work says that Bodhidharma left behind the "Yi Jin Jing", and further states that the monks obtained the fighting skills which made them gain some fame from this manual. The attribution of the "Yijin Jing" to Bodhidharma has been discredited early on, and is also rejected by historians like Tang Hao, Xu Zhen, and Matsuda Ryuchi. According to Lin Boyuan, "This manuscript is full of errors, absurdities, and fantastic claims; it cannot be taken as a legitimate source." The composition of the text itself has been dated to 1624, while the oldest available copy was published in 1827. In the 19th century, when the "Yijin Jing" became popular in military circles, and the Shaolin monks started to use it, the Shaolin martial tradition became gradually associated with Bodhidharma. The association of Bodhidharma with martial arts only became widespread as a result of the 1904–1907 serialization of the novel "The Travels of Lao Ts'an" in "Illustrated Fiction Magazine", which incorporated this newly developed attribution of Shaolin martial arts to Bodhidharma. According to Henning, the "story is clearly a twentieth-century invention," which "is confirmed by writings going back at least 250 years earlier, which mention both Bodhidharma and martial arts but make no connection between the two." Cultural legacy. In the Zen "kōan" tradition, Bodhidharma is mentioned as a significant figure. In Dogen's 13th century "kōan" collection, the "Shinji Shōbōgenzō", Bodhidharma is mentioned in fourteen different "kōans". In "The Gateless Gate" by Wumen Huikai: In a short addendum from 1245 CE, the text refers to a motto attributed to Bodhidharma: "Bodhidharma coming from the west, unattached to any words, pointing directly to the mind of man, advocated seeing into one's nature and becoming Buddha." The legend of Dazu Huike and Bodhidharma is recounted in case no. 41 of "The Gateless Gate". Bodhidharma's image became the inspiration for Japanese Daruma dolls, which originated in Meiwa-era Takasaki as good luck charms. A is held at the Shorinzan Daruma Temple in Takasaki every year, celebrating the city as the birthplace of the Daruma doll. Over 400,000 attendants come to purchase new dolls. The Japanese version of the children's game statues is named . A 1989 South Korean film, "Why Has Bodhi-Dharma Left for the East?", derives its title from a "kōan" about Bodhidharma's legendary transmission of Chan Buddhism to China. The film screened at the 1989 Cannes Film Festival and was the first South Korean film to release theatrically in the United States. In 1994, the Hong Kong film "Master of Zen" (also known as "Bodhidharma") adapted the legends of Bodhidharma's life into a martial arts drama film, partly inspired by the master's association with Shaolin Kung Fu. The 2011 Indian Tamil science fiction martial arts film "7 Aum Arivu" features a descendant of Bodhidharma as a main character portrayed by Suriya, with its plot centering on the ancient monk's legendary skills and knowledge. The film faced criticism for its historical inaccuracies, particularly regarding Bodhidharma's age upon entering China. The controversy led to hunger strikes among Indian followers of Bodhidharma. Attributed works. Modern scholars, such as the Japanese scholar of early Chan, Yanagida Seizan, agree that only one extant text can be attributed to Bodhidharma. This is the "Two Entrances and Four Practices" "(二入四行論)," also known as "Outline of Practice" (二種入 "Er zhong ru)", which is part of the larger "Bodhidharma Anthology" that also includes teachings from some of Bodhidharma's students, such as Huike and Dharma master Yuan. There also exists a Dunhuang manuscript titled "Treatise of Dhyana Master Bodhidharma" ("Tianzhu guo Putidamo chan shi lun" 天竺國菩提達摩禪師論). According to McRae, this text "might be taken as a guide to the teachings of early Ch'an. The text is probably relatively early, although its putative date of compilation or transcription, 681, is not reliable. Unfortunately, its contents do not lend themselves to precise dating." Later attributions. Throughout the history of Chan, various other works became attributed to Bodhidharma and modern scholars have studied these as well, attempting to understand their provenance. Commonly attributed works include: Pointing directly to one's mind. One of the fundamental Chán texts attributed to Bodhidharma is a four-line stanza whose first two verses echo the "Laṅkāvatāra Sūtra"s disdain for words and whose second two verses stress the importance of the insight into reality achieved through "self-realization": The stanza, in fact, is not Bodhidharma's, but rather dates to the year 1108.
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Biconditional introduction
In propositional logic, biconditional introduction is a valid rule of inference. It allows for one to infer a biconditional from two conditional statements. The rule makes it possible to introduce a biconditional statement into a logical proof. If formula_1 is true, and if formula_2 is true, then one may infer that formula_3 is true. For example, from the statements "if I'm breathing, then I'm alive" and "if I'm alive, then I'm breathing", it can be inferred that "I'm breathing if and only if I'm alive". Biconditional introduction is the converse of biconditional elimination. The rule can be stated formally as: formula_4 where the rule is that wherever instances of "formula_1" and "formula_2" appear on lines of a proof, "formula_3" can validly be placed on a subsequent line. Formal notation. The "biconditional introduction" rule may be written in sequent notation: formula_8 where formula_9 is a metalogical symbol meaning that formula_3 is a syntactic consequence when formula_1 and formula_2 are both in a proof; or as the statement of a truth-functional tautology or theorem of propositional logic: formula_13 where formula_14, and formula_15 are propositions expressed in some formal system.
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Biconditional elimination
Biconditional elimination is the name of two valid rules of inference of propositional logic. It allows for one to infer a conditional from a biconditional. If formula_1 is true, then one may infer that formula_2 is true, and also that formula_3 is true. For example, if it's true that I'm breathing if and only if I'm alive, then it's true that if I'm breathing, I'm alive; likewise, it's true that if I'm alive, I'm breathing. The rules can be stated formally as: formula_4 and formula_5 where the rule is that wherever an instance of "formula_1" appears on a line of a proof, either "formula_2" or "formula_3" can be placed on a subsequent line. Formal notation. The "biconditional elimination" rule may be written in sequent notation: formula_9 and formula_10 where formula_11 is a metalogical symbol meaning that formula_2, in the first case, and formula_3 in the other are syntactic consequences of formula_1 in some logical system; or as the statement of a truth-functional tautology or theorem of propositional logic: formula_15 formula_16 where formula_17, and formula_18 are propositions expressed in some formal system.
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Base pair
A base pair (bp) is a fundamental unit of double-stranded nucleic acids consisting of two nucleobases bound to each other by hydrogen bonds. They form the building blocks of the DNA double helix and contribute to the folded structure of both DNA and RNA. Dictated by specific hydrogen bonding patterns, "Watson–Crick" (or "Watson–Crick–Franklin") base pairs (guanine–cytosine and adenine–thymine/uracil) allow the DNA helix to maintain a regular helical structure that is subtly dependent on its nucleotide sequence. The complementary nature of this based-paired structure provides a redundant copy of the genetic information encoded within each strand of DNA. The regular structure and data redundancy provided by the DNA double helix make DNA well suited to the storage of genetic information, while base-pairing between DNA and incoming nucleotides provides the mechanism through which DNA polymerase replicates DNA and RNA polymerase transcribes DNA into RNA. Many DNA-binding proteins can recognize specific base-pairing patterns that identify particular regulatory regions of genes. Intramolecular base pairs can occur within single-stranded nucleic acids. This is particularly important in RNA molecules (e.g., transfer RNA), where Watson–Crick base pairs (guanine–cytosine and adenine-uracil) permit the formation of short double-stranded helices, and a wide variety of non–Watson–Crick interactions (e.g., G–U or A–A) allow RNAs to fold into a vast range of specific three-dimensional structures. In addition, base-pairing between transfer RNA (tRNA) and messenger RNA (mRNA) forms the basis for the molecular recognition events that result in the nucleotide sequence of mRNA becoming translated into the amino acid sequence of proteins via the genetic code. The size of an individual gene or an organism's entire genome is often measured in base pairs because DNA is usually double-stranded. Hence, the number of total base pairs is equal to the number of nucleotides in one of the strands (with the exception of non-coding single-stranded regions of telomeres). The haploid human genome (23 chromosomes) is estimated to be about 3.2 billion base pairs long and to contain 20,000–25,000 distinct protein-coding genes. A kilobase (kb) is a unit of measurement in molecular biology equal to 1000 base pairs of DNA or RNA. The total number of DNA base pairs on Earth is estimated at 5.0 with a weight of 50 billion tonnes. In comparison, the total mass of the biosphere has been estimated to be as much as 4 TtC (trillion tons of carbon). Notation. This article employs the "•" character in describing any noncovalant interaction, which includes all types of base pairs, in line with IUPAC's 1970 recommendation. According to the IUPAC, "-" is not acceptable because it implies covalent linkage and neither are ":" and "/" because they can be mistaken as ratios. Not using any symbol is also unacceptable because it can be confused with a (covalent) polymer sequence. IUPAC makes no specific recommendation for differentiating types of noncovalant bonds. When it is necessary to differentiate, this article ses "*" for the Hogsteen pair. Hydrogen bonding and stability. Top, a G•C base pair with three hydrogen bonds. Bottom, an A•T base pair with two hydrogen bonds. Non-covalent hydrogen bonds between the bases are shown as dashed lines. The wiggly lines stand for the connection to the pentose sugar and point in the direction of the minor groove. Hydrogen bonding is the chemical interaction that underlies the base-pairing rules described above. Appropriate geometrical correspondence of hydrogen bond donors and acceptors allows only the "right" pairs to form stably. DNA with high GC-content is more stable than DNA with low GC-content. Crucially, however, stacking interactions are primarily responsible for stabilising the double-helical structure; Watson-Crick base pairing's contribution to global structural stability is minimal, but its role in the specificity underlying complementarity is, by contrast, of maximal importance as this underlies the template-dependent processes of the central dogma (e.g. DNA replication). The bigger nucleobases, adenine and guanine, are members of a class of double-ringed chemical structures called purines; the smaller nucleobases, cytosine and thymine (and uracil), are members of a class of single-ringed chemical structures called pyrimidines. Purines are complementary only with pyrimidines: pyrimidine–pyrimidine pairings are energetically unfavorable because the molecules are too far apart for hydrogen bonding to be established; purine–purine pairings are energetically unfavorable because the molecules are too close, leading to overlap repulsion. Purine–pyrimidine base-pairing of AT or GC or UA (in RNA) results in proper duplex structure. The only other purine–pyrimidine pairings would be AC and GT and UG (in RNA); these pairings are mismatches because the patterns of hydrogen donors and acceptors do not correspond. The GU pairing, with two hydrogen bonds, does occur fairly often in RNA (see wobble base pair). Paired DNA and RNA molecules are comparatively stable at room temperature, but the two nucleotide strands will separate above a melting point that is determined by the length of the molecules, the extent of mispairing (if any), and the GC content. Higher GC content results in higher melting temperatures; it is, therefore, unsurprising that the genomes of extremophile organisms such as "Thermus thermophilus" are particularly GC-rich. On the converse, regions of a genome that need to separate frequently — for example, the promoter regions for often-transcribed genes — are comparatively GC-poor (for example, see TATA box). GC content and melting temperature must also be taken into account when designing primers for PCR reactions. Examples. The following DNA sequences illustrate pair double-stranded patterns. By convention, the top strand is written from the 5′-end to the 3′-end; thus, the bottom strand (complementary strand) is written 3′ to 5′. A base-paired DNA sequence: The corresponding RNA sequence, in which uracil is substituted for thymine in the RNA strand: Non-canonical base pairing. In addition to the canonical Watson–Crick pairing (A•T/U G•C), some conditions can also favour base-pairing with alternative base orientation, and number and geometry of hydrogen bonds. These pairings are accompanied by alterations to the local backbone shape. The most common of these is the wobble base pairing that occurs between tRNAs and mRNAs at the third base position of many codons during transcription and during the charging of tRNAs by some tRNA synthetases. They have also been observed in the secondary structures of some RNA sequences. Additionally, Hoogsteen base pairing (typically written as A*U/T and G*C) can happen when a different "face" of a purine base is used for pairing. This happens in some DNA sequences (e.g. CA and TA dinucleotides) in dynamic equilibrium with standard Watson–Crick pairing. They have also been observed in some protein–DNA complexes. There is also a kind of reverse Hoogsteen base pair in tRNA where both a purine and a pyrimidine uses a different "face". In addition to these alternative base pairings, a wide range of base-base hydrogen bonding is observed in RNA secondary and tertiary structure. These bonds are often necessary for the precise, complex shape of an RNA, as well as its binding to interaction partners. Base pairs and mutation. Mismatch repair. Mismatched base pairs can be generated by errors of DNA replication and as intermediates during homologous recombination. The process of mismatch repair ordinarily must recognize and correctly repair a small number of base mispairs within a long sequence of normal DNA base pairs. To repair mismatches formed during DNA replication, several distinctive repair processes have evolved to distinguish between the template strand and the newly formed strand so that only the newly inserted incorrect nucleotide is removed (in order to avoid generating a mutation). The proteins employed in mismatch repair during DNA replication, and the clinical significance of defects in this process are described in the article DNA mismatch repair. The process of mispair correction during recombination is described in the article gene conversion. Base analogs and intercalators. Chemical analogs of nucleotides can take the place of proper nucleotides and establish non-canonical base-pairing, leading to errors (mostly point mutations) in DNA replication and DNA transcription. This is due to their isosteric chemistry. One common mutagenic base analog is 5-bromouracil, which resembles thymine but can base-pair to guanine in its enol form. Other chemicals, known as DNA intercalators, fit into the gap between adjacent bases on a single strand and induce frameshift mutations by "masquerading" as a base, causing the DNA replication machinery to skip or insert additional nucleotides at the intercalated site. Most intercalators are large polyaromatic compounds and are known or suspected carcinogens. Examples include ethidium bromide and acridine. As a unit of length. The following abbreviations are commonly used to describe the length of a D/RNA molecule: For single-stranded DNA/RNA, units of nucleotides are used—abbreviated nt (or knt, Mnt, Gnt)—as they are not paired. To distinguish between units of computer storage and bases, kbp, Mbp, Gbp, etc. may be used for base pairs. The centimorgan is also often used to imply distance along a chromosome, but the number of base pairs it corresponds to varies widely depending on the patterns of chromosomal crossover. In the human genome, the centimorgan is about 1 million base pairs. Unnatural base pair (UBP). An unnatural base pair (UBP) is a designed subunit (or nucleobase) of DNA which is created in a laboratory and does not occur in nature. DNA sequences have been described which use newly created nucleobases to form a third base pair, in addition to the two base pairs found in nature, A•T (adenine – thymine) and G•C (guanine – cytosine). A few research groups have been searching for a third base pair for DNA, including teams led by Steven A. Benner, Philippe Marliere, Floyd E. Romesberg and Ichiro Hirao. Some new base pairs based on alternative hydrogen bonding, hydrophobic interactions and metal coordination have been reported. In 1989 Steven Benner (then working at the Swiss Federal Institute of Technology in Zurich) and his team led with modified forms of cytosine and guanine into DNA molecules "in vitro". The nucleotides, which encoded RNA and proteins, were successfully replicated "in vitro". Since then, Benner's team has been trying to engineer cells that can make foreign bases from scratch, obviating the need for a feedstock. In 2002, Ichiro Hirao's group in Japan developed an unnatural base pair between 2-amino-8-(2-thienyl)purine (s) and pyridine-2-one (y) that functions in transcription and translation, for the site-specific incorporation of non-standard amino acids into proteins. In 2006, they created 7-(2-thienyl)imidazo[4,5-b]pyridine (Ds) and pyrrole-2-carbaldehyde (Pa) as a third base pair for replication and transcription. Afterward, Ds and 4-[3-(6-aminohexanamido)-1-propynyl]-2-nitropyrrole (Px) was discovered as a high fidelity pair in PCR amplification. In 2013, they applied the Ds-Px pair to DNA aptamer generation by "in vitro" selection (SELEX) and demonstrated the genetic alphabet expansion significantly augment DNA aptamer affinities to target proteins. In 2012, a group of American scientists led by Floyd Romesberg, a chemical biologist at the Scripps Research Institute in San Diego, California, published that his team designed an unnatural base pair (UBP). The two new artificial nucleotides or "Unnatural Base Pair" (UBP) were named d5SICS and dNaM. More technically, these artificial nucleotides bearing hydrophobic nucleobases, feature two fused aromatic rings that form a (d5SICS–dNaM) complex or base pair in DNA. His team designed a variety of "in vitro" or "test tube" templates containing the unnatural base pair and they confirmed that it was efficiently replicated with high fidelity in virtually all sequence contexts using the modern standard "in vitro" techniques, namely PCR amplification of DNA and PCR-based applications. Their results show that for PCR and PCR-based applications, the d5SICS–dNaM unnatural base pair is functionally equivalent to a natural base pair, and when combined with the other two natural base pairs used by all organisms, A–T and G–C, they provide a fully functional and expanded six-letter "genetic alphabet". In 2014 the same team from the Scripps Research Institute reported that they synthesized a stretch of circular DNA known as a plasmid containing natural T-A and C-G base pairs along with the best-performing UBP Romesberg's laboratory had designed and inserted it into cells of the common bacterium "E. coli" that successfully replicated the unnatural base pairs through multiple generations. The transfection did not hamper the growth of the "E. coli" cells and showed no sign of losing its unnatural base pairs to its natural DNA repair mechanisms. This is the first known example of a living organism passing along an expanded genetic code to subsequent generations. Romesberg said he and his colleagues created 300 variants to refine the design of nucleotides that would be stable enough and would be replicated as easily as the natural ones when the cells divide. This was in part achieved by the addition of a supportive algal gene that expresses a nucleotide triphosphate transporter which efficiently imports the triphosphates of both d5SICSTP and dNaMTP into "E. coli" bacteria. Then, the natural bacterial replication pathways use them to accurately replicate a plasmid containing d5SICS–dNaM. Other researchers were surprised that the bacteria replicated these human-made DNA subunits. The successful incorporation of a third base pair is a significant breakthrough toward the goal of greatly expanding the number of amino acids which can be encoded by DNA, from the existing 20 amino acids to a theoretically possible 172, thereby expanding the potential for living organisms to produce novel proteins. The artificial strings of DNA do not encode for anything yet, but scientists speculate they could be designed to manufacture new proteins which could have industrial or pharmaceutical uses. Experts said the synthetic DNA incorporating the unnatural base pair raises the possibility of life forms based on a different DNA code. Data sources for base pair strengths. The following sources have information on the free energy (thermodynamic measures of strength) of base pairs: However, simply knowing what the minimal-energy hydrogen-bonded state between two nucleobases is not enough. The stability of a nucleic acid molecule also comes from base stacking, the stengths of which can vary with modified bases with respect to the original version. The optimal hydrogen-bonded state for two bases can also turn out to require an unnatural amount of bending of the nucleic acid backbone. All of these contribute to the "effective" strength of a base pair in the context of nucleic acid secondary structure, which is why predicting such structures need "nearest neighbor" models that describe base pairs in terms of free energy (at 37 °C) and enthalpy (for rescaling to different temperatures) of: A list of "nearest neighbor" models can be found at .
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Baltimore Ravens
The Baltimore Ravens are a professional American football team based in Baltimore. The Ravens compete in the National Football League (NFL) as a member of the American Football Conference (AFC) North division. The team plays its home games at M&T Bank Stadium and is headquartered in Owings Mills, Maryland. The Baltimore Ravens were established in 1996 after Art Modell, then owner of the Cleveland Browns, announced plans in 1995 to move the franchise from Cleveland to Baltimore. As part of a settlement between the league and the city of Cleveland, Modell was required to leave the Browns' history, team colors, and records in Cleveland for a replacement team and replacement personnel that would resume play in 1999. In return, he was allowed to take his own personnel and team to Baltimore, where such personnel would form an expansion team. Steve Bisciotti has been the Ravens' majority owner since 2004; the franchise was valued at $4.63 billion in 2023, making it the 28th-most valuable sports franchise in the world. The Ravens have been one of the most successful NFL franchises since their inception, compiling a regular season record of , earning the highest winning percentage among active franchises. They also own the fourth-highest playoff winning percentage at . The team has qualified for the NFL playoffs 16 times since 2000 with two Super Bowl titles (Super Bowl XXXV and Super Bowl XLVII), two AFC Championship titles (2000 and 2012), five AFC Championship game appearances (2000, 2008, 2011, 2012, and 2023), and eight AFC North division titles (2003, 2006, 2011, 2012, 2018, 2019, 2023, and 2024). They are one of two teams to be undefeated in multiple Super Bowl appearances, along with the Tampa Bay Buccaneers. The Ravens organization was led by general manager Ozzie Newsome from 1996 until his retirement following the 2018 season, and has had three head coaches: Ted Marchibroda, Brian Billick, and since 2008, John Harbaugh. Starting with a record-breaking defensive performance in their 2000 season, the Ravens have established a reputation for strong defensive play throughout team history. Former players such as middle linebacker Ray Lewis, safety Ed Reed, and offensive tackle Jonathan Ogden have been enshrined in the Pro Football Hall of Fame. History. Team name. The name "Ravens" was inspired by Edgar Allan Poe's poem "The Raven". Chosen in a fan contest that drew 33,288 voters, the allusion honors Poe who spent the early part of his career in Baltimore and is buried there. Other names polled included "Marauders", "Americans", and "Bombers", among others. As "The Baltimore Sun" reported at the time, fans also "liked the tie-in with the other birds in town, the Orioles, and found it easy to visualize a tough, menacing black bird". Edgar Allan Poe also had distant relatives who played football for the Princeton Tigers in the 1880s through the early 1900s. These brothers were famous players in the early days of American football. Before the football team, there was the Baltimore Ravens wheelchair basketball team — the original Baltimore Ravens. In 1972, the Ravens wheelchair basketball team was founded by Ralph Smith, long-term resident of Baltimore, second Vice President of the National Wheelchair Basketball Association (NWBA) and Member of the NWBA Hall of Fame. The name "Ravens" was inspired by Bob Ardinger, a member of the Ravens wheelchair basketball team. In the 1990s, the naming rights were later sold to the football team when they came to the city and the wheelchair basketball team became known as the Maryland Ravens. Background. After the Colts moved in 1984 to Indianapolis, several attempts were made to bring an NFL team back to Baltimore. In 1993, ahead of the 1995 league expansion, the city was considered a favorite, behind only St. Louis, to be granted one of two new franchises. League officials and team owners feared litigation due to conflicts between rival bidding groups if St. Louis was awarded a franchise. In October Charlotte, North Carolina was the first city chosen. Several weeks later, Baltimore's bid for a franchise—dubbed the Baltimore Bombers, in honor of the locally produced Martin B-26 Marauder bomber—had three ownership groups in place and a state financial package which included a proposed $200 million, rent free stadium and permission to charge up to $80 million in personal seat license fees. Baltimore, however, was unexpectedly passed over in favor of Jacksonville, Florida, despite Jacksonville's minor TV market status and that the city had withdrawn from contention in the summer, only to return with former Commissioner Paul Tagliabue's urging. Although league officials denied that any city had been favored, it was reported that Tagliabue and his longtime friend Washington Redskins owner Jack Kent Cooke had lobbied against Baltimore due to its proximity to Washington, DC, and that Tagliabue had used the initial committee voting system to prevent the entire league ownership from voting on Baltimore's bid. This led to public outrage and "The Baltimore Sun" describing Tagliabue as having an "Anybody But Baltimore" policy. Maryland governor William Donald Schaefer said afterward that Tagliabue had led him on, praising Baltimore and the proposed owners while working behind the scenes to oppose Baltimore's bid. By May 1994, Baltimore Orioles owner Peter Angelos had gathered a new group of investors, including author Tom Clancy, to bid on teams whose owners had expressed interest in moving. Angelos found a potential partner in Georgia Frontiere, who was open to moving the Los Angeles Rams to Baltimore. Jack Kent Cooke opposed the move, intending to build the Redskins' new stadium in Laurel, Maryland, close enough to Baltimore to cool outside interest in bringing in a new franchise. This led to heated arguments between Cooke and Angelos, who accused Cooke of being a "carpetbagger". The league eventually persuaded Rams team president John Shaw to move to St. Louis instead, leading to a leaguewide rumor that Tagliabue was again steering interest away from Baltimore, a claim which Tagliabue denied. In response to anger in Baltimore, including Governor Schaefer's threat to announce over the loudspeakers Tagliabue's exact location in Camden Yards any time he attended a Baltimore Orioles game, Tagliabue remarked of Baltimore's financial package: "Maybe (Baltimore) can open another museum with that money." Following this, Angelos made an unsuccessful $200 million bid to bring the Tampa Bay Buccaneers to Baltimore. Having failed to obtain a franchise via the expansion, the city, despite having "misgivings", turned to the possibility of obtaining the Cleveland Browns, whose owner Art Modell was financially struggling and at odds with the city of Cleveland over needed improvements to the team's stadium. Return of American football in Baltimore. Enticed by Baltimore's available funds for a first class stadium and a promised yearly operating subsidy of $25 million, Modell announced on November 6, 1995, his intention to move the team from Cleveland to Baltimore the following year. The resulting controversy ended when representatives of Cleveland and the NFL reached a settlement on February 8, 1996. Tagliabue promised the city of Cleveland that an NFL team would be located in Cleveland, either through relocation or expansion, "no later than 1999". Additionally, the agreement stipulated that the Browns' name, colors, uniform design and franchise records would remain in Cleveland. The franchise history includes Browns club records and connections with Pro Football Hall of Fame players. Modell's Baltimore team, while retaining all current player contracts, would, for purposes of team history, appear as an expansion team, a new franchise. Not all players, staff or front office would make the move to Baltimore, however. After the move, Modell hired Ted Marchibroda as the head coach for his new team in Baltimore. Marchibroda was already well known because of his work as head coach of the Baltimore Colts during the 1970s and the Indianapolis Colts during the early 1990s. Ozzie Newsome, the Browns' tight end for many seasons, joined Modell in Baltimore as director of football operations. He was later promoted to vice president/general manager. The home stadium for the Ravens first two seasons was Baltimore's Memorial Stadium, previously home to the Baltimore Colts, the Baltimore Orioles, and the Canadian Football League's Baltimore Stallions. The Ravens moved to their own new stadium, now known as M&T Bank Stadium, next to Camden Yards in 1998. The early years and Ted Marchibroda era (1996–1998). In the 1996 NFL draft, the Ravens, with two picks in the first round, drafted offensive tackle Jonathan Ogden at No. 4 overall and linebacker Ray Lewis at No. 26 overall. Both Ogden and Lewis went on to play for the Ravens for their entire professional careers and were both inducted into the Pro Football Hall of Fame. The 1996 Ravens won their opening game against the Oakland Raiders, but finished the season 4–12 despite receiver Michael Jackson leading the league with 14 touchdown catches. The 1997 Ravens started 3–1. Peter Boulware, a rookie defender from Florida State, recorded 11.5 sacks and was named AFC Defensive Rookie of the Year. The team finished 6–9–1. On October 26, the team made its first trip to Landover, Maryland to play their new regional rivals, the Washington Redskins. The Ravens won the game 20–17. On December 14, 1997, the Ravens played the final professional sporting event at Baltimore's historic Memorial Stadium, winning 21–19 over the Tennessee Oilers. 1998 marked the opening of a new stadium for the Ravens, currently known as M&T Bank Stadium, but originally named "PSINet Stadium" after the now-defunct internet service provider which purchased the original naming rights. Quarterback Vinny Testaverde left for the New York Jets before the season, and was replaced by former Indianapolis Colt Jim Harbaugh, and later Eric Zeier. Cornerback Rod Woodson joined the team after a successful stint with the Pittsburgh Steelers, and Priest Holmes started getting the first playing time of his career and ran for 1,000 yards. The Ravens finished 1998 with a 6–10 record. On November 29, the Ravens welcomed the Colts back to Baltimore for the first time in 15 years. Amidst a shower of negative cheers towards the Colts, the Ravens won 38–31. Brian Billick era (1999–2007). Three consecutive losing seasons under Marchibroda led to a change in the head coach. Brian Billick took over as head coach in 1999. Billick had been offensive coordinator for the record-setting Minnesota Vikings the season before. Quarterback Tony Banks came to Baltimore from the St. Louis Rams and had the best season of his career with 17 touchdown passes and an 81.2 pass rating. He was joined by receiver Qadry Ismail, who posted a 1,000-yard season. The Ravens initially struggled with a record of 4–7 but managed to finish with an 8–8 record. Due to continual financial hardships for the organization, the NFL took an unusual move and directed Modell to initiate the sale of his franchise. On March 27, 2000, NFL owners approved the sale of 49% of the Ravens to Steve Bisciotti. In the deal, Bisciotti had an option to purchase the remaining 51% for $325 million in 2004 from Art Modell. On April 9, 2004, the NFL approved Steve Bisciotti's purchase of the majority stake in the club. 2000: Super Bowl XXXV champions. Banks shared playing time in the 2000 regular season with Trent Dilfer. Both players put up decent numbers (and a 1,364-yard rushing season by rookie Jamal Lewis helped too) but the defense became the team's hallmark and bailed a struggling offense out in many instances through the season. Ray Lewis was named Defensive Player of the Year. Two of his defensive teammates, Sam Adams and Rod Woodson, made the Pro Bowl. Baltimore's season started strong with a 5–1 record. But the team struggled through midseason, at one point going five games without scoring an offensive touchdown. The team regrouped and won each of their last seven games, finishing 12–4 and making the playoffs for the first time. During the 2000 season, the Ravens' dominating defense broke a notable NFL record. They held opposing teams to 165 total points, surpassing the 1986 Chicago Bears mark of 187 points for a 16-game season, which at that time was the current NFL record. That record still stands, and the 2000 Ravens remain in the discussion as one of the greatest NFL defenses of all time, most notably alongside the 1985 Chicago Bears defense. Since the divisional rival Tennessee Titans had a record of 13–3, the Ravens had to play in the wild card round. They dominated the Denver Broncos 21–3 in their first game. In the divisional playoff, they went on the road to Tennessee. With the score tied 10–10 in the fourth quarter, an Al Del Greco field goal attempt was blocked and returned for a touchdown by Anthony Mitchell, and a Ray Lewis interception return for a score put the game squarely in Baltimore's favor. The 24–10 win put the Ravens in the AFC Championship against the Oakland Raiders. The game was rarely in doubt. Shannon Sharpe's 96-yard touchdown catch early in the second quarter followed by an injury to Raiders quarterback Rich Gannon were crucial as the Ravens won easily, 16–3. Baltimore then went to Tampa for Super Bowl XXXV against the New York Giants. The Ravens' defense carried them to a win. They recorded four sacks and forced five turnovers, one of which was a Kerry Collins interception returned for a touchdown by Duane Starks. The Giants' only score was a Ron Dixon kickoff return for a touchdown; however, the Ravens immediately countered with a touchdown return on the next kickoff by Jermaine Lewis. The Ravens became champions with a 34–7 win. 2001–2007. In 2001, the Ravens attempted to defend their title with Elvis Grbac as their new starting quarterback, but a season-ending injury to Jamal Lewis on the first day of training camp and poor offensive performances stymied the team. After a 3–3 start, the Ravens defeated the Minnesota Vikings in the final week to clinch a wild card berth at 10–6. In the first round the Ravens showed flashes of their previous year with a 20–3 win over the Miami Dolphins, in which the team forced three turnovers and outgained the Dolphins 347 yards to 151. In the divisional playoff the Ravens played the Pittsburgh Steelers. Three interceptions by Grbac ended the Ravens' season, as they lost 27–10. Baltimore ran into salary cap problems entering the 2002 season and was forced to part with a number of impactful players. In the NFL draft, the team selected Ed Reed with the 24th overall pick. Reed would go on to become one of the best safeties in NFL history, making nine Pro Bowls until leaving the Ravens for the Houston Texans in 2013. Despite low expectations, the Ravens stayed somewhat competitive in 2002 until a losing streak in December eliminated any chances of a postseason berth and a 7–9 finish. In 2003, the Ravens drafted their new quarterback, Kyle Boller, but he was injured midway through the season and was replaced by Anthony Wright. Jamal Lewis ran for 2,066 yards (including a then-NFL record 295 yards in one game against the Cleveland Browns on September 14). With a 10–6 record, Baltimore won their first AFC North division title. Their first playoff game, at home against the Tennessee Titans, went back and forth, with the Ravens being held to only 54 yards total rushing. The Titans won 20–17 on a late field goal, and Baltimore's season ended early. Ray Lewis was also named Defensive Player of the year for the second time in his career. In April 2003, Art Modell sold 49% of the team to Steve Bisciotti, a local businessman who had made his fortune in the temporary staffing field. After the season, Art Modell sold his remaining 51% ownership to Bisciotti, ending over 40 years of tenure as an NFL franchise owner. The Ravens did not make the playoffs in 2004 and finished the season with a record of 9–7 with Boller spending the season at QB. They did get good play from veteran corner Deion Sanders and third-year safety Ed Reed, who won the NFL Defensive Player of the Year award. They were also the only team to defeat the 15–1 Pittsburgh Steelers in the regular season. The next off-season, the Ravens looked to augment their receiving corps (which was second-worst in the NFL in 2004) by signing Derrick Mason from the Titans and drafting Oklahoma wide receiver Mark Clayton in the first round of the 2005 NFL draft. However, the Ravens ended their season 6–10. The 2006 Baltimore Ravens season began with the team trying to improve on their 6–10 record of 2005. The Ravens, for the first time in franchise history, started 4–0, under the leadership of former Titans quarterback Steve McNair. In 2006, The Ravens lost two straight games midseason on offensive troubles, prompting coach Billick to drop their offensive coordinator Jim Fassel in their week seven bye. After the bye, and with Billick calling the offense, Baltimore would record a five-game win streak before losing to the Cincinnati Bengals in week 13. Still ranked second overall to first place San Diego Chargers, the Ravens continued on. They defeated the Kansas City Chiefs, and held the defending Super Bowl champion Pittsburgh Steelers to only one touchdown at Heinz Field, allowing the Ravens to clinch the AFC North. The Ravens ended the regular season with a franchise-best 13–3 record. Baltimore had secured the AFC North title, the No. 2 AFC playoff seed, and clinched a 1st-round bye by season's end. The Ravens were slated to face the Indianapolis Colts in the second round of the playoffs, in the first meeting of the two teams in the playoffs. Many Baltimore and Indianapolis fans saw this historic meeting as a sort of "Judgment Day" with the new team of Baltimore facing the old team of Baltimore (the former Baltimore Colts having left Baltimore under questionable circumstances in 1984). Both Indianapolis and Baltimore were held to scoring only field goals as the two defenses slugged it out all over M&T Bank Stadium. McNair threw two costly interceptions, including one at the 1-yard line. The eventual Super Bowl champion Colts won 15–6, ending Baltimore's season. The Ravens hoped to improve upon their 13–3 record but injuries and poor play plagued the team. The Ravens finished the 2007 season in the AFC North cellar with a disappointing 5–11 record. A humiliating 22–16 overtime loss to the previously winless Miami Dolphins on December 16 ultimately led to Billick's dismissal after the end of the regular season. He was replaced by John Harbaugh, the special teams coach of the Philadelphia Eagles and the older brother of former Ravens quarterback Jim Harbaugh (1998). John Harbaugh/Joe Flacco era (2008–2018). 2008: Arrival of Harbaugh and Flacco. With rookies at head coach (John Harbaugh) and quarterback (Joe Flacco), the Ravens entered the 2008 campaign with much uncertainty. Baltimore smartly recovered in 2008, winning eleven games and achieving a wild card spot in the postseason. On the strength of four interceptions, one resulting in an Ed Reed touchdown, the Ravens began its postseason run by winning a rematch over Miami 27–9 at Dolphin Stadium on January 4, 2009, in a wild-card game. Six days later, they advanced to the AFC Championship Game by avenging a Week 5 loss to the Titans 13–10 at LP Field on a Matt Stover field goal with 53 seconds left in regulation time. The Ravens fell one victory short of Super Bowl XLIII by losing to the Steelers 23–14 at Heinz Field on January 18, 2009. 2009–2011. In 2009, the Ravens won their first three games, then lost the next three, including a close match in Minnesota. The rest of the season was an uneven string of wins and losses, which included a home victory over Pittsburgh in overtime followed by a Monday Night loss in Green Bay. That game was notable for the number of penalties committed, costing a total of 310 yards, and almost tying with the record set by Tampa Bay and Seattle in 1976. Afterwards, the Ravens easily crushed the Lions and Bears, giving up less than ten points in both games. The next match was against the Steelers, where Baltimore lost a close one before beating the Raiders to end the season. With a record of 9–7, the team finished second in the division and gained another wild card. Moving into the playoffs, they overwhelmed the Patriots 33–14; nevertheless they did not reach the AFC Championship because they were routed 20–3 by the Colts in the Divisional Round a week later. Baltimore managed to beat the Jets 10–9 on the 2010 opener, but then lost a poorly played game against Cincinnati the following week. The Ravens rebounded against the other two division teams, beating Cleveland 24–17 in Week 3 and then. The Ravens scored a fine win (31–17) at home against Denver in Week 5. The Ravens finished the season 12–4, second in the division due to a tiebreaker with Pittsburgh, and earning a wild card spot. Baltimore headed to Kansas City and defeated the Chiefs 30–7, but once again were knocked from the playoffs by Pittsburgh in a hard-fought game 31–24. The Ravens hosted their arch-enemy in Week 1 of the 2011 season. On a hot, humid day in M&T Bank Stadium, crowd noise and multiple Steelers mistakes allowed Baltimore to crush them with four touchdowns 35–7. The frustrated Pittsburgh players also committed several costly penalties. Thus, the Ravens had gained their first-ever victory over the Steelers with Ben Roethlisberger playing and avenged themselves of repeated regular and postseason losses in the series. But in Week 2, the Ravens collapsed in Tennessee and lost 26–13. They rebounded by routing the Rams in Week 3 and then overpowering the Jets 34–17 in Week 4. Week 5, the Ravens had a bye week, following a game against the Texans. But in Week 7, Baltimore had a stunning MNF upset loss in Jacksonville as they were held to one touchdown in a 12–7 loss. Their final scoring drive failed as Joe Flacco threw an interception in the closing seconds of the game. After beating the Cincinnati Bengals in Week 17 of the regular season, the Ravens advanced to the playoffs as the Number 2 seed in the AFC with a record of 12–4. They gained the distinction of AFC North Champions over Pittsburgh (12–4) due to a tie-breaker. Ravens' Lee Evans was stripped of a 14-yard touchdown pass by the Patriots Sterling Moore with 22 seconds left and Ravens kicker Billy Cundiff pushed a 32-yard field goal attempt wide left on fourth down as the Patriots held on to beat the Ravens 23–20 during the AFC championship game and advance to Super Bowl XLVI. 2012: Ray Lewis' final season and second Super Bowl victory. The Ravens' attempt to convert Joe Flacco into a pocket passer remained a work in progress as the 2012 season began. Terrell Suggs suffered a tendon injury during an off-season basketball game and was unable to play for at least several weeks. In the opener on September 10, Baltimore routed Cincinnati 44–13. After this easy win, the team headed to Philadelphia, but lost 24–23. Returning home for a primetime rematch of the AFC Championship, another bizarre game ensued. New England picked apart the Baltimore defense (which was considerably weakened without Terrell Suggs and some other players lost over the offseason) for the first half. Trouble began early in the game when a streaker ran out onto the field and had to be tackled by security, and accelerated when, at 2:18 in the 4th quarter, the referees made a holding call on RG Marshal Yanda. Enraged fans repeatedly chanted an obscenity at this penalty. The Ravens finally drove downfield and on the last play of the game, Justin Tucker kicked a 27-yard field goal to win the game 31–30, capping off a second intense and controversially officiated game in a row for the Ravens. The Ravens would win the AFC North with a 10–6 record, but finished 4th in the AFC playoff seeding, and thus had to play a wild card game. After defeating the Indianapolis Colts 24–9 at home (the final home game of Ray Lewis), the Ravens traveled to Denver to play against the top-seeded Broncos. In a very back-and-forth contest, the Ravens pulled out a 38–35 victory in two overtimes. They then won their 2nd AFC championship by coming back from a 13–7 halftime deficit to defeat the Patriots once again, 28–13. The Ravens played the Super Bowl XLVII against the San Francisco 49ers. Baltimore built a 28–6 lead early in the third quarter before a partial power outage in the Superdome suspended play for 34 minutes (earning the game the added nickname of the Blackout Bowl). After play resumed, San Francisco scored 17 unanswered third-quarter points to cut the Ravens' lead, 28–23, and continued to chip away in the fourth quarter. With the Ravens leading late in the game, 34–29, the 49ers advanced to the Baltimore 7-yard line just before the two-minute warning but turned the ball over on downs. The Ravens then took an intentional safety in the waning moments of the game to preserve the victory. Baltimore quarterback Joe Flacco, who completed 22 of 33 passes for 287 yards and three touchdowns, was named Super Bowl MVP. 2013–2018. Coming off as the defending Super Bowl champions, this was the first year in franchise history for the team without Ray Lewis. The Ravens started out 3–2, and started the 2–0 Houston Texans 14-loss streak by shutting them 30–9 in Week 3. However, the Ravens lost their next 3 games, losing to the Green Bay Packers and Pittsburgh Steelers in last-minute field goals and were shut out in an attempt to tie the game against the Cleveland Browns 24–18. After winning and losing their next game, the Ravens came out 4–6, but managed winning their next four games in dominating the Jets 19–3, a Steelers win 22–20 during Thanksgiving, a booming ending in Baltimore against the Vikings 29–26, and an 18–16 win at Detroit, including Justin Tucker's 61 yarder to win the game. The Ravens were 8–6, with the 6th seed, but after losing their next two games, and the San Diego Chargers winning their next two to clinch the 6th seed, the Ravens finished 8–8 and missed the playoffs for the first time since 2007. On January 27, 2014, the Ravens hired former Houston Texans head coach Gary Kubiak to be their new offensive coordinator after Jim Caldwell accepted the new available head coaching job with the Detroit Lions. On February 15, 2014, star running back Ray Rice and his fiancée Janay Palmer were arrested and charged with assault after a physical altercation at Revel Casino in Atlantic City, New Jersey. Celebrity news website TMZ posted a video of Rice dragging Palmer's body out of an elevator after apparently knocking her out. For the incident, Rice was initially suspended for the first two games of the 2014 NFL season on July 25, 2014, which led to widespread criticism of the NFL. In Week 1, on September 7, the Baltimore Ravens lost to the Cincinnati Bengals, 23–16. The next day, on September 8, 2014, TMZ released additional footage from an elevator camera showing Rice punching Palmer. The Baltimore Ravens terminated Rice's contract as a result, and was later indefinitely suspended by the NFL, although a judge later vacated this indefinite suspension. In Week 12, the Ravens traveled down for an interconference battle with the New Orleans Saints, which the Ravens won. In Week 16, the Ravens traveled to Houston to take on the Texans. In one of Flacco's worst performances, the offense sputtered against the Houston defense and Flacco threw three interceptions, falling to the Texans 25–13. With their playoff chances and season hanging in the balance, the Ravens took on the Browns in Week 17 at home. After three quarters had gone by and down 10–3, Joe Flacco led the Ravens on a comeback scoring 17 unanswered points, winning 20–10. With the win, and the Kansas City Chiefs defeating the San Diego Chargers, the Ravens clinched their sixth playoff berth in seven seasons. In the wild card round, the Ravens won 30–17 against their divisional rivals, the Pittsburgh Steelers, at Heinz Field. In the next game in the Divisional round, the Ravens faced the New England Patriots. Despite a strong offensive effort and having a 14-point lead twice in the game, the Ravens were defeated by the Patriots 35–31, ending their season. The 2015 season marked 20 seasons of the franchise's existence competing in the NFL, which the franchise recognized with a special badge being worn on their uniforms during the 2015 NFL season. The Ravens lost key players such as Joe Flacco, Justin Forsett, Terrell Suggs, Steve Smith Sr., and Eugene Monroe to injuries. Injuries and their inability to win close games early in the season led to the first losing season in the Harbaugh-Flacco era with a 5–11 mark. The 2016 Ravens finished 8–8, but failed to qualify the playoffs for the second straight year. They were eliminated from playoff contention after their Week 16 loss to their division rivals, the Steelers. This was the first time the Ravens missed the playoffs in consecutive seasons since 2004–2005, as well as the first in the Harbaugh/Flacco era. During the 2017 season, the Ravens improved upon their 8–8 record from 2016 by one win, finishing the season 9–7 and missing the playoffs for the third year in a row. This marked the first time the Ravens failed to make the playoffs in three straight seasons since the team's first three years of existence (1996–1998). The Ravens suffered a loss at home to the Cincinnati Bengals in the final game of the season that prevented them from earning a playoff berth. Lamar Jackson era (2018–present). The Ravens drafted quarterback Lamar Jackson with the 32nd pick in the 2018 draft. After the team started the season with a 4–5 record, Jackson took over as the starting QB in Week 11 when Joe Flacco was sidelined with a hip injury. The team won six of its next seven games, finishing the 2018 season with a 10–6 record and winning the AFC North, giving them their first playoff appearance since 2014 and their first division title since 2012. The Ravens lost to the Los Angeles Chargers in the Wild Card round with Jackson at quarterback, making him the youngest QB in NFL history to start a playoff game. At the conclusion of the season, Ozzie Newsome stepped down as the team's general manager. He was replaced by longtime assistant Eric DeCosta. On March 13, 2019, the Ravens traded Joe Flacco to the Denver Broncos in exchange for a fourth round pick in the 2019 NFL draft. That season, Lamar Jackson led the Ravens to a franchise-best 14–2 record, including a 12-game winning streak to finish the regular season. On December 22, they clinched homefield advantage for the first time in franchise history following a win over the Cleveland Browns. On December 8, Jackson became only the second player in NFL history to rush for over 1,000 yards from the quarterback position. Four days later, Jackson broke Michael Vick's single season quarterback rushing record of 1,037 yards. Thirteen Ravens were selected to the 2019 Pro Bowl, matching the all-time NFL record. The Ravens finished the 2019 regular season with 3,296 rushing yards, the most rushing yards by any team in NFL history during a season and they became the first team in NFL history to average at least 200 passing yards and 200 rushing yards per game in the same season. Despite earning the number-one seed in the playoffs, the Ravens were eliminated by the 6th seed Tennessee Titans in the Divisional Round of the playoffs, 28–12. Lamar Jackson was unanimously voted AP NFL MVP, becoming only the second player in NFL history to do so, after Tom Brady in 2010. In 2020, the Ravens went 6–5 in their first 11 games, but rebounded and finished the season 11–5, taking second place in the AFC North and earning a Wild Card playoff berth with the fifth seed. They also led the NFL in rushing yards for the second year in a row during the regular season, with 3,071 yards. In the Wild Card round, they defeated the fourth-seeded Tennessee Titans in Nashville, 20–13. In the Divisional Round, they fell to the second seed Buffalo Bills, 17–3. In 2021, the Ravens claimed the record of consecutive preseason wins with 20, overtaking Vince Lombardi's Green Bay Packers record. In Week 3 of the 2021 season against the Detroit Lions, Justin Tucker put his name in the NFL record books by kicking the longest field goal in the history of the National Football League, 66 yards, which also was the field goal that won the game and 5 yards longer than his previous career long of 61 yards that was also kicked in Detroit. The following week, the Ravens tied the NFL record of consecutive 100 yard rushing games by a team with 43 in a win over the Denver Broncos, equaling the 1974 to '77 Pittsburgh Steelers record. The team reached an 8–3 record by Week 12, but ended the season on a six-game losing streak to finish 8–9, missing the playoffs and coming in last in the AFC North. Jackson sustained an ankle injury during the Week 14 loss to the Browns and did not appear in any subsequent games. In the 2022 season, the Ravens finished with a 10–7 record, which finished second in the AFC North. They lost in the Wild Card Round 24–17 to the Cincinnati Bengals. In the 2023 season, the Ravens finished with a 13–4 record, which earned them the AFC North title and the #1 overall seed for the AFC playoffs. In the Divisional Round, they defeated the Houston Texans 34–10. In the AFC Championship, they lost to the Kansas City Chiefs 17–10. Prior to the start of the 2024 season, the Ravens acquired All-Pro running back Derrick Henry and by week 6 became the first NFL team to post six straight games with at least 150 yards and one touchdown through the air and one on the ground. In the 2024 season, the Ravens finished with a 12–5 record and won the AFC North title. The Ravens defeated the Steelers 28–14 in the Wild Card Round before falling to the Bills 27–25 in the Divisional Round. Rivalries. Divisional. Pittsburgh Steelers. By far the team's biggest rival is the Pittsburgh Steelers. Pittsburgh and Baltimore are separated by a less-than-5-hour drive along Interstate 70. Both teams are known for their hard-hitting physical style of play. They play twice a year in the AFC North, and have met five times in the playoffs. Pittsburgh leads the all-time series, 33–25, and holds a 3–2 advantage in the five matchups in the postseason. Games between these two teams usually come down to the wire as most within the last 5 years have come down to under 4 points. The rivalry is considered one of the most significant and intense in the NFL today. Cincinnati Bengals. The Ravens' rivalry with the Cincinnati Bengals began when the original Browns franchise moved to Baltimore to become the Ravens. Since then, the rivalry heated up when longtime Ravens defensive coordinator Marvin Lewis was hired as the head coach of the Bengals. The Ravens lead the all-time series 32–27 as of the 2024 season. The Bengals won the only playoff meeting in the 2022 AFC Wild Card round. Cleveland Browns. The Browns–Ravens rivalry in the AFC North began when the Cleveland Browns resumed operations in 1999, after suspending operations for three seasons after the original Browns moved to Baltimore and became the Ravens. The rivalry between the Browns and Ravens was more directed at former Browns owner Art Modell, who orchestrated the move, than the team itself, and has, by most Ravens fans, been simply considered a divisional game. The rivalry has been largely one-sided, as the Ravens hold a 37–15 series lead as of the end of the 2024 season. The two teams have not met in the playoffs. Conference. New England Patriots. The Ravens first met the New England Patriots in 1996, but the rivalry truly started in 2007 when the Ravens suffered a bitter 27–24 loss in the Patriots' quest for perfection. The rivalry began to escalate in 2009 when the Patriots beat the Ravens 27–21 in a game that involved a confrontation between Patriots quarterback Tom Brady and Ravens linebacker Terrell Suggs. Both players would go on to take verbal shots at each other through the media after the game. As of the 2023 season, the Patriots lead the overall series, 11–5. The two teams have split four postseason meetings, 2–2. The Ravens won the , 33–14, and the , 28–13. The Patriots won the 23–20 and the , 35–31. Tennessee Titans. Reemerging in the late 2010s, the rivalry between the Ravens and Tennessee Titans actually started in the early 2000s when both teams were in the AFC Central, with both teams having tough and bitter games. The Ravens gave the Titans their first ever loss at the new Adelphia Coliseum in the 2000 season and the Ravens eliminated Tennessee during the playoffs later on. Fans and analysts have noted an emerging rivalry between the Baltimore Ravens and the Tennessee Titans of the AFC South. While there is no known animosity between the cities of Baltimore and Nashville, games between their respective teams have become heated and included fiery verbal exchanges between coaches and players. In the five postseason matchups between the two teams, the road team has won every time to date. As of the 2023 season, the Ravens lead the all-time series 14–13. Instate. Beltway Bowl: Washington Commanders. Though the two teams only play each other every four years, the Ravens have a minor geographic rivalry with the Washington Commanders, whose stadium is about 40 miles away. The Commanders particularly had long blocked the return of an NFL team to Baltimore since the Colts franchise moved to Indianapolis in 1984. Former owner Jack Kent Cooke had been accused in multiple instances of orchestrating any means to prevent the city from receiving a new franchise until the Cleveland Browns moved to Baltimore in 1996, prompting Cooke to put the Redskins' then-new stadium in Landover, Maryland. The two teams play each other annually during the preseason. As of August 2024, the Ravens lead the series 4–3. Logo controversy. The team's first helmet logo, used from 1996 through the 1999 Pro Bowl, featured raven wings outspread from a shield displaying a letter "B" framed by the word "Ravens" overhead and a cross bottony underneath. The US Fourth Circuit Court of Appeals affirmed a jury verdict that the logo infringed on a copyright retained by Frederick E. Bouchat, an amateur artist and security guard in Maryland, though he was not awarded a dollar amount for his claim. Bouchat had submitted his design to the Maryland Stadium Authority by fax after learning that Baltimore was to acquire an NFL team. He was not credited for the design when the logo was announced. Bouchat sued the team, claiming to be the designer of the emblem; representatives of the team asserted that the image had been designed independently. The court ruled in favor of Bouchat, noting that team owner Modell had access to Bouchat's work. Bouchat's fax had gone to John Moag, the Maryland Stadium Authority chairman, whose office was located in the same building as Modell's. Bouchat ultimately was not awarded monetary compensation in the damages phase of the case. "The Baltimore Sun" ran a poll showing three designs for new helmet logos. Fans participating in the poll expressed a preference for a raven's head in profile over other designs. Art Modell announced that he would honor this preference but still wanted a letter "B" to appear somewhere in the design. The new Ravens logo, introduced in 1999, featured a raven's head in profile with the letter B superimposed. The secondary logo is a shield that honors Baltimore's history of heraldry. Alternating Calvert and Crossland emblems (seen also in the flag of Maryland and the flag of Baltimore) are interlocked with stylized letters "B" and "R". Uniforms. The design of the Ravens uniform has remained essentially unchanged since the team's inaugural season in 1996. Art Modell admitted to ESPN's Roy Firestone that the Ravens' colors, introduced in early 1996, were inspired by the Northwestern Wildcats 1995 dream season. Helmets are black with purple "talon" stripes rising from the facemask to the crown. Players normally wear purple jerseys at home and white jerseys on the road. In 1996 the team wore black pants with a single large white stripe for all games. In 1997 the Ravens opted for a more classic NFL look with white pants sporting stripes in purple and black, along with the jerseys sporting a different font for the uniform numbers. The white pants were worn with both home and road jerseys. The road uniform (white pants with white jerseys) was worn by the Ravens in Super Bowl XXXV, at the end of the 2000 NFL season. This all-white combination was originally worn with black socks, but starting in 2021, the Ravens began wearing white hosiery with the all-white uniform. In the 2002 season the Ravens began the practice of wearing white jerseys for the home opener that has a 1:00 kickoff. In recent seasons, the practice has come when the home game is played in week one. Since John Harbaugh became the head coach in 2008, the Ravens have also worn their white jerseys at home for preseason games. In November 2004 the team introduced an alternate uniform design featuring black jerseys and solid black pants with black socks. The all-black uniform was first worn for a home game against the Cleveland Browns, entitled "Pitch Black" night, that resulted in a Ravens win. The uniform has since been worn for select prime time national game broadcasts and other games of significance. The Ravens began wearing black pants again with the white jersey in 2008. On December 7, 2008, during a Sunday Night Football game against the Washington Redskins, the Ravens introduced a new combination of black jersey with white pants. It was believed to be due to the fact that John Harbaugh doesn't like the "blackout" look. However, on December 19, 2010, the Ravens wore their black jerseys and black pants in a 30–24 victory over the New Orleans Saints. Since 2010, the Ravens have worn their black jerseys at least twice each season. From 2011 to 2013 and again in 2015, they wore the all blacks once and the black on white once. In 2014 and 2016, they wore all black both times they wore alternate uniforms. In 2017, they wore all black twice and black on white once (although the league is supposed to limit teams to wearing alternate jerseys a maximum of two times a season). On December 5, 2010, the Ravens reverted to the black pants with the purple jerseys versus the Pittsburgh Steelers during NBC's "Sunday Night Football" telecast. The Ravens lost to the Steelers 13–10. They wore the same look again for their game against the Cleveland Browns on December 24, 2011, and they won, 20–14. They wore this combination a third time against the Houston Texans on January 15, 2012, in the AFC Divisional playoff. They won 20–13. They would again wear this combination on January 6, 2013, during the AFC Wild Card playoff and what turned out to be Ray Lewis' final home game, where they defeated the Indianapolis Colts 24–9. From their inaugural season until 2006, the Ravens wore white cleats with their uniforms; they switched to black cleats in 2007. From the mid-2010s onward, the NFL relaxed its rules regarding primary cleat colors, and Ravens players began wearing customized cleats in either purple, black, gold or white. On December 20, 2015, the team unexpectedly debuted gold pants for the first time, wearing them with their regular purple jerseys against the Kansas City Chiefs. Although gold is an official accent color of the Ravens, the pants got an overwhelmingly negative response on social media by both Ravens fans and fans of other NFL teams, with some comparisons being made to the rival Pittsburgh Steelers' pants, and mustard. During the 2015 season, the NFL announced a jersey promotion called Color Rush in which teams would wear uniforms typically of one color head-to-toe during select primetime games. The promotion was used three times that season; all the games that featured them were on Thursday Night and had both teams wear them in each. The following season, the league released uniforms for all 32 teams and announced they would be worn during all Thursday Night games that year, as well as on Christmas. The Ravens had one Thursday Night game in 2016; they wore their all-purple Color Rush uniforms and won 28–7 over the division rival Cleveland Browns. They had one other Thursday night game the following season, in which they again wore the jerseys and won 40–0 over the Miami Dolphins. In their Christmas 2016 game against the Steelers, the Ravens wore their regular all-white uniforms while their rivals wore their Color Rush uniforms. Starting in 2024, the Ravens would wear alternate purple helmets with the Color Rush uniform, featuring a new front-facing Ravens logo as the helmet decals. The full set was rebranded as the "Purple Rising" uniforms. On September 13, 2018, the Ravens debuted a new combination in a road game against the Cincinnati Bengals, wearing white jerseys with purple pants. The purple pants are similar to the ones used for Color Rush except that it has side stripes of black and white; the Color Rush purple pants have gold and white stripes. Then on October 21 against the New Orleans Saints, the Ravens paired their new purple pants with their regular purple uniforms. Black socks were originally worn with this combination, but on January 2, 2022, the Ravens wore purple socks with the regular all-purple combination against the Los Angeles Rams, essentially replicating their Color Rush uniforms but with minimal gold elements. For the regular season finale against the Browns on December 30, the Ravens wore their black uniforms with purple pants. The Ravens wore this combination again October 11, 2021, against the Indianapolis Colts on "Monday Night Football" in a 31–25 overtime win. Marching band. The team marching band is called Baltimore's Marching Ravens. They began as the Colts' marching band and have operated continuously from September 7, 1947, to the present. They helped campaign for football to return to Baltimore after the Colts moved. Because they stayed in Baltimore after the Colts left, the band is nicknamed "the band that would not die" and were the subject of an episode of ESPN's "30 for 30". The Washington Commanders are the only other NFL team that currently has a marching band. Players of note. Pro Football Hall of Fame. Note: The following lists inductees of the Hall of Fame who spent portions of their careers with the Ravens. Bold number indicates player inducted primarily for their contributions to the franchise. For other Hall of Famers, players whose numbers were retired, and players who played for the Baltimore Colts, see Indianapolis Colts. For Cleveland Browns players, including those in the Hall of Fame and those whose numbers were retired, see Cleveland Browns. Retired numbers. The Ravens do not have officially retired numbers. However, the number 19 has not been issued out of respect for Baltimore Colts quarterback Johnny Unitas, except for quarterback Scott Mitchell in his lone season in Baltimore in 1999. In addition, numbers 75, 52, 20, 55, and 73 in honor of Jonathan Ogden, Ray Lewis, Ed Reed, Terrell Suggs, and Marshal Yanda respectively, have not been issued since those players' retirements from football. Ring of Honor. The Ravens have a "Ring of Honor" which is on permanent display encircling the field of M&T Bank Stadium. The ring currently honors 20 members, including eight former members of the Baltimore Colts. Key/Legend First round draft picks. The team's first draft was the 1996 NFL draft, where they selected UCLA offensive tackle Jonathan Ogden fourth overall and University of Miami linebacker Ray Lewis 24th overall. Both players won a Super Bowl with the team, earned numerous Pro Bowl and All-Pro selections, and are members of the Pro Football Hall of Fame. Along with their pick in the next year's draft, this was the highest first round draft pick that the Ravens have had. In 1996, 2000, 2003, 2018, 2021 and 2022, the Ravens had two first round draft picks. In 2004, 2010, and 2012, they had none. Two of their first round picks have made at least ten Pro Bowls.
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British National Party
The British National Party (BNP) is a far-right, fascist political party in the United Kingdom. It is headquartered in Wigton, Cumbria, and is led by Adam Walker. A minor party, it has no elected representatives at any level of UK government. The party was founded in 1982, and reached its greatest level of success in the 2000s, when it had over fifty seats in local government, one seat on the London Assembly, and two Members of the European Parliament. It has been largely inactive since 2019. Taking its name from that of a defunct 1960s far-right party, the BNP was created by John Tyndall and other former members of the fascist National Front (NF). During the 1980s and 1990s, the BNP placed little emphasis on contesting elections, in which it did poorly. Instead, it focused on street marches and rallies, creating the Combat 18 paramilitary—its name a coded reference to Nazi German leader Adolf Hitler—to protect its events from anti-fascist protesters. A growing 'moderniser' faction was frustrated by Tyndall's leadership, and ousted him in 1999. The new leader Nick Griffin sought to broaden the BNP's electoral base by presenting a more moderate image, targeting concerns about rising immigration rates, and emphasising localised community campaigns. This resulted in increased electoral growth throughout the 2000s, to the extent that it became the most electorally successful far-right party in British history. Concerns regarding financial mismanagement resulted in Griffin being removed as leader in 2014. By this point, the BNP's membership and vote share had declined dramatically, groups like Britain First and National Action had splintered off, and the English Defence League had supplanted it as the UK's foremost far-right group. Ideologically positioned on the extreme-right or far-right of British politics, the BNP has been characterised as fascist or neo-fascist by political scientists. Under Tyndall's leadership, it was more specifically regarded as neo-Nazi. The party is ethnic nationalist, and it once espoused the view that only white people should be citizens of the United Kingdom. It calls for an end to non-white migration into the UK. It called initially for the compulsory expulsion of non-whites but, since 1999, it has advocated voluntary removals with financial incentives. It promotes biological racism and the white genocide conspiracy theory, calling for global racial separatism and condemning interracial relationships. Under Tyndall, the BNP emphasised anti-semitism and Holocaust denial, promoting the conspiracy theory that Jews seek to dominate the world through both communism and international capitalism. Under Griffin, the party's focus switched from anti-semitism towards Islamophobia. It promotes economic protectionism, Euroscepticism, and a transformation away from liberal democracy, while its social policies oppose feminism, LGBT rights, and societal permissiveness. Operating around a highly centralised structure that gave its chair near total control, the BNP built links with far-right parties across Europe and created various sub-groups, including a record label and trade union. The BNP attracted most support from within White British working-class communities in northern and eastern England, particularly among middle-aged and elderly men. A poll in the 2000s suggested that most Britons favoured a ban on the party. It faced much opposition from anti-fascists, religious organisations, the mainstream media, and most politicians, and BNP members were banned from various professions. History. John Tyndall's leadership (1982–1999). The British National Party (BNP) was founded by the extreme-right political activist John Tyndall. Tyndall had been involved in neo-Nazi groups since the late 1950s before leading the far-right National Front (NF) throughout most of the 1970s. Following an argument with senior party member Martin Webster, he resigned from the NF in 1980. In June 1980 Tyndall established a rival, the New National Front (NNF). At the recommendation of Ray Hill—who was secretly an anti-fascist spy seeking to sow disharmony among Britain's far-right—Tyndall decided to unite an array of extreme-right groups as a single party. To this end, Tyndall established a Committee for Nationalist Unity (CNU) in January 1982. In March 1982, the CNU held a conference at the Charing Cross Hotel in London, at which 50 far-right activists agreed to the formation of the BNP. The BNP was formally launched on 7 April 1982 at a press conference in Victoria. Led by Tyndall, most of its early members came from the NNF, although others were defectors from the NF, British Movement, British Democratic Party, and Nationalist Party. Tyndall remarked that there was "scarcely any difference [between the BNP and NF] in ideology or policy save in the minutest detail", and most of the BNP's leading activists had formerly been senior NF figures. Under Tyndall's leadership the party was neo-Nazi in orientation and engaged in nostalgia for Nazi Germany. It adopted the NF's tactic of holding street marches and rallies, believing that these boosted morale and attracted new recruits. Their first march took place in London on St. George's Day 1982. These marches often involved clashes with anti-fascist protesters and resulted in multiple arrests, helping to cement the BNP's association with political violence and older fascist groups in the public eye. As a result, BNP organisers began to favour indoor rallies, although street marches continued to be held throughout the mid-to-late 1980s. In its early years, the BNP's involvement in elections was "irregular and intermittent", and for its first two decades it faced consistent electoral failure. It suffered from low finances and few personnel, and its leadership was aware that its electoral viability was weakened by the anti-immigration rhetoric of Conservative Party Prime Minister Margaret Thatcher. In the 1983 general election the BNP stood 54 candidates, although it only campaigned in five seats. Although it was able to air its first party political broadcast, it averaged a vote share of 0.06% in the seats it contested. After the Representation of the People Act 1985 raised the electoral deposit to £500, the BNP adopted a policy of "very limited involvement" in elections. It abstained in the 1987 general election, and stood only 13 candidates in the 1992 general election. In a 1993 local by-election the BNP gained one council seat—won by Derek Beackon in the East London district of Millwall—after a campaign that played to local whites who were angry at the perceived preferential treatment received by Bangladeshi migrants in social housing. Following an anti-BNP campaign launched by local religious groups and the Anti-Nazi League, it lost this seat during the 1994 local elections. In the 1997 general election, it contested 55 seats and gained an average 1.4% of the vote. In the early 1990s, the paramilitary group Combat 18 (C18) was formed to protect BNP events from anti-fascists. In 1992, C18 carried out attacks on left-wing targets like an anarchist bookshop and the headquarters of the "Morning Star". Tyndall was angered by C18's growing influence on the BNP's street activities, and by August 1993, C18 activists were physically clashing with other BNP members. In December 1993, Tyndall issued a bulletin to BNP branches declaring C18 to be a proscribed organisation, furthermore suggesting that it may have been established by agents of the state to discredit the party. To counter the group's influence among militant British nationalists, he secured the American white nationalist militant William Pierce as a guest speaker at the BNP's annual rally in November 1995. In the early 1990s, a "moderniser" faction emerged within the party, favouring a more electorally palatable strategy and an emphasis on building grassroots support to win local elections. It was impressed by the electoral gains made by a number of extreme-right parties in continental Europe — such as Jörg Haider's Austrian Freedom Party and Jean-Marie Le Pen's National Front — which had been achieved by both switching focus from biological racism to the perceived cultural incompatibility of different racial groups and by replacing anti-democratic platforms with populist ones. The modernisers called for community campaigns among the white working-class populations of London's East End, and Northern England. While the modernisers gained some concessions from the party's hard-liners, Tyndall opposed many of their ideas and sought to stem their growing influence. In his view, "we should not be looking for ways of applying ideological cosmetic surgery to ourselves in order to make our features more appealing to the public". Nick Griffin's leadership (1999–2014). After the BNP's poor performance at the 1997 general election, opposition to Tyndall's leadership grew. The modernisers called the party's first leadership election, and in October 1999 Tyndall was ousted when two-thirds of those voting backed Nick Griffin, who offered an improved administration, financial transparency, and greater support for local branches. Often characterised as a political chameleon, Griffin had once been considered a party hardliner before switching allegiance to the modernisers in the late 1990s. In his youth, he had been involved in the NF as well as Third Positionist groups like Political Soldier and the International Third Position. Criticising his predecessors for fuelling the image of the BNP as "thugs, losers and troublemakers", Griffin inaugurated a period of change in the party. Influenced by Le Pen's National Front in France, Griffin sought to widen the BNP's appeal to individuals who were concerned about immigration but had not previously voted for the extreme-right. The BNP replaced Tyndall's policy of compulsory deportation of non-whites to a voluntary system whereby non-whites would be given financial incentives to emigrate. It downplayed biological racism and stressed the cultural incompatibility of different racial groups. This emphasis on culture allowed it to foreground Islamophobia; following the September 11 attacks in 2001, it launched a "Campaign Against Islam". It stressed the claim that the BNP was ""not" a racist party" but an "organised response to anti-white racism". At the same time Griffin sought to reassure the party's base that these reforms were based on pragmatism and not a change in principle. Griffin also sought to shed the BNP's image as a single-issue party, by embracing a diverse array of social and economic issues. Griffin renamed the party's monthly newspaper from "British Nationalist" to "The Voice of Freedom", and established a new journal, "Identity". The party developed community-based campaigns, through which it targeted local issues, particularly in those areas with large numbers of skilled white working-class people who were disaffected with the Labour Party government. For instance, in Burnley it campaigned for lower speed limits on housing estates and against the closure of a local swimming bath, while in South Birmingham it targeted pensioners' concerns about youth gangs. In 2006, the party urged its activists to carry out local activities like cleaning up children's play areas and removing graffiti while wearing high-vis jackets emblazoned with the party logo. Griffin believed that Peak Oil and a growth in Third World migrants arriving in Britain would result in a BNP government coming to power by 2040. The close of the twentieth century produced more favourable conditions for the extreme-right in Britain as a result of increased public concerns about immigration and established Muslim communities coupled with growing dissatisfaction with the established mainstream parties. In turn, the BNP gained rapidly growing levels of support over the coming years. In July 2000, it came second in the council elections for the North End of the London Borough of Bexley, its best result since 1993. At the 2001 general election it gained 16% of the vote in one constituency and over 10% in two others. In the 2002 local elections the BNP gained four councillors, three of whom were in Burnley, where it had capitalised on white anger surrounding the disproportionately high levels of funding being directed to the Asian-dominated Daneshouse ward. This breakthrough generated public anxieties about the party, with a poll finding that six in ten supported a ban on it. In the 2003 local elections, the BNP gained 13 additional councillors, including seven more in Burnley; the party received over 100,000 votes in this election. Concerned that much of its potential vote was going to the UK Independence Party (UKIP), in 2003 the BNP offered UKIP an electoral pact but was rebuffed. Griffin then accused UKIP of being a Labour Party scheme to steal the BNP's votes. It invested much in the campaign for the 2004 European Parliament election, at which it received 800,000 votes but failed to secure a parliamentary seat. In the 2004 local elections, it secured four more seats, including three in Epping. For the 2005 general election, the BNP expanded its number of candidates to 119 and targeted specific regions. Its average vote in the areas it contested rose to 4.3%. It gained significantly more support in three seats, achieving 10% in Burnley, 13% in Dewsbury, and 17% in Barking. In the 2006 local elections the party gained 220,000 votes, with 33 additional councillors, having averaged a vote share of 18% in the areas it contested. In Barking and Dagenham, it saw 12 of its 13 candidates elected to the council. At the 2008 London Assembly election, the BNP gained 130,000 votes, reaching the 5% mark and thus gaining an Assembly seat. At the 2009 European Parliament election, the party gained almost 1 million votes, with two of its candidates, Nick Griffin and Andrew Brons, being elected as Members of the European Parliament for North West England and Yorkshire and the Humber respectively. That election also saw extreme-right parties winning seats for various other EU member-states. This victory marked a major watershed for the party. Amid significant public controversy, Griffin was invited to appear on the BBC show "Question Time" in October 2009, the first time that the BNP had been invited to share a national television platform with mainstream panellists. Griffin's performance was however widely regarded as poor. Despite its success, there was dissent in the party. In 2007 a group of senior members known as the "December rebels" challenged Griffin, calling for internal party democracy and financial transparency, but were expelled. In 2008, a group of BNP activists in Bradford split to form the Democratic Nationalists. In November 2008, the BNP membership list was posted to WikiLeaks, after appearing briefly on a weblog. A year later, in October 2009, another list of BNP members was leaked. Eddy Butler then led a challenge to Griffin's leadership, alleging financial corruption, but he had insufficient support. The rebels who supported him split into two groups: one section remained as the internal Reform Group, the other left the BNP to form the British Freedom Party. By 2010, there was discontent among the party's grassroots, a result of the change to its white-only membership policy and rumours of financial corruption among its leadership. Some defected to the National Front or left to form parties like the Britannica Party. Anti-fascist groups like Hope not Hate had campaigned extensively in Barking to stop the area's locals voting for the BNP. At the 2010 general election, the BNP had hoped to make a breakthrough by gaining a seat in the House of Commons, although it failed to achieve this. It nevertheless gained the fifth largest national vote share, with 1.9% of the vote, representing the most successful electoral performance for an extreme-right party in UK history. In the 2010 local elections, it lost all of its councillors in Barking and Dagenham. Nationally, the party's number of councillors dropped from over fifty to 28. Griffin described the results as "disastrous". Decline (2014–present). In a 2011 leadership election, Griffin secured a narrow victory, beating Brons by nine votes of a total of 2,316 votes cast. In October 2012, Brons left the party, leaving Griffin as its sole MEP. In the 2012 local elections, the party lost all of its seats and saw its vote share fall dramatically; whereas it gained over 240,000 votes in 2008, this had fallen to under 26,000 by 2012. Commenting on the result, the political scientist Matthew Goodwin noted: "Put simply, the BNP's electoral challenge is over." In the 2012 London mayoral election, the BNP candidate came seventh, with 1.3% of first-preference votes, its poorest showing in the London mayoral contest. The 2012 election results established that the BNP's steady growth had ended. In the 2013 local elections, the BNP fielded 99 candidates but failed to win any council seats, leaving it with only two. In June 2013, Griffin visited Syria along with members of Hungarian far-right party Jobbik to meet with government officials, including the Speaker of the Syrian People's Assembly, Mohammad Jihad al-Laham, and the Prime Minister Wael Nader al-Halqi. Griffin claims he was influential in the speaker of Syria's Parliament writing an open letter to British MPs urging them to "turn Great Britain from the warpath" by not intervening in the Syrian conflict. Griffin lost his European Parliament seat in the May 2014 European election. The party blamed the UK Independence Party for its decline, accusing the latter of stealing BNP policies and slogans. In July 2014, Griffin resigned and was succeeded by Adam Walker as acting chairman. In October, Griffin was expelled from the party for "trying to cause disunity [in the party] by deliberately fabricating a state of crisis". In January 2015, membership of the party numbered 500, down from 4,220 in December 2013. At the general election in 2015, the BNP fielded eight candidates, down from 338 in 2010. The party's vote share declined 99.7% from its 2010 result. In January 2016, the Electoral Commission de-registered the BNP for failing to pay its annual registration fee of £25. At this time, it was estimated that BNP assets totalled less than £50,000. According to the commission, "BNP candidates cannot, at present, use the party's name, descriptions or emblems on the ballot paper at elections." A month later, the party was re-registered. There were ten BNP candidates at the general election in 2017. At the 2018 local elections, the party's last remaining councillor—Brian Parker of Pendle—decided not to stand for re-election, leaving the party without representation at any level of UK government. The BNP fielded only one candidate, David Furness, at the 2019 general election in Hornchurch and Upminster, where he came last. The BNP has been essentially inactive since 2019, and has not put forward a single candidate in any elections since the 2021 local elections. Ideology. Far-right politics, fascism and neo-Nazism. Many academic historians and political scientists have described the BNP as a far-right party, or as an extreme-right party. As the political scientist Matthew Goodwin used it, the term referred to "a particular form of political ideology that is defined by two anti-constitutional and anti-democratic elements: first, right-wing extremists are "extremist" because they reject or undermine the values, procedures and institutions of the democratic constitutional state; and second they are "right-wing" because they reject the principle of fundamental human equality". Various political scientists and historians have described the BNP as being fascist in ideology. Others have instead described it as neo-fascist, a term which the historian Nigel Copsey argued was more exact. Academic observers—including the historians Copsey, Graham Macklin, and Roger Griffin, and the political theologian Andrew P. Davey—have argued that Nick Griffin's reforms were little more than a cosmetic process to obfuscate the party's fascist roots. According to Copsey, under Griffin the BNP was "fascism recalibrated—a form of neo-fascism—to suit contemporary sensibilities". Macklin noted that despite Griffin's 'modernisation' project, the BNP retained its ideological continuity with earlier fascist groups and thus had not transformed itself into a genuinely "post-fascist" party. In this it was distinct from parties like the Italian National Alliance of Gianfranco Fini, which has been credited with successfully shedding its fascist past and becoming post-fascist. In 1995, the anti-fascist activist Gerry Gable referred to the BNP as a "Nazi organisation", while the Anti-Nazi League published leaflets describing the BNP as the "British Nazi Party". Copsey suggested that while the BNP under Tyndall could be described as neo-Nazi, it was not "crudely mimetic" of the original German Nazism. Davey characterised the BNP as a "populist ethno-nationalist" party. In his writings, Griffin acknowledged that much of his 'modernisation' was an attempt to hide the BNP's core ideology behind more electorally palatable policies. Like the National Front, the BNP's private discourse differed from its public one, with Griffin stating that "Of course we must teach the truth to the hardcore ... [but] when it comes to influencing the public, forget about racial differences, genetics, Zionism, historical revisionism and so on ... we must at all times present them with an image of moderate reasonableness". The BNP has eschewed the labels "fascist" and "Nazi", stating that it is neither. In its 1992 electoral manifesto, it said that "Fascism was Italian. Nazism was German. We are British. We will do things our own way; we will not copy foreigners". In 2009, Griffin said that the term "fascism" was simply "a smear that comes from the far left"; he added that the term should be reserved for groups that engaged in "political violence" and desired a state that "should impose its will on people", claiming that it was the anti-fascist group Unite Against Fascism—and not the BNP—who were the real fascists. More broadly, many on Britain's extreme right sought to avoid the term "British fascism" because of its electorally unpalatable connotations, utilising "British nationalism" in its place. After Griffin took control of the party, it made increasing use of nativist themes in order to emphasise its "British" credentials. In its published material, the party made appeals to the idea of Britain and Britishness in a manner not dissimilar to mainstream political parties. In this material it has also made prominent use of the Union flag and the colours red, white, and blue. Roger Griffin noted that the terms "Britain" and "England" appear "confusingly interchangeable" in BNP literature, while Copsey has pointed out that the BNP's form of British nationalism is "Anglo-centric". The party employed militaristic rhetoric under both Tyndall and Griffin's leadership; under the latter for example its published material spoke of a "war without uniforms" and a "war for our survival as a people". Tyndall described the BNP as a revolutionary party, calling it a "guerrilla army operating in occupied territory". Ethnic nationalism and biological racism. The BNP adheres to biological racist ideas, displaying an obsession with the perceived differences of racial groups. Both Tyndall and Griffin believed that there was a biologically distinct white-skinned "British race" which was one branch of a wider Nordic race, a view akin to those of earlier fascists such as Hitler and Arnold Leese. The BNP adheres to an ideology of ethnic nationalism. It promotes the idea that not all citizens of the United Kingdom belong to the British nation. Instead, it states that the nation only belongs to "the English, Scots, Irish and Welsh along with the limited numbers of peoples of European descent, who have arrived centuries or decades ago and who have fully integrated into our society". This is a group that Griffin referred to as the "home people" or "the folk". According to Tyndall, "The BNP is a racial nationalist party which believes in Britain for the British, that is to say racial separatism." Richard Edmonds in 1993 told "The Guardian" Duncan Campbell that "we [the BNP] are 100% racist". The BNP does not regard UK citizens who are not ethnic white Europeans as "British", and party literature calls on supporters to avoid referring to such individuals as "Black Britons" or "Asian Britons", instead describing them as "racial foreigners". Tyndall believed the white British and the broader Nordic race to be superior to other races; under his leadership, the BNP promoted pseudoscientific claims in support of white supremacy. Following Griffin's ascendency to power in the party, it officially repudiated racial supremacism and insisted that no racial group was superior or inferior to another. Instead it foregrounded an "ethno-pluralist" racial separatism, claiming that different racial groups had to be kept separate and distinct for their own preservation, maintaining that global ethno-cultural diversity was something to be protected. This switch in focus owed much to the discourse of the French movement which had emerged within France's extreme right during the 1960s. At the same time the BNP switched focus from openly promoting biological racism to stressing what it perceived as the cultural incompatibility of racial groups. It placed great focus on opposing what it referred to as "multiculturalism", characterising this as a form of "cultural genocide", and stating that it promoted the interests of non-whites at the expense of the white British population. However, internal documents produced and circulated under Griffin's leadership demonstrated that—despite the shift in its public statements—it remained privately committed to biological racist ideas. The party emphasises what it sees as the need to protect the racial purity of the white British. It condemns miscegenation and "race mixing", stating that this is a threat to the British race. Tyndall said that he "felt deeply sorry for the child of a mixed marriage" but had "no sympathy whatsoever for the parents". Griffin similarly stated that mixed-race children were "the most tragic victims of enforced multi-racism", and that the party would not "accept miscegenation as moral or normal ... we never will". In its 1983 election manifesto, the BNP stated that "family size is a private matter" but still called for white Britons who are "of intelligent, healthy and industrious stock" to have large families and thus raise the white British birth rate. The encouragement of high birth rates among white British families continued under Griffin's leadership. Under Tyndall's leadership, the BNP promoted eugenics, calling for the forced sterilisation of those with genetically transmittable disabilities. In party literature, it talked of improving the British 'racial stock' by removing "inferior strains within the indigenous races of the British Isles". Tyndall argued that medical professionals should be responsible for determining whom to sterilise, while a lowering of welfare benefits would discourage breeding among those he deemed to be genetic inferiors. In his magazine "Spearhead", Tyndall also stated that "the gas chamber system" should be used to eliminate "sub-human elements", "perverts", and "asocials" from British society. Anti-immigration and repatriation. Opposition to immigration has been central to the BNP's political platform. It has engaged in xenophobic campaigns which emphasise the idea that immigrants and ethnic minorities are both different from, and a threat to, the white British and white Irish populations. In its campaign material it presented non-whites both as a source of crime in the UK, and as a socio-economic threat to the white British population by taking jobs, housing, and welfare away from them. It engaged in welfare chauvinism, calling for white Britons to be prioritised by the UK's welfare state. Party literature included such as claims as that the BNP was the only party which could "do anything effective about the swamping of Britain by the Third World" or "lead the native peoples of Britain in our version of the New Crusade that must be organised if Europe is not to sink under the Islamic yoke". Much of its published material made claims about a forthcoming race war and promoted the conspiracy theory about white genocide. In a 2009 radio interview, Griffin referred to this as a "bloodless genocide". It presents the idea that white Britons are engaged in a battle against their own extinction as a racial group. It reiterated a sense of urgency about the situation, claiming that both high immigration rates and high birth rates among ethnic minorities were a threat to the white British. In 2010, it for instance was promoting the idea that at current levels, "indigenous Britons" would be a minority within the UK by 2060. The BNP calls for the non-white population of Britain to either be reduced in size or removed from the country altogether. Under Tyndall's leadership, it promoted the compulsory removal of non-whites from the UK, stating that under a BNP government they would be "repatriated" to their countries of origin. In the early 1990s it produced stickers with the slogan "Our Final Solution: Repatriation". Tyndall understood this to be a two-stage process that would take ten to twenty years, with some non-whites initially leaving willingly and the others then being forcibly deported. During the 1990s, party modernisers suggested that the BNP move away from a policy of compulsory repatriation and toward a voluntary system, whereby non-white persons would be offered financial incentives to leave the UK. This idea, adopted from Powellism, was deemed more electorally palatable. When Griffin took control of the party, the policy of voluntary repatriation was officially adopted, with the party suggesting that this could be financed through the use of the UK's pre-existing foreign aid budget. It stated that any non-whites who refused to leave would be stripped of their British citizenship and categorised as "permanent guests", while continuing to be offered incentives to emigrate. Griffin's BNP also stressed its support for an immediate halt to non-white immigration into Britain and for the deportation of any migrants illegally in the country. Speaking on the BBC's "Andrew Marr Show" in 2009, Griffin declared that, unlike Tyndall, he "does not want all-white UK" because "nobody out there wants it or would pay for it". Anti-Semitism and Islamophobia. Under Tyndall's leadership, the BNP was openly anti-Semitic. From A. K. Chesterton, Tyndall had inherited a belief that there was a global conspiracy of Jews bent on world domination, viewing the "Protocols of the Elders of Zion", which is known to be a forgery, as genuine evidence for this. He believed that Jews were responsible for both communism and international finance capitalism and that they were responsible for undermining the British Empire and the British race. He believed that both democratic government and immigration into Europe were parts of the Jewish conspiracy to weaken other races. In an early edition of "Spearhead" published in the 1960s, Tyndall wrote that "if Britain were to become Jew-clean she would have no nigger neighbours to worry about ... It is the Jews who are our misfortune: T-h-e J-e-w-s. Do you hear me? THE JEWS?" Tyndall added Holocaust denial to the anti-Semitic beliefs inherited from Chesterton, believing that the Holocaust was a hoax created by the Jews to gain sympathy for themselves and thus aid their plot for world domination. Among those to endorse such anti-Semitic conspiracy theories was Griffin, who promoted them in his 1997 pamphlet, "Who are the Mind Benders?" Griffin also engaged in Holocaust denial, publishing articles promoting such ideas in "The Rune", a magazine produced by the Croydon BNP. In 1998, these articles resulted in Griffin being convicted of inciting racial hatred. When Griffin took power, he sought to banish overt anti-Semitic discourse from the party. He informed party members that "we can get away with criticising Zionists, but any criticism of Jews is likely to be legal and political suicide". In 2006, he complained that the "obsession" that many BNP members had with "the Jews" was "insane and politically disastrous". In 2004, the party selected a Jewish candidate, Pat Richardson, to stand for it during local council elections, something Tyndall lambasted as a "gimmick". References to Jews in BNP literature were often coded to hide the party's electorally unpalatable anti-Semitic ideas. For instance, the term "Zionists" was often used in party literature as a euphemism for "Jews". As noted by Macklin, Griffin still framed many of his arguments "within the parameters of recognizably anti-Semitic discourse". The BNP's literature is replete with references to a conspiratorial group who have sought to suppress nationalist sentiment among the British population, who have encouraged immigration and mixed-race relationships, and who are promoting the Islamification of the country. This group is likely a reference to the Jews, being an old fascist canard. Sectors of the extreme-right were highly critical of Griffin's softening on the subject of the Jews, claiming that he had "sold out" to the 'Zionist Occupied Government'. In 2006, John Bean, editor of "Identity", included an article in which he reassured BNP members that the party had not "sold out to the Jews" or "embraced Zionism" but that it remained "committed to fighting ... subversive Jews". Under Griffin, the BNP's website linked to other web pages that explicitly portrayed immigration as part of a Jewish conspiracy, while it also sold books that promoted Holocaust denial. In 2004, secretly filmed footage was captured in which Griffin was seen claiming that "the Jews simply bought the West, in terms of press and so on, for their own political ends". Copsey noted that a "culture of anti-Semitism" still pervaded the BNP. In 2004, a London activist told reporters that "most of us hate Jews", while a Scottish BNP group was observed making Nazi salutes while shouting "Auschwitz". The party's Newcastle upon Tyne Central candidate compared the Auschwitz concentration camp to Disneyland, while their Luton North candidate stated her refusal to buy from "the kikes that run Tesco". In 2009, a BNP councillor from Stoke-on-Trent resigned from the party, complaining that it still contained Holocaust deniers and Nazi sympathisers. Griffin informed BNP members that rather than "bang on" about the Jews—which would be deemed extremist and prove electorally unpopular—their party should focus on criticising Islam, an issue that would be more resonant among the British public. After Griffin took over, the party increasingly embraced an Islamophobic stance, launching a "Campaign Against Islam" in September 2001. In "Islam: A Threat to Us All", a leaflet distributed to London households in 2007, the BNP claimed that it would stand up to both Islamic extremism and "the threat that 'mainstream' Islam poses to our British culture". In contrast to the mainstream British view that the actions of militant Islamists—such as those who perpetrated the 7 July 2005 London bombings—are not representative of mainstream Islam, the BNP insists that they are. In some of its literature it presents the view that every Muslim in Britain is a threat to the country. Griffin referred to Islam as an "evil, wicked faith", and elsewhere publicly described it as a "cancer" that needed to be removed from Europe through "chemotherapy". The BNP has called for the prohibition of immigration from Muslim countries and for the banning of the burka, halal meat, and the building of new mosques in the UK. It also called for the immediate deportation of radical Islamist preachers from the country. In 2005, the party stated that its primary issue of concern was the "growth of fundamentalist-militant Islam in the UK and its ever-increasing threat to Western civilization and our implicit values". To broaden its anti-Islamic agenda, Griffin's BNP made overtures to the UK's Hindu, Sikh, and Jewish communities; Griffin's claim that Jews can make "good allies" in the fight against Islam caused controversy within the international far-right. Government. Tyndall believed that liberal democracy was damaging to British society, stating that liberalism was a "doctrine of decay and degeneration". Under Tyndall, the party sought to dismantle the UK's liberal democratic system of parliamentary governance, although was vague about what it sought to replace this system with. In his 1988 work "The Eleventh Hour", Tyndall wrote of the need for "an utter rejection of liberalism and a dedication to the resurgence of authority". Tyndall's BNP perceived itself as a revolutionary force that would bring about a national rebirth in Britain, entailing a radical transformation of society. It proposed a state in which the Prime Minister would have full executive powers, and would be elected directly by the population for an indefinite period of time. This Prime Minister could be dismissed from office in a further election that could be called if Parliament produced a vote of no confidence in them. It stated that rather than having political parties, candidates standing for election to the parliament would be independent. During the period of Griffin's leadership, the party downplayed its anti-democratic themes and instead foregrounded populist ones. Its campaign material called for the devolution of greater powers to local communities, the reestablishment of county councils, and the introduction of citizens' initiative referendums based on those used in Switzerland. The BNP has adopted a hard Eurosceptic platform from its foundation. Under Tyndall's leadership, the BNP had overt anti-Europeanist tendencies. Throughout the 1980s and 1990s, he maintained the party's opposition to the European Economic Community. Antagonism toward what became the European Union was retained under Griffin's leadership, which called for the UK to leave the Union. One of Vote Leave's biggest donors during the Brexit referendum was former BNP member Gladys Bramall, and the party has claimed that its anti-Establishment rhetoric "created the road" to Britain's vote to leave the European Union. Tyndall suggested replacing the EEC with a trading association among the "White Commonwealth", namely countries like Canada, Australia, and New Zealand. Tyndall held imperialist views and was sympathetic to the re-establishment of the British Empire through the recolonization of parts of Africa. However, officially the BNP had no plans to re-establish the British Empire or secure dominion over non-white nations. In the 2000s, it called for an immediate military withdrawal from both the Iraq War and the War in Afghanistan. During his appearance on "Question Time", regarding the Iraq War, Griffin described the war as "illegal", saying, "We shouldn't have gone into Iraq, we must never go into Iran, we should leave them alone." It has advocated ending overseas aid to provide economic support within the UK and to finance the voluntary repatriation of legal immigrants. Under Tyndall, the BNP rejected both Welsh nationalism and Scottish nationalism, stating that they were bogus because they caused division among the wider "British race". Tyndall also led the BNP in support of Ulster loyalism, for instance by holding public demonstrations against the Irish republican party Sinn Féin, and endorsing Ulster loyalist paramilitaries. Under Griffin, the BNP continued to support Northern Ireland's membership of the United Kingdom, calling for the crushing of the Irish Republican Army and the scrapping of the Anglo-Irish Agreement. Griffin later expressed the view that "the only solution that could possibly be acceptable to loyalists and republicans alike" would be the reintegration of the Irish Republic into the United Kingdom, which would be reorganised along federal lines. However, while retaining the party's commitment to Ulster loyalism, under Griffin the importance of the issue was downplayed, something that was criticised by Tyndall loyalists. Economic policy. Tyndall described his approach to the economy as "National Economics", expressing the view that "politics must lead, and not be led by, economic forces". His approach rejected economic liberalism because it did not serve "the national interest", although still saw advantages in a capitalist system, looking favourably on individual enterprise. He called on capitalist elements to be combined with socialist ones, with the government playing a role in planning the economy. He promoted the idea of the UK becoming an autarky which was economically self-sufficient, with domestic production protected from foreign competition. This attitude was heavily informed by the corporatist system that had been introduced in Benito Mussolini's Fascist Italy. A number of senior members, including Griffin and John Bean, had anti-capitalist leanings, having been influenced by Strasserism and National Bolshevism. Under Griffin's leadership, the BNP promoted economic protectionism and opposed globalisation. Its economic policies reflect a vague commitment to distributist economics, ethno-socialism, and national autarky. The BNP maintains a policy of protectionism and economic nationalism, although in comparison with other far-right nationalist parties, the BNP focuses less on corporatism. It has called for British ownership of its own industries and resources and the "subordination of the power of the City to the power of the government". It has promoted the regeneration of farming in the United Kingdom, with the object of achieving maximum self-sufficiency in food production. In 2002, the party criticised corporatism as a "mixture of big capitalism and state control", saying it favoured a "distributionist tradition established by home-grown thinkers" favouring small business. The BNP has also called for the renationalisation of the railways. The BNP, in its 2010 manifesto, called for Britain to emulate the "tiger states" of East Asia, such as South Korea and Singapore. When it comes to environmentalism, the BNP refers to itself as the "real green party", stating that the Green Party of England and Wales engages in "watermelon" politics by being green (environmentalist) on the outside but red (leftist) on the inside. Influenced by the Nouvelle Droite, it framed its arguments regarding environmentalism in an anti-immigration manner, talking about the need for 'sustainability'. It engages in climate change denial, with Griffin claiming that global warming is a hoax orchestrated by those trying to establish the New World Order. Social issues. The BNP is opposed to feminism and has pledged that—if in government—it would introduce financial incentives to encourage women to leave employment and become housewives. It would also seek to discourage children being born out of wedlock. It has stated that it would criminalise abortion, except in cases where the child has been conceived as a result of rape, the mother's life is threatened, or the child will be disabled. There are nevertheless circumstances where it has altered this anti-abortion stance; an article in "British Nationalist" stated that a white woman bearing the child of a black man should "abort the pregnancy ... for the good of society". More widely, the party censures inter-racial sex and accuses the British media of encouraging inter-racial relationships. Under Tyndall, the BNP called for the re-criminalisation of homosexual activity. Following Griffin's takeover, it moderated its policy on homosexuality. However, it opposed the 2004 introduction of civil partnerships for same-sex couples. During his 2009 "Question Time" appearance, Griffin described the sight of two men kissing as "for a lot of us (Christians) ... really creepy". The party has also condemned the availability of pornography; its 1992 manifesto stated that the BNP would give the "pedlars of this filth ... the criminal status that they deserve". The BNP promoted the reintroduction of capital punishment, and the sterilisation of some criminals. It also called for the reintroduction of national service in the UK, adding that on completion of this service adults would be permitted to keep their standard issue assault rifle. According to the academic Steven Woodbridge, the BNP had a "rather ambivalent attitude toward Christian belief and religious themes in general" during most of its history, but under Griffin's modernisation the party increasingly utilised Christian terminology and themes in its discourse. Various members of the party presented themselves as "true Christians", and defenders of the faith, with key ideologues stating that the religion has been "betrayed" and "sold out" by mainstream clergy and the British establishment. British Christianity, the BNP said, was under threat from Islam, Marxism, multiculturalism, and "political correctness". On analysing the BNP's use of Christianity, Davey argued that the party's emphasis was not on Christian faith itself, but on the inheritance of European Christian culture. The BNP long considered the mainstream media to be one of its major impediments to electoral success. Tyndall said that the media represents a "state above the state" which was committed to the "left-liberal" goals of internationalism, liberal democracy, and racial integration. The party has said that the mainstream media has given disproportionate coverage to the achievements of ethnic minority sportsmen and to the victims of anti-black racism while ignoring white victims of racial prejudice and the BNP's activities. Both Tyndall and Griffin have said that the mainstream media is controlled by Jews, who use it for their own devices; the latter promoted this idea in his "Who are the Mind Benders?" Griffin has described the BBC as "a thoroughly unpleasant, ultra-leftist establishment". The BNP has stated that if it took power, it would end "the dictatorship of the media over free debate". It said that it would introduce a law prohibiting the media from disseminating falsehoods about an individual or organisation for financial or political gain, and that it would ban the media from promoting racial integration. BNP policy pledges to protect freedom of speech, as part of which it would repeal all laws banning racial or religious hate speech. It would repeal the 1998 Human Rights Act and withdraw from the European Convention on Human Rights. Voter base. Goodwin described the BNP's voters as being "socially distinct and concerned about a specific set of issues". Under Griffin's leadership, the party targeted areas with high proportions of skilled white working-class voters, particularly those who were disenchanted with the Labour government. It has attempted to appeal to disaffected Labour voters with slogans such as "We are the Labour Party your Grandfather Voted For". The BNP had little success in gaining support from women, the middle classes, and the more educated. Goodwin noted a "strong male bias" in the party's support base, with statistical polling revealing that between 2002 and 2006, seven out of ten BNP voters were male. That same research also indicated that BNP voters were disproportionately middle-aged and elderly, with three quarters being aged over 35, and only 11% aged between 18 and 24. This contrasted to the NF's support base during the 1970s, when 40% of its voters were aged between 18 and 24. Goodwin suggested two possibilities for the BNP's failure to appeal to younger voters: one was the 'life cycle effect', that older people have obtained more during their life and thus have more to lose, feeling both more threatened by change and more socially conservative in their views. The other explanation was the 'generational effect', with younger Britons who have grown up since the onset of mass immigration having had greater social exposure to ethnic minorities and thus being more tolerant toward them. Conversely, many older voters came of age during the 1970s, under the impact of the anti-immigrant rhetoric promoted by Powellism, Thatcherism, and the NF, and thus have less tolerant attitudes. Most BNP voters had no formal qualifications and the party's support was centred largely in areas with low educational attainment. According to the 2002–2006 data, two-thirds of BNP voters had either no formal qualifications or had left education after their O-levels/GCSEs. Only one in ten BNP voters possessed an A-level, and an even smaller percentage had a university degree. Most of the BNP's voting base were from the financially insecure lower classes. Research conducted from 2002 to 2006 indicated that seven out of ten BNP voters were either skilled or unskilled workers or unemployed. A 2009 poll found that six out of ten BNP voters fitted this profile. Goodwin suggested that it was the skilled working classes rather than their unskilled or unemployed neighbours who were the main support base behind the BNP, because they owned some assets and thus felt that they had more to lose as a result of the economic threat posed by immigrants and ethnic minorities. Research indicated that BNP voters also held opinions that were distinct from the average British citizen. They were far more pessimistic about their economic prospects than average, with seven out of ten BNP voters expecting their economic prospects to decline in future, contrasted with four out of ten who held this view in the wider population. In the 2002–2006 period, 59% of BNP voters considered immigration to be the most important issue facing the UK, compared with only 16% of the wider population who agreed. By 2009, 87% of BNP voters identified immigration and asylum as the most important issue, to 49% of the wider population. BNP voters were also more likely to identify law and order, the EU, and Islamic extremism as the most important issues facing the UK than other voters, and less likely than average to rate the economy, NHS, pensions, and housing market as the most important. BNP voters were also more likely than average to believe both that white Britons face unfair discrimination, and that Muslims, non-whites, and homosexuals had unfair advantages in British society. 78% of BNP voters endorsed the belief that the Labour Party prioritised immigrants and ethnic minorities over white British people, to 44% of the wider population. When asked questions about immigration and Muslims, BNP voters were found to be far more hostile to them than the average Briton, and also more willing than average to support outright racially discriminatory policies toward them. Copsey believed that "popular racism"—namely against asylum seekers and Muslims—generated the BNP's "largest reservoir of support", and that in many Northern English towns the main factors behind BNP support were white resentment toward Asian communities, anger at Asian-on-white crime, and the perception that Asians received disproportionately high levels of public funding. Research also indicated that BNP voters were more mistrustful of the establishment than average citizens. In 2002–2006, 92% of BNP voters described themselves as being dissatisfied with the government, to 62% of the wider population. Over 80% of BNP voters were found to distrust their local Member of Parliament, council officials, and civil servants, and were also more likely than average to think that politicians were personally corrupt. There was also a tendency for BNP voters to read tabloids like the "Daily Mail", "Daily Express", and "The Sun", all of which promote anti-immigration sentiment. Whether these voters gained such sentiment as a result of reading these tabloids or they read these tabloids because it endorsed their pre-existing views is unclear. The early stronghold of the BNP was in London, where it established enclaves of support in the boroughs of Enfield, Hackney, Lewisham, Southwark, and Tower Hamlets, with smaller units in Bexley, Camden, Greenwich, Hillingdon, Lambeth and Redbridge. By the late 1990s, the party was increasingly retreating from its original East End heartland, finding that its electoral support had declined in the area. Griffin expressed the view that it was too dangerous for BNP activists to campaign in the East End, suggesting that they would be likely to be attacked by opponents. Instead, the party shifted its focus to parts of Outer London, in particular the boroughs of Barking, Bexley, Dagenham, Greenwich and Havering. After Griffin took power, the party focused on building support in the North of England, taking advantage of the anxieties generated by the ethnic riots that took place in Bradford, Oldham and Burnley in 2001. In the period between 2002 and 2006, over 40% of the BNP's voters were in Northern England. The decline of the BNP as an electoral force around 2014 helped to open the way for the growth of another right-wing party, UKIP. In a study Goodwin produced with Robert Ford, the two political scientists noted that UKIP's support base mirrored the BNP's in that it had the same "very clear social profile": the "old, male, working class, white and less educated". One area where the two differed, they noted, was in the fact that BNP support had been highest among the middle-aged before tailing off among the over 55s, whereas UKIP retained strong support with those over 55. Ford and Goodwin suggested that this might be because more over 55s had "direct or indirect experiences" of the Second World War, in which Britain defeated the fascist powers, resulting in them being less inclined to support fascist parties than their younger counterparts. Despite these commonalities, UKIP proved far more successful at mobilising these social groups than did the BNP. This was likely in part because UKIP had a "reputational shield"; it emerged from within the Eurosceptic tradition of British politics rather than from the far-right and thus, while often ridiculed by the mainstream, was regarded as a legitimate democratic actor in a way that the BNP was not. Organisation. Structure. On its formation, the BNP avoided the National Front's committee-rule system of collective leadership in the hope of evading the infighting and factionalism that had damaged the NF. Instead it was founded around what it called the "leadership principle", with a central chairman having complete control over the party, which was then arranged in a highly hierarchical structure. The BNP lacked internal democracy, with the grassroots membership having almost no formal power, except for electing the party leader. On taking power, Griffin retained the leadership principle inherited from Tyndall. He nevertheless established an Advisory Council which would meet several times a year; the members were to be selected by Griffin himself and would serve as his advisors. The party's branches and local groups were referred to as "units" within the party. These were designed to recruit followers, raise funds, and campaign during elections. Under Tyndall, the party operated with a skeleton organisation. It had no full-time staff and for most of the 1980s lacked a telephone number. Instead it relied on a handful of geographically scattered, unpaid regional organisers. Its early activists were recruited from within the extreme-right movement, and thus lacked the experience and skills in electoral campaigning. When Griffin took control, he introduced a variety of internal departments to help manage the party's activities: the administration and enquiries department, department for group development, legal affairs department, security department, and communications department. Griffin tried to build a more professional party machine by educating and training BNP members, providing them with incentives, establishing a steady income stream, and overcoming factionalism and dissent. He launched an "annual college" for activists in 2001 and formed an education and training department in 2007. In 2008 and 2010, he oversaw the establishment of "summer schools" for high-ranking officials. The party also began employing full-time members of staff, having three in 2001 and 13 in 2007. To incentivise members to remain committed to the party, Griffin followed the example of the Swedish National Democrats by implementing a new "voting membership" scheme in 2007. This meant that those who had been BNP members for two years could become a "voting member", at which they would go on a year's probation. During this year they were required to attend educational and training seminars, to engage in a certain amount of activism and to donate a specified amount of money to the party. Once completed, they were allowed to vote on certain matters at general members' meetings and annual conferences, to participate in policy debates, and to be eligible for intermediate and senior positions. This policy ensured that those who reached the higher echelons of the BNP were fully trained in the party's ideology and electoral strategy. Sub-groups and propaganda output. Griffin hoped to build a wider social movement around the BNP by establishing affiliated networks and organisations. In many cases, these were presented to the public in a way that concealed any direct connection to the BNP. Most of these affiliated groups were poorly funded and had few members. The party established its own record label, Great White Records, a radio station, and a trade union known as Solidarity – The Union for British Workers. It formed a group for young people known as the Young BNP, although in 2010 renamed this group as the BNP Crusaders, "to pay homage to our ancestors from the Middle Ages who saved Christian Europe from the onslaught of Islam". It established a Land and People group to recruit support in rural areas, a Family Circle to recruit women and families, and both a Veterans Group and an Association of British ex-Servicemen for former military servicemen. A group called Families Against Immigrant Racism was established to counter perceived racism against white Britons, while an Ethnic Liaison Committee was created to build links with anti-Muslim Hindu and Sikh groups active in Britain. Another group was the American Friends of the British National Party (AFBNP), set up by Mark Cotterill in 1999 to gain support from sympathisers in the United States. In 2001 it had 100 members, and by 2008 had 107. A group called Islands of the North Atlantic (IONA) was established to promote the BNP's view of British culture and identity. The British Students Association was founded to promote the party's views among university students in 2000. Albion Life Insurance was set up in September 2006 as an insurance brokerage company established on behalf of the BNP to raise funds for its activities. The firm ceased to operate in November 2006. In 2006, the BNP launched the Christian Council of Britain (CCB), a group designed to rival the Muslim Council of Britain and oppose the growing "Islamification" of inner city areas. The CCB was established and run by BNP member Robert West, who claimed to have been ordained by the Apostolic Church, a claim that the church denies. West is a Calvinist and espouses a theology of nations which is influenced by Calvinist theologians like Abraham Kuyper, holding that God wishes every race and nation to remain separate until end time. Griffin's BNP also established an annual Red, White and Blue festival, which was based on the organised by France's National Front. The festival brought party activists together and aimed to promote a more family friendly image for the group, although it also provided a venue for white power skinhead bands like Stigger, Nemesis and Warlord. Around 1,000 BNP members attended the party's 2001 festival. Under Griffin's leadership, the BNP zealously embraced the use of alternative media to promote itself in a way different from the negative portrayal that featured in the mainstream media. On its website—which had been established in 1995—it created an internet television channel, 'BNPtv'. It has created blogs that cover different themes without being explicitly political in order to promote the party's message. The BNP established an online marketing platform, Excalibur, through which to sell its merchandise. In 2003, the BNP said that it had the most viewed website of a political party in Britain, and by 2011 was claiming to have the most viewed such website in Europe. In September 2007, "The Daily Telegraph" newspaper reported that Hitwise, the online competitive intelligence service, said that the BNP website had more hits than any other website of a British political party. Membership. For most of its history, the BNP had a whites-only membership policy. In 2009, the state's Equality and Human Rights Commission stated that this was a violation of the Race Relations Act 1976 and called on the party to amend its constitution accordingly. Responding to this, in early 2010 members voted to remove the racial restriction to membership, although it is unlikely that many non-whites joined. At its creation, the BNP had approximately 1,200 members. By the 1983 general election, this had grown to approximately 2,500, although by 1987 had slumped to 1,000, with no significant further growth until the 21st century. After taking control Griffin began publishing the party's membership figures: 2,174 in 2001, 3,487 in 2002, 5,737 in 2003, and 7,916 in 2004. Membership dropped slightly to 6,281 in 2005, but had grown to 9,297 in 2007 and to 10,276 in spring 2010. In 2011, it was noted that this meant that the BNP had experienced the most rapid growth since 2001 of any minor party in the UK. A party membership list dating from late 2007 was leaked onto the internet by a disgruntled activist, containing the names and addresses of 12,000 members. This included names, addresses and other personal details. People on the list included prison officers (barred from BNP membership), teachers, soldiers, civil servants and members of the clergy. The leaked list indicated that membership was concentrated in particular areas, namely the East Midlands, Essex, and Pennine Lancashire, but with particular clusters in Charnwood, Pendle, and Amber Valley. Many of these areas had long been targeted by extreme-right campaigns, dating back to the NF activity of the 1970s, suggesting that such longstanding activism may have had an effect on levels of BNP membership. This information also revealed that membership was most likely in urban areas with low rates of educational attainment and large numbers of economically insecure people employed in manufacturing, with further correlations to nearby Muslim communities. Following an investigation by Welsh police and the Information Commissioner's Office, two people were arrested in December 2008 for breach of the Data Protection Act concerning the leak. Matthew Single was subsequently found guilty and fined £200 in September 2009. The 'low' fine was criticised as an "absolute disgrace" by a BNP spokesman and a detective sergeant involved said he was "disappointed" with the outcome, stating that people were fearful for their safety. More than 160 complaints were made nationally to police after attacks on BNP members and their property. The leaked membership list showed that the party was 17.22% female. While women have occupied key positions within the BNP, men dominated at every level of the party. In 2009, over 80% of the party's Advisory Council was male and from 2002 to 2009, three-quarters of its councillors were male. The average percentage of female candidates presented at local elections in 2001 was 6%, although this had risen to 16% by 2010. Since 2006, the party had made a point of selecting female candidates, with Griffin stating that this was necessary to "soften" the party's image. Goodwin suggested that membership fell into three camps: the "activist old guard" who had previously been involved in the NF during the 1970s, the "political wanderers" who had defected from other parties to the BNP, and the "new recruits" who had joined post-2001 and who had little or no political interest or experience beforehand. Having performed qualitative research among the BNP by interviewing various members, Goodwin noted that few of those he interviewed "conformed to the popular stereotypes of them being irrational and uninformed crude racists". He noted that most strongly identified with the working class and claimed to have either been former Labour voters or from a Labour-voting family. None of those interviewed claimed a family background in the ethnic nationalist movement. Instead, he noted that members said that they joined the party as a result of a "profound sense of anxiety over immigration and rising ethno-cultural diversity" in Britain, along with its concomitant impact on "British culture and society". He noted that among these members, the perceived cultural threat of immigrants and ethnic minorities was given greater prominence than the perceived economic threat that they posed to white Britons. He noted that in his interviews with them, members often framed Islam in particular as a threat to British values and society, expressing the fear that British Muslims wanted to Islamicise the country and eventually impose "sharia" on its population. Finances. In contrast to the UK's mainstream parties, the BNP received few donations from businesses, wealthy donors, or trade unions. Instead it relied on finances produced by its membership. Under Tyndall, the party operated on a shoestring budget with a lack of transparency; in 1992 it collected £5000 and in 1997 it collected £10,000. It also tried raising money by selling extreme-right literature, and opened a bookshop in Welling in 1989, although this was closed in 1996 after being attacked by anti-fascists and proving too costly to run. In 1992, the party formed a dining club of its wealthier supporters, which was renamed the Trafalgar Club in 2000. By the 1997 general election, it admitted that its expenses had "far out-stripped" its income, and it was appealing for donations to pay off loans it had taken out. Griffin placed greater emphasis on fundraising; from 2001 through to 2008, the BNP's annual turnover increased almost fivefold. Membership subscriptions grew from £35,000 to £166,000, while its donations raised from £38,000 to £660,000. However, expenses also rose as the BNP spent more on its electoral campaigns, and the party reported a financial deficit in 2004 and again in 2005. Between 2007 and 2009, the BNP accumulated debts of £500,000. International affiliations. Under Griffin, the BNP forged stronger links with various extreme-right parties elsewhere in Europe, among them France's National Front, Germany's National Democratic Party (NPD), Sweden's National Democrats, and Hungary's Jobbik. Griffin unsuccessfully urged the NPD to move away from neo-Nazism and embark on the same 'modernisation' project that he had taken the BNP. Jean-Marie Le Pen of the French Front National was the guest of honour at an "Anglo-French Patriotic Dinner" held by the BNP in April 2004. Griffin met leaders of the Hungarian far right party Jobbik to discuss co-operation between the two parties and spoke at a Jobbik party rally in August 2008. In April 2009, Simon Darby, deputy chairman of the BNP, was welcomed with fascist salutes by members of the Italian nationalist Forza Nuova during a trip to Milan. Darby stated that the BNP would look to form an alliance with France's Front National in the European Parliament. Following the election of two BNP MEPs in 2009, the following year saw the BNP join with other extreme-right parties to form the Alliance of European National Movements, with Griffin becoming its vice president. The party also had close links with the Historical Review Press, a publisher focused on promoting Holocaust denial. Britain's extreme-right has long faced internal and public divisions. Disgruntled BNP members left the party to found or join a wide range of rivals, among them the British Freedom Party, White Nationalist Party, Nationalist Alliance, Wolf's Hook White Brotherhood, British People's Party, England First Party, Britain First, Democratic Nationalists, and the New Nationalist Party. Various BNP members were involved in the nascent English Defence League (EDL)—with EDL leader Tommy Robinson having been a former BNP activist—although Griffin proscribed the organisation and condemned it as having been manipulated by "Zionists". The political scientist Chris Allen noted that the EDL shared much of the BNP's ideology, but that its "strategies and actions" were very different, with the EDL favouring street marches over electoral politics. By 2014, both the BNP and EDL were in decline, and Britain First—founded by former BNP members James Dowson and Paul Golding—had risen to prominence. It combined the electoral tactics of the BNP with the street marches of the EDL. The Steadfast Trust was established as a charity in 2004 with the stated aims of reducing poverty among those of Anglo-Saxon descent and supporting English culture. It has many former and current BNP, NF and British Ku Klux Klan members. It was deregistered as a charity by the Charity Commission in February 2014. In 2014, after Nick Griffin lost the leadership of BNP, he set up British Voice, but before it was launched, he decided to set up a different group, British Unity. Electoral performance. The BNP has contested seats in England, Wales, Scotland and Northern Ireland. Research from Robert Ford and Matthew Goodwin shows that BNP support is concentrated among older and less educated working-class men living in the declining industrial towns of the North and Midlands regions, in contrast to previous significant far-right parties like the National Front, which drew support from a younger demographic. General elections. The BNP placed comparatively little emphasis on elections to the British House of Commons, aware that the first past the post voting system was a major obstacle. The British National Party has contested general elections since 1983. It put forward no candidates for the 2024 general election. The BNP in the 2001 general election saved five deposits (out of 33 contested seats) and secured its best general election result in Oldham West and Royton (which had recently been the scene of racially motivated rioting between white and Asian youths) where party leader Nick Griffin secured 16% of the vote. The 2005 general election was considered a major breakthrough by the BNP, as it received 192,746 votes in the 119 constituencies it contested, took a 0.7% share of the overall vote and retained a deposit in 40 of the seats. The BNP put forward candidates for 338 out of 650 seats for the 2010 general election gaining 563,743 votes (1.9%), finishing in fifth place and failing to win any seats. However, a record of 73 deposits were saved. Party chairman Griffin came third in the Barking constituency, behind Margaret Hodge of Labour and Simon Marcus of the Conservatives, who were first and second respectively. At 14.6%, this was the BNP's best result in any of the seats it contested that year. Local elections. The BNP's first electoral success came in 1993, when Derek Beackon was returned as a councillor in Millwall, London. He lost his seat in elections the following year. The next BNP success in local elections was not until the 2002 local elections, when three BNP candidates gained seats on the Burnley council. The BNP's first councillor for six years was John Haycock, elected as a parish councillor for Bromyard and Winslow in Herefordshire in 2000. Haycock failed to attend any council meetings for six months and was later disqualified from office. The party had 55 councillors for a time in 2009. After the 2013 local county council elections, the BNP was left with a total of two borough councillors in England. As of 2011, the BNP had yet to make "a major breakthrough" on local councils. The BNP's councillors usually had "an extremely limited impact on local politics" because they were isolated as individuals or small groups on the council. Councillors from the main parties often disliked their BNP colleagues and deemed having to work alongside them as an affront to dignity and decency. Questions were often raised as to whether BNP councillors could adequately represent the interests of all of their local constituents. On being elected, Beackon for instance stated that he refused to serve his Asian constituents in Millwall. There were also allegations made that BNP councillors had particularly low attendance at council meetings, although research indicated that this was not the case, with the BNP's attendance record being largely average. There is evidence to suggest that racially and religiously motivated crime increased in those areas where BNP councillors had been elected. For instance, after the 1993 election of Beackon, there was a spike in racist attacks in the borough of Tower Hamlets. BNP members were directly responsible for some of this; the party's national organiser Richard Edmonds was sentenced to three months imprisonment for his part in an attack on a black man and his white girlfriend. Regional assemblies and parliaments. BNP lead candidate Richard Barnbrook won a seat in the London Assembly in May 2008, after the party gained 5.3% of the London-wide vote. However, in August 2010, he resigned the party whip and became an independent. In the 2007 Welsh Assembly elections, the BNP fielded 20 candidates, four in each of the five regional lists, with Nick Griffin standing in the South Wales West region. It did not win any seats, but was the only minor party to have saved deposits in the electoral regions, one in the North Wales region and the other in the South Wales West region. In total the BNP polled 42,197 votes (4.3%). In the 2011 Welsh Assembly elections, the BNP fielded 20 candidates, four in each of the five regional lists and for the first time 7 candidates were fielded in FPTP constituencies. On the regional lists, the BNP polled 22,610 votes (2.4%), down 1.9% from 2007. In 2 out of the 7 FPTP constituencies contested the BNP saved deposits: (Swansea East and Islwyn). In the 2007 Scottish Parliament election, the party fielded 32 candidates, entitling it to public funding and an election broadcast, prompting criticism. The BNP received 24,616 votes (1.2%), no seats were won, nor were any deposits saved. In the 2011 Scottish Parliament election, the BNP fielded 32 candidates in the regional lists. 15,580 votes were polled (0.78%). The BNP fielded 3 candidates for the first time in three constituencies each in the 2011 Northern Ireland Legislative Assembly elections (Belfast East, East Antrim and South Antrim). 1,252 votes were polled (0.2%), winning no seats for the party. European Parliament. The BNP has taken part in European Parliament elections since 1999, when it received 1.13% of the total vote (102,647 votes). In the 2004 elections to the European Parliament, the BNP won 4.9% of the vote, making it the sixth biggest party overall, but did not win any seats. The BNP won two seats in the European Parliament in the 2009 elections. Andrew Brons was elected in the Yorkshire and the Humber regional constituency with 9.8% of the vote. Party chairman Nick Griffin was elected in the North West region, with 8% of the vote. Nationally, the BNP received 6.26%. The UK government announced in 2009 that the BNP's two MEPs would be denied some of the access and information afforded to other MEPs. The BNP would be subject to the "same general principles governing official impartiality" and they would receive "standard written briefings as appropriate from time to time", but diplomats would not be "proactive" in dealing with the BNP MEPs and that any requests for policy briefings from them would be treated differently and on a discretionary basis. The BNP did not stand any candidates in the 2019 European Parliament election in the United Kingdom. Public profile. Association with violence. The leaders and senior officers of the BNP have criminal convictions for inciting racial hatred. John Hagan claims that the BNP has conducted right-wing extremist violence to gain "institutionalized power". A 1997 report by Human Rights Watch accused the party of recruiting from skinhead groups and promoting racist violence. In the past, Nick Griffin has defended the threat of violence to further the party's aims. After the BNP won its first council seat in 1993, he wrote that the BNP should not be a "postmodernist rightist party" but "a strong, disciplined organisation with the ability to back up its slogan 'Defend Rights for Whites' with well-directed boots and fists. When the crunch comes, power is the product of force and will, not of rational debate". In 1997 he said: "It is more important to control the streets of a city than its council chambers." A BBC "Panorama" programme reported on a number of BNP members who have had criminal convictions, some racially motivated. Some of the more notable convictions include: Some members of the BNP were radicalised during their involvement with the party and subsequently sought to carry out acts of violence and terrorism. Tony Lecomber was imprisoned for three years for possessing explosives, after a nail bomb exploded while he was transporting it to the offices of the Workers' Revolutionary Party in 1985. He was imprisoned for three years in 1991 whilst serving as the BNP's Director of Propaganda for assaulting a Jewish teacher. In 1999, the ex-BNP member David Copeland used nail bombs to target homosexuals and ethnic minorities in London. In 2005, the BNP's Burnley candidate Robert Cottage was convicted of stockpiling chemicals for use in what he believed was a coming civil war, while a Yorkshire BNP member, Terry Gavan, was convicted in 2010 for stockpiling firearms and nail bombs. Reception. In 2011, Goodwin described the BNP as being "the most successful party in the history of the extreme right in Britain". That same year, John E. Richardson noted that it had achieved "a level of electoral success that is unparalleled in the history of British fascism". The historian Alan Sykes stated that "in electoral terms", the BNP achieved "more in the first three years of the twenty-first century" than the British far right "as a whole achieved in the previous seventy". However, Copsey said that the party's belief that one day the conditions would be right for it to win a general election belonged to the "Never-Never Land of British politics". Copsey also said that the BNP's electoral successes had been modest in comparison to those achieved by extreme-right groups elsewhere in Western Europe such as France's National Front, Italy's National Alliance, and Belgium's Vlaams Blok. The BNP's growth met a hostile reaction, and in 2011 the political scientists Copsey and Macklin described it as "Britain's most disliked party". It was widely reviled as racist and even following Griffin's "modernisation" project it was still heavily tainted by its associations with neo-Nazism. For many years it remained closely associated with the National Front in the British public imagination. The BNP remained unable to gain a broad appeal or widespread credibility. In a 2004 poll, seven out of ten voters said that they would never consider voting for the BNP. A 2009 poll found that two-thirds would "under no circumstances" consider voting BNP, while only 4% of respondents would "definitely consider" voting for them. The Conservative leader Michael Howard stated that the BNP were a "stain" on British democracy, adding that "this is not a political movement, this is a bunch of thugs dressed up as a political party". His successor David Cameron described it as a "completely unacceptable" organisation which "thrives on hatred". The Labour prime minister, Tony Blair, called it a "nasty, extreme organisation", while the Liberal Democrat leader Nick Clegg termed it a "party of thugs and fascists". In 2004, the General Synod of the Church of England declared that supporting the BNP was incompatible with Christianity, comparing it to "spitting in the face of God". Christian groups throughout Britain have maintained that the BNP's hostility toward cultural and ethnic diversity in the country was at odds with mainstream Christianity's emphasis on inclusiveness, tolerance, and interfaith dialogue. Winston Churchill's family has criticised the BNP's use of his image and quotations, labelling it "offensive and disgusting". The singer Vera Lynn condemned the party for selling a CD featuring her recordings on its website. In 2009, the Royal British Legion asked Griffin—at first privately and then publicly—to not wear their poppy symbol. The British police, Fire Brigades Union, and Church of England, prohibited its members from joining the BNP. In 2002, Martin Narey, banned BNP membership among prison workers; he subsequently received death threats. In 2010, the Education Secretary Michael Gove announced bans allowing headteachers to ban their staff from being party members. Individuals whose membership of the party was made public sometimes faced ostracism and the loss of their job: examples include a school headmaster who had to resign, a caretaker who was sacked after attending a BNP rally, and a police officer dismissed from his position. After BNP membership lists were leaked on the Internet, a number of police forces investigated officers whose names appeared on the lists. In 2005, an invitation to Nick Griffin by the University of St Andrews Union Debating Society to participate in a debate on multiculturalism was withdrawn after protests. The BNP says that National Union of Journalists guidelines on reporting "far right" organisations forbid unionised journalists from reporting uncritically on the party. In April 2007, an election broadcast was cancelled by BBC Radio Wales whose lawyers believed that the broadcast was defamatory of the Chief Constable of North Wales Police, Richard Brunstrom. The BNP said that BBC editors were following an agenda. Mainstream media and academia. Attitudes toward the BNP in both mainstream broadcast media and print journalism have been overwhelmingly negative, and no mainstream newspaper has endorsed the party. This hostile coverage has even been found in right-wing tabloids like the "Daily Mail", "Daily Express" and "The Sun" which otherwise share the BNP's hostile attitude toward issues like immigration. In 2003, the "Daily Mail" described the BNP as "poisonous bigots", while in 2004 "The Sun" printed the headline of "BNP: Bloody Nasty People". Senior BNP figures nevertheless believed that these tabloids' hostile coverage of immigration and Islam helped to legitimise and normalise the party and its views among much of the British public, a view echoed by some academic observers. When, in 2004, anti-racist activists picketed outside the "Daily Mail" office in central London to protest against its negative coverage of asylum seekers, BNP members organised a counter-picket at which they displayed the placard "Vote BNP, Read the "Daily Mail"". The BNP initially faced a 'no platform for fascists' policy from the broadcast media, although this eroded as Griffin was invited on to a number of television programmes amid the party's growing electoral success. When the BBC invited him to appear on "Question Time" in 2009 it was criticised by several trade unions, sections of the media, and several Labour politicians, all of whom believed that the BNP should not be given a public platform. Anti-fascist protesters assembled outside of the television studio to protest Griffin's inclusion. The first academic attention to be directed at the BNP appeared after it gained a councillor in the 1993 local elections. Nevertheless, throughout the 1990s it remained the subject of little academic research. Academic interest increased following its victories at local elections from 2002 onward. The first detailed monograph study to be devoted to the party was Nigel Copsey's "Contemporary British Fascism", first published in 2004. In September 2008, an academic symposium on the BNP was held at Teesside University. The wider extreme-right and anti-fascists. Opposition to the BNP also came from the organised anti-fascist movement. By the mid-1990s, the BNP's attempts to stage public events in Scotland, the North West and the Midlands were largely thwarted by the militant disruption of the Anti-Fascist Action (AFA) group. The BNP's modernisation and move away from street demonstrations and toward electoral campaigning caused problems for the AFA, who proved unable to successfully change their tactics; on those occasions when AFA activists tried to forcibly disrupt BNP activities, they were prevented and arrested by riot police. More liberal sections of the anti-fascist movement sought to counter the BNP through community-based initiatives. "Searchlight" encouraged trade unions to establish localised campaigns that would ensure that ethnic minority and other anti-BNP locals voted. It suggested that such campaigns should avoid associating with the mainstream parties from which BNP voters felt disenfranchised and that they should not be afraid of calling out Islamic fundamentalists and extremists active in the area. The Unite Against Fascism group also sought to maximise anti-BNP turnout at elections, calling on the electorate to vote for "anyone but fascists". Evidence suggests that such anti-fascist activities did little to erode the far-right vote; this was in part because anti-fascist groups had encouraged the stereotype that BNP candidates were violent skinheads, something which conflicted with the more normal, friendly image that BNP activists cultivated when canvassing. The BNP often received a hostile response from other sections of the British extreme-right. Some extreme-right-wingers, such as the British Freedom Party, expressed frustration at the party's inability to moderate itself further on the issue of race, while those such as Colin Jordan and the NF accused the BNP—particularly under Griffin's leadership—of being too moderate. This latter view was articulated by an extreme-right groupuscule, the International Third Position, when it said that the BNP "has been openly courting the Jewish vote and pumping out material which confirms what most us knew years ago: the BNP has become a multi-racist, Zionist, queer-tolerant anti-Muslim pressure group". In "ASLEF v. United Kingdom", the European Court of Human Rights overturned an employment appeal tribunal ruling that awarded BNP member and train driver Jay Lee damages for expulsion from a trade union. In Redfearn v United Kingdom, the court ruled that members of racist organisations could lawfully be dismissed on health and safety grounds if there was a danger of violence occurring in the workplace. In November 2012, the European Court of Human Rights made a majority ruling (4 to 3) that in Redfearn's case against the UK government, his rights under Article 11 (free association) had been infringed, but not those under Article 10 (free expression) or Article 14 (discrimination).
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Batavi (Germanic tribe)
The Batavi were an ancient Germanic tribe that lived around the modern Dutch Rhine delta in the area that the Romans called Batavia, from the second half of the first century BC to the third century AD. The name is also applied to several military units employed by the Romans that were originally raised among the Batavi. The tribal name, probably a derivation from "batawjō" ("good island", from Germanic "bat-" meaning "good, excellent", which is also in the English "better", and "awjō" meaning "island, land near water"), may refer to the fertile Betuwe region. Location. The Batavi themselves are not mentioned by Julius Caesar in his commentary "Commentarii de Bello Gallico", although he is often thought to have founded his dynasty's Germanic bodyguard, which was at least in later generations dominated by Batavi. But he did mention the "Batavian island" in the Rhine river. The island's easternmost point is at a split in the Rhine, one arm being the Waal the other the Lower Rhine/Old Rhine (hence the Latin name "Insula Batavorum", "Island of the Batavi"). Much later Tacitus wrote that they had originally been a tribe of the Chatti, a tribe in Germany also never mentioned by Caesar (unless they were his "Suebi"), who were forced by internal dissension to move to their new home. The time when this happened is unknown, but Caesar does describe forced movements of tribes from the east in his time, such as the Usipetes and Tencteri. Tacitus also reports that before their arrival the area had been "an uninhabited district on the extremity of the coast of Gaul, and also of a neighbouring island, surrounded by the ocean in front, and by the river Rhine in the rear and on either side". This view, however, is contradicted by the archeological evidence, which shows continuous habitation from at least the third century BC onward. The strategic position, to wit the high bank of the Waal offering an unimpeded view far into Germania Transrhenana (Germania Beyond the Rhine), was recognized first by Drusus, who built a massive fortress ("castra") and a headquarters ("praetorium") in imperial style. The latter was in use until the Batavian revolt. Archeological evidence suggests they lived in small villages, composed of six to 12 houses in the very fertile lands between the rivers, and lived by agriculture and cattle-raising. Finds of horse skeletons in graves suggest a strong equestrian preoccupation. On the south bank of the Waal (in what is now Nijmegen) a Roman administrative center was built, called "Oppidum Batavorum". An Oppidum was a fortified warehouse, where a tribe's treasures were stored and guarded. This centre was razed during the Batavian Revolt. The Smetius Collection was instrumental in settling the debate about the exact location of the Batavians. Military units. The first Batavi commander we know of is named Chariovalda, who led a charge across the Vīsurgis (Weser) river against the Cherusci led by Arminius during the campaigns of Germanicus in "Germania Transrhenana". Tacitus ("De origine et situ Germanorum" XXIX) described the Batavi as the bravest of the tribes of the area, hardened in the Germanic wars, with cohorts under their own commanders transferred to Britannia. They retained the honour of the ancient association with the Romans, not required to pay tribute or taxes and used by the Romans only for war: "They furnished to the Empire nothing but men and arms", Tacitus remarked. Well regarded for their skills in horsemanship and swimming—for men and horses could cross the Rhine without losing formation, according to Tacitus. Dio Cassius describes this surprise tactic employed by Aulus Plautius against the "barbarians"—the British Celts— at the battle of the River Medway, 43: The barbarians thought that Romans would not be able to cross it without a bridge, and consequently bivouacked in rather careless fashion on the opposite bank; but he sent across a detachment of Germanic tribesmen, who were accustomed to swim easily in full armour across the most turbulent streams. [...] Thence the Britons retired to the river Thames at a point near where it empties into the ocean and at flood-tide forms a lake. This they easily crossed because they knew where the firm ground and the easy passages in this region were to be found; but the Romans in attempting to follow them were not so successful. However, the Germans swam across again and some others got over by a bridge a little way up-stream, after which they assailed the barbarians from several sides at once and cut down many of them. (Cassius Dio, Roman History, Book 60:20) It is uncertain how they were able to accomplish this feat. The late fourth century writer on Roman military affairs Vegetius mentions soldiers using reed rafts, drawn by leather leads, to transport equipment across rivers. But the sources suggest the Batavi were able to swim across rivers actually wearing full armour and weapons. This would only have been possible by the use of some kind of buoyancy device: Ammianus Marcellinus mentions that the "Cornuti" regiment swam across a river floating on their shields "as on a canoe" (357). Since the shields were wooden, they may have provided sufficient buoyancy The Batavi were used to form the bulk of the Emperor's personal Germanic bodyguard from Augustus to Galba. They also provided a contingent for their indirect successors, the Emperor's horse guards, the "Equites singulares Augusti". A Batavian contingent was used in an amphibious assault on Ynys Mon (Anglesey), taking the assembled Druids by surprise, as they were only expecting Roman ships. Numerous altars and tombstones of the cohorts of Batavi, dating to the second century and third century, have been found along Hadrian's Wall, notably at Castlecary and Carrawburgh. As well as in Germany, Yugoslavia, Hungary, Romania and Austria. Revolt of the Batavi. Despite the alliance, one of the high-ranking Batavi, Julius Paullus, to give him his Roman name, was executed by Fonteius Capito on a false charge of rebellion. His kinsman Gaius Julius Civilis was paraded in chains in Rome before Nero; though he was acquitted by Galba, he was retained at Rome, and when he returned to his kin in the year of upheaval in the Roman Empire, 69, he headed a Batavian rebellion. He managed to capture Castra Vetera, the Romans' lost two legions, while two others (I Germanica and XVI Gallica) were controlled by the rebels. The rebellion became a real threat to the Empire when the conflict escalated to northern Gaul and Germania. The Roman army retaliated and invaded the "insula Batavorum". A bridge was built over the river Nabalia, where the warring parties approached each other on both sides to negotiate peace. The narrative was told in great detail in Tacitus' History, book iv, although, unfortunately, the narrative breaks off abruptly at the climax. Following the uprising, Legio X "Gemina" was housed in a stone "castra" to keep an eye on the Batavians. Fate of the Batavi. The Batavi were still mentioned in 355 during the reign of Constantius II (317–361), when their island was already dominated by the Salii, a Frankish tribe that had sought Roman protection there in 297 after having been expelled from their own country by the Saxons. Constantius Gallus added inhabitants of Batavia to his legions, "of whose discipline we still make use." It has been assumed they merged with the Salii shortly before or after and, after having been expelled by another tribe (it has been proposed this was the Chamavi), shared their subsequent migration to Toxandria. In the Late Roman army there was a unit called "Batavi". The name of the Bavarian town of Passau descends from the Roman "Batavis", which was named after the Batavi. The town's name is old as it shows the typical effects of the High German consonant shift (b > p, t > ss). The Batavian revival. In the 16th-century emergence of a popular foundation story and origin myth for the Dutch people, the Batavians came to be regarded as their ancestors during their national struggle for independence during the Eighty Years' War. The mix of fancy and fact in the "Cronyke van Hollandt, Zeelandt ende Vriesland" (called the "Divisiekroniek") by the Augustinian friar and humanist Cornelius Gerardi Aurelius, first published in 1517, brought the spare remarks in Tacitus' newly rediscovered "Germania" to a popular public; it was being reprinted as late as 1802. Contemporary Dutch virtues of independence, fortitude and industry were fully recognizable among the Batavians in more scholarly history represented in Hugo Grotius' "Liber de Antiquitate Republicae Batavicorum" (1610). The origin was perpetuated by Romeyn de Hooghe's "Spiegel van Staat der Vereenigden Nederlanden" ("Mirror of the State of the United Netherlands," 1706), which also ran to many editions, and it was revived in the atmosphere of Romantic nationalism in the late eighteenth-century reforms that saw a short-lived Batavian Republic and, in the colony of the Dutch East Indies, a capital that was named Batavia. Though since Indonesian independence the city is called Jakarta, its inhabitants up to the present still call themselves "Betawi" or "Orang Betawi", i.e. "People of Batavia" – a name ultimately derived from the ancient Batavians. The success of this tale of origins was mostly due to resemblance in anthropology, which was based on tribal knowledge. Being politically and geographically inclusive, this historical vision filled the needs of Dutch nation-building and integration in the 1890–1914 era. However, a disadvantage of this historical nationalism soon became apparent. It suggested there were no strong external borders, while allowing for the fairly clear-cut internal borders that were emerging as the society polarized into three parts. After 1945, the tribal knowledge lost its grip on anthropology and mostly vanished. Modern variants of the Batavian founding myth are made more accurate by pointing out that the Batavians were one part of the ancestry of the Dutch people - together with the Frisians, Franks and Saxons – by tracing patterns of DNA. Echoes of this cultural continuity can still be found among various areas of Dutch modern culture, such as the very popular replica of the ship "Batavia" that can today be found in Lelystad.
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Baptism
Baptism (from ) is a Christian sacrament of initiation almost invariably with the use of water. It may be performed by sprinkling or pouring water on the head, or by immersing in water either partially or completely, traditionally three times, once for each person of the Trinity. The synoptic gospels recount that John the Baptist baptized Jesus. Baptism is considered a sacrament in most churches, and as an ordinance in others. Baptism according to the Trinitarian formula, which is done in most mainstream Christian denominations, is seen as being a basis for Christian ecumenism, the concept of unity amongst Christians. Baptism is also called christening, although some reserve the word "christening" for the baptism of infants. In certain Christian denominations, such as the Catholic Churches, Eastern Orthodox Churches, Oriental Orthodox Churches, Assyrian Church of the East, and Lutheran Churches, baptism is the door to church membership, with candidates taking baptismal vows. It has also given its name to the Baptist churches and denominations. Certain schools of Christian thought (such as Catholic and Lutheran theology) regard baptism as necessary for salvation (though not without exception), but some writers, such as Huldrych Zwingli (1484–1531), have denied its necessity. Though water baptism is extremely common among Christian denominations, some, such as Quakers and The Salvation Army, do not practice water baptism at all. Among denominations that practice baptism, differences occur in the manner and mode of baptizing and in the understanding of the significance of the rite. Most Christians baptize using the trinitarian formula "in the name of the Father, and of the Son, and of the Holy Spirit" (following the Great Commission), but Oneness Pentecostals baptize using Jesus' name only. The majority of Christians baptize infants; many others, such as Baptist Churches, regard only believer's baptism as true baptism. In certain denominations, such as the Eastern and Oriental Orthodox Churches, the individual being baptized receives a cross necklace that is worn for the rest of their life, inspired by the Third Council of Constantinople. Outside of Christianity, Mandaeans undergo repeated baptism for purification instead of initiation. They consider John the Baptist to be their greatest prophet and name all rivers "yardena" after the Jordan River. The term "baptism" has also been used metaphorically to refer to any ceremony, trial, or experience by which a person is initiated, purified, or given a name. Martyrdom was identified early in Christian church history as "baptism by blood", enabling the salvation of martyrs who had not been baptized by water. Later, the Catholic Church identified a baptism of desire, by which those preparing for baptism who die before actually receiving the sacrament are considered saved. In the Methodist tradition, Baptism with the Holy Spirit, has referred to the second work of grace, entire sanctification; in Pentecostalism, the term Baptism with the Holy Spirit is identified with speaking in tongues. Etymology. The English word "baptism" is derived indirectly through Latin from the neuter Greek concept noun (Greek , ), which is a neologism in the New Testament derived from the masculine Greek noun (), a term for ritual washing in Greek language texts of Hellenistic Judaism during the Second Temple period, such as the Septuagint. Both of these nouns are derived from the verb (, transitive verb), which is used in Jewish texts for ritual washing, and in the New Testament both for ritual washing and also for the apparently new rite of . The Greek verb (), , from which the verb is derived, is in turn hypothetically traced to a reconstructed Indo-European root *"gʷabh-", . The Greek words are used in a great variety of meanings. and in Hellenism had the general usage of "immersion", "going under" (as a material in a liquid dye) or "perishing" (as in a ship sinking or a person drowning), with the same double meanings as in English "to sink into" or "to be overwhelmed by", with bathing or washing only occasionally used and usually in sacral contexts. History. The practice of baptism emerged from Jewish ritualistic practices during the Second Temple Period from which figures such as John the Baptist emerged. For example, various texts in the Dead Sea Scrolls (DSS) corpus at Qumran describe ritual practices involving washing, bathing, sprinkling, and immersing. One example of such a text is a DSS known as the Rule of the Community, which says "And by the compliance of his soul with all the laws of God his flesh is cleansed by being sprinkled with cleansing waters and being made holy with the waters of repentance." The Mandaeans, who are followers of John the Baptist, practice frequent full immersion baptism ("masbuta") as a ritual of purification. According to Mandaean sources, they left the Jordan Valley in the 1st century AD. John the Baptist, who is considered a forerunner to Christianity, used baptism as the central sacrament of his messianic movement. The apostle Paul distinguished between the baptism of John, ("baptism of repentance") and baptism in the name of Jesus, and it is questionable whether Christian baptism was in some way linked with that of John. However, according to Mark 1:8, John seems to connect his water baptism as a type of the true, ultimate baptism of Jesus, which is by the Spirit. Christians consider Jesus to have instituted the sacrament of baptism. Though some form of immersion was likely the most common method of baptism in the early church, many of the writings from the ancient church appeared to view this mode of baptism as inconsequential. The Didache 7.1–3 (AD 60–150) allowed for affusion practices in situations where immersion was not practical. Likewise, Tertullian (AD 196–212) allowed for varying approaches to baptism even if those practices did not conform to biblical or traditional mandates (cf. De corona militis 3; De baptismo 17). Finally, Cyprian (ca. AD 256) explicitly stated that the amount of water was inconsequential and defended immersion, affusion, and aspersion practices (Epistle 75.12). As a result, there was no uniform or consistent mode of baptism in the ancient church prior to the fourth century. By the third and fourth centuries, baptism involved catechetical instruction as well as chrismation, exorcisms, laying on of hands, and recitation of a creed. In the Early Middle Ages infant baptism became common and the rite was significantly simplified and increasingly emphasized. In Western Europe Affusion became the normal mode of baptism between the twelfth and fourteenth centuries, though immersion was still practiced into the sixteenth. In the medieval period, some radical Christians rejected the practice of baptism as a sacrament. Sects such as the Tondrakians, Cathars, Arnoldists, Petrobrusians, Henricans, Brethren of the Free Spirit and the Lollards were regarded as heretics by the Catholic Church. In the sixteenth century, Martin Luther retained baptism as a sacrament, but Swiss reformer Huldrych Zwingli considered baptism and the Lord's Supper to be symbolic. Anabaptists denied the validity of the practice of infant baptism, and rebaptized converts. Mode and manner. Baptism is practiced in several different ways. Aspersion is the sprinkling of water on the head, and affusion is the pouring of water over the head. Traditionally, a person is sprinkled, poured, or immersed three times for each person of the Holy Trinity, with this ancient Christian practice called "trine baptism" or "triune baptism". "The Didache" specifies: The word "immersion" is derived from late Latin "immersio", a noun derived from the verb "immergere" ("in" – "into" + "mergere" "dip"). In relation to baptism, some use it to refer to any form of dipping, whether the body is put completely under water or is only partly dipped in water; they thus speak of immersion as being either total or partial. Others, of the Anabaptist belief, use "immersion" to mean exclusively plunging someone entirely under the surface of the water. The term "immersion" is also used of a form of baptism in which water is poured over someone standing in water, without submersion of the person. On these three meanings of the word "immersion", see Immersion baptism. When "immersion" is used in opposition to "submersion", it indicates the form of baptism in which the candidate stands or kneels in water and water is poured over the upper part of the body. Immersion in this sense has been employed in West and East since at least the 2nd century and is the form in which baptism is generally depicted in early Christian art. In the West, this method of baptism began to be replaced by affusion baptism from around the 8th century, but it continues in use in Eastern Christianity. The word submersion comes from the late Latin ("sub-" "under, below" + "mergere" "plunge, dip") and is also sometimes called "complete immersion". It is the form of baptism in which the water completely covers the candidate's body. Submersion is practiced in the Orthodox and several other Eastern Churches. In the Latin Church of the Catholic Church, baptism by submersion is used in the Ambrosian Rite and is one of the methods provided in the Roman Rite of the baptism of infants. It is seen as obligatory among some groups that have arisen since the Protestant Reformation, such as Baptists. Meaning of the Greek verb "baptizein". The Greek-English Lexicon of Liddell and Scott gives the primary meaning of the verb "baptízein", from which the English verb "baptize" is derived, as "dip, plunge", and gives examples of plunging a sword into a throat or an embryo and for drawing wine by dipping a cup in the bowl; for New Testament usage it gives two meanings: "baptize", with which it associates the Septuagint mention of Naaman dipping himself in the Jordan River, and "perform ablutions", as in Luke 11:38. Although the Greek verb "baptízein" does not exclusively mean dip, plunge or immerse (it is used with literal and figurative meanings such as "sink", "disable", "overwhelm", "go under", "overborne", "draw from a bowl"), lexical sources typically cite this as a meaning of the word in both the Septuagint and the New Testament. "While it is true that the basic root meaning of the Greek words for baptize and baptism is immerse/immersion, it is not true that the words can simply be reduced to this meaning, as can be seen from Mark 10:38–39, Luke 12:50, Matthew 3:11, Luke 3:16, and Corinthians10:2." Two passages in the Gospels indicate that the verb "baptízein" did not always indicate submersion. The first is Luke 11:38, which tells how a Pharisee, at whose house Jesus ate, "was astonished to see that he did not first wash ("ἐβαπτίσθη", aorist passive of "βαπτίζω"—literally, "was baptized") before dinner". This is the passage that Liddell and Scott cites as an instance of the use of ' to mean "perform ablutions". Jesus' omission of this action is similar to that of his disciples: "Then came to Jesus scribes and Pharisees, which were of Jerusalem, saying, Why do thy disciples transgress the tradition of the elders? for they wash (') not their hands when they eat bread". The other Gospel passage pointed to is: "The Pharisees ... do not eat unless they wash ("", the ordinary word for washing) their hands thoroughly, observing the tradition of the elders; and when they come from the market place, they do not eat unless they wash themselves (literally, "baptize themselves"—"βαπτίσωνται", passive or middle voice of "βαπτίζω")". Scholars of various denominations claim that these two passages show that invited guests, or people returning from market, would not be expected to immerse themselves ("baptize themselves") totally in water but only to practice the partial immersion of dipping their hands in water or to pour water over them, as is the only form admitted by present Jewish custom. In the second of the two passages, it is actually the hands that are specifically identified as "washed", not the entire person, for whom the verb used is "baptízomai", literally "be baptized", "be immersed", a fact obscured by English versions that use "wash" as a translation of both verbs. Zodhiates concludes that the washing of the hands was done by immersing them. The Liddell–Scott–Jones Greek-English Lexicon (1996) cites the other passage (Luke 11:38) as an instance of the use of the verb "baptízein" to mean "perform ablutions", not "submerge". References to the cleaning of vessels which use βαπτίζω also refer to immersion. As already mentioned, the lexicographical work of Zodhiates says that, in the second of these two cases, the verb "baptízein" indicates that, after coming from the market, the Pharisees washed their hands by immersing them in collected water. Balz & Schneider understand the meaning of βαπτίζω, used in place of ῥαντίσωνται (sprinkle), to be the same as βάπτω, to dip or immerse, a verb used of the partial dipping of a morsel held in the hand into wine or of a finger into spilled blood. A possible additional use of the verb "baptízein" to relate to ritual washing is suggested by Peter Leithart (2007) who suggests that Paul's phrase "Else what shall they do who are baptized for the dead?" relates to Jewish ritual washing. In Jewish Greek the verb "baptízein" "baptized" has a wider reference than just "baptism" and in Jewish context primarily applies to the masculine noun "baptismós" "ritual washing" The verb "baptízein" occurs four times in the Septuagint in the context of ritual washing, "baptismós"; Judith cleansing herself from menstrual impurity, Naaman washing seven times to be cleansed from leprosy, etc. Additionally, in the New Testament only, the verb "baptízein" can also relate to the neuter noun "báptisma" "baptism" which is a neologism unknown in the Septuagint and other pre-Christian Jewish texts. This broadness in the meaning of "baptízein" is reflected in English Bibles rendering "wash", where Jewish ritual washing is meant: for example Mark 7:4 states that the Pharisees "except they wash (Greek "baptize"), they do not eat", and "baptize" where "báptisma", the new Christian rite, is intended. Derived nouns. Two nouns derived from the verb "baptízō" (βαπτίζω) appear in the New Testament: the masculine noun "baptismós" (βαπτισμός) and the neuter noun "báptisma" (βάπτισμα): Apparel. Until the Middle Ages, most baptisms were performed with the candidates naked—as is evidenced by most of the early portrayals of baptism (some of which are shown in this article), and the early Church Fathers and other Christian writers. Deaconesses helped female candidates for reasons of modesty. Typical of these is Cyril of Jerusalem who wrote "On the Mysteries of Baptism" in the 4th century (c. 350 AD): The symbolism is threefold: 1. Baptism is considered to be a form of rebirth—"by water and the Spirit"—the nakedness of baptism (the second birth) paralleled the condition of one's original birth. For example, John Chrysostom calls the baptism "λοχείαν", i.e., giving birth, and "new way of creation ... from water and Spirit" ("to John" speech 25,2), and later elaborates: 2. The removal of clothing represented the "image of putting off the old man with his deeds" (as per Cyril, above), so the stripping of the body before for baptism represented taking off the trappings of sinful self, so that the "new man", which is given by Jesus, can be put on. 3. As Cyril again asserts above, as Adam and Eve in scripture were naked, innocent and unashamed in the Garden of Eden, nakedness during baptism was seen as a renewal of that innocence and state of original sinlessness. Other parallels can also be drawn, such as between the exposed condition of Christ during His crucifixion, and the crucifixion of the "old man" of the repentant sinner in preparation for baptism. Changing customs and concerns regarding modesty probably contributed to the practice of permitting or requiring the baptismal candidate to either retain their undergarments (as in many Renaissance paintings of baptism such as those by da Vinci, Tintoretto, Van Scorel, Masaccio, de Wit and others) or to wear, as is almost universally the practice today, baptismal robes. These robes are most often white, symbolizing purity. Some groups today allow any suitable clothes to be worn, such as trousers and a T-shirt—practical considerations include how easily the clothes will dry (denim is discouraged), and whether they will become see-through when wet. In certain Christian denominations, the individual being baptized receives a cross necklace that is worn for the rest of their life as a "sign of the triumph of Christ over death and our belonging to Christ" (though it is replaced with a new cross pendant if lost or broken). This practice of baptized Christians wearing a cross necklace at all times is derived from Canon 73 and Canon 82 of the Sixth Ecumenical Council (Synod) of Constantinople, which declared: Meaning and effects. There are differences in views about the effect of baptism for a Christian. Catholics, Orthodox, and most mainline Protestant groups assert baptism is a requirement for salvation and a sacrament, and speak of "baptismal regeneration". Its importance is related to their interpretation of the meaning of the "Mystical Body of Christ" as found in the New Testament. This view is shared by the Catholic and Eastern Orthodox denominations, and by churches formed early during the Protestant Reformation such as Lutheran and Anglican. For example, Martin Luther said: The Churches of Christ," Jehovah's Witnesses, Christadelphians, and The Church of Jesus Christ of Latter-day Saints espouse baptism as necessary for salvation. For Catholics, baptism by water is a sacrament of initiation into the life of the children of God ("Catechism of the Catholic Church", 1212–13). It configures the person to Christ (CCC 1272), and obliges the Christian to share in the church's apostolic and missionary activity (CCC 1270). The Catholic holds that there are three types of baptism by which one can be saved: sacramental baptism (with water), baptism of desire (explicit or implicit desire to be part of the church founded by Jesus Christ), and baptism of blood (martyrdom). In his encyclical "Mystici corporis Christi" of June 29, 1943, Pope Pius XII spoke of baptism and profession of the true faith as what makes members of the one true church, which is the body of Jesus Christ himself, as God the Holy Spirit has taught through the Apostle Paul: By contrast, Anabaptist and Evangelical Protestants recognize baptism as an outward sign of an inward reality following on an individual believer's experience of forgiving grace. Reformed and Methodist Protestants maintain a link between baptism and regeneration, but believe that it is not automatic or mechanical, and that regeneration may occur at a different time than baptism. Churches of Christ teach that in baptism a believer surrenders his life in faith and obedience to God, and that God "by the merits of Christ's blood, cleanses one from sin and truly changes the state of the person from an alien to a citizen of God's kingdom. Baptism is not a human work; it is the place where God does the work that only God can do." Thus, they see baptism as a passive act of faith rather than a meritorious work; it "is a confession that a person has nothing to offer God". Christian traditions. The liturgy of baptism for Catholics, Eastern Orthodox, Lutherans, Anglicans, and Methodists makes clear reference to baptism as not only a symbolic burial and resurrection, but an actual supernatural transformation, one that draws parallels to the experience of Noah and the passage of the Israelites through the Red Sea divided by Moses. Thus, baptism is literally and symbolically not only cleansing, but also dying and rising again with Christ. Catholics believe baptism is necessary to cleanse the taint of original sin, and so commonly baptize infants. The Eastern Churches (Eastern Orthodox Church and Oriental Orthodoxy) also baptize infants on the basis of texts, such as Matthew 19:14, which are interpreted as supporting full church membership for children. In these denominations, baptism is immediately followed by Chrismation and Communion at the next Divine Liturgy, regardless of age. Orthodox likewise believe that baptism removes what they call the ancestral sin of Adam. Anglicans believe that baptism is also the entry into the church. Most Methodists and Anglicans agree that it also cleanses the taint of what in the West is called original sin, in the East ancestral sin. Eastern Orthodox Christians usually practice complete threefold immersion as both a symbol of death and rebirth into Christ, and as a washing away of sin. Latin Church Catholics generally baptize by affusion (pouring); Eastern Catholics usually by submersion, or at least partial immersion. However, submersion is gaining in popularity within the Latin Church. In newer church sanctuaries, the baptismal font may be designed to expressly allow for baptism by immersion. Anglicans baptize by immersion or affusion. According to evidence which can be traced back to about the year 200, sponsors or godparents are present at baptism and vow to uphold the Christian education and life of the baptized. Baptists argue that the Greek word originally meant "to immerse". They interpret some Biblical passages concerning baptism as requiring submersion of the body in water. They also state that only submersion reflects the symbolic significance of being "buried" and "raised" with Christ. Baptist Churches baptize in the name of the Trinity—the Father, the Son, and the Holy Spirit. However, they do not believe that baptism is necessary for salvation; but rather that it is an act of Christian obedience. Some "Full Gospel" charismatic churches such as Oneness Pentecostals baptize only in the name of Jesus Christ, citing Peter's preaching baptism in the name of Jesus as their authority. Ecumenical statements. In 1982 the World Council of Churches published the ecumenical paper "Baptism, Eucharist and Ministry". The preface of the document states: A 1997 document, "Becoming a Christian: The Ecumenical Implications of Our Common Baptism", gave the views of a commission of experts brought together under the aegis of the World Council of Churches. It states: Those who heard, who were baptized and entered the community's life, were already made witnesses of and partakers in the promises of God for the last days: the forgiveness of sins through baptism in the name of Jesus and the outpouring of the Holy Ghost on all flesh. Similarly, in what may well be a baptismal pattern, 1 Peter testifies that proclamation of the resurrection of Jesus Christ and teaching about new life lead to purification and new birth. This, in turn, is followed by eating and drinking God's food, by participation in the life of the community—the royal priesthood, the new temple, the people of God—and by further moral formation. At the beginning of 1 Peter the writer sets this baptism in the context of obedience to Christ and sanctification by the Spirit. So baptism into Christ is seen as baptism into the Spirit. In the fourth gospel Jesus' discourse with Nicodemus indicates that birth by water and Spirit becomes the gracious means of entry into the place where God rules. Validity considerations by some churches. The vast majority of Christian denominations believe theologically that baptism is a sacrament, that has actual spiritual, holy and salvific effects. Certain key criteria must be complied with for it to be valid, i.e., to actually have those effects. If these key criteria are met, violation of some rules regarding baptism, such as varying the authorized rite for the ceremony, renders the baptism illicit (contrary to the church's laws) but still valid. One of the criteria for validity is use of the correct form of words. The Catholic Church teaches that the use of the verb "to baptize" is essential. Catholics of the Latin Church, Anglicans and Methodists use the form "I baptize you in the name of ...". The passive voice is used by Eastern Orthodox and Byzantine Catholics, the form being "The Servant of God is baptized in the name of ...". Use of the Trinitarian formula ("in the name of the Father, and of the Son, and of the Holy Spirit") is also considered essential; thus these churches do not accept as valid baptisms of non-Trinitarian churches such as Oneness Pentecostals. Another essential condition is use of water. A baptism in which some liquid that would not usually be called water, such as wine, milk, soup or fruit juice, was used would not be considered valid. Another requirement is that the celebrant intends to perform baptism. This requirement entails the intention "to do what the Church does", not necessarily to have Christian faith, since it is not the person baptizing, but the Holy Spirit working through the sacrament, who produces the effects of the sacrament. Doubt about the faith of the baptizer is thus no ground for doubt about the validity of the baptism. Some conditions expressly do not affect validity—for example, whether submersion, immersion, affusion (pouring) or aspersion (sprinkling) is used. However, if water is sprinkled, there is a danger that the water may not touch the skin of the unbaptized. As has been stated, "it is not sufficient for the water to merely touch the candidate; it must also flow, otherwise there would seem to be no real ablution. At best, such a baptism would be considered doubtful. If the water touches only the hair, the sacrament has probably been validly conferred, though in practice the safer course must be followed. If only the clothes of the person have received the aspersion, the baptism is undoubtedly void." For many communions, validity is not affected if a single submersion or pouring is performed rather than a triple, but in Orthodoxy this is controversial. According to the Catholic Church, baptism imparts an indelible "seal" upon the soul of the baptized and therefore a person who has already been baptized cannot be validly baptized again. This teaching was affirmed against the Donatists who practiced rebaptism. The grace received in baptism is believed to operate "ex opere operato" and is therefore considered valid even if administered in heretical or schismatic groups. Recognition by other denominations. The Catholic, Orthodox, Lutheran, Anglican, Presbyterian, and Methodist Churches accept baptism performed by other denominations within this group as valid, subject to certain conditions, including the use of the Trinitarian formula. It is only possible to be baptized once, so people with valid baptisms from other denominations may not be baptized again upon conversion or transfer. For Catholics, this is affirmed in the Canon Law 864, in which it is written that "[e]very person not yet baptized and only such a person is capable of baptism." Such people are accepted upon making a profession of faith, and if they have not yet validly received the sacrament/rite of confirmation or chrismation, by being confirmed. Specifically, "Methodist theologians argued that since God never abrogated a covenant made and sealed with proper intentionality, rebaptism was never an option, unless the original baptism had been defective by not having been made in the name of the Trinity." In some cases, it can be difficult to decide if the original baptism was in fact valid; if there is doubt, conditional baptism is administered, with a formula on the lines of "If you are not yet baptized, I baptize you ...". The Catholic Church ordinarily recognizes as valid the baptisms of Christians of the Eastern Orthodox, Churches of Christ, Congregationalist, Anglican, Lutheran, Old Catholic, Polish National Catholic, Reformed, Baptist, Brethren, Methodist, Presbyterian, Waldensian, and United Protestant denominations; Christians of these traditions are received into the Catholic Church through the sacrament of Confirmation. Some individuals of the Mennonite, Pentecostal and Adventist traditions who wish to be received into the Catholic Church may be required to receive a conditional baptism due to concerns about the validity of the sacraments in those traditions. The Catholic Church has explicitly denied the validity of the baptism conferred in The Church of Jesus Christ of Latter-day Saints. The Reformed Churches recognize as valid, baptisms administered in the Catholic Church, among other churches using the Trinitarian formula. Practice in the Eastern Orthodox Church for converts from other communions is not uniform. However, generally, baptisms performed in the name of the Holy Trinity are accepted by the Orthodox Christian Church; Christians of the Oriental Orthodox, Catholic, Lutheran, Old Catholic, Moravian, Anglican, Methodist, Reformed, Presbyterian, Brethren, Assemblies of God, or Baptist traditions can be received into the Eastern Orthodox Church through the sacrament of Chrismation. If a convert has not received the sacrament (mysterion) of baptism, he or she must be baptized in the name of the Holy Trinity before they may enter into communion with the Orthodox Church. If he or she has been baptized in another Christian confession (other than Orthodox Christianity) his or her previous baptism is considered retroactively filled with grace by chrismation or, in rare circumstances, confession of faith alone, as long as the baptism was done in the name of the Holy Trinity (Father, Son and Holy Spirit). The exact procedure is dependent on local canons and is the subject of some controversy. Oriental Orthodox Churches recognize the validity of baptisms performed within the Eastern Orthodox Communion. Some also recognize baptisms performed by Catholic Churches. Any supposed baptism not performed using the Trinitarian formula is considered invalid. In the eyes of the Catholic Church, all Orthodox Churches, Anglican, and Lutheran Churches, the baptism conferred by the Church of Jesus Christ of Latter-day Saints is invalid. An article published together with the official declaration to that effect gave reasons for that judgment, summed up in the following words: "The Baptism of the Catholic Church and that of the Church of Jesus Christ of Latter-day Saints differ essentially, both for what concerns faith in the Father, Son and Holy Spirit, in whose name Baptism is conferred, and for what concerns the relationship to Christ who instituted it." The Church of Jesus Christ of Latter-day Saints stresses that baptism must be administered by one having proper authority; consequently, the church does not recognize the baptism of any other church as effective. Jehovah's Witnesses do not recognise any other baptism occurring after 1914 as valid, as they believe that they are now the one true church of Christ, and that the rest of "Christendom" is false religion. Officiant. There is debate among Christian churches as to who can administer baptism. Some claim that the examples given in the New Testament only show apostles and deacons administering baptism. Ancient Christian churches interpret this as indicating that baptism should be performed by the clergy except "in extremis", i.e., when the one being baptized is in immediate danger of death. Then anyone may baptize, provided, in the view of the Eastern Orthodox Church, the person who does the baptizing is a member of that church, or, in the view of the Catholic Church, that the person, even if not baptized, intends to do what the church does in administering the rite. Many Protestant churches see no specific prohibition in the biblical examples and permit any believer to baptize another. In the Catholic Church, canon law for the Latin Church lays down that the ordinary minister of baptism is a bishop, priest or deacon, but its administration is one of the functions "especially entrusted to the parish priest". If the person to be baptized is at least fourteen years old, that person's baptism is to be referred to the bishop, so that he can decide whether to confer the baptism himself. If no ordinary minister is available, a catechist or some other person whom the local ordinary has appointed for this purpose may licitly do the baptism; indeed in a case of necessity any person (irrespective of that person's religion) who has the requisite intention may confer the baptism By "a case of necessity" is meant imminent danger of death because of either illness or an external threat. "The requisite intention" is, at the minimum level, the intention "to do what the Church does" through the rite of baptism. In the Eastern Catholic Churches, a deacon is not considered an ordinary minister. Administration of the sacrament is reserved to the parish priest or to another priest to whom he or the local hierarch grants permission, a permission that can be presumed if in accordance with canon law. However, "in case of necessity, baptism can be administered by a deacon or, in his absence or if he is impeded, by another cleric, a member of an institute of consecrated life, or by any other Christian faithful; even by the mother or father, if another person is not available who knows how to baptize." The discipline of the Eastern Orthodox Church, Oriental Orthodoxy and the Assyrian Church of the East is similar to that of the Eastern Catholic Churches. They require the baptizer, even in cases of necessity, to be of their own faith, on the grounds that a person cannot convey what he himself does not possess, in this case membership in the church. The Latin Catholic Church does not insist on this condition, considering that the effect of the sacrament, such as membership of the church, is not produced by the person who baptizes, but by the Holy Spirit. For the Orthodox, while Baptism "in extremis" may be administered by a deacon or any lay-person, if the newly baptized person survives, a priest must still perform the other prayers of the Rite of Baptism, and administer the Mystery of Chrismation. The discipline of Anglicanism and Lutheranism is similar to that of the Latin Catholic Church. For Methodists and many other Protestant denominations, the ordinary minister of baptism is an ordained or appointed minister. Newer movements of Protestant Evangelical churches, particularly non-denominational, allow laypeople to baptize. In The Church of Jesus Christ of Latter-day Saints, only a man who has been ordained to the Aaronic priesthood holding the priesthood office of priest or higher office in the Melchizedek priesthood may administer baptism. A Jehovah's Witnesses baptism is performed by a "dedicated male" adherent. Only in extraordinary circumstances would a "dedicated" baptizer be unbaptized (see section "Jehovah's Witnesses"). Practitioners. Protestantism. Anabaptist. Early Anabaptists were given that name because they re-baptized persons who they felt had not been properly baptized, as they did not recognize infant baptism. The traditional form of Anabaptist baptism was pouring, the form commonly used in Western Christianity in the early 16th century when they emerged. Pouring continues to be normative in Mennonite, Amish and Hutterite traditions of Anabaptist Christianity. The Mennonite Brethren Church, Schwarzenau Brethren and River Brethren denominations of Anabaptist Christianity practice immersion. The Schwarzenau church immerses in the forward position three times, for each person of the Holy Trinity and because "the Bible says Jesus bowed his head (letting it fall forward) and died. Baptism represents a dying of the old, sinful self." Today all modes of baptism (such as pouring and immersion) can be found among Anabaptists. Conservative Mennonite Anabaptists count baptism to be one of the seven ordinances. In Anabaptist theology, baptism is a part of the process of salvation. For Anabaptists, "believer's baptism consists of three parts, the Spirit, the water, and the blood—these three witnesses on earth." According to Anabaptist theology: (1) In believer's baptism, the Holy Spirit witnesses the candidate entering into a covenant with God. (2) God, in believer's baptism, "grants a baptized believer the water of baptism as a sign of His covenant with them—that such a one indicates and publicly confesses that he wants to live in true obedience towards God and fellow believers with a blameless life." (3) Integral to believer's baptism is the candidate's mission to witness to the world even unto martyrdom, echoing Jesus' words that "they would be baptized with His baptism, witnessing to the world when their blood was spilled." Baptist. For the majority of Baptists, Christian baptism is the immersion of a believer in water in the name of the Father, the Son, and the Holy Spirit. Baptism does not accomplish anything in itself, but is an outward personal sign that the person's sins have already been washed away by the blood of Christ's cross. For a new convert the general practice is that baptism also allows the person to be a registered member of the local Baptist congregation (though some churches have adopted "new members classes" as an additional mandatory step for congregational membership). Regarding rebaptism the general rules are: For newborns, there is a ceremony called child dedication. Tennessee antebellum Methodist circuit rider and newspaper publisher William G. Brownlow stated within his 1856 book "The Great Iron Wheel Examined; or, Its False Spokes Extracted, and an Exhibition of Elder Graves, Its Builder" that the immersion baptism practiced within the Baptist churches as found within the United States did not extend in a "regular line of succession...from John the Baptist—but from old Zeke Holliman and his true yoke-fellow, Mr. [Roger] Williams" as during 1639 Holliman and Williams first immersion baptized each other and then immersion baptized the ten other members of the first Baptist church in British America at Providence, Rhode Island. Churches of Christ. Baptism in Churches of Christ is performed only by full bodily immersion, based on the Koine Greek verb "baptizo" which means to dip, immerse, submerge or plunge. Submersion is seen as more closely conforming to the death, burial and resurrection of Jesus than other modes of baptism. Churches of Christ argue that historically immersion was the mode used in the 1st century, and that pouring and sprinkling later emerged as secondary modes when immersion was not possible. Over time these secondary modes came to replace immersion. Only those mentally capable of belief and repentance are baptized (i.e., infant baptism is not practiced because the New Testament has no precedent for it). Churches of Christ have historically had the most conservative position on baptism among the various branches of the Restoration Movement, understanding baptism by immersion to be a necessary part of conversion. The most significant disagreements concerned the extent to which a correct understanding of the role of baptism is necessary for its validity. David Lipscomb insisted that if a believer was baptized out of a desire to obey God, the baptism was valid, even if the individual did not fully understand the role baptism plays in salvation. Austin McGary contended that to be valid, the convert must also understand that baptism is for the forgiveness of sins. McGary's view became the prevailing one in the early 20th century, but the approach advocated by Lipscomb never totally disappeared. As such, the general practice among churches of Christ is to require rebaptism by immersion of converts, even those who were previously baptized by immersion in other churches. More recently, the rise of the International Churches of Christ has caused some to reexamine the issue. Churches of Christ consistently teach that in baptism a believer surrenders his life in faith and obedience to God, and that God "by the merits of Christ's blood, cleanses one from sin and truly changes the state of the person from an alien to a citizen of God's kingdom. Baptism is not a human work; it is the place where God does the work that only God can do." Baptism is a passive act of faith rather than a meritorious work; it "is a confession that a person has nothing to offer God." While Churches of Christ do not describe baptism as a "sacrament", their view of it can legitimately be described as "sacramental". They see the power of baptism coming from God, who chose to use baptism as a vehicle, rather than from the water or the act itself, and understand baptism to be an integral part of the conversion process, rather than just a symbol of conversion. A recent trend is to emphasize the transformational aspect of baptism: instead of describing it as just a legal requirement or sign of something that happened in the past, it is seen as "the event that places the believer 'into Christ' where God does the ongoing work of transformation." There is a minority that downplays the importance of baptism to avoid sectarianism, but the broader trend is to "reexamine the richness of the biblical teaching of baptism and to reinforce its central and essential place in Christianity." Because of the belief that baptism is a necessary part of salvation, some Baptists hold that the Churches of Christ endorse the doctrine of baptismal regeneration. However, members of the Churches of Christ reject this, arguing that since faith and repentance are necessary, and that the cleansing of sins is by the blood of Christ through the grace of God, baptism is not an inherently redeeming ritual. Rather, their inclination is to point to the biblical passage in which Peter, analogizing baptism to Noah's flood, posits that "likewise baptism doth also now save us" but parenthetically clarifies that baptism is ""not" the putting away of the filth of the flesh but the "response of a good conscience" toward God" (1 Peter 3:21). One author from the churches of Christ describes the relationship between faith and baptism this way, ""Faith" is the "reason why" a person is a child of God; "baptism" is the "time at which" one is incorporated into Christ and so becomes a child of God" (italics are in the source). Baptism is understood as a confessional expression of faith and repentance, rather than a "work" that earns salvation. Lutheranism. In Lutheran Christianity, baptism is a sacrament that regenerates the soul. Upon one's baptism, one receives the Holy Spirit and becomes a part of the church. According to Martin Luther's Small Catechism, it is the word and command of God "in and with the water" that gives baptism its power, which "works forgiveness of sins, delivers from death and the devil, and gives eternal salvation to all who believe this, as the words and promises of God declare". In Lutheran theology, baptism is not viewed as a work that the baptizer performs in obedience to the law, but rather a work of God that is received by faith, which "clings to the water". Methodism. The Methodist Articles of Religion, with regard to baptism, teach: While baptism imparts grace, Methodists teach that a personal acceptance of Jesus Christ (the first work of grace) is essential to one's salvation; during the second work of grace, entire sanctification, a believer is purified of original sin and made holy. As such, in the Methodist tradition, Baptism with the Holy Spirit has referred to the second work of grace, entire sanctification (Christian perfection). In the Methodist Churches, baptism is a sacrament of initiation into the visible Church. Wesleyan covenant theology further teaches that baptism is a sign and a seal of the covenant of grace: Methodists recognize three modes of baptism as being valid—"immersion, sprinkling, or pouring" in the name of the Holy Trinity. Moravianism. The Moravian Church teaches that baptism is a sign and a seal, recognizing three modes of baptism as being valid: immersion, aspersion, and affusion. Reformed Protestantism. In Reformed baptismal theology, baptism is seen as primarily God's offer of union with Christ and all his benefits to the baptized. This offer is believed to be intact even when it is not received in faith by the person baptized. Reformed theologians believe the Holy Spirit brings into effect the promises signified in baptism. Baptism is held by almost the entire Reformed tradition to effect regeneration, even in infants who are incapable of faith, by effecting faith which would come to fruition later. Baptism also initiates one into the visible church and the covenant of grace. Baptism is seen as a replacement of circumcision, which is considered the rite of initiation into the covenant of grace in the Old Testament. Reformed Christians believe that immersion is not necessary for baptism to be properly performed, but that pouring or sprinkling are acceptable. Only ordained ministers are permitted to administer baptism in Reformed churches, with no allowance for emergency baptism, though baptisms performed by non-ministers are generally considered valid. Reformed churches, while rejecting the baptismal ceremonies of the Catholic church, accept the validity of baptisms performed with them and do not rebaptize. United Protestants. In United Protestant Churches, such as the United Church of Canada, Church of North India, Church of Pakistan, Church of South India, Protestant Church in the Netherlands, Uniting Church in Australia and United Church of Christ in Japan, baptism is a sacrament. Catholicism. In Catholic teaching, baptism is stated to be "necessary for salvation by actual reception or at least by desire". Catholic discipline requires the baptism ceremony to be performed by deacons, priests, or bishops, but in an emergency such as danger of death, anyone can licitly baptize. This teaching is based on the Gospel according to John which says that Jesus proclaimed: "Truly, truly, I say to you, unless one is born of water and the Spirit, he cannot enter into the Kingdom of God." It dates back to the teachings and practices of 1st-century Christians, and the connection between salvation and baptism was not, on the whole, an item of major dispute until Huldrych Zwingli denied the necessity of baptism, which he saw as merely a sign granting admission to the Christian community. The Catechism of the Catholic Church states that "Baptism is necessary for salvation for those to whom the Gospel has been proclaimed and who have had the possibility of asking for this sacrament." The Council of Trent also states in the "Decree Concerning Justification" from session six that baptism is necessary for salvation. A person who knowingly, willfully and unrepentantly rejects baptism has no hope of salvation. However, if knowledge is absent, "those also can attain to salvation who through no fault of their own do not know the Gospel of Christ or His Church, yet sincerely seek God and moved by grace strive by their deeds to do His will as it is known to them through the dictates of conscience." The Catechism of the Catholic Church also states: "Since Baptism signifies liberation from sin and from its instigator the devil, one or more exorcisms are pronounced over the candidate". In the Roman Rite of the baptism of a child, the wording of the prayer of exorcism is: "Almighty and ever-living God, you sent your only Son into the world to cast out the power of Satan, spirit of evil, to rescue man from the kingdom of darkness and bring him into the splendour of your kingdom of light. We pray for this child: set him (her) free from original sin, make him (her) a temple of your glory, and send your Holy Spirit to dwell with him (her). Through Christ our Lord." In the Catholic Church by baptism all sins are forgiven, original sin and all personal sins. Baptism not only purifies from all sins, but also makes the neophyte "a new creature", an adopted son of God, who has become a "partaker of the divine nature", member of Christ and co-heir with him, and a temple of the Holy Spirit. Given once for all, baptism cannot be repeated: just as a man can be born only once, so he is baptized only once. For this reason the holy Fathers added to the Nicene Creed the words "We acknowledge one Baptism". Sanctifying grace, the grace of justification, given by God by baptism, erases the original sin and personal actual sins. The power of Baptism consists in cleansing a man from all his sins as regards both guilt and punishment, for which reason no penance is imposed on those who receive Baptism, no matter how great their sins may have been. And if they were to die immediately after Baptism, they would rise at once to eternal life. In the Latin Church of the Catholic Church a valid baptism requires, according to Canon 758 of the 1917 Code of Canon Law, the baptizer to pronounce the formula "I baptize you in the name of the Father and of the Son and of the Holy Spirit" while putting the baptized in contact with water. The contact may be immersion, "affusion" (pouring), or "aspersion" (sprinkling). The formula requires "name" to be singular, emphasizing the monotheism of the Trinity. It is claimed that Pope Stephen I, Ambrose and Pope Nicholas I declared that baptisms in the name of "Jesus" only as well as in the name of "Father, Son and Holy Spirit" were valid. The correct interpretation of their words is disputed. Current canonical law requires the Trinitarian formula and water for validity. The formula requires "I baptize" rather than "we baptize", as clarified by a responsum of June 24, 2020. In 2022 the Diocese of Phoenix accepted the resignation of a parish priest whose use of "we baptize" had invalidated "thousands of baptisms over more than 20 years". Note that in the Byzantine Rite the formula is in the passive voice, "The servant of God N. is baptized in the Name of the Father, and of the Son, and of the Holy Spirit." Offspring of practicing Catholic parents are typically baptized as infants. Baptism is part of the Rite of Christian Initiation of Adults, provided for converts from non-Christian backgrounds and others not baptized as infants. Baptism by non-Catholic Christians is valid if the formula and water are present, and so converts from other Christian denominations are not given a Catholic baptism. The church recognizes two equivalents of baptism with water: "baptism of blood" and "baptism of desire". Baptism of blood is that undergone by unbaptized individuals who are martyred for their faith, while baptism of desire generally applies to catechumens who die before they can be baptized. The Catechism of the Catholic Church describes these two forms: The Church has always held the firm conviction that those who suffer death for the sake of the faith without having received Baptism are baptized by their death for and with Christ. This "Baptism of blood", like the desire for Baptism, brings about the fruits of Baptism without being a sacrament. — 1258 For catechumens who die before their Baptism, their explicit desire to receive it, together with repentance for their sins, and charity, assures them the salvation that they were not able to receive through the sacrament. — 1259 The Catholic Church holds that those who are ignorant of Christ's Gospel and of the church, but who seek the truth and do God's will as they understand it, may be supposed to have an implicit desire for baptism and can be saved: Since Christ died for all, and since all men are in fact called to one and the same destiny, which is divine, we must hold that the Holy Spirit offers to all the possibility of being made partakers, in a way known to God, of the Paschal mystery.' Every man who is ignorant of the Gospel of Christ and of his Church, but seeks the truth and does the will of God in accordance with his understanding of it, can be saved. It may be supposed that such persons would have desired Baptism explicitly if they had known its necessity." As for unbaptized infants, the church is unsure of their fate; "the Church can only entrust them to the mercy of God". Eastern Orthodoxy. In Eastern Orthodoxy, baptism is considered a sacrament and mystery which transforms the old and sinful person into a new and pure one, where the old life, the sins, any mistakes made are gone and a clean slate is given. In Greek and Russian Orthodox traditions, it is taught that through Baptism a person is united to the Body of Christ by becoming an official member of the Orthodox Church. During the service, the Orthodox priest blesses the water to be used. The catechumen (the one baptized) is fully immersed in the water three times in the name of the Trinity. This is considered to be a death of the "old man" by participation in the crucifixion and burial of Christ, and a rebirth into new life in Christ by participation in his resurrection. Properly a new name is given, which becomes the person's name. Babies of Orthodox families are normally baptized shortly after birth. Older converts to Orthodoxy are usually rebaptized if the need arises. Those who choose to convert from a different religion to Eastern Orthodoxy typically undergo Chrismation, known as confirmation in the Catholic Church. Properly and generally, the Mystery of Baptism is administered by bishops and other priests; however, in emergencies any Orthodox Christian can baptize. In such cases, should the person survive the emergency, it is likely that the person will be properly baptized by a priest at some later date. This is not considered to be a second baptism, nor is it imagined that the person is not already Orthodox, but rather it is a fulfillment of the proper form. The service of baptism in Greek Orthodox (and other Eastern Orthodox) churches has remained largely unchanged for over 1500 years. This fact is witnessed to by Cyril of Jerusalem (d. 386), who, in his "Discourse on the Sacrament of Baptism", describes the service in much the same way as is currently in use. Other groups. Jehovah's Witnesses. Jehovah's Witnesses believe that baptism should be performed by complete immersion (submersion) in water and only when an individual is old enough to understand its significance. They believe that water baptism is an outward symbol that a person has made an unconditional dedication through Jesus Christ to do the will of God. Only after baptism is a person considered a full-fledged Witness and an official member of the Christian Congregation. They consider baptism to constitute ordination as a minister. Prospective candidates for baptism must express their desire to be baptized well in advance of a planned baptismal event, to allow for congregation elders to assess their suitability (regarding true repentance and conversion). Elders approve candidates for baptism if the candidates are considered to understand what is expected of members of the religion and to demonstrate sincere dedication to the faith. Most baptisms among Jehovah's Witnesses are performed at scheduled assemblies and conventions by elders and ministerial servants, in special pools, or sometimes oceans, rivers, or lakes, depending on circumstances, and rarely occur at local Kingdom Halls. Prior to baptism, at the conclusion of a pre-baptism talk, candidates must affirm two questions: Only baptized males (elders or ministerial servants) may baptize new members. Baptizers and candidates wear swimsuits or other informal clothing for baptism, but are directed to avoid clothing that is considered undignified or too revealing. Generally, candidates are individually immersed by a single baptizer, unless a candidate has special circumstances such as a physical disability. In circumstances of extended isolation, a qualified candidate's dedication and stated intention to become baptized may serve to identify him as a member of Jehovah's Witnesses, even if immersion itself must be delayed. In rare instances, unbaptized males who had stated such an intention have reciprocally baptized each other, with both baptisms accepted as valid. Individuals who had been baptized in the 1930s and 1940s by female Witnesses due to extenuating circumstances, such as in concentration camps, were later re-baptized but still recognized their original baptism dates. The Church of Jesus Christ of Latter-day Saints. In The Church of Jesus Christ of Latter-day Saints (LDS Church), baptism is recognized as the first of several ordinances (rituals) of the gospel. In Mormonism, baptism has the main purpose of remitting the sins of the participant. It is followed by confirmation, which inducts the person into membership in the church and constitutes a baptism with the Holy Spirit. Latter-day Saints believe that baptism must be by full immersion, and by a precise ritualized ordinance: if some part of the participant is not fully immersed, or the ordinance was not recited verbatim, the ritual must be repeated. It typically occurs in a baptismal font. In addition, members of the LDS Church do not believe a baptism is valid unless it is performed by a Latter-day Saint one who has proper authority (a priest or elder). Authority is passed down through a form of apostolic succession. All new converts to the faith must be baptized or re-baptized. Baptism is seen as symbolic both of Jesus' death, burial and resurrection and is also symbolic of the baptized individual discarding their "natural" self and donning a new identity as a disciple of Jesus. According to Latter-day Saint theology, faith and repentance are prerequisites to baptism. The ritual does not cleanse the participant of original sin, as Latter-day Saints do not believe the doctrine of original sin. Mormonism rejects infant baptism and baptism must occur after the age of accountability, defined in Latter-day Saint scripture as eight years old. Latter-day Saint theology also teaches baptism for the dead in which deceased ancestors are baptized vicariously by the living, and believe that their practice is what Paul wrote of in Corinthians 15:29. This occurs in Latter-day Saint temples. Freemasonry. Due to tensions between the Catholic Church and Freemasons in France in the aftermath of the French Revolution, French Freemasons developed rituals to replace those of the Church, including baptism. Chrétien-Guillaume Riebesthal's "Rituel Maçonnique pour tous les Rites" (Masonic Ritual for All Rites), published in Strasbourg in 1826, includes one such baptismal rite."Some Ceremony Peculiar to Themselves": The Continuation of a European Masonic Ceremony in Nineteenth-Century Wisconsin Lodges in Louisiana and Wisconsin performed baptism ceremonies in 1859, though they were widely condemned by their Grand Lodges. In 1865, Albert Pike, publicly performed a ceremony of Masonic baptism in New York City. The ceremony was greeted with skepticism by many American Masons including Albert Mackey. A ceremony for Masonic baptism was published by Charles T. McClenechan in 1884. Nonpractitioners. Quakers. Quakers (members of the Religious Society of Friends) do not believe in the baptism of either children or adults with water, rejecting all forms of outward sacraments in their religious life. Robert Barclay's "Apology for the True Christian Divinity" (a historic explanation of Quaker theology from the 17th century), explains Quakers' opposition to baptism with water thus: Barclay argued that water baptism was only something that happened until the time of Christ, but that now, people are baptized inwardly by the spirit of Christ, and hence there is no need for the external sacrament of water baptism, which Quakers argue is meaningless. Salvation Army. The Salvation Army does not practice water baptism, or indeed other outward sacraments. William Booth and Catherine Booth, the founders of the Salvation Army, believed that many Christians had come to rely on the outward signs of spiritual grace rather than on grace itself. They believed what was important was spiritual grace itself. However, although the Salvation Army does not practice baptism, they are not opposed to baptism within other Christian denominations. Hyperdispensationalism. There are some Christians termed "Hyperdispensationalists" (Mid-Acts dispensationalism) who accept only Paul's Epistles as directly applicable for the church today. They do not accept water baptism as a practice for the church since Paul who was God's apostle to the nations was not sent to baptize. Ultradispensationalists (Acts 28 dispensationalism) who do not accept the practice of the Lord's supper, do not practice baptism because these are not found in the Prison Epistles. Both sects believe water baptism was a valid practice for covenant Israel. Hyperdispensationalists also teach that Peter's gospel message was not the same as Paul's. Hyperdispensationalists assert: Water baptism found early in the Book of Acts is, according to this view, now supplanted by the one baptism foretold by John the Baptist. Others make a distinction between John's prophesied baptism by Christ with the Holy Spirit and the Holy Spirit's baptism of the believer into the body of Christ; the latter being the one baptism for today. The one baptism for today, it is asserted, is the "baptism of the Holy Spirit" of the believer into the Body of Christ church. Many in this group also argue that John's promised baptism by fire is pending, referring to the destruction of the world by fire. Other Hyperdispensationalists believe that baptism was necessary until mid-Acts. Debaptism. Most Christian churches see baptism as a once-in-a-lifetime event that can be neither repeated nor undone. They hold that those who have been baptized remain baptized, even if they renounce the Christian faith by adopting a non-Christian religion or by rejecting religion entirely. But some other organizations and individuals are practicing debaptism. Comparative summary. A comparative summary of the practice of baptism throughout various Christian denominations is given below. (This section does not give a complete listing of denominations, and therefore, it only mentions a fraction of the churches practicing "believer's baptism".) Baptism of objects. The word "baptism" or "christening" is sometimes used to describe the naming or inauguration of certain objects for use. Boats and ships. "Baptism of Ships": since at least the time of the Crusades, rituals have contained a blessing for ships. The priest asks God to bless the vessel and protect those who sail on it. The ship is usually sprinkled with holy water. Church bells. The name "Baptism of Bells" has been given to the blessing of (musical, especially church) bells, at least in France, since the 11th century. It is derived from the washing of the bell with holy water by the bishop, before he anoints it with the oil of the infirm without and with chrism within; a fuming censer is placed under it and the bishop prays that these sacramentals of the church may, at the sound of the bell, put the demons to flight, protect from storms, and call the faithful to prayer. Dolls. "Baptism of Dolls": the custom of 'dolly dunking' was once a common practice in parts of the United Kingdom, particularly in Cornwall where it has been revived in recent years. Other initiation ceremonies. Many cultures practice or have practiced initiation rites, with or without the use of water, including the ancient Egyptian, the Hebraic/Jewish, the Babylonian, the Mayan, and the Norse cultures. The modern Japanese practice of Miyamairi is such a ceremony that does not use water. In some, such evidence may be archaeological and descriptive in nature, rather than a modern practice. Mystery religion initiation rites. Many scholars have drawn parallels between rites from mystery religions and baptism in Christianity. Apuleius, a 2nd-century Roman writer, described an initiation into the mysteries of Isis. The initiation was preceded by a normal bathing in the public baths and a ceremonial sprinkling by the priest of Isis, after which the candidate was given secret instructions in the temple of the goddess. The candidate then fasted for ten days from meat and wine, after which he was dressed in linen and led at night into the innermost part of the sanctuary, where the actual initiation took place, the details of which were secret. On the next two days, dressed in the robes of his consecration, he participated in feasting. Apuleius describes also an initiation into the cult of Osiris and yet a third initiation, of the same pattern as the initiation into the cult of Isis, without mention of a preliminary bathing. The water-less initiations of Lucius, the character in Apuleius's story who had been turned into an ass and changed back by Isis into human form, into the successive degrees of the rites of the goddess was accomplished only after a significant period of study to demonstrate his loyalty and trustworthiness, akin to catechumenal practices preceding baptism in Christianity. Jan Bremmer has written on the putative connection between rites from mystery religions and baptism: There are thus some verbal parallels between early Christianity and the Mysteries, but the situation is rather different as regards early Christian ritual practice. Much ink was spilled around 1900 arguing that the rituals of baptism and of the Last Supper derived from the ancient Mysteries, but Nock and others after him have easily shown that these attempts grossly misinterpreted the sources. Baptism is clearly rooted in Jewish purificatory rituals, and cult meals are so widespread in antiquity that any specific derivation is arbitrary. It is truly surprising to see how long the attempts to find some pagan background to these two Christian sacraments have persevered. Secularizing ideologies clearly played an important part in these interpretations but, nevertheless, they have helped to clarify the relations between nascent Christianity and its surroundings. Thus the practice is derivative, whether from Judaism, the Mysteries or a combination (see the reference to Hellenistic Judaism in the Etymology section.) Gnostic Catholicism and Thelema. The Ecclesia Gnostica Catholica, or Gnostic Catholic Church (the ecclesiastical arm of Ordo Templi Orientis), offers its Rite of Baptism to any person at least 11 years old. Mandaean baptism. Mandaeans revere John the Baptist and practice frequent baptism ("masbuta") as a ritual of purification, not of initiation. They are possibly the earliest people to practice baptism. Mandaeans undergo baptism on Sundays ("Habshaba"), wearing a white sacral robe ("rasta"). Baptism for Mandaeans consists of a triple full immersion in water, a triple "signing" of the forehead with water and a triple drinking of water. The priest ("Rabbi") then removes a ring made of myrtle worn by the baptized and places it on their forehead. This is then followed by a handshake ("kushta", "hand of truth") with the priest. The final blessing involves the priest laying his right hand on the baptized person's head. "Living water" (fresh, natural, flowing water) is a requirement for baptism, therefore can only take place in rivers. All rivers are named Jordan ("yardena") and are believed to be nourished by the "World of Light". By the river bank, a Mandaean's forehead is anointed with sesame oil ("misha") and partakes in a communion of bread ("pihta") and water. Baptism for Mandaeans allows for salvation by connecting with the "World of Light" and for forgiveness of sins. Sethian baptism. The Sethian baptismal rite is known as the Five Seals, in which the initiate is immersed five times in running water. Yazidi baptism. Yazidi baptism is called "mor kirin" (literally: "to seal"). Traditionally, Yazidi children are baptized at birth with water from the "Kaniya Sipî" ("White Spring") at Lalish. It essentially consists of pouring holy water from the spring on the child's head three times. Islamic practice of wudu. Many Islamic scholars such as Shaikh Bawa Muhaiyaddeen have compared the Islamic practice of wudu to a baptism. Wudu is a practice that Muslims practice to go from ritual impurity to ritual purity. Ritual purity is required for Salah (praying) and also to hold a physical copy of the Qur’an, and so wudu is often done before salah. However, it is permissible to pray more than one salah without repeating wudu, as long as ritual purity is not broken, for example by using the bathroom. Another similar purification ritual is ghusl, which takes someone from major ritual impurity (janabah) to lesser ritual impurity, which is then purified by wudu. If one is in a state of janabah, both ghusl and wudu are required if one wants to pray. Although original sin does not exist in Islam, wudu is widely regarded to remove sins. In a Sahih hadith, Muhammad says "Whenever a man performs his ablution intending to pray and he washes his hands, the sins of his hands fall down with the first drop. When he rinses his mouth and nose, the sins of his tongue and lips fall down with the first drop. When he washes his face, the sins of his hearing and sight fall down with the first drop. When he washes his arms to his elbows and his feet to his ankles, he is purified from every sin and fault like the day he was born from his mother. If he stands for prayer, Allah will raise his status by a degree. If he sits, he will sit in peace." Baptism in the Yadav community. People of the Yadav community of Hindu religion follow baptism, where it is called Karah Pujan. In this, the person who is being baptized is bathed in boiling Milk. The newborn baby is also included in this process, in which he is bathed with boiling milk and then he is garlanded with flowers.
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Bocce
(, or , ), sometimes anglicized as bocce ball, bocci, or boccie, is a ball sport belonging to the boules family. Developed into its present form in Italy, it is closely related to English bowls and French , with a common ancestry from ancient games played in the Roman Empire. Bocce is played around Western, Southern, and Southeastern Europe, as well as in overseas areas with historical Italian immigrant population, including Australia, North and South America, principally Argentina and the southern Brazilian states of Paraná, Rio Grande do Sul and Santa Catarina. Initially only played by Italian immigrants, the game has slowly gained popularity among descendant generations and outside the Italian diaspora. History. Having developed from games played in the Roman Empire, bocce developed into its present form in Italy, where it is called ', the plural of the Italian word ' which means 'bowl' in the general sporting sense. It spread around Europe and also in regions to which Italians have migrated. The first form of regulation was described in the book "Gioco delle bocchie" by Raffaele Bisteghi in 1753. In South America it is known as ', or "bolas criollas" ('Criollo balls') in Venezuela, and ' in southern Brazil. The accessibility of bocce to people of all ages and abilities has seen it grow in popularity among Special Olympics programmes globally, and it is now the third most-played sport among Special Olympics athletes. Geographical spread. The sport is also very popular on the eastern side of the Adriatic, especially in Croatia, Serbia, Montenegro, and Bosnia and Herzegovina, where the sport is known in Croatian as ' ('playing '') or ' (colloquially also '). In Slovenia the sport is known as ' or colloquially 'playing '', or ' (from Italian ' and Venetian "", meaning 'balls'). There are numerous bocce leagues in the United States (USA). Bocce was brought to Venezuela between 1498 and 1510 by a Spanish friar or by Priest Sojo, great-uncle of Simón Bolívar. The Venezuelan modality became popular during the 1930s and is played in several Caribbean islands, including Aruba, Curaçao and Bonaire. In 1946, bocce was included in the first Venezuelan National Sports Games, and in 1956 the National Venezuelan Federation of Creole Bocce was founded. Bocce is also played in Brazil. The sport was brought between 1880 and 1930 by the Italian families of Baggio, Zanetti, Tedesco, Merlin, Pazello, Bolisenha, Ricetti, Fressatos and Dorigos. The sport became popular on Curitiba and in 1952 the families created the bocci club Sociedade 25 de Maio. The city has also developed their own modality of bocce, "bocha clássico" (classic bocce). On 25 May, the city celebrates the bocce day. Brazil is also notorious in the paralympic bocce modality. During the 2012 Summer Paralympics, the country conquered three gold medals and one bronze medal in the BC2 and BC4 categories. Brazil hosted the paralympic bocce world championship twice. On Rio 2016, Brazil conquered a gold medal and a silver medal in the BC3 and BC4 categories. On 2022, the World Championship was hosted again on Rio de Janeiro, and Brazil conquered one gold, three silver and three bronze medals. In 2025, Curitiba hosted the Youth Bocce World Cup. Rules and play. Bocce is traditionally played on a natural soil or asphalt court up to in length and wide. While the court walls are traditionally made of wood or stone, many social leagues and Special Olympics programs now use inflatable 'Packabocce' PVC courts due to their portability and ease of storage. Bocce balls can be made of wood (traditional), metal, baked clay, or various kinds of plastic. Unlike lawn bowls, bocce balls are spherical and have no inbuilt bias. A game can be conducted between two players, or two teams of two, three, or four. A match is started by a randomly chosen side being given the opportunity to throw a smaller ball, the jack (called a ' ('little bocce') or ' ('bullet' or 'little ball') in Italian, depending on local custom), from one end of the court into a zone in length, ending from the far end of the court. If the first team misses twice, the other team is awarded the opportunity to place the jack anywhere they choose within the prescribed zone. Casual play is common in reasonably flat areas of parks and yards lacking a bocce court, but players should agree to the minimum and maximum distance the jack may be thrown before play begins. The side that first attempted to place the jack is given the opportunity to bowl first. Once the first bowl has taken place, the other side has the opportunity to bowl. From then on, the side which does "not" have the ball closest to the jack has a chance to bowl, up until one side or the other has used their four balls. At that point, the other side bowls its remaining balls. The object of the game is for a team to get as many of its balls as possible closer to the target ball (jack, boccino, pallino) than the opposing team. The team with the closest ball to the jack is the only team that can score points in any frame. The scoring team receives one point for each of their balls that is closer to the jack than the closest ball of the other team. The length of a game varies by region but is typically from 7 to 13 points. Players are permitted to throw the ball in the air using an underarm action only. This is generally used to knock either the jack or another ball away to attain a more favorable position. Tactics can get quite complex when players have sufficient control over the ball to throw or roll it accurately. Variants. Punto raffa volo. Also known as PRV, punto raffa volo is the main international competition form of bocce. The name refers to the three legal types of throws in the game: punto, or lagging the ball toward the pallino; raffa, shooting a ball with an aerial throw that hits the ground and rolls toward the target; and volo, hitting a ball on the fly or a short hop. The rules of PRV are strict and reward precision and accuracy. Rules violations allow the opposing team to keep the result or reset the game to its set-up before the rules violation (and pulling the foul ball off the court). This reset is accomplished by marking the ground with chalk to indicate the placement of each ball and the pallino. Rules include (but are not limited to): Open bocce. Played mainly in the U.S. and Canada, open bocce features a basic set of rules as compared with PRV. In open bocce, there are fewer limitations on lagging (side walls are live, balls can be moved any distance), and missed targets while shooting are allowed. Some clubs play with the back wall live, while other clubs play with the back wall as dead if a ball hits the back wall on the fly without striking a ball or the pallino. Other variations include angled corners and gutters at the end of the court rather than a back wall. Bocce volo. A variation called ' uses a metal ball, which is thrown overhand (palm down), after a run-up to the throwing line. In that latter respect, it is similar to the French boules game ' also known as ' which is internationally called sport-boules. Another French variant of the game is called ', and (lacking the run-up) is more similar in some respects to traditional ". Boccia. Another development, for persons with disabilities, is called ". It is a shorter-range game, played with leather balls on an indoor, smooth surface. Boccia was first introduced to the Paralympics at the 1984 New York/Stoke Mandeville Summer Games and is one of the only two Paralympic sports that do not have an Olympic counterpart (the other being goalball). Classic bocce. A Brazilian variety of bocce where the ball is rolled on the floor instead of thrown. Creole bocce. A Venezuelan variety of bocce, where 4 red balls, 4 green balls and one 5 cm ball (called Mingo) are thrown at once in the field.
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Beatmatching
Beatmatching or pitch cue is a DJ technique of pitch shifting or time stretching an upcoming track to match its tempo to that of the currently playing track, and to adjust them such that the beats (and, usually, the bars) are synchronized—e.g. the kicks and snares in two house records hit at the same time when both records are played simultaneously. Beatmatching is a component of beatmixing which employs beatmatching combined with equalization, attention to phrasing and track selection in an attempt to make a single mix that flows together and has a good structure. Beatmatching is a core technique for DJing electronic dance music, and it is standard practice in clubs to keep a constant beat throughout the night, even if DJs change in the middle. Technique. The beatmatching technique consists of the following steps: One of the key things to consider when beatmatching is the tempo of both songs, and the musical theory behind the songs. Attempting to beatmatch songs with completely different beats per minute (BPM) will result in one of the songs sounding too fast or too slow. When beatmatching, a popular technique is to vary the equalization of both tracks. For example, when the kicks are occurring on the same beat, a more seamless transition can occur if the lower frequencies are taken out of one of the songs, and the lower frequencies of the other song is boosted. Doing so creates a smoother transition. Pitch and tempo. The pitch and tempo of a track are normally linked together: spin a disc 5% faster and both pitch and tempo will be 5% higher. However, some modern DJ software can change pitch and tempo independently using time-stretching and pitch-shifting, allowing harmonic mixing. There is also a feature in modern DJ software which may be called "master tempo" or "key adjust" which changes the tempo while keeping the original pitch. History. Francis Grasso was one of the first people to beatmatch in the late 1960s, being taught the technique by Bob Lewis. These days beat-matching is considered central to DJing, and features making it possible are a requirement for DJ-oriented players. In 1978, the Technics SL-1200MK2 turntable was released, whose comfortable and precise sliding pitch control and high torque direct drive motor made beat-matching easier and it became the standard among DJs. With the advent of the compact disc, DJ-oriented compact disc players with pitch control and other features enabling beat-matching (and sometimes scratching), dubbed CDJs, were introduced by various companies. More recently, software with similar capabilities has been developed to allow manipulation of digital audio files stored on computers using turntables with special vinyl records (e.g. Final Scratch, M-Audio Torq, Serato Scratch Live) or computer interface (e.g. Traktor DJ Studio, Mixxx, VirtualDJ). Other software including algorithmic beat-matching is Ableton Live, which allows for realtime music manipulation and deconstruction. Freeware software such as Rapid Evolution can detect the beats per minute and determine the percent BPM difference between songs. Most modern DJ hardware and software now offer a "sync" feature which automatically adjusts the tempo between tracks being mixed so the DJ no longer needs to beatmatch manually.
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Beltane
Beltane () or Bealtaine () is the Gaelic May Day festival, marking the beginning of summer. It is traditionally held on 1 May, or about midway between the spring equinox and summer solstice. Historically, it was widely observed in Ireland, Scotland, and the Isle of Man. In Ireland, the name for the festival in both Irish and English is (). In Scottish Gaelic it is called (), and in Manx Gaelic or . It is one of the four main Gaelic seasonal festivals—along with Samhain, Imbolc, and Lughnasadh—and is similar to the Welsh . Beltane is mentioned in the earliest Irish literature and is associated with important events in Irish mythology. Also known as ('first of summer'), it marked the beginning of summer and was when cattle were driven out to the summer pastures. Rituals were performed to protect cattle, people and crops, and to encourage growth. Special bonfires were kindled, whose flames, smoke and ashes were deemed to have protective powers. The people and their cattle would walk around or between bonfires and sometimes leap over the flames or embers. All household fires would be doused and then relit from the Beltane bonfire. These gatherings were accompanied by a feast, and some of the food and drink would be offered to the . Doors, windows, byres and livestock would be decorated with yellow May flowers, perhaps because they evoked fire. In parts of Ireland, people made a May Bush: typically a thorn bush or branch decorated with flowers, ribbons, bright shells and rushlights. Holy wells were also visited, while Beltane dew was thought to bring beauty and maintain youthfulness. Many of these customs were part of May Day or Midsummer festivals in parts of Great Britain and Europe. Public celebrations of Beltane fell out of popularity by the 20th century, though some customs continue to be revived as local cultural events. Since the late 20th century, Celtic neopagans and Wiccans have observed a festival based on Beltane as a religious holiday. Neopagans in the southern hemisphere may mark the festival on 1 November. Name. In Old Irish, the name was usually or . In modern Irish, the festival is usually called ("day of Beltane"), while the month of May is ("month of Beltane"). In Scottish Gaelic, the festival is . Sometimes the older Scottish Gaelic spelling is used. The term (Scottish) or (Irish), "the bright or yellow day of Beltane", means the first of May. In Ireland it is referred to in a common folk tale as ; the first day of the week (Monday/) is added to highlight the first day of summer. The name is anglicised as Beltane, Beltain, Beltaine, Beltine and Beltany. Another Old Irish name for the festival was or , probably meaning 'first of summer'. Ó Duinnín's Irish dictionary (1904) gives this as or in modern Irish. It survives in the Scottish Gaelic name for the month of May, , and matches the Welsh . These have all been derived from proto-Celtic (first + summer). Etymology. "Beltane" is proposed to derive from a proto-Celtic , meaning 'bright fire'. The element might be cognate with the English word "bale" (as in ) meaning 'white', 'bright' or 'shining'. The absence of syncope (Irish sound laws rather predict a **"Beltne" form) can be explained by the popular belief that "Beltaine" was a compound of the word for 'fire', "tene". Toponymy. There are place names in Ireland containing the word , indicating places where Beltane festivities were once held. It is often anglicised as "Beltany". There are three Beltanys in County Donegal, including the Beltany stone circle, and two in County Tyrone. In County Armagh there is a place called Tamnaghvelton/ ('the Beltane field'). Lisbalting/ ('the Beltane ringfort') is in County Tipperary, while Glasheennabaultina/ ('the Beltane stream') is the name of a stream joining the River Galey in County Limerick. Historical customs. Beltane was one of four Gaelic seasonal festivals: Samhain (1 November), Imbolc (1 February), Beltane (1 May), and Lughnasadh (1 August). Beltane marked the beginning of the pastoral summer season, when livestock were driven out to the summer pastures. Rituals were held at that time to protect them from harm, both natural and supernatural, and this mainly involved the "symbolic use of fire". There were also rituals to protect crops, dairy products and people, and to encourage growth. The (often referred to as spirits or fairies) were thought to be especially active at Beltane (as at Samhain), and the goal of many Beltane rituals was to appease them. Most scholars see the as remnants of the pagan gods and nature spirits. Beltane was a "spring time festival of optimism" during which "fertility ritual again was important, perhaps connecting with the waxing power of the sun". Ancient and medieval. Beltane (the beginning of summer) and Samhain (the beginning of winter) are thought to have been the most important of the four Celtic festivals. Sir James George Frazer wrote in "The Golden Bough: A Study in Magic and Religion" that the times of Beltane and Samhain are of little importance to European crop-growers, but of great importance to herdsmen practising seasonal transhumance. Thus, he suggests that the festival has pastoral origins. The earliest mention of Beltane is in Old Irish literature from Gaelic Ireland. The early-10th century text (Cormac's Glossary) has an entry for "Belltaine" and derives it from "bil-tene", "lucky fire". It says that to protect cattle from disease, the druids used to light two fires "with great incantations" and drive the cattle between them. In another entry, "Sanas Cormaic" says that Belltaine means "fire of Bel", explaining that Bel, Bil or Bial was a god and that "a fire was kindled in his name at the beginning of summer". Some scholars suggest that this might have been the Celtic healing god Belenos, although there is no other mention of Bel in Old Irish writings. Other scholars suggest that the writer was attempting to link the druidic fires with the Biblical god Baal. The medieval tale (The Wooing of Emer) gives the same description of Beltaine. It says that it marks the beginning of summer, and calls Beltaine and Samhain (the beginning of winter) the two main divisions of the year. According to 17th-century historian Geoffrey Keating, there was a great gathering at the hill of Uisneach each Beltane in medieval Ireland, where a sacrifice was made to a god named Beil. Keating wrote that two bonfires would be lit in every district of Ireland, and cattle would be driven between them to protect them from disease. There is no reference to such a gathering in the annals, but the medieval "Dindsenchas" (lore of places) includes a tale of a hero lighting a holy fire on Uisneach that blazed for seven years. Ronald Hutton writes that this may "preserve a tradition of Beltane ceremonies there", but adds "Keating or his source may simply have conflated this legend with the information in "Sanas Chormaic" to produce a piece of pseudo-history". Nevertheless, excavations at Uisneach in the 20th century found evidence of large fires and charred bones, and showed it to have been a place of ritual since ancient times. Evidence suggests it was "a sanctuary-site, in which fire was kept burning perpetually, or kindled at frequent intervals", where animal sacrifices were offered. Beltane is also mentioned in medieval Scottish literature. An early reference is found in the poem 'Peblis to the Play', contained in the Maitland Manuscripts of 15th- and 16th-century Scots poetry, which describes the celebration in the town of Peebles. Modern era. From the late 18th century to the mid 20th century, many accounts of Beltane customs were recorded by folklorists and other writers. For example John Jamieson, in his "Etymological Dictionary of the Scottish Language" (1808), describes some of the Beltane customs which persisted in the 18th and early 19th centuries in parts of Scotland, which he noted were beginning to die out. Bonfires. Bonfires continued to be a key part of the festival in the modern era. All hearth fires would be doused before the bonfire was lit, generally on a hill. Ronald Hutton writes that "To increase the potency of the holy flames, in Britain at least they were often kindled by the most primitive of all means, of friction between wood." This is known as a need-fire, or "tein' èiginn" in Gaelic. It was a sacred fire that could be kindled only with a wooden drill, by a group of certain people (usually nine men), after they had removed all metal and after all other fires in the area had been doused. Nineteenth-century writers record such fires being kindled at Beltane in the Scottish Highlands, and also in Wales. Its flames were believed to guard against sickness, supernatural harm and witchcraft. In the 19th century, cattle were still driven over flames or between two fires—as described in "Sanas Cormaic" almost 1000 years before—in parts of Ireland and Scotland. Sometimes the cattle would be driven around a bonfire or be made to leap over flames or embers. The people themselves did likewise for good luck and protection. On the Isle of Man, people ensured that the smoke blew over them and their cattle. When the bonfire died down, people would daub themselves with its ashes and sprinkle it over their crops and livestock. Burning torches from the bonfire would be taken home, carried around the house or boundary of the farmstead, and used to re-light the hearth. From these rituals, it is clear that the fire was seen as having protective powers. Similar rituals were part of May Day or Midsummer customs in some other parts of the British Isles and mainland Europe. Frazer believed the fire rituals are a kind of imitative or sympathetic magic. He suggests they were meant to mimic the Sun and "ensure a needful supply of sunshine for men, animals, and plants", as well as to symbolically "burn up and destroy all harmful influences". Food was also cooked at the bonfire and there were rituals involving it. In the Scottish Highlands, Alexander Carmichael recorded that there was a feast featuring lamb, and that formerly this lamb was sacrificed. In 1769, Thomas Pennant wrote of Beltane bonfires in Perthshire, where a caudle made from eggs, butter, oatmeal and milk was cooked. Some of the mixture was poured on the ground as a libation. Everyone would then take an oatmeal cake, called a or "Beltane bannock", which had nine knobs on it. Each person would face the fire, break off a knob one-by-one and throw it over their shoulder, offering them to the spirits to protect their livestock (one to protect the horses, one to protect the sheep, and so forth) and to the predators that might harm their livestock (one to the fox, one to the eagle, and so forth). Afterwards, they would drink the caudle. According to 18th-century writers, in parts of Scotland there was another ritual involving the Beltane bannock. The cake would be cut and one of the slices marked with charcoal. The slices would then be put in a bonnet and everyone would take one out while blindfolded. According to one writer, whoever got the marked piece had to leap through the fire three times. According to another, those present pretended to throw the person into the fire and, for some time afterwards, would speak of them as if they were dead. This "may embody a memory of actual human sacrifice", or it may have always been symbolic. There was an almost identical May Day ("Calan Mai") tradition in parts of Wales, and mock-burnings were part of spring and summer bonfire festivals in other parts of Europe. Flowers and May Bushes. Yellow and white flowers such as primrose, rowan, hawthorn, gorse, hazel, and marsh marigold were traditionally placed at doorways and windows; this is documented in 19th century Ireland, Scotland and Mann. Sometimes loose flowers were strewn at doors and windows and sometimes they were made into bouquets, garlands or crosses and fastened to them. Cows would also be decorated with them, and they would be fastened to equipment for milking and butter making. It is likely that such flowers were used because they evoked fire. Similar May Day customs are found across Europe. The May Bush or May Bough was popular in parts of Ireland until the late 19th century. This was a small tree or branch—typically hawthorn, rowan, holly or sycamore—decorated with bright flowers, ribbons, painted shells or eggshells from Easter Sunday, and so forth. The tree would either be decorated where it stood, or branches would be decorated and placed inside or outside the house (particularly above windows and doors, on the roof, and on barns). It was generally the responsibility of the oldest person of the house to decorate the May Bush, and the tree would remain up until 31 May. The tree would also be decorated with candles or rushlights. Sometimes a May Bush would be paraded through the town. In parts of southern Ireland, gold and silver hurling balls known as May Balls would be hung on these May Bushes and handed out to children or given to the winners of a hurling match. In Dublin and Belfast, May Bushes were brought into town from the countryside and decorated by the whole neighbourhood. Each neighbourhood vied for the most handsome tree and, sometimes, residents of one would try to steal the May Bush of another. This led to the May Bush being outlawed in Victorian times. In some places, it was customary to sing and dance around the May Bush, and at the end of the festivities it may be burnt in the bonfire. In some areas the May Bush or Bough has also been called the "May Pole", but it is the bush or tree described above, and not the more commonly-known European maypole. Thorn trees are traditionally seen as special trees, associated with the . Frazer believed the customs of decorating trees or poles in springtime are a relic of tree worship and wrote: "The intention of these customs is to bring home to the village, and to each house, the blessings which the tree-spirit has in its power to bestow." Emyr Estyn Evans suggests that the May Bush custom may have come to Ireland from England, because it seemed to be found in areas with strong English influence and because the Irish saw it as unlucky to damage certain thorn trees. However, "lucky" and "unlucky" trees varied by region, and it has been suggested that Beltane was the only time when cutting thorn trees was allowed. The practice of bedecking a May Bush with flowers, ribbons, garlands and bright shells is found among the Gaelic diaspora, most notably in Newfoundland, and in some Easter traditions on the East Coast of the United States. Warding-off harmful spirits. Many Beltane practices were designed to ward off harmful spirits or appease the "aos sí" (often referred to as the fairies) and prevent them from stealing dairy products, which were thought to be especially at risk. For example, May flowers were tied to milk pails or the tails of cattle to ensure the cattle's milk was not stolen, or three black coals might be placed under a butter churn to ensure the fairies did not steal the butter. On the Isle of Man, small crosses made of rowan were worn, fastened over doorways, and tied to cattle, as protection against witchcraft and evil spirits. It was called a . Food was left or milk poured at the doorstep or places associated with the , such as 'fairy trees', as an offering. However, milk was never given to a neighbour on May Day because it was feared that the milk would be transferred to the neighbour's cow. In Ireland, cattle would be brought to 'fairy forts', where a small amount of their blood would be collected. The owners would then pour it into the earth with prayers for the herd's safety. Sometimes the blood would be left to dry and then be burnt. To protect farm produce and encourage fertility, farmers would lead a procession around the boundaries of their farm. They would "carry with them seeds of grain, implements of husbandry, the first well water, and the herb vervain (or rowan as a substitute). The procession generally stopped at the four cardinal points of the compass, beginning in the east, and rituals were performed in each of the four directions". People made the sign of the cross with milk for good luck on Beltane, and the sign of the cross was also made on the backsides of cattle. Beltane blessings. In the 19th century, folklorist Alexander Carmichael (1832–1912), collected the Scottish Gaelic song ("The Beltane Blessing") in his "Carmina Gadelica", which he heard from a crofter in South Uist. The first two verses were sung as follows: <poem> (Bless, O Threefold true and bountiful,) (Myself, my spouse and my children,) (My tender children and their beloved mother at their head,) (On the fragrant plain, at the gay mountain shieling,) (On the fragrant plain, at the gay mountain shieling.) (Everything within my dwelling or in my possession,) (All kine and crops, all flocks and corn,) (From Hallow Eve to Beltane Eve,) (With goodly progress and gentle blessing,) (From sea to sea, and every river mouth,) (From wave to wave, and base of waterfall.)</poem> Other customs. Holy wells were often visited at Beltane, and at the other Gaelic festivals of Imbolc and Lughnasadh. Visitors to holy wells would pray for health while walking sunwise (moving from east to west) around the well. They would then leave offerings; typically coins or clooties (see clootie well). The first water drawn from a well on Beltane was thought to be especially potent, and would bring good luck to the person who drew it. Beltane morning dew was also thought to bring good luck and health. At dawn or before sunrise on Beltane, maidens would roll in the dew or wash their faces with it. The dew was collected in a jar, left in sunlight, then filtered. The dew was thought to increase sexual attractiveness, maintain youthfulness, protect from sun damage (particularly freckles and sunburn) and help with skin ailments for the ensuing year. It was also thought that a man who washed his face with soap and water on Beltane will grow long whiskers on his face. It was widely believed that no one should light a fire on May Day morning until they saw smoke rising from a neighbour's house. It was also believed to be bad luck to put out ashes or clothes on May Day, and to give away coal or ashes would cause the giver difficulty in lighting fires for the next year. Also, if the family owned a white horse, it should remain in the barn all day, and if any other horse was owned, a red rag should be tied to its tail. Any foal born on May Day was fated to kill a man, and any cow that calved on May Day would die. Any birth or marriage on May Day was generally believed to be ill-fated. On May Night a cake and a jug were left on the table, because it was believed that the Irish who had died abroad would return on May Day to their ancestral homes, and it was also believed that the dead returned on May Day to visit their friends. A robin that flew into the house on Beltane was believed to portend the death of a household member. The festival persisted widely up until the 1950s, and in some places the celebration of Beltane continues today. Revival. As a festival, Beltane had largely died out by the mid-20th century, although some of its customs continued and in some places it has been revived as a cultural event. In Ireland, Beltane fires were common until the mid-20th century, and has been revived as an annual festival in County Westmeath on the Hill of Uisneach since 2009. It culminates in a torchlit procession by participants in costume, some on horseback, and the lighting of a large bonfire at dusk. In 2017, the ceremonial fire was lit by the President of Ireland, Michael D Higgins. The lighting of a community Beltane fire from which each hearth fire is then relit is observed today in some parts of the Gaelic diaspora, though in most of these cases it is a cultural revival rather than an unbroken survival of the ancient tradition. In parts of Newfoundland, the custom of decorating the May Bush also survives. The town of Peebles in the Scottish Borders holds a traditional week-long Beltane Fair every year in June, when a local girl is crowned Beltane Queen on the steps of the parish church. Like other Borders festivals, it incorporates a Common Riding. Since 1988, a Beltane Fire Festival has been held every year on the night of 30 April on Calton Hill in Edinburgh, Scotland. While inspired by traditional Beltane, it is a modern celebration of summer's beginning which draws on many influences. The performance art event involves fire dances and a procession by costumed performers, led by the May Queen and the Green Man, culminating in the lighting of a bonfire. Butser Ancient Farm, an open-air archaeology museum in Hampshire, England, has also held a Beltane festival since the 1980s. The festival mixes historical reenactment with folk influences, and features a May Queen and Green Man, living history displays, reenactor battles, demonstrations of traditional crafts, performances of folk music, and Celtic storytelling. The festival ends with the burning of a 30–40 ft wickerman, with a new historical or folk-inspired design each year. Butser Ancient Farm acknowledges that their Beltane celebrations are not an attempt to reconstruct authentic historical pagan practices. The 1970 recording 'Ride a White Swan', written and performed by Marc Bolan and his band T.Rex, contains the line "Ride a white Swan like the people of the Beltane". Neopaganism. Beltane and Beltane-based festivals are held by some Neopagans. As there are many kinds of Neopaganism, their Beltane celebrations can be very different despite the shared name. Some try to emulate the historic festival as much as possible. Other Neopagans base their celebrations on many sources, the Gaelic festival being only one of them. Neopagans usually celebrate Beltane on 30 April – 1 May in the Northern Hemisphere and 31 October – 1 November in the Southern Hemisphere, beginning and ending at sunset. Some Neopagans celebrate it at the astronomical midpoint between the spring equinox and summer solstice (or the full moon nearest this point). In the Northern Hemisphere, this midpoint is when the ecliptic longitude of the Sun reaches 45 degrees. Celtic Reconstructionist. Celtic Reconstructionists strive to reconstruct ancient Celtic religion. Their religious practices are based on research and historical accounts, but modified to suit modern life. They avoid syncretism and eclecticism (i.e. combining practises from unrelated cultures). Celtic Reconstructionists usually celebrate Beltane when the local hawthorn trees are in bloom. Many observe the traditional bonfire rites, to whatever extent this is feasible where they live. This may involve passing themselves and their pets or livestock between two bonfires, and bringing home a candle lit from the bonfire. If they are unable to make a bonfire or attend a bonfire ceremony, candles may be used instead. They may decorate their homes with a May Bush, branches from blooming thorn trees, or equal-armed rowan crosses. Holy wells may be visited and offerings made to the spirits or deities of the wells. Traditional festival foods may also be prepared. Wicca. Wiccans use the name "Beltane" or "Beltain" for their May Day celebrations. It is one of the yearly Sabbats of their Wheel of the Year, following Ostara and preceding Midsummer. Unlike Celtic Reconstructionism, Wicca is syncretic and melds practices from many different cultures. In general, the Wiccan Beltane is more akin to the Germanic/English May Day festival, both in its significance (focusing on fertility) and its rituals (such as maypole dancing). Some Wiccans enact a ritual union of the May Lord and May Lady.
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Bethlehem
Bethlehem is a city in the West Bank, Palestine, located about south of Jerusalem, and the capital of the Bethlehem Governorate. It had a population of people, as of . The city's economy is strongly linked to tourism, especially during the Christmas period, when Christians embark on a pilgrimage to the Church of the Nativity, which is revered as the location of the birth of Jesus. A possible first mention of Bethlehem is in the Amarna correspondence of ancient Egypt, dated to 1350–1330 BCE, although that reading is uncertain. In the Hebrew Bible, the period of the Israelites is described; it identifies Bethlehem as the birthplace of David. In the New Testament, the city is identified as the birthplace of Jesus of Nazareth. Under the Roman Empire, the city of Bethlehem was destroyed by Hadrian, but later rebuilt by Constantine the Great, who commissioned the Church of the Nativity in 327 CE. In 529, the Church of the Nativity was heavily damaged by Samaritans involved in the Samaritan revolts; following the victory of the Byzantine Empire, it was rebuilt by Justinian I. Later, during the rule of several Caliphates, Bethlehem became part of Jund Filastin in 637. Muslims continued to rule the city until 1099, when it was conquered by the Crusaders, who replaced the local Christian Greek Orthodox clergy with Catholic ones. In the mid-13th century, Bethlehem's walls were demolished by the Mamluk Sultanate. However, they were rebuilt by the Ottoman Empire in the 16th century when it came to control the region. After the dissolution of the Ottoman Empire at the end of World War I, Bethlehem was part of Mandatory Palestine until 1948, and later of the West Bank that was annexed by Jordan following the 1948 Arab–Israeli War. During the 1967 Six Day War, Bethlehem was occupied by Israel along with the rest of the West Bank. Since the Oslo Accords between Israel and the Palestinian National Authority, Bethlehem has been designated as part of Area A of the West Bank, nominally rendering it as being under Palestinian control, but it remains under Israeli occupation. Movement around the city is limited due to the Israeli West Bank barrier. Historically, it was a city of Arab Christians, who made up about 86% of the population in 1950, but this community has dwindled significantly to 10% as of 2022, and now has a majority of Arab Muslims. Etymology. The current name for Bethlehem in local languages is /Bēt laḥm/ in Arabic (), literally meaning "house of meat", and "" in Hebrew (), literally "house of bread" or "house of food." The city was called in and in . In Aramaic, the name of Bethlehem was simply the Hebrew name בית לחם, and was pronounced as Beit Lekhem. Evidence for this spelling can be inferred based on the fact that the spelling ܒܝܬܠܚܡ can be found in the Syriac Aramaic version of the bible in Matthew 2 as well as other parts of the book. The letters ܒܝܬܠܚܡ transliterate to ביתלחם. Amarna letter EA290 makes reference to a town bīt-ninurta which has been read as Bit-Lachmi by scholar W. F. Albright, following a proposal by Otto Schroeder in 1815 and making it a potential first historical reference to Bethlehem. This reading is, however, uncertain and has met with objections. "House of the god Lahmu". Canaanite and Israelite toponyms starting with "beth" are interpreted to mean "house of", with 'house' understood as 'temple' and the second part of the name indicating the deity the local temple was dedicated to. Accordingly, one longstanding suggestion in scholarship is that the name Bethlehem derives from the Mesopotamian or Canaanite fertility god Laḫmu and his consort sister Lahamu, "lahmo" being the Chaldean word for "fertility". Biblical scholar William F. Albright believed that this hypothesis, first put forth by Otto Schröder, was "certainly accurate". Albright noted that the pronunciation of the name had remained essentially the same for 3,500 years, even if the perceived meaning had shifted over time: "'Temple of the God Lakhmu' in Canaanite, 'House of Bread' in Hebrew and Aramaic, 'House of Meat' in Arabic." While Schröder's theory is not widely accepted, it continues to find favour in academic literature over the later literal translations. "House of war". Another suggestion is an association with the root "l-h-m" "to fight", leading to the meaning of "house of war" or "house of fighting", but this is thought unlikely. History. Canaanite period. The earliest reference to Bethlehem appears in the Amarna correspondence (). In one of his six letters to Pharaoh, Abdi-Heba, the Egyptian-appointed governor of Jerusalem, appeals for aid in retaking "Bit-Laḫmi" in the wake of disturbances by Apiru mercenaries: "Now even a town near Jerusalem, Bit-Lahmi by name, a village which once belonged to the king, has fallen to the enemy... Let the king hear the words of your servant Abdi-Heba, and send archers to restore the imperial lands of the king!" It is thought that the similarity of this name to its modern forms indicates that it was originally a settlement of Canaanites who shared a Semitic cultural and linguistic heritage with the later arrivals. "Laḫmu" was the Akkadian god of fertility, worshipped by the Canaanites as "Leḥem". Some time in the third millennium BCE, Canaanites erected a temple on the hill now known as the Hill of the Nativity, probably dedicated to Laḫmu. The temple, and subsequently the town that formed around it, was then known as "Beit Lahama", "House (Temple) of Lahmu". By 1200 BC, the area of Bethlehem, as well as much of the region, was conquered by the Philistines, which led the region to be known to the Greeks as "Philistia", later corrupted to "Palestine". A burial ground discovered in spring 2013, and surveyed in 2015 by a joint Italian–Palestinian team found that the necropolis covered 3 hectares (more than 7 acres) and originally contained more than 100 tombs in use between roughly 2200 BCE and 650 BCE. The archaeologists were able to identify at least 30 tombs. Israelite and Judean period. Archaeological confirmation of Bethlehem as a city in the Kingdom of Judah was uncovered in 2012 at the archaeological dig at the City of David in the form of a "bulla" (seal impression in dried clay) in ancient Hebrew script that reads "From the town of Bethlehem to the King". According to the excavators, it was used to seal the string closing a shipment of grain, wine, or other goods sent as a tax payment in the 8th or 7th century BCE. Biblical scholars believe Bethlehem, located in the "hill country" of Judea, may be the same as the Biblical Ephrath, which means "fertile", as there is a reference to it in the Book of Micah as Bethlehem Ephrathah or Bethlehem Ephratah. The Hebrew Bible also calls it Beth-Lehem Judah, and the New Testament describes it as the "City of David". It is first mentioned in the Bible as the place where the matriarch Rachel died and was buried "by the wayside" (). Rachel's Tomb, the traditional grave site, stands at the entrance to Bethlehem. According to the Book of Ruth, the valley to the east is where Ruth of Moab gleaned the fields and returned to town with Naomi. In the Books of Samuel, Bethlehem is mentioned as the home of Jesse, father of King David of Israel, and the site of David's anointment by the prophet Samuel. It was from the well of Bethlehem that three of his warriors brought him water when he was hiding in the cave of Adullam. Writing in the 4th century, the Pilgrim of Bordeaux reported that the sepulchers of David, Ezekiel, Asaph, Job, Jesse, and Solomon were located near Bethlehem. Classical period. The Gospel of Matthew and the Gospel of Luke represent Jesus as having been born in Bethlehem, known in Aramaic by the Hebrew name (). However, modern scholars regard the two accounts as contradictory; the Gospel of Mark, the earliest gospel, mentions nothing about Jesus having been born in Bethlehem, saying only that he came from Nazareth. Current scholars are divided on the actual birthplace of Jesus: some believe he was actually born in Nazareth, while others still hold that he was born in Bethlehem. Nonetheless, the tradition that Jesus was born in Bethlehem was prominent in the early church. Around 155, the apologist Justin Martyr recommended that those who doubted Jesus was really born in Bethlehem could go there and visit the very cave where he was supposed to have been born. The same cave is also referenced by the apocryphal Gospel of James and the fourth-century church historian Eusebius. After the Bar Kokhba revolt () was crushed, the Roman emperor Hadrian converted the Christian site above the Grotto into a shrine dedicated to the Greek god Adonis, to honour his favourite, the Greek youth Antinous. Around 395 CE, Jerome wrote in a letter: "Bethlehem... belonging now to us... was overshadowed by a grove of Tammuz, that is to say, Adonis, and in the cave where once the infant Christ cried, the lover of Venus was lamented." Many scholars have taken this letter as evidence that the cave of the nativity over which the Church of the Nativity was later built had at one point been a shrine to the ancient Near Eastern fertility god Tammuz. Eusebius, however, mentions nothing about the cave having been associated with Tammuz and there are no other Patristic sources that suggest Tammuz had a shrine in Bethlehem. Peter Welten has argued that the cave was never dedicated to Tammuz and that Jerome misinterpreted Christian mourning over the Massacre of the Innocents as a pagan ritual over Tammuz's death. Joan E. Taylor has countered this contention by arguing that Jerome, as an educated man, could not have been so naïve as to mistake Christian mourning over the Massacre of the Innocents as a pagan ritual for Tammuz. In 326–328, the empress Helena, widowed consort of Emperor Constantius Chlorus and mother of the ruling emperor, Constantine the Great, made a pilgrimage to Syria-Palaestina, in the course of which she visited the ruins of Bethlehem. The Church of the Nativity was built at her initiative over the cave where Jesus was purported to have been born. During the Samaritan revolt of 529, Bethlehem was sacked and its walls and the Church of the Nativity destroyed; they were rebuilt on the orders of the Emperor Justinian I. In 614, the Persian Sassanid Empire, supported by Jewish rebels, invaded Palestina Prima and captured Bethlehem. A story recounted in later sources holds that they refrained from destroying the church on seeing the magi depicted in Persian clothing in a mosaic. Middle Ages. In 637, shortly after Jerusalem was captured by the Muslim armies, 'Umar ibn al-Khattāb, the second caliph, promised that the Church of the Nativity would be preserved for Christian use. A mosque dedicated to Umar was built upon the place in the city where he prayed, next to the church. Bethlehem then passed through the control of the Islamic caliphates of the Umayyads in the 8th century, then the Abbasids in the 9th century. A Persian geographer recorded in the mid-9th century that a well preserved and much venerated church existed in the town. In 985, the Arab geographer al-Muqaddasi visited Bethlehem, and referred to its church as the "Basilica of Constantine, the equal of which does not exist anywhere in the country-round." In 1009, during the reign of the sixth Fatimid Caliph, al-Hakim bi-Amr Allah, the Church of the Nativity was ordered to be demolished, but was spared by local Muslims, because they had been permitted to worship in the structure's southern transept. In 1099, Bethlehem was captured by the Crusaders, who fortified it and built a new monastery and cloister on the north side of the Church of the Nativity. The Greek Orthodox clergy were removed from their sees and replaced with Latin clerics. Up until that point the official Christian presence in the region was Greek Orthodox. On Christmas Day 1100, Baldwin I, first king of the Frankish Kingdom of Jerusalem, was crowned in Bethlehem, and that year a Latin episcopate was also established in the town. In 1187, Saladin, the Sultan of Egypt and Syria who led the Muslim Ayyubids, captured Bethlehem from the Crusaders. The Latin clerics were forced to leave, allowing the Greek Orthodox clergy to return. Saladin agreed to the return of two Latin priests and two deacons in 1192. However, Bethlehem suffered from the loss of the pilgrim trade, as there was a sharp decrease of European pilgrims. William IV, Count of Nevers had promised the Christian bishops of Bethlehem that if Bethlehem should fall under Muslim control, he would welcome them in the small town of Clamecy in present-day Burgundy, France. As a result, the Bishop of Bethlehem duly took up residence in the hospital of Panthenor, Clamecy, in 1223. Clamecy remained the continuous 'in partibus infidelium' seat of the Bishopric of Bethlehem for almost 600 years, until the French Revolution in 1789. Bethlehem, along with Jerusalem, Nazareth, and Sidon, was briefly ceded to the Crusader Kingdom of Jerusalem by a treaty between Holy Roman Emperor Frederick II and Ayyubid Sultan al-Kamil in 1229, in return for a ten-year truce between the Ayyubids and the Crusaders. The treaty expired in 1239, and Bethlehem was recaptured by the Muslims in 1244. In 1250, with the coming to power of the Mamluks under Rukn al-Din Baibars, tolerance of Christianity declined. Members of the clergy left the city, and in 1263 the town walls were demolished. The Latin clergy returned to Bethlehem the following century, establishing themselves in the monastery adjoining the Basilica of the Nativity. The Greek Orthodox were given control of the basilica and shared control of the Milk Grotto with the Latins and the Armenians. Ottoman era. From 1517, during the years of Ottoman control, custody of the Basilica was bitterly disputed between the Catholic and Greek Orthodox churches. By the end of the 16th century, Bethlehem had become one of the largest villages in the District of Jerusalem, and was subdivided into seven quarters. The Basbus family served as the heads of Bethlehem among other leaders during this period. The Ottoman tax record and census from 1596 indicates that Bethlehem had a population of 1,435, making it the 13th largest village in Palestine at the time. Its total revenue amounted to 30,000 akce. Bethlehem paid taxes on wheat, barley and grapes. The Muslims and Christians were organized into separate communities, each having its own leader. Five leaders represented the village in the mid-16th century, three of whom were Muslims. Ottoman tax records suggest that the Christian population was slightly more prosperous or grew more grain than grapes (the former being a more valuable commodity). From 1831 to 1841, Palestine was under the rule of the Muhammad Ali Dynasty of Egypt. During this period, the town suffered an earthquake as well as the destruction of the Muslim quarter in 1834 by Egyptian troops, apparently as a reprisal for the murder of a favored loyalist of Ibrahim Pasha, during the Peasants' revolt in Palestine. In 1841, Bethlehem came under Ottoman rule once again and remained so until the end of World War I. Under the Ottomans, Bethlehem's inhabitants faced unemployment, compulsory military service, and heavy taxes, resulting in mass emigration, particularly to South America. An American missionary in the 1850s reported a population of under 4,000, nearly all of whom belonged to the Greek Church. He also noted that a lack of water limited the town's growth. Socin found from an official Ottoman village list from about 1870 that Bethlehem had a population of 179 Muslims in 59 houses, 979 "Latins" in 256 houses, 824 "Greeks" in 213 houses, and 41 Armenians in 11 houses, a total of 539 houses. The population count only included men. Hartmann found that Bethlehem had 520 houses. Modern era. Bethlehem was part of Mandatory Palestine from 1920 to 1948. In the United Nations General Assembly's 1947 resolution to partition Palestine, Bethlehem was included in the international enclave of Jerusalem to be administered by the United Nations. Jordan captured the city during the 1948 Arab–Israeli War. Many refugees from areas captured by Israeli forces in 1947–48 fled to the Bethlehem area, primarily settling in what became the official refugee camps of 'Azza (Beit Jibrin) and 'Aida in the north and Dheisheh in the south. The influx of refugees significantly transformed Bethlehem's Christian majority into a Muslim one. Jordan retained control of the city until the Six-Day War in 1967, when Bethlehem was captured by Israel, along with the rest of the West Bank. Following the Six-Day War, Israel took control of the city. During the early months of First Intifada, on 5 May 1989, Milad Anton Shahin, aged 12, was shot dead by Israeli soldiers. Replying to a Member of Knesset in August 1990 Defence Minister Yitzak Rabin stated that a group of reservists in an observation post had come under attack by stone throwers. The commander of the post, a senior non-commissioned officer, fired two plastic bullets in deviation of operational rules. No evidence was found that this caused the boy's death. The officer was found guilty of illegal use of a weapon and sentenced to 5 months imprisonment, two of them actually in prison doing public service. He was also demoted. On December 21, 1995, Israeli troops withdrew from Bethlehem, and three days later the city came under the administration and military control of the Palestinian National Authority in accordance with the Interim Agreement on the West Bank and the Gaza Strip. During the Second Palestinian Intifada in 2000–2005, Bethlehem's infrastructure and tourism industry were damaged. In 2002, it was a primary combat zone in Operation Defensive Shield, a major military counteroffensive by the Israeli Defense Forces (IDF). The IDF besieged the Church of the Nativity, where dozens of Palestinian militants had sought refuge. The siege lasted 39 days. Several militants were killed. It ended with an agreement to exile 13 of the militants to foreign countries. Today, the city is surrounded by two bypass roads for Israeli settlers, leaving the inhabitants squeezed between thirty-seven Jewish enclaves, where a quarter of all West Bank settlers, roughly 170,000, live; the gap between the two roads is closed by the 8-metre high Israeli West Bank barrier, which cuts Bethlehem off from its sister city Jerusalem. Christian families that have lived in Bethlehem for hundreds of years are being forced to leave as land in Bethlehem is seized, and homes bulldozed, for construction of thousands of new Israeli homes. Land seizures for Israeli settlements have also prevented construction of a new hospital for the inhabitants of Bethlehem, as well as the barrier separating dozens of Palestinian families from their farmland and Christian communities from their places of worship. Christians have reportedly suffered persecution under the Palestinian Authority, leading to emigration. Geography. Bethlehem is located at an elevation of about above sea level, higher than nearby Jerusalem. Bethlehem is situated on the Judean Mountains. The city is located northeast of Gaza City and the Mediterranean Sea, west of Amman, Jordan, southeast of Tel Aviv, Israel and south of Jerusalem. Nearby cities and towns include Beit Safafa and Jerusalem to the north, Beit Jala to the northwest, Husan to the west, al-Khadr and Artas to the southwest, and Beit Sahour to the east. Beit Jala and the latter form an agglomeration with Bethlehem. The Aida and Azza refugee camps are located within the city limits. In the center of Bethlehem is its old city. The old city consists of eight quarters, laid out in a mosaic style, forming the area around the Manger Square. The quarters include the Christian an-Najajreh, al-Farahiyeh, al-Anatreh, al-Tarajmeh, al-Qawawsa and Hreizat quarters and al-Fawaghreh—the only Muslim quarter. Most of the Christian quarters are named after the Arab Ghassanid clans that settled there. Al-Qawawsa Quarter was formed by Arab Christian emigrants from the nearby town of Tuqu' in the 18th century. There is also a Syriac quarter outside of the old city, whose inhabitants originate from Midyat and Ma'asarte in Turkey. The total population of the old city is about 5,000. Climate. Bethlehem has a Mediterranean climate (Köppen climate classification: "Csa"), with hot and dry summers and mild, wetter winters. Winter temperatures (mid-December to mid-March) can be cool and rainy. January is the coldest month, with temperatures ranging from 1 to 13 degree Celsius (33–55 °F). From May through September, the weather is warm and sunny. August is the hottest month, with a high of 30 degrees Celsius (86 °F). Bethlehem receives an average of of rainfall annually, 70% between November and January. Bethlehem's average annual relative humidity is 60% and reaches its highest rates between January and February. Humidity levels are at their lowest in May. Night dew may occur in up to 180 days per year. The city is influenced by the Mediterranean Sea breeze that occurs around mid-day. However, Bethlehem is affected also by annual waves of hot, dry, sandy and dust "Khamaseen" winds from the Arabian Desert, during April, May and mid-June. Demographics. Population. According to Ottoman tax records, Christians made up roughly 60% of the population in the early 16th century, while the Christian and Muslim populations became equal by the middle of that century. However, there were no Muslim inhabitants counted by the end of the century, with a recorded population of 287 adult male taxpayers. Christians, like all non-Muslims throughout the Ottoman Empire, were required to pay the jizya tax. In 1867, an American visitor describes the town as having a population of 3,000 to 4,000, of whom about 100 were Protestant, 300 were Muslim and "the remainder belonging to the Latin and Greek Churches with a few Armenians." Another report from the same year puts the Christian population at 3,000, with an additional 50 Muslims. An 1885 source put the population at approximately 6,000 of "principally Christians, Latins and Greeks" with no Jewish inhabitants. The census of 1922 lists Bethlehem as having 6,658 residents (5,838 Christians, 818 Muslims, and two Jews), increasing in 1931 to 6,804 (5,588 Christians, 1,219 Muslims, five with no religion, and two Jews) with 506 in nearby suburbs (251 Muslims, 216 Christians, and 39 Jews). The 1938 village statistics list the population as 7,520 with 499 in nearby suburbs (including 42 Jews). The 1945 village statistics list Bethlehem's population as 8,820 (6,430 Christians, 2,370 Muslims, and 20 "other"). In 1948, the religious makeup of the city was 85% Christian, mostly of the Greek Orthodox and Roman Catholic denominations, and 13% Muslim. In the 1967 census taken by Israel authorities, the town of Bethlehem proper numbered 14,439 inhabitants, its 7,790 Muslim inhabitants represented 53.9% of the population, while the Christians of various denominations numbered 6,231 or 46.1%. In the PCBS's 1997 census, the city had a population of 21,670, including a total of 6,570 refugees, accounting for 30.3% of the city's population. In 1997, the age distribution of Bethlehem's inhabitants was 27.4% under the age of 10, 20% from 10 to 19, 17.3% from 20 to 29, 17.7% from 30 to 44, 12.1% from 45 to 64 and 5.3% above the age of 65. There were 11,079 males and 10,594 females. In the 2007 PCBS census, Bethlehem had a population of 25,266, of which 12,753 were males and 12,513 were females. There were 6,709 housing units, of which 5,211 were households. The average household consisted of 4.8 family members. By 2017, the population was 28,591. Christian population. After the Muslim conquest of the Levant in the 630s, the local Christians were Arabized even though large numbers were ethnically Arabs of the Ghassanid clans. Bethlehem's two largest Arab Christian clans trace their ancestry to the Ghassanids, including al-Farahiyyah and an-Najajreh. The former have descended from the Ghassanids who migrated from Yemen and from the Wadi Musa area in present-day Jordan and an-Najajreh descend from Najran. Another Bethlehem clan, al-Anatreh, also trace their ancestry to the Ghassanids. The percentage of Christians in the town has been in a steady decline since the mid-twentieth century. In 1947, Christians made up 85% of the population, but by 1998, the figure had declined to 40%. In 2005, the mayor of Bethlehem, Victor Batarseh, explained that "due to the stress, either physical or psychological, and the bad economic situation, many people are emigrating, either Christians or Muslims, but it is more apparent among Christians, because they already are a minority." The Palestinian Authority is officially committed to equality for Christians, although there have been incidents of violence against them by the Preventive Security Service and militant factions. In 2006, a Zogby poll that interviewed more than 1,000 Palestinian Christians from Bethlehem found that 79% of the respondents cited the Israeli occupation as source of difficulties leading the emigration of their community. In the same year, the Palestinian Centre for Research and Cultural Dialogue conducted a poll among the city's Christians according to which 90% said they had had Muslim friends, 73.3% agreed that the PNA treated Christian heritage in the city with respect and 78% attributed the exodus of Christians to the Israeli blockade. The only mosque in the Old City is the Mosque of Omar, located in the Manger Square. By 2016, the Christian population of Bethlehem had declined to only 16%. The Christian population's proportion of Bethlehem fell from 87% in the 1950s to 12% in 2016. A study by Pew Research Center concluded that the decline in the Arab Christian population of the area was partially a result of a lower birth rate among Christians than among Muslims, but also partially due to the fact that Christians were more likely to emigrate from the region than any other religious group. The seizure of Christian land by Muslim mafias and the bias of the Palestinian Judicial system have been cited as reasons leading to emigration. Amon Ramnon, a researcher at the Jerusalem Institute for Policy Research, stated that the reason why more Christians were emigrating than Muslims is because it is easier for Arab Christians to integrate into western communities than for Arab Muslims, since many of them attend church-affiliated schools, where they are taught European languages. A higher percentage of Christians in the region are urban-dwellers, which also makes it easier for them to emigrate and assimilate into western populations. A statistical analysis of the Christian exodus cited lack of economic and educational opportunity, especially due to the Christians' middle-class status and higher education. Since the Second Intifada, 10% of the Christian population have left the city. However, it is likely that there are many other factors, most of which are shared with the Palestinian population as a whole. Economy. Shopping is a major attraction, especially during the Christmas season. The city's main streets and old markets are lined with shops selling Palestinian handicrafts, Middle Eastern spices, jewelry and oriental sweets such as baklawa. Olive wood carvings are the item most purchased by tourists visiting Bethlehem. Religious handicrafts include ornaments handmade from mother-of-pearl, as well as olive wood statues, boxes, and crosses. Other industries include stone and marble-cutting, textiles, furniture and furnishings. Bethlehem factories also produce paints, plastics, synthetic rubber, pharmaceuticals, construction materials and food products, mainly pasta and confectionery. Cremisan Wine, founded in 1885, is a winery run by monks in the Monastery of Cremisan. The grapes are grown mainly in the al-Khader district. In 2007, the monastery's wine production was around 700,000 liters per year. In 2008, Bethlehem hosted the largest economic conference to date in the Palestinian territories. It was initiated by Palestinian Prime Minister and former Finance Minister Salam Fayyad to convince more than a thousand businessmen, bankers and government officials from throughout the Middle East to invest in the West Bank and Gaza Strip. A total of 1.4 billion US dollars was secured for business investments in the Palestinian territories. Tourism is Bethlehem's main industry. Unlike other Palestinian localities prior to 2000, the majority of the employed residents did not have jobs in Israel. More than 20% of the working population is employed in the industry. Tourism accounts for approximately 65% of the city's economy and 11% of the Palestinian National Authority. The city has more than two million visitors every year. Tourism in Bethlehem ground to a halt for over a decade after the Second Intifada, but gradually began to pick back up in the early 2010s. Schneider Electric operates a facility in the Multidisciplinary Industrial Park of Bethlehem, which was developed by the Palestinian government and France. The Church of the Nativity is one of Bethlehem's major tourist attractions and a magnet for Christian pilgrims. It stands in the center of the city — a part of the Manger Square — over a grotto or cave called the Holy Crypt, where Jesus is believed to have been born. Nearby is the Milk Grotto where the Holy Family took refuge on their Flight to Egypt and next door is the cave where St. Jerome spent thirty years creating the Vulgate, the dominant Latin version of the Bible until the Reformation. There are over thirty hotels in Bethlehem. Jacir Palace, built in 1910 near the church, is one of Bethlehem's most successful hotels and its oldest. It was closed down in 2000 due to the Israeli-Palestinian conflict, but reopened in 2005 as the Jacir Palace InterContinental at Bethlehem. The hotel is managed by world renowned international brand — the Intercontinental Hotel Group (IHG) and is second IHG hotel in the country after IHG in Jerusalem. Religious significance and commemoration. Birthplace of Jesus. In the New Testament, the Gospel of Luke says that Jesus' parents traveled from Nazareth to Bethlehem, where Jesus was born. The Gospel of Matthew mentions Bethlehem as the place of birth, and adds that King Herod was told that a 'King of the Jews' had been born in the town, prompting Herod to order the killing of all the boys who were two years old or under in the town and surrounding area. Joseph, warned of Herod's impending action by an angel of the Lord, decided to flee to Egypt with his family and then later settled in Nazareth after Herod's death. Early Christian traditions describe Jesus as being born in Bethlehem: in one account, a verse in the Book of Micah is interpreted as a prophecy that the Messiah would be born there. The second century Christian apologist Justin Martyr stated in his "Dialogue with Trypho" (written c. 155–161) that the Holy Family had taken refuge in a cave outside of the town and then placed Jesus in a manger. Origen of Alexandria, writing around the year 247, referred to a cave in the town of Bethlehem which local people believed was the birthplace of Jesus. This cave was possibly one which had previously been a site of the cult of Tammuz. The Gospel of Mark and the Gospel of John do not include a nativity narrative, but refer to him only as being from Nazareth. In a 2005 article in "Archaeology" magazine, archaeologist Aviram Oshri points to an absence of evidence for the settlement of Bethlehem near Jerusalem at the time when Jesus was born, and postulates that Jesus was born in Bethlehem of Galilee. However, other archaeologists argue that there is evidence that Bethlehem of Judea was inhabited at that time. In a 2011 article in "Biblical Archaeology Review" magazine, Jerome Murphy-O'Connor argues for the traditional position that Jesus was born in Bethlehem near Jerusalem. Christmas celebrations. Christmas rites are held in Bethlehem on three different dates: December 25 is the traditional date by the Roman Catholic and Protestant denominations, but Greek, Coptic and Syrian Orthodox Christians celebrate Christmas on January 6 and Armenian Orthodox Christians on January 19. Most Christmas processions pass through Manger Square, the plaza outside the Basilica of the Nativity. Roman Catholic services take place in St. Catherine's Church and Protestants often hold services at Shepherds' Fields. Other religious festivals. Bethlehem celebrates festivals related to saints and prophets associated with Palestinian folklore. One such festival is the annual Feast of Saint George (al-Khadr) on May 5–6. During the celebrations, Greek Orthodox Christians from the city march in procession to the nearby town of al-Khader to baptize newborns in the waters around the Monastery of St. George and sacrifice a sheep in ritual. The Feast of St. Elijah is commemorated by a procession to Mar Elias, a Greek Orthodox monastery north of Bethlehem. Culture. Embroidery. The women embroiderers of Bethlehem were known for their bridalwear. Bethlehem embroidery was renowned for its "strong overall effect of colors and metallic brilliance." Less formal dresses were made of indigo fabric with a sleeveless coat ("bisht") from locally woven wool worn over top. Dresses for special occasions were made of striped silk with winged sleeves with a short "taqsireh" jacket known as the Bethlehem jacket. The taqsireh was made of velvet or broadcloth, usually with heavy embroidery. Bethlehem work was unique in its use of couched gold or silver cord, or silk cord onto the silk, wool, felt or velvet used for the garment, to create stylized floral patterns with free or rounded lines. This technique was used for "royal" wedding dresses ("thob malak"), taqsirehs and the "shatwehs" worn by married women. It has been traced by some to Byzantium, and by others to the formal costumes of the Ottoman Empire's elite. As a Christian village, local women were also exposed to the detailing on church vestments with their heavy embroidery and silver brocade. Mother-of-pearl carving. The art of mother-of-pearl carving is said to have been a Bethlehem tradition since the 15th century when it was introduced by Franciscan friars from Italy. A constant stream of pilgrims generated a demand for these items, which also provided jobs for women. The industry was noted by Richard Pococke, who visited Bethlehem in 1727. Cultural centers and museums. Bethlehem is home to the Palestinian Heritage Center, established in 1991. The center aims to preserve and promote Palestinian embroidery, art and folklore. The International Center of Bethlehem is another cultural center that concentrates primarily on the culture of Bethlehem. It provides language and guide training, woman's studies and arts and crafts displays, and training. The Bethlehem branch of the Edward Said National Conservatory of Music has about 500 students. Its primary goals are to teach children music, train teachers for other schools, sponsor music research, and the study of Palestinian folklore music. Bethlehem has several museums: The Crib of the Nativity Theatre and Museum offers visitors 31 three-dimensional models depicting the significant stages of the life of Jesus. Its theater presents a 20-minute animated show. The Badd Giacaman Museum, located in the Old City of Bethlehem, dates back to the 18th century and is primarily dedicated to the history and process of olive oil production. Baituna al-Talhami Museum, established in 1972, contains displays of Bethlehem culture. The International Museum of Nativity was built by United Nations Educational, Scientific and Cultural Organization (UNESCO) to exhibit "high artistic quality in an evocative atmosphere". The Palestine Museum of Natural History is the first of its kind and is based on Bethlehem University campus. Local government. Bethlehem is the "muhfaza" (seat) or district capital of the Bethlehem Governorate. Bethlehem held its first municipal elections in 1876, after the "mukhtars" ("heads") of the quarters of Bethlehem's Old City (excluding the Syriac Quarter) made the decision to elect a local council of seven members to represent each clan in the town. A Basic Law was established so that if the victor for mayor was a Catholic, his deputy should be of the Greek Orthodox community. Throughout, Bethlehem's rule by the British and Jordan, the Syriac Quarter was allowed to participate in the election, as were the Ta'amrah Bedouins and Palestinian refugees, hence ratifying the number of municipal members in the council to 11. In 1976, an amendment was passed to allow women to vote and become council members and later the voting age was increased from 21 to 25. There are several branches of political parties on the council, including Communist, Islamist, and secular. The leftist factions of the Palestine Liberation Organization (PLO) such as the Popular Front for the Liberation of Palestine (PFLP) and the Palestinian People's Party (PPP) usually dominate the reserved seats. Hamas gained the majority of the open seats in the 2005 Palestinian municipal elections. Mayors. In the October 2012 municipal elections, Fatah member Vera Baboun won, becoming the first female mayor of Bethlehem. Education. According to the Palestinian Central Bureau of Statistics (PCBS), in 1997, approximately 84% of Bethlehem's population over the age of 10 was literate. Of the city's population, 10,414 were enrolled in schools (4,015 in primary school, 3,578 in secondary and 2,821 in high school). About 14.1% of high school students received diplomas. There were 135 schools in the Bethlehem Governorate in 2006; 100 run the Education Ministry of the Palestinian National Authority, seven by the United Nations Relief and Works Agency (UNRWA) and 28 were private. Bethlehem is home to Bethlehem University, a Catholic Christian co-educational institution of higher learning founded in 1973 in the Lasallian tradition, open to students of all faiths. Bethlehem University is the first university established in the West Bank, and can trace its roots to 1893 when the De La Salle Christian Brothers opened schools throughout Palestine and Egypt. Transportation. Bethlehem has three bus stations owned by private companies which offer service to Jerusalem, Beit Jala, Beit Sahour, Hebron, Nahalin, Battir, al-Khader, al-Ubeidiya and Beit Fajjar. There are two taxi stations that make trips to Beit Sahour, Beit Jala, Jerusalem, Tuqu' and Herodium. There are also two car rental departments: Murad and 'Orabi. Buses and taxis with West Bank licenses are not allowed to enter Israel, including Jerusalem, without a permit. The Israeli construction of the West Bank barrier has affected Bethlehem politically, socially, and economically. The barrier is located along the northern side of the town's built-up area, within distance of houses in the Aida refugee camp on one side, and the Jerusalem municipality on the other. Most entrances and exits from the Bethlehem agglomeration to the rest of the West Bank are currently subjected to Israeli checkpoints and roadblocks. The level of access varies based on Israeli security directives. Travel for Bethlehem's Palestinian residents from the West Bank into Jerusalem is regulated by a permit-system. Palestinians require a permit to enter the Jewish holy site of Rachel's Tomb. Israeli citizens are barred from entering Bethlehem and the nearby biblical Solomon's Pools. Twin towns – sister cities. Bethlehem is twinned with:
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Benjamin
Benjamin ( "Bīnyāmīn"; "Son of (the) right") was the younger of the two sons of Jacob and Rachel, and Jacob's twelfth and youngest son overall in Jewish, Christian and Islamic tradition. He was also considered the progenitor of the Israelite Tribe of Benjamin. Unlike Rachel's first son, Joseph, Benjamin was born in Canaan according to biblical narrative. In the Samaritan Pentateuch, Benjamin's name appears as "" (Samaritan Hebrew: , "son of days"). In the Quran, Benjamin is referred to as a righteous young child, who remained with Jacob when the older brothers plotted against Joseph. Later rabbinic traditions name him as one of four ancient Israelites who died without sin, the other three being Chileab, Jesse and Amram. Name. The name is first mentioned in letters from King Sîn-kāšid of Uruk (1801–1771 BC), who called himself “King of Amnanum” and was a member of the Amorite tribal group the “Binu-Jamina” (single name “Binjamin”; Akkadian ). The name means "Sons/Son of the South" and is linguistically related as a forerunner to the Old Testament name "Benjamin". According to the Hebrew Bible, Benjamin's name arose when Jacob deliberately changed the name "Benoni", the original name of Benjamin, since Benoni was an allusion to Rachel's dying just after she had given birth, as it means "son of my pain". Textual scholars regard these two names as fragments of naming narratives coming from different sources - one being the Jahwist and the other being the Elohist. Unusual for one of the 12 tribes of Israel, the Bible does not explain the etymology of Benjamin's name. Medieval commentator Rashi gives two different explanations, based on Midrashic sources. "Son of the south", with south derived from the word for the right hand side, referring to the birth of Benjamin in Canaan, as compared with the birth of all the other sons of Jacob in Aram. Modern scholars have proposed that "son of the south" / "right" is a reference to the tribe being subordinate to the more dominant tribe of Ephraim. Alternatively, Rashi suggests it means "son of days", meaning a son born in Jacob's old age. The Samaritan Pentateuch consistently spells his name "בנימים", with a terminal mem, ("Binyamim"), which could be translated literally as "spirit man" but is in line with the interpretation that the name was a reference to the advanced age of Jacob when Benjamin was born. According to classical rabbinical sources, Benjamin was only born after Rachel had fasted for a long time, as a religious devotion with the hope of a new child as a reward. By then Jacob had become over 100 years old. Benjamin is treated as a young child in most of the Biblical narrative, but at one point is abruptly described as the father of ten sons. Textual scholars believe that this is the result of the genealogical passage, in which his children are named, being from a much later source than the Jahwist and Elohist narratives, which make up most of the Joseph narrative, and which consistently describe Benjamin as a child. By allusion to the biblical Benjamin, in French, Polish and Spanish, "Benjamin" (/ /, respectively) is a common noun meaning the youngest child of a family, especially a particularly favoured one (with a similar connotation to "baby of the family"). Israelites in Egypt. The Torah's Joseph narrative, at a stage when Joseph is unrecognised by his brothers, describes Joseph as testing whether his brothers have reformed by secretly planting a silver cup in Benjamin's bag. Then, publicly searching the bags for it, and after "finding" it in Benjamin's possession, demanding that Benjamin become his slave as a punishment. The narrative goes on to state that when Judah (on behalf of the other brothers) begged Joseph not to enslave Benjamin and instead enslave him, since enslavement of Benjamin would break Jacob's heart. This caused Joseph to recant and reveal his identity. The midrashic book of Jasher argues that prior to revealing his identity, Joseph asked Benjamin to find his missing brother (i.e. Joseph) via astrology, using an astrolabe-like tool. It continues by stating that Benjamin divined that the "man on the throne" was Joseph, so Joseph identified himself to Benjamin (but not the other brothers), and revealed his scheme (as in the Torah) to test how fraternal the other brothers were. Some classical rabbinical sources argue that Joseph identified himself for other reasons. In these sources, Benjamin swore an oath, on the memory of Joseph, that he was innocent of theft, and, when challenged about how believable the oath would be, explained that remembering Joseph was so important to him that he had named his sons in Joseph's honour. These sources go on to state that Benjamin's oath touched Joseph so deeply that Joseph was no longer able to pretend to be a stranger. In the narrative, just prior to this test, when Joseph had first met all of his brothers (but not identified himself to them), he had held a feast for them; the narrative heavily implies that Benjamin was Joseph's favorite brother, since he is overcome with tears when he first meets Benjamin in particular, and he gives Benjamin five times as much food as he apportions to the others. According to textual scholars, this is really the Jahwist's account of the reunion after Joseph identifies himself, and the account of the threat to enslave Benjamin is just the Elohist's version of the same event, with the Elohist being more terse about Joseph's emotions towards Benjamin, merely mentioning that Benjamin was given five times as many gifts as the others. Jacob's blessing. Upon his death, the patriarch Jacob blesses his youngest son: "Benjamin is a ravenous wolf; In the morning he consumes the foe, And in the evening he divides the spoil" (Genesis 49:27). This wolf symbolism has been interpreted to refer to several elements of the Tribe of Benjamin, including its heroic members like King Saul and Mordecai, the tribe's often warlike nature, and the tribe's jurisdiction over the Temple in Jerusalem in which sacrifices were 'devoured' by flame. Origin. Biblical scholars believe, due to their geographic overlap and their treatment in older passages, that Ephraim and Manasseh were originally considered one tribe, that of "Joseph". According to several biblical scholars, Benjamin was also originally part of this single tribe, but the biblical account of Joseph as his father became lost. The description of Benjamin being born after the arrival in Canaan is thought by some scholars to refer to the tribe of Benjamin coming into existence by branching from the Joseph group after the tribe had settled in Canaan. A number of biblical scholars suspect that the distinction of the "Joseph tribes" (including Benjamin) is that they were the only Israelites which went to Egypt and returned, while the main Israelite tribes simply emerged as a subculture from the Canaanites and had remained in Canaan throughout. According to this view, the story of Jacob's visit to Laban to obtain a wife originated as a metaphor for this migration, with the property and family which were gained from Laban representing the gains of the Joseph tribes by the time they returned from Egypt. According to textual scholars, the Jahwist version of the Laban narrative only mentions the Joseph tribes and Rachel, and does not mention the other tribal matriarchs whatsoever. Benjamin's sons. According to Genesis 46:21, Benjamin had ten sons: Bela, Becher, Ashbel, Gera, Naaman, Ehi, Rosh, Muppim, Huppim, and Ard. The name of his wife/wives are not given, but the Book of Jubilees calls his wife Ijasaka and the Book of Jasher mentions two wives, Mechalia the daughter of Aram and Aribath the daughter of Shomron. The classical rabbinical tradition adds that each son's name honors Joseph: There is a disparity between the list given in Genesis 46 and that in Numbers 26, where the sons of Benjamin are listed along with the tribes they are the progenitors of. Becher, Gera, Ehi, and Rosh are omitted from the second list. Ard and Naaman, who are the sons of Benjamin according to Numbers 26, are listed as the sons of Belah and are the progenitors of the Ardites and the Naamites respectively. In Islam. Though not named in the Quran, Benjamin ( Binyāmīn) is referred to as the righteous youngest son of Jacob, in the narrative of Joseph in Islamic tradition. Apart from that, however, Islamic tradition does not provide much detail regarding Benjamin's life, and refers to him as being born from Jacob's wife Rachel. As with Jewish tradition, it also further links a connection between the names of Benjamin's children and Joseph.
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Black Sabbath
Black Sabbath were an English rock band formed in Birmingham in 1968 by guitarist Tony Iommi, drummer Bill Ward, bassist Geezer Butler, and vocalist Ozzy Osbourne. After adopting the Black Sabbath name in 1969 (the band were previously named Earth, and before that the Polka Tulk Blues Band), they distinguished themselves through occult themes with horror-inspired lyrics and down-tuned guitars. Their first three albums, "Black Sabbath", "Paranoid" (both 1970), and "Master of Reality" (1971), were commercially successful, and are now cited as pioneering albums in the development of heavy metal music. Subsequent albums "Vol. 4" (1972), "Sabbath Bloody Sabbath" (1973), "Sabotage" (1975), "Technical Ecstasy" (1976), and "Never Say Die!" (1978) saw the band explore more experimental and progressive styles. Osbourne was fired from Black Sabbath in 1979 and replaced by former Rainbow vocalist Ronnie James Dio, who recorded three albums with the band, "Heaven and Hell" (1980), "Mob Rules" (1981), and their first authorised live album "Live Evil" (1983), the last two featuring drummer Vinny Appice replacing Ward. Following Dio and Appice's departures, Iommi and Butler recorded "Born Again" (1983) with Ward returning on drums, and Ian Gillan, then-formerly of Deep Purple, on vocals. By 1984, Butler, Ward, and Gillan had all departed, leaving Iommi to assemble a new version of Black Sabbath. For the next 13 years, the band endured many personnel changes that included vocalists Glenn Hughes (another former Deep Purple member, who sang on the 1986 album "Seventh Star") and Tony Martin, as well as several bassists and drummers. Of the vocalists during these years, Martin's tenure was the longest, joining in 1987 and recording three albums – "The Eternal Idol" (1987), "Headless Cross" (1989), and "Tyr" (1990) – before his initial departure in 1991. That same year, Iommi reunited with Butler, Dio and Appice to record "Dehumanizer" (1992), though Dio and Appice both departed again by the end of 1992. Martin returned for two more studio albums, "Cross Purposes" (1994) and "Forbidden" (1995), and one live album, "Cross Purposes Live" (1995), before the band went on a one-year hiatus. The original line-up of Iommi, Osbourne, Butler and Ward reunited in 1997, releasing a live album, "Reunion" (1998), and touring sporadically until 2005. The band went on hiatus in 2006 when the "Mob Rules" line-up (Iommi, Butler, Dio, Appice) reunited as Heaven & Hell, touring during the late 2000s and releasing one studio album, "The Devil You Know" (2009), before disbanding after Dio's death in 2010. The original line-up reunited again in 2011, though Ward departed prior to the recording of their final studio album "13" (2013). To conclude their farewell tour, Black Sabbath played its for eight years in their home city in 2017. Occasional partial reunions have occurred, most notably when Osbourne and Iommi performed at the closing ceremony of the 2022 Commonwealth Games in Birmingham. The original line-up reunited for a final show for both the band and Osbourne as a solo artist, titled Back to the Beginning, at Villa Park on 5 July 2025. Black Sabbath have sold over 70 million records as of 2013, making them one of the most commercially successful heavy metal bands. The band have been referred to as being part of the "unholy trinity of British hard rock and heavy metal in the early to mid-seventies", along with Deep Purple and Led Zeppelin. Black Sabbath were ranked by MTV as the "Greatest Metal Band of All Time" and placed second on VH1's "100 Greatest Artists of Hard Rock" list. "Rolling Stone" magazine ranked them 85 on its "100 Greatest Artists of All Time". They were inducted into the UK Music Hall of Fame in 2005 and Rock and Roll Hall of Fame in 2006. They have won two Grammy Awards for Best Metal Performance, and received a Grammy Lifetime Achievement Award. History. 1968–1969: Formation and early days. Following the break-up of their previous band, Mythology, in 1968, guitarist Tony Iommi and drummer Bill Ward sought to form a heavy blues rock band in Aston, Birmingham. They enlisted bassist Geezer Butler and vocalist Ozzy Osbourne, who had played together in a band called Rare Breed, Osbourne having placed an advertisement in a local music shop: "OZZY ZIG Needs Gig – has own PA". The new group was initially named the Polka Tulk Blues Band, the name taken either from a brand of talcum powder or an Indian/Pakistani clothing shop; the exact origin is confused. The Polka Tulk Blues Band included slide guitarist Jimmy Phillips, a childhood friend of Osbourne's, and saxophonist Alan "Aker" Clarke. After shortening the name to Polka Tulk, the band again changed their name to Earth (which Osbourne hated) and continued as a four-piece without Phillips and Clarke. Iommi became concerned that Phillips and Clarke lacked the necessary dedication and were not taking the band seriously. Rather than asking them to leave, they instead decided to break up and then quietly reformed the band as a four-piece. While the band was performing under the Earth moniker, they recorded several demos written by Norman Haines such as "The Rebel", "When I Came Down" and "Song for Jim", the latter of which being a reference to Jim Simpson, who was a manager for the bands Bakerloo Blues Line and Tea & Symphony, as well as the trumpet player for the group Locomotive. Simpson had recently started a new club named Henry's Blueshouse at The Crown Hotel in Birmingham and offered to let Earth play there after they agreed to waive the usual support band fee in return for free T-shirts. The audience response was positive and Simpson agreed to manage Earth. In December 1968, Iommi abruptly left Earth to join Jethro Tull. Although his stint with the band would be short-lived, Iommi made an appearance with Jethro Tull on "The Rolling Stones Rock and Roll Circus" TV show. Unsatisfied with the direction of Jethro Tull, Iommi returned to Earth by the end of the month. "It just wasn't right, so I left", Iommi said. "At first I thought Tull were great, but I didn't much go for having a leader in the band, which was Ian Anderson's way. When I came back from Tull, I came back with a new attitude altogether. They taught me that to get on, you got to work for it." While playing shows in England in 1969, the band discovered they were being mistaken for another English group named Earth, so they decided to change their name again (this name change would give rise to the well-known debate about the alleged aesthetic influence of Coven, which the British band always denied). A cinema across the street from the band's rehearsal room was showing the 1963 Italian horror film "Black Sabbath," starring Boris Karloff and directed by Mario Bava. While watching people line up to see the film, Butler noted that it was "strange that people spend so much money to see scary movies". Following that, Osbourne and Butler wrote the lyrics for a song called "Black Sabbath", which was inspired by the work of horror and adventure-story writer Dennis Wheatley, along with a vision that Butler had of a black silhouetted figure standing at the foot of his bed. Making use of the musical tritone, also known as "the Devil's Interval", the song's ominous sound and dark lyrics pushed the band in a darker direction, a stark contrast to the popular music of the late 1960s, which was dominated by flower power, folk music and hippie culture. Judas Priest frontman Rob Halford has called the track "probably the most evil song ever written". Inspired by the new sound, the band changed their name to Black Sabbath in August 1969, and made the decision to focus on writing similar material in an attempt to create the musical equivalent of horror films. 1969–1971: "Black Sabbath" and "Paranoid". The band's first show as Black Sabbath took place on 30 August 1969 in Workington, England. They were signed to Philips Records in November 1969. They recorded their first single, "Evil Woman" (a cover of a song by the band Crow), at Trident Studios. "Evil Woman" was released on 9 January 1970 through Philips subsidiary Fontana Records. Later releases were handled by Philips' newly formed progressive rock label, Vertigo Records. "Evil Woman" failed to chart. The band were afforded two days of studio time in November 1969 to record their debut album with producer Rodger Bain. Iommi recalls recording live: "We thought, 'We have two days to do it, and one of the days is mixing.' So we played live. Ozzy was singing at the same time; we just put him in a separate booth and off we went. We never had a second run of most of the stuff". On 11 November 1969 Black Sabbath recorded a four-song session for John Peel's "Top Gear" radio show. The four songs were "Black Sabbath", "N.I.B.", "Behind the Wall of Sleep" and "Sleeping Village". Broadcast on 29 November 1969, this gave them their first exposure to a UK wide audience. Their debut album "Black Sabbath" was released on Friday the 13th, February 1970, and reached number eight in the UK Albums Chart. Following its US and Canadian release in May 1970 by Warner Bros. Records, the album reached number 23 on the "Billboard" 200, where it remained for over a year. The album was given negative reviews by many critics. Lester Bangs dismissed it in a "Rolling Stone" review as "discordant jams with bass and guitar reeling like velocitised speedfreaks all over each other's musical perimeters, yet never quite finding synch". It sold in substantial numbers despite being panned, giving the band their first mainstream exposure. It has since been certified Platinum in both US by the Recording Industry Association of America (RIAA) and in the UK by British Phonographic Industry (BPI), and is now generally accepted as the first heavy metal album. The band returned to the studio in June 1970, just four months after "Black Sabbath" was released. The new album was initially set to be named "War Pigs" after the song "War Pigs", which was critical of the Vietnam War; however, Warner changed the title of the album to "Paranoid". The album's lead single, "Paranoid", was written in the studio at the last minute. Ward explains: "We didn't have enough songs for the album, and Tony just played the [Paranoid] guitar lick and that was it. It took twenty, twenty-five minutes from top to bottom." The single was released in September 1970 and reached number four on the UK Singles Chart, remaining Black Sabbath's only top 10 hit. The album followed in the UK in October 1970, where, pushed by the success of the "Paranoid" single, it reached number one on the UK Albums Chart. The US release was held off until January 1971, as the "Black Sabbath" album was still on the chart at the time of "Paranoid"s UK release. The album reached No. 12 in the US in March 1971, and would go on to sell four million copies in the US with virtually no radio airplay. Like "Black Sabbath", the album was panned by rock critics of the era, but modern-day reviewers such as AllMusic's Steve Huey cite "Paranoid" as "one of the greatest and most influential heavy metal albums of all time", which "defined the sound and style of heavy metal more than any other record in rock history". The album was ranked at number 131 on "Rolling Stone" magazine's list of The 500 Greatest Albums of All Time. "Paranoid"s chart success allowed the band to tour the US for the first time – their first US show was at a club called Ungano's at 210 West 70th Street in New York City – and spawned the release of the album's second single, "Iron Man". Although the single failed to reach the top 40, it remains one of Black Sabbath's most popular songs, as well as the band's highest-charting US single until 1998's "Psycho Man". 1971–1973: "Master of Reality" and "Vol. 4". In February 1971, after a one-off performance at the Myponga Pop Festival in Australia, Black Sabbath returned to the studio to begin work on their third album. Following the chart success of "Paranoid", the band were afforded more studio time, along with a "briefcase full of cash" to buy drugs. "We were getting into coke, big time", Ward explained. "Uppers, downers, Quaaludes, whatever you like. It got to the stage where you come up with ideas and forget them, because you were just so out of it." Production completed in April 1971, and in July the band released "Master of Reality", just six months after the US release of "Paranoid". The album reached the top 10 in the US and the United Kingdom, and was certified Gold in less than two months, eventually receiving Platinum certification in the 1980s and Double Platinum in the early 21st century. It contained Sabbath's first acoustic songs, alongside fan favourites such as "Children of the Grave" and "Sweet Leaf". Critical response of the era was generally unfavourable, with Lester Bangs delivering an ambivalent review of "Master of Reality" in "Rolling Stone", describing the closing "Children of the Grave" as "naïve, simplistic, repetitive, absolute doggerel – but in the tradition [of rock 'n' roll] ... The only criterion is excitement, and Black Sabbath's got it". (In 2003, "Rolling Stone" would place the album at number 300 on their 500 Greatest Albums of All Time list.) Following the "Master of Reality" world tour in 1972, the band took their first break in three years. As Ward explained: "The band started to become very fatigued and very tired. We'd been on the road non-stop, year in and year out, constantly touring and recording. I think "Master of Reality" was kind of like the end of an era, the first three albums, and we decided to take our time with the next album." In June 1972, the band reconvened in Los Angeles to begin work on their next album at the Record Plant. With more time in the studio, the album saw the band experimenting with new textures, such as strings, piano, orchestration and multi-part songs. Recording was plagued with problems, many as a result of substance abuse issues. Struggling to record the song "Cornucopia" after "sitting in the middle of the room, just doing drugs", Ward was nearly fired. "I hated the song, there were some patterns that were just ... horrible," the drummer said. "I nailed it in the end, but the reaction I got was the cold shoulder from everybody. It was like, 'Well, just go home; you're not being of any use right now.' I felt like I'd blown it, I was about to get fired". Butler thought that the end product "was very badly produced, as far as I was concerned. Our then-manager insisted on producing it, so he could claim production costs". The album was originally titled "Snowblind" after the song of the same name, which deals with cocaine abuse. The record company changed the title at the last minute to "Black Sabbath Vol. 4". Ward observed, "There was no Volume 1, 2 or 3, so it's a pretty stupid title, really". "Vol. 4" was released in September 1972, and while critics were dismissive, it achieved Gold status in less than a month, and was the band's fourth consecutive release to sell a million in the US "Tomorrow's Dream" was released as a single – the band's first since "Paranoid" – but failed to chart. Following an extensive tour of the US, in 1973 the band travelled again to Australia, followed by a tour for the first time to New Zealand, before moving onto mainland Europe. "The band were definitely in their heyday", recalled Ward, "in the sense that nobody had burnt out quite yet". 1973–1976: "Sabbath Bloody Sabbath" and "Sabotage". Following the "Vol. 4" world tour, Black Sabbath returned to Los Angeles to begin work on their next release. Pleased with the "Vol. 4" album, the band sought to recreate the recording atmosphere, and returned to the Record Plant studio in Los Angeles. With new musical innovations of the era, the band were surprised to find that the room they had used previously at the Record Plant was replaced by a "giant synthesiser". The band rented a house in Bel Air and began writing in the summer of 1973, but in part because of substance issues and fatigue, they were unable to complete any songs. "Ideas weren't coming out the way they were on "Vol. 4", and we really got discontent", Iommi said. "Everybody was sitting there waiting for me to come up with something. I just couldn't think of anything. And if I didn't come up with anything, nobody would do anything". After a month in Los Angeles with no results, the band opted to return to England. They rented Clearwell Castle in The Forest of Dean. "We rehearsed in the dungeons and it was really creepy, but it had some atmosphere, it conjured up things and stuff started coming out again". While working in the dungeon, Iommi stumbled onto the main riff of "Sabbath Bloody Sabbath", which set the tone for the new material. Recorded at Morgan Studios in London by Mike Butcher and building off the stylistic changes introduced on "Vol. 4", new songs incorporated synthesisers, strings and complex arrangements. Yes keyboardist Rick Wakeman was brought in as a session player, appearing on "Sabbra Cadabra". In November 1973, Black Sabbath began to receive positive reviews in the mainstream press after the release of "Sabbath Bloody Sabbath", with Gordon Fletcher of "Rolling Stone" calling the album "an extraordinarily gripping affair" and "nothing less than a complete success". Later reviewers such as AllMusic's Eduardo Rivadavia cite the album as a "masterpiece, essential to any heavy metal collection", while also displaying "a newfound sense of finesse and maturity". The album marked the band's fifth consecutive Platinum-selling album in the US, reaching number four on the UK Albums Chart and number 11 in the US The band began a world tour in January 1974, which culminated at the California Jam festival in Ontario, California, on 6 April 1974. Attracting over 200,000 fans, Black Sabbath appeared alongside popular 1970s rock and pop bands Deep Purple, Eagles, Emerson, Lake & Palmer, Rare Earth, Seals & Crofts, Black Oak Arkansas and Earth, Wind & Fire. Portions of the show were telecast on ABC Television in the US, exposing the band to a wider American audience. In the same year, the band shifted management, signing with notorious English manager Don Arden. The move caused a contractual dispute with Black Sabbath's former management, and while on stage in the US, Osbourne was handed a subpoena that led to two years of litigation. Black Sabbath began work on their sixth album in February 1975, again in England at Morgan Studios in Willesden, this time with a decisive vision to differ the sound from "Sabbath, Bloody Sabbath". "We could've continued and gone on and on, getting more technical, using orchestras and everything else which we didn't particularly want to. We took a look at ourselves, and we wanted to do a rock album – "Sabbath, Bloody Sabbath" wasn't a rock album, really". Produced by Black Sabbath and Mike Butcher, "Sabotage" was released in July 1975. As with its precursor, the album initially saw favourable reviews, with "Rolling Stone" stating ""Sabotage" is not only Black Sabbath's best record since "Paranoid", it might be their best ever", although later reviewers such as AllMusic noted that "the magical chemistry that made such albums as "Paranoid" and "Volume 4" so special was beginning to disintegrate". "Sabotage" reached the top 20 in both the US and the United Kingdom, but was the band's first release not to achieve Platinum status in the US, only achieving Gold certification. Although the album's only single "Am I Going Insane (Radio)" failed to chart, "Sabotage" features fan favourites such as "Hole in the Sky" and "Symptom of the Universe". Black Sabbath toured in support of "Sabotage" with openers Kiss, but were forced to cut the tour short in November 1975, following a motorcycle accident in which Osbourne ruptured a muscle in his back. In December 1975, the band's record companies released a greatest hits album without input from the band, titled "We Sold Our Soul for Rock 'n' Roll". The album charted throughout 1976, eventually selling two million copies in the US 1976–1979: "Technical Ecstasy", "Never Say Die!", and Osbourne's departure. Black Sabbath began work for their next album at Criteria Studios in Miami, Florida, in June 1976. To expand their sound, the band added keyboard player Gerald Woodroffe, who also had appeared to a lesser extent on "Sabotage". During the recording of "Technical Ecstasy", Osbourne admits that he began losing interest in Black Sabbath and began to consider the possibility of working with other musicians. Recording of "Technical Ecstasy" was difficult; by the time the album was completed, Osbourne was admitted to Stafford County Asylum in Britain. It was released on 22 October 1976 to mixed reviews, and – for the first time – later music critics gave the album less favourable retrospective reviews; two decades after its release, AllMusic gave the album two stars, and noted that the band was "unravelling at an alarming rate". The album featured less of the doomy, ominous sound of previous efforts, and incorporated more synthesisers and uptempo rock songs. "Technical Ecstasy" failed to reach the top 50 in the US and was the band's second consecutive release not to achieve Platinum status, although it was later certified Gold in 1997. The album included "Dirty Women", which remains a live staple, as well as Ward's first lead vocal on the song "It's Alright". Touring in support of "Technical Ecstasy" began in November 1976, with openers Boston and Ted Nugent in the US, and completed in Europe with AC/DC in April 1977. In late 1977, while in rehearsal for their next album and just days before the band was set to enter the studio, Osbourne abruptly quit the band. Iommi called vocalist Dave Walker, a longtime friend of the band who had previously been a member of Fleetwood Mac and Savoy Brown, and informed him that Osbourne had left the band. Walker, who was at that time fronting a band called Mistress, flew to Birmingham from California in late 1977 to write material and rehearse with Black Sabbath. On 8 January 1978, Walker made his only live performance with Black Sabbath, on vocals, when they played an early version of the song "Junior's Eyes" on the BBC Television programme "Look! Hear!" Walker later recalled that, while in Birmingham, he had bumped into Osbourne in a pub and came to the conclusion that Osbourne was not fully committed to leaving Black Sabbath. "The last Sabbath albums were just very depressing for me", Osbourne said. "I was doing it for the sake of what we could get out of the record company, just to get fat on beer and put a record out." Walker has said that he wrote a lot of lyrics during his brief time in the band, but none of them were ever used. If any recordings of this version of the band other than the "Look! Hear!" footage still exist, Walker says that he is not aware of them. Osbourne initially set out to form a solo project featuring former Dirty Tricks members John Frazer-Binnie, Terry Horbury and Andy Bierne. As the new band were in rehearsals in January 1978, Osbourne had a change of heart and rejoined Black Sabbath. "Three days before we were due to go into the studio, Ozzy wanted to come back to the band", Iommi explained. "He wouldn't sing any of the stuff we'd written with the other guy (Walker), so it made it very difficult. We went into the studio with basically no songs. We'd write in the morning so we could rehearse and record at night. It was so difficult, like a conveyor belt, because you couldn't get time to reflect on stuff. 'Is this right? Is this working properly?' It was very difficult for me to come up with the ideas and putting them together that quick". The band spent five months at Sounds Interchange Studios in Toronto, Ontario, Canada, writing and recording what would become "Never Say Die!". "It took quite a long time", Iommi said. "We were getting really drugged out, doing a lot of dope. We'd go down to the sessions, and have to pack up because we were too stoned, we'd have to stop. Nobody could get anything right, we were all over the place, everybody's playing a different thing. We'd go back and sleep it off, and try again the next day". The album was released on 29 September 1978, reaching number 12 in the United Kingdom and number 69 in the US Press response was unfavourable and did not improve over time, with Eduardo Rivadavia of AllMusic stating two decades after its release that the album's "unfocused songs perfectly reflected the band's tense personnel problems and drug abuse". The album featured the singles "Never Say Die" and "Hard Road", both of which cracked the top 40 in the United Kingdom. The band also made their second appearance on the BBC's "Top of the Pops", performing "Never Say Die". It took nearly 20 years for the album to be certified Gold in the US Touring in support of "Never Say Die!" began in May 1978 with openers Van Halen. Reviewers called Black Sabbath's performance "tired and uninspired", a stark contrast to the "youthful" performance of Van Halen, who were touring the world for the first time. The band filmed a performance at the Hammersmith Odeon in June 1978, which was later released on DVD as "Never Say Die". The final show of the tour – and Osbourne's last appearance with the band until later reunions – was in Albuquerque, New Mexico, on 11 December. Following the tour, Black Sabbath returned to Los Angeles and again rented a house in Bel Air, where they spent nearly a year working on new material for the next album. The entire band were abusing both alcohol and other drugs, but Iommi says Osbourne "was on a totally different level altogether". The band would come up with new song ideas, but Osbourne showed little interest and would refuse to sing them. Pressure from the record label and frustrations with Osbourne's lack of input coming to a head, Iommi made the decision to fire Osbourne in 1979. Iommi believed the only options available were to fire Osbourne or break the band up completely. "At that time, Ozzy had come to an end", Iommi said. "We were all doing a lot of drugs, a lot of coke, a lot of everything, and Ozzy was getting drunk so much at the time. We were supposed to be rehearsing and nothing was happening. It was like, 'Rehearse today? No, we'll do it tomorrow.' It really got so bad that we didn't do anything. It just fizzled out". Ward, who was close with Osbourne, was chosen by Iommi to break the news to the singer on 27 April 1979. "I hope I was professional, I might not have been, actually. When I'm drunk I am horrible, I am horrid", Ward said. "Alcohol was definitely one of the most damaging things to Black Sabbath. We were destined to destroy each other. The band were toxic, very toxic". 1979–1982: Dio joins, "Heaven and Hell" and "Mob Rules". While Don Arden was trying to convince Osbourne to rejoin Black Sabbath, as he viewed the original line-up as the most profitable, the band hired former Rainbow frontman Ronnie James Dio as Osbourne's replacement, and they began writing their next album. With a notably different vocal style from Osbourne's, Dio's addition to the band marked a change in Black Sabbath's sound. "They were totally different altogether", Iommi explains. "Not only voice-wise, but attitude-wise. Ozzy was a great showman, but when Dio came in, it was a different attitude, a different voice and a different musical approach, as far as vocals. Dio would sing "across" the riff, whereas Ozzy would follow the riff, like in "Iron Man". Ronnie came in and gave us another angle on writing." Butler temporarily left the band in September 1979 to deal with the divorce from his first wife. According to Dio, the band initially hired Craig Gruber, with whom Dio had previously played while in Elf and Rainbow, on bass to assist with writing the new album. Gruber was soon replaced by Geoff Nicholls of Quartz. The new line-up returned to Criteria Studios in November to begin recording work, with Butler returning to the band in January 1980 and Nicholls moving to keyboards. Produced by Martin Birch, "Heaven and Hell" was released on 25 April 1980, to critical acclaim. Over a decade after its release, AllMusic said the album was "one of Sabbath's finest records, the band sounds reborn and re-energised throughout". "Heaven and Hell" peaked at number nine in the United Kingdom and number 28 in the US, the band's highest-charting album since "Sabotage". The album eventually sold a million copies in the US, and the band embarked on an extensive world tour, making their first live appearance with Dio in Germany on 17 April 1980. Black Sabbath toured the US throughout 1980 with Blue Öyster Cult on the "Black and Blue" tour, with a show at Nassau Coliseum in Uniondale, New York, filmed for Don Kirshner's Rock Concert and later released theatrically in 1981 as "Black and Blue". On 26 July 1980, the band played to 75,000 fans at a sold-out Los Angeles Memorial Coliseum with Journey, Cheap Trick and Molly Hatchet. The next day, the band appeared at the 1980 Day on the Green at Oakland Coliseum. While on tour, Black Sabbath's former label in England issued a live album culled from a seven-year-old performance, titled "Live at Last" without any input from the band. The album reached number five on the UK chart and saw the re-release of "Paranoid" as a single, which reached the top 20. On 18 August 1980, after a show in Bloomington, Minnesota, Ward quit the band. "It was intolerable for me to get on the stage without Ozzy. And I drank 24 hours a day, my alcoholism accelerated". Butler stated that after Ward's final show, the drummer came in drunk, stating that "he might as well be a Martian". Ward then got angry, packed his things and got on a bus to leave. Following Ward's sudden departure, the group hired drummer Vinny Appice. Further trouble for the band came during their 9 October 1980 concert at the Milwaukee Arena, which degenerated into a riot that caused $10,000 in damages to the arena and resulted in 160 arrests. According to the Associated Press: "The crowd of mostly adolescent males first became rowdy in a performance by the Blue Oyster Cult" and then grew restless while waiting an hour for Black Sabbath to begin playing. A member of the audience threw a beer bottle that struck Butler and effectively ended the show. "The band then abruptly halted its performance and began leaving" as the crowd rioted. The band completed the "Heaven and Hell" world tour in February 1981 and returned to the studio to begin work on their next album. Black Sabbath's second studio album that was produced by Martin Birch and featured Ronnie James Dio as vocalist, "Mob Rules", was released in October 1981 and was well received by fans, but less so by critics. "Rolling Stone" reviewer J. D. Considine gave the album one star, claiming ""Mob Rules" finds the band as dull-witted and flatulent as ever". Like most of the band's earlier work, time helped to improve the opinions of the music press. A decade after its release, AllMusic's Eduardo Rivadavia called "Mob Rules" "a magnificent record". The album was certified Gold and reached the top 20 on the UK chart. The album's title track, "The Mob Rules", which was recorded at John Lennon's old house in England, was also featured in the 1981 animated film "Heavy Metal", although the film version is an alternate take and differs from the album version. Unhappy with the quality of 1980's "Live at Last", the band recorded another live album – titled "Live Evil –" during the "Mob Rules" world tour, across the United States in Dallas, San Antonio and Seattle, in 1982. During the mixing process for the album, Iommi and Butler had a falling-out with Dio. Misinformed by their then-current mixing engineer, Iommi and Butler accused Dio of sneaking into the studio at night to raise the volume of his vocals. In addition, Dio was not satisfied with the pictures of him in the artwork. Butler also accused Dio and Appice of working on a solo album during the album's mixing without telling the other members of Black Sabbath. "Ronnie wanted more say in things", Iommi said. "And Geezer would get upset with him and that is where the rot set in. "Live Evil" is when it all fell apart. Ronnie wanted to do more of his own thing, and the engineer we were using at the time in the studio didn't know what to do, because Ronnie was telling him one thing and we were telling him another. At the end of the day, we just said, 'That's it, the band is over'". "When it comes time for the vocal, nobody tells me what to do. Nobody! Because they're not as good as me, so I do what I want to do", Dio later said. "I refuse to listen to "Live Evil", because there are too many problems. If you look at the credits, the vocals and drums are listed off to the side. Open up the album and see how many pictures there are of Tony, and how many there are of me and Vinny". Ronnie James Dio left Black Sabbath in November 1982 to start his own band and took drummer Vinny Appice with him. "Live Evil" was released in January 1983, but was overshadowed by Ozzy Osbourne's Platinum-selling album "Speak of the Devil". 1982–1984: Gillan as singer and "Born Again". The remaining original members, Iommi and Butler, began auditioning singers for the band's next release. Deep Purple and Whitesnake's David Coverdale, Samson's Nicky Moore and Lone Star's John Sloman were all considered, and Iommi states in his autobiography that Michael Bolton auditioned, though this claim has been disputed, with Butler suggesting that Iommi concocted the story as "a joke" and Bolton insisting it was "only a rumour". The band settled on then-former Deep Purple vocalist Ian Gillan to replace Dio in December 1982. The project was initially not to be called Black Sabbath, but pressure from the record label forced the group to retain the name. The band entered The Manor Studios in Shipton-on-Cherwell, Oxfordshire, in June 1983 with a returned and newly sober Bill Ward on drums. "That was the very first album that I ever did clean and sober," Ward recalled. "I only got drunk "after" I finished all my work on the album – which wasn't a very good idea... Sixty to seventy per cent of my energy was taken up on learning how to get through the day without taking a drink and learning how to do things without drinking, and thirty per cent of me was involved in the album." "Born Again" (9 September 1983) was panned on release by critics. Despite this negative reception, it reached number four in the UK, and number 39 in the US Even three decades after its release, AllMusic's Eduardo Rivadavia called the album "dreadful", noting that "Gillan's bluesy style and humorous lyrics were completely incompatible with the lords of doom and gloom". Unable to tour because of the pressures of the road, Ward quit the band. "I fell apart with the idea of touring," he later explained. "I got so much fear behind touring, I didn't talk about the fear, I drank behind the fear instead and that was a big mistake." He was replaced by former Move and Electric Light Orchestra drummer Bev Bevan for the "Born Again" '83–'84 world tour, (often unofficially referred to as the 'Feighn Death Sabbath '83–'84' World Tour) which began in Europe with Diamond Head, and later in the US with Quiet Riot and Night Ranger. The band headlined the 1983 Reading Festival in England, adding Deep Purple's "Smoke on the Water" to their encore. The tour in support of "Born Again" included a giant set of the Stonehenge monument. In a move later parodied in the mockumentary "This Is Spinal Tap", the band made a mistake in ordering the set piece. Butler explained: 1984–1987: Hiatus, Hughes as singer, "Seventh Star", and Gillen as singer. Following the completion of the "Born Again" tour in March 1984, vocalist Ian Gillan left Black Sabbath to re-join Deep Purple, which was reforming after a long hiatus. Bevan left at the same time, and Gillan remarked that he and Bevan were made to feel like "hired help" by Iommi. The band then recruited an unknown Los Angeles vocalist named David Donato and Ward once again rejoined the band. The new line-up wrote and rehearsed throughout 1984, and eventually recorded a demo with producer Bob Ezrin in October. Unhappy with the results, the band parted ways with Donato shortly after. Disillusioned with the band's revolving line-up, Ward left shortly after stating "This isn't Black Sabbath". Butler would quit Sabbath next in November 1984 to form a solo band. "When Ian Gillan took over that was the end of it for me," he said. "I thought it was just a joke and I just totally left. When we got together with Gillan it was not supposed to be a Black Sabbath album. After we had done the album we gave it to Warner Bros. and they said they were going to put it out as a Black Sabbath album and we didn't have a leg to stand on. I got really disillusioned with it and Gillan was really pissed off about it. That lasted one album and one tour and then that was it." One vocalist whose status is disputed, both inside and outside Sabbath, is Christian evangelist and former Joshua frontman Jeff Fenholt. Fenholt insists he was a singer in Sabbath between January and May 1985. Iommi has never confirmed this. Fenholt gives a detailed account in Garry Sharpe-Young's book "Sabbath Bloody Sabbath: The Battle for Black Sabbath". Following both Ward's and Butler's exits, sole remaining original member Iommi put Sabbath on hiatus, and began work on a solo album with long-time Sabbath keyboardist Geoff Nicholls. While working on new material, the original Sabbath line-up agreed to a spot at Bob Geldof's Live Aid, performing at the Philadelphia show on 13 July 1985. This event – which also featured reunions of The Who and Led Zeppelin – marked the first time the original line-up had appeared on stage since 1978. "We were all drunk when we did Live Aid," recalled Geezer Butler, "but we'd all got drunk separately." Returning to his solo work, Iommi enlisted bassist Dave Spitz (ex-Great White), drummer Eric Singer and initially intended to use multiple singers, including Rob Halford of Judas Priest, former Deep Purple and Trapeze vocalist Glenn Hughes, and former Sabbath vocalist Ronnie James Dio. This plan did not work as he forecasted. "We were going to use different vocalists on the album, guest vocalists, but it was so difficult getting it together and getting releases from their record companies. Glenn Hughes came along to sing on one track and we decided to use him on the whole album." The band spent the remainder of the year in the studio, recording what would become "Seventh Star" (1986). Warner Bros. refused to release the album as a Tony Iommi solo release, instead insisting on using the name Black Sabbath. Pressured by the band's manager, Don Arden, the two compromised and released the album as "Black Sabbath featuring Tony Iommi" in January 1986. "It opened up a whole can of worms," Iommi explained. "If we could have done it as a solo album, it would have been accepted a lot more." "Seventh Star" sounded little like a Sabbath album, incorporating instead elements popularised by the 1980s Sunset Strip hard rock scene. It was panned by the critics of the era, although later reviewers such as AllMusic gave album verdicts, calling the album "often misunderstood and underrated". The new line-up rehearsed for six weeks preparing for a full world tour, although the band were eventually forced to use the Sabbath name. "I was into the 'Tony Iommi project', but I wasn't into the Black Sabbath moniker," Hughes said. "The idea of being in Black Sabbath didn't appeal to me "whatsoever". Glenn Hughes singing in Black Sabbath is like James Brown singing in Metallica. It wasn't gonna work." Just four days before the start of the tour, Hughes got into a bar fight with the band's production manager John Downing which splintered the singer's orbital bone. The injury interfered with Hughes' ability to sing, and the band brought in vocalist Ray Gillen to continue the tour with W.A.S.P. and Anthrax, although nearly half of the US dates would be cancelled because of poor ticket sales. Black Sabbath began work on new material in October 1986 at AIR Studios in Montserrat with producer Jeff Glixman. The recording was fraught with problems from the beginning, as Glixman left after the initial sessions to be replaced by producer Vic Coppersmith-Heaven. Bassist Dave Spitz quit over "personal issues", and former Rainbow and Ozzy Osbourne bassist Bob Daisley was brought in. Daisley re-recorded all of the bass tracks, and wrote the album's lyrics, but before the album was complete, he left to join Gary Moore's backing band, taking drummer Eric Singer with him. After problems with second producer Coppersmith-Heaven, the band returned to Morgan Studios in England in January 1987 to work with new producer Chris Tsangarides. While working in the United Kingdom, new vocalist Ray Gillen abruptly left Black Sabbath to form Blue Murder with guitarist John Sykes (ex-Tygers of Pan Tang, Thin Lizzy, Whitesnake) and then Badlands with former Osbourne guitarist Jake E. Lee. The band auditioned a number of singers, including Jon Oliva of Savatage. 1987–1990: Martin joins, "The Eternal Idol", "Headless Cross", and "Tyr". The band enlisted heavy metal vocalist Tony Martin to re-record Gillen's tracks, and former Electric Light Orchestra drummer Bev Bevan to complete a few percussion overdubs. Before the release of the new album Black Sabbath accepted an offer to play six shows at Sun City, South Africa during the apartheid era. The band drew criticism from activists and artists involved with Artists United Against Apartheid, who had been boycotting South Africa since 1985. Drummer Bev Bevan refused to play the shows, and was replaced by Terry Chimes, formerly of the Clash, while Dave Spitz returned on bass. After nearly a year in production, "The Eternal Idol" was released in November 1987 and ignored by contemporary reviewers. On-line internet era reviews were mixed. AllMusic said that "Martin's powerful voice added new fire" to the band, and the album contained "some of Iommi's heaviest riffs in years". "Blender" gave the album two stars, claiming the album was "Black Sabbath in name only". The album would stall at No. 66 in the United Kingdom, while peaking at 168 in the US The band toured in support of "Eternal Idol" in Germany, Italy and for the first time, Greece. In part due to a backlash from promoters over the South Africa incident, other European shows were cancelled. Bassist Dave Spitz left the band again shortly before the tour, and was replaced by Jo Burt, formerly of Virginia Wolf. Following the poor commercial performance of "The Eternal Idol", Black Sabbath were dropped by both Vertigo Records and Warner Bros. Records, and signed with I.R.S. Records. The band took time off in 1988, returning in August to begin work on their next album. As a result of the recording troubles with "Eternal Idol", Tony Iommi opted to produce the band's next album himself. "It was a completely new start", Iommi said. "I had to rethink the whole thing, and decided that we needed to build up some credibility again". Iommi enlisted former Rainbow drummer Cozy Powell, long-time keyboardist Nicholls and session bassist Laurence Cottle, and rented a "very cheap studio in England". Black Sabbath released "Headless Cross" in April 1989, and it was also ignored by contemporary reviewers, although AllMusic contributor Eduardo Rivadavia gave the album four stars and called it "the finest non-Ozzy or Dio Black Sabbath album". Anchored by the number 62 charting single "Headless Cross", the album reached number 31 on the UK chart, and number 115 in the US Queen guitarist Brian May, a good friend of Iommi's, played a guest solo on the song "When Death Calls". Following the album's release the band added touring bassist Neil Murray, formerly of Colosseum II, National Health, Whitesnake, Gary Moore's backing band, and Vow Wow. The unsuccessful "Headless Cross" US tour began in May 1989 with openers Kingdom Come and Silent Rage, but because of poor ticket sales, the tour was cancelled after just eight shows. The European leg of the tour began in September, where the band were enjoying chart success. After a string of Japanese shows the band embarked on a 23 date Russian tour with Girlschool. Black Sabbath was one of the first bands to tour Russia, after Mikhail Gorbachev opened the country to western acts for the first time in 1989. The band returned to the studio in February 1990 to record "Tyr", the follow-up to "Headless Cross". While not technically a concept album, some of the album's lyrical themes are loosely based on Norse mythology. "Tyr" was released on 6 August 1990, reaching number 24 on the UK albums chart, but was the first Black Sabbath release not to break the "Billboard" 200 in the US The album would receive mixed internet-era reviews, with AllMusic noting that the band "mix myth with metal in a crushing display of musical synthesis", while "Blender" gave the album just one star, claiming that "Iommi continues to besmirch the Sabbath name with this unremarkable collection". The band toured in support of "Tyr" with Circus of Power in Europe, but the final seven United Kingdom dates were cancelled because of poor ticket sales. For the first time in their career, the band's touring cycle did not include US dates. 1990–1992: Dio rejoins and "Dehumanizer". While on his "Lock Up the Wolves" US tour in August 1990, former Sabbath vocalist Ronnie James Dio was joined onstage at the Roy Wilkins Auditorium by Geezer Butler to perform "Neon Knights". Following the show, the two expressed interest in rejoining Sabbath. Butler convinced Iommi, who in turn broke up the current line-up, dismissing vocalist Tony Martin and bassist Neil Murray. "I do regret that in a lot of ways," Iommi said. "We were at a good point then. We decided to [reunite with Dio] and I don't even know why, really. There's the financial aspect, but that wasn't it. I seemed to think maybe we could recapture something we had." Dio and Butler joined Iommi and Cozy Powell in autumn 1990 to begin the next Sabbath release. While rehearsing in November, Powell suffered a broken hip when his horse died and fell on the drummer's legs. Unable to complete the album, Powell was replaced by former drummer Vinny Appice, reuniting the "Mob Rules" line-up, and the band entered the studio with producer Reinhold Mack. The year-long recording was plagued with problems, primarily stemming from writing tension between Iommi and Dio. Songs were rewritten multiple times. "It was just hard work," Iommi said. "We took too long on it, that album cost us a million dollars, which is bloody ridiculous." Dio recalled the album as difficult, but worth the effort: "It was something we had to really wring out of ourselves, but I think that's why it works. Sometimes you need that kind of tension, or else you end up making the Christmas album". The resulting "Dehumanizer" was released on 22 June 1992. In the US, the album was released on 30 June 1992 by Reprise Records, as Dio and his namesake band were still under contract to the label at the time. While the album received mixed , it was the band's biggest commercial success in a decade. Anchored by the top 40 rock radio single "TV Crimes", the album peaked at number 44 on the "Billboard 200." The album also featured "Time Machine", a version of which had been recorded for the 1992 film "Wayne's World". Additionally, the perception among fans of a return of some semblance of the "real" Sabbath provided the band with much needed momentum. Sabbath began touring in support of "Dehumanizer" in July 1992 with Testament, Danzig, Prong, and Exodus. While on tour, former vocalist Ozzy Osbourne announced his first retirement, and invited Sabbath to open for his solo band at the final two shows of his "No More Tours" tour in Costa Mesa, California. The band agreed, aside from Dio, who told Iommi, "I'm not doing that. I'm not supporting a clown." Dio spoke of the situation years later: Dio quit Sabbath following a show in Oakland, California on 13 November 1992, one night before the band were set to appear at Osbourne's retirement show. Judas Priest vocalist Rob Halford stepped in at the last minute, performing two nights with the band. Iommi and Butler joined Osbourne and former drummer Ward on stage for the first time since 1985's Live Aid concert, performing a brief set of Sabbath songs. This set the stage for a longer-term reunion of the original line-up, though that plan proved short-lived. "Ozzy, Geezer, Tony and Bill announced the reunion of Black Sabbath – again," remarked Dio. "And I thought that it was a great idea. But I guess Ozzy didn't think it was such a great idea... I'm never surprised when it comes to whatever happens with them. Never at all. They are very predictable. They don't talk." 1992–1997: Martin rejoins, "Cross Purposes", and "Forbidden". Drummer Vinny Appice left the band following the reunion show to rejoin Ronnie James Dio's solo band, later appearing on Dio's "Strange Highways" and "Angry Machines". Iommi and Butler enlisted former Rainbow drummer Bobby Rondinelli, and reinstated former vocalist Tony Martin. The band returned to the studio to work on new material, although the project was not originally intended to be released under the Black Sabbath name. As Geezer Butler explains: Under pressure from their record label, the band released their seventeenth studio album, "Cross Purposes", on 8 February 1994, under the Black Sabbath name. The album received mixed reviews, with "Blender" giving the album two stars, calling Soundgarden's 1994 album "Superunknown" "a far better Sabbath album than this by-the-numbers potboiler". AllMusic's Bradley Torreano called "Cross Purposes" "the first album since "Born Again" that actually sounds like a real Sabbath record". The album just missed the Top 40 in the UK reaching number 41, and also reached 122 on the "Billboard" 200 in the US "Cross Purposes" contained the song "Evil Eye", which was co-written by Van Halen guitarist Eddie Van Halen, although uncredited because of record label restrictions. Touring in support of "Cross Purposes" began in February with Morbid Angel and Motörhead in the US The band filmed a live performance at the Hammersmith Apollo on 13 April 1994, which was released on VHS accompanied by a CD, titled "Cross Purposes Live". After the European tour with Cathedral and Godspeed in June 1994, drummer Bobby Rondinelli quit the band and was replaced by original Black Sabbath drummer Ward for five shows in South America. Following the touring cycle for "Cross Purposes", bassist Geezer Butler quit the band for the second time. "I finally got totally disillusioned with the last Sabbath album, and I much preferred the stuff I was writing to the stuff Sabbath were doing". Butler formed a solo project called GZR, and released "Plastic Planet" in 1995. The album contained the song "Giving Up the Ghost", which was critical of Tony Iommi for carrying on with the Black Sabbath name, with the lyrics: "You plagiarised and parodied / the magic of our meaning / a legend in your own mind / left all your friends behind / you can't admit that you're wrong / the spirit is dead and gone" ("I heard it's something about me..." said Iommi. "I had the album given to me a while back. I played it once, then somebody else had it, so I haven't really paid any attention to the lyrics... It's nice to see him doing his own thing – getting things off his chest. I don't want to get into a rift with Geezer. He's still a friend." Following Butler's departure, newly returned drummer Ward once again left the band. Iommi reinstated former members Neil Murray on bass and Cozy Powell on drums, effectively reuniting the 1990 "Tyr" line-up. The band enlisted Body Count guitarist Ernie C to produce the new album, which was recorded in London in autumn of 1994. The album featured a guest vocal on "Illusion of Power" by Body Count vocalist Ice-T. The resulting "Forbidden" was released on 8 June 1995, but failed to chart in the US The album was widely panned by critics; AllMusic's Bradley Torreano said "with boring songs, awful production, and uninspired performances, this is easily avoidable for all but the most enthusiastic fan"; while "Blender" magazine called "Forbidden" "an embarrassment... the band's worst album". Black Sabbath embarked on a world tour in July 1995 with openers Motörhead and Tiamat, but two months into the tour, drummer Cozy Powell left the band, citing health issues, and was replaced by former drummer Bobby Rondinelli. "The members I had in the last lineup – Bobby Rondinelli, Neil Murray – they're great, great characters..." Iommi told Sabbath fanzine "Southern Cross". "That, for me, was an ideal lineup. I wasn't sure vocally what we should do, but Neil Murray and Bobby Rondinelli I really got on well with." After completing Asian dates in December 1995, Tony Iommi put the band on hiatus, and began work on a solo album with former Black Sabbath vocalist Glenn Hughes, and former Judas Priest drummer Dave Holland. The album was not officially released following its completion, although a widely traded bootleg called "Eighth Star" surfaced soon after. The album was officially released in 2004 as "The 1996 DEP Sessions", with Holland's drums re-recorded by session drummer Jimmy Copley. In 1997, Tony Iommi disbanded the current line-up to officially reunite with Ozzy Osbourne and the original Black Sabbath line-up. Vocalist Tony Martin claimed that an original line-up reunion had been in the works since the band's brief reunion at Ozzy Osbourne's 1992 Costa Mesa show, and that the band released subsequent albums to fulfill their record contract with I.R.S. Records. Martin later recalled "Forbidden" (1995) as a "filler album that got the band out of the label deal, rid of the singer, and into the reunion. However I wasn't privy to that information at the time". I.R.S. Records released a compilation album in 1996 to fulfill the band's contract, titled "The Sabbath Stones", which featured songs from "Born Again" (1983) to "Forbidden" (1995). 1997–2006: Osbourne rejoins and "Reunion". In the summer of 1997, Iommi, Butler and Osbourne reunited to coheadline the Ozzfest tour alongside Osbourne's solo band. The line-up featured Osbourne's drummer Mike Bordin filling in for Ward. "It started off with me going off to join Ozzy for a couple of numbers," explained Iommi, "and then it got into Sabbath doing a short set, involving Geezer. And then it grew as it went on... We were concerned in case Bill couldn't make it – couldn't do it – because it was a lot of dates, and important dates... The only rehearsal that we had to do was for the drummer. But I think if Bill had come in, it would have took a lot more time. We would have had to focus a lot more on him." In December 1997, the group was joined by Ward, marking the first reunion of the original quartet since Osbourne's 1992 "retirement show". This line-up recorded two shows at the Birmingham NEC, released as the double album "Reunion" on 20 October 1998. The album reached number eleven on the "Billboard" 200, went platinum in the US and spawned the single "Iron Man", which won Sabbath their first Grammy Award in 2000 for Best Metal Performance, 30 years after the song was originally released. "Reunion" featured two new studio tracks, "Psycho Man" and "Selling My Soul", both of which cracked the top 20 of the "Billboard Mainstream Rock Tracks" chart. Shortly before a European tour in the summer of 1998, Ward had a heart attack and was temporarily replaced by former drummer Vinny Appice. Ward returned for a US tour with openers Pantera, which began in January 1999 and continued through the summer, headlining the annual Ozzfest tour. Following these appearances, the band was put on hiatus while members worked on solo material. Iommi released his first official solo album, "Iommi", in 2000, while Osbourne continued work on "Down to Earth" (2001). Sabbath returned to the studio to work on new material with all four original members and producer Rick Rubin in the spring of 2001, but the sessions were halted when Osbourne was called away to finish tracks for his solo album in the summer. "It just came to an end..." Iommi said. "It's a shame because [the songs] were really Iommi commented on the difficulty getting all the members together to work: In March 2002, Osbourne's Emmy-winning reality show "The Osbournes" debuted on MTV, and quickly became a worldwide hit. The show introduced Osbourne to a broader audience and to capitalise, the band's back catalogue label, Sanctuary Records released a double live album "Past Lives" (2002), which featured concert material recorded in the 1970s, including the "Live at Last" (1980) album. The band remained on hiatus until the summer of 2004 when they returned to headline Ozzfest 2004 and 2005. In November 2005, Black Sabbath were inducted into the UK Music Hall of Fame, and in March 2006, after eleven years of eligibility—Osbourne famously refused the Hall's "meaningless" initial nomination in 1999—the band were inducted into the US Rock and Roll Hall of Fame. At the awards ceremony Metallica played two Sabbath songs, "Hole in the Sky" and "Iron Man" in tribute. 2006–2010: "The Dio Years" and Heaven & Hell. While Ozzy Osbourne was working on new solo album material in 2006, Rhino Records released "", a compilation of songs culled from the four Black Sabbath releases featuring Ronnie James Dio. For the release, Iommi, Butler, Dio, and Appice reunited to write and record three new songs as Black Sabbath. "The Dio Years" was released on 3 April 2007, reaching number 54 on the "Billboard" 200, while the single "The Devil Cried" reached number 37 on the "Mainstream Rock Tracks" chart. Pleased with the results, Iommi and Dio decided to reunite the Dio era line-up for a world tour. While the line-up of Osbourne, Butler, Iommi, and Ward was still officially called Black Sabbath, the new line-up opted to call themselves Heaven & Hell, after the album of the same title, to avoid confusion. When asked about the name of the group, Iommi stated "it really is Black Sabbath, whatever we do... so everyone knows what they're getting [and] so people won't expect to hear 'Iron Man' and all those songs. We've done them for so many years, it's nice to do just all the stuff we did with Ronnie again." Ward was initially set to participate, but dropped out before the tour began due to musical differences with "a couple of the band members". He was replaced by former drummer Vinny Appice, effectively reuniting the line-up that had featured on the "Mob Rules" (1981) and "Dehumanizer" (1992) albums. Heaven & Hell toured the US with openers Megadeth and Machine Head, and recorded a live album and DVD in New York on 30 March 2007, titled "Live from Radio City Music Hall". In November 2007, Dio confirmed that the band had plans to record a new studio album, which was recorded in the following year. In April 2008 the band announced the upcoming release of a new box set and their participation in the Metal Masters Tour, alongside Judas Priest, Motörhead and Testament. The box set, "The Rules of Hell", featuring remastered versions of all the Dio fronted Black Sabbath albums, was supported by the Metal Masters Tour. In 2009, the band announced the title of their debut studio album, "The Devil You Know", released on 28 April. On 26 May 2009, Osbourne filed suit in a federal court in New York against Iommi alleging that he illegally claimed the band name. Iommi noted that he had been the only constant band member for its full 41-year career and that his bandmates relinquished their rights to the name in the 1980s, therefore claiming more rights to the name of the band. Although in the suit, Osbourne was seeking 50% ownership of the trademark, he said that he hoped the proceedings would lead to equal ownership among the four original members. In March 2010, Black Sabbath announced that along with Metallica they would be releasing a limited edition single together to celebrate Record Store Day. It was released on 17 April 2010. Ronnie James Dio died on 16 May 2010 from stomach cancer. In June 2010, the legal battle between Ozzy Osbourne and Tony Iommi over the trademarking of the Black Sabbath name ended, but the terms of the settlement have not been disclosed. 2010–2014: Second Osbourne reunion and "13". In a January 2010 interview while promoting his biography "I Am Ozzy", Osbourne stated that although he would not rule it out, he was doubtful there would be a reunion with all four original members of the band. Osbourne stated: "I'm not gonna say I've written it out forever, but right now I don't think there's any chance. But who knows what the future holds for me? If it's my destiny, fine." In July, Butler said that there would be no reunion in 2011, as Osbourne was already committed to touring with his solo band. However, by that August they had already met up to rehearse together, and continued to do so through the autumn. On 11 November 2011, Iommi, Butler, Osbourne, and Ward announced that they were reuniting to record a new album with a full tour in support beginning in 2012. Guitarist Iommi was diagnosed with lymphoma on 9 January 2012, which forced the band to cancel all but two shows (Download Festival, and Lollapalooza Festival) of a previously booked European tour. It was later announced that an intimate show would be played in their hometown Birmingham. It was the first concert since the reunion and the only indoors concerts that year. In February 2012, drummer Ward announced that he would not participate further in the band's reunion until he was offered a "signable contract". On 21 May 2012, at the O2 Academy in Birmingham, Black Sabbath played their first concert since 2005, with Tommy Clufetos playing the drums. In June, they performed at the Download Festival at the Donington Park motorsports circuit in Leicestershire, England, followed by the last concert of the short tour at Lollapalooza Festival in Chicago. Later that month, the band started recording an album. On 13 January 2013, the band announced that the album would be released in June under the title "13". Brad Wilk (formerly of Rage Against the Machine and Audioslave) was chosen as the drummer, and Rick Rubin was chosen as the producer. Mixing of the album commenced in February. On 12 April 2013, the band released the album's track listing. The standard version of the album features eight new tracks, and the deluxe version features three bonus tracks. The band's first single from "13", "God Is Dead?", was released on 19 April 2013. On 20 April 2013, Black Sabbath commenced their first Australia/New Zealand tour in 40 years followed by a North American Tour in Summer 2013. The second single of the album, "End of the Beginning", debuted on 15 May in a "" episode, where all three members appeared. In June 2013, "13" topped both the UK Albums Chart and the US "Billboard" 200, becoming their first album to reach number one on the latter chart. In 2014, Black Sabbath received their first Grammy Award since 2000 with "God Is Dead?" winning Best Metal Performance. In July 2013, Black Sabbath embarked on a North American Tour (for the first time since July 2001), followed by a Latin American tour in October 2013. In November 2013, the band started their European tour which lasted until December 2013. In March and April 2014, they made 12 stops in North America (mostly in Canada) as the second leg of their North American Tour before embarking in June 2014 on the second leg of their European tour, which ended with a concert at London's Hyde Park. 2014–2017: Cancelled twentieth album, "The End", and disbandment. On 29 September 2014, Osbourne told "Metal Hammer" that Black Sabbath would begin work on their twentieth studio album in early 2015 with producer Rick Rubin, followed by a final tour in 2016. In an April 2015 interview, however, Osbourne said that these plans "could change", and added, "We all live in different countries and some of them want to work and some of them don't want to, I believe. But we are going to do another tour together." On 3 September 2015, it was announced that Black Sabbath would embark on their final tour, titled The End, from January 2016 to February 2017. Numerous dates and locations across the US, Canada, Europe, Australia and New Zealand were announced. The final shows of The End tour took place at the Genting Arena in their home city of Birmingham, England on 2 and 4 February 2017. On 26 October 2015, it was announced the band consisting of Osbourne, Iommi and Butler would be returning to the Download Festival on 11 June 2016. Despite earlier reports that they would enter the studio before their farewell tour, Osbourne stated that there would not be another Black Sabbath studio album. However, an 8-track CD entitled "The End" was sold at dates on the tour. Along with some live recordings, the CD includes four unused tracks from the "13" sessions. On 4 March 2016, Iommi discussed future re-releases of the Tony Martin-era catalogue: "We've held back on the reissues of those albums because of the current Sabbath thing with Ozzy Osbourne, but they will certainly be happening... I'd like to do a couple of new tracks for those releases with Tony Martin... I'll also be looking at working on "Cross Purposes" and "Forbidden"." Martin had suggested that this could coincide with the 30th anniversary of "The Eternal Idol", in 2017. In an interview that August, Martin added "[Iommi] still has his cancer issues of course and that may well stop it all from happening but if he wants to do something I am ready." On 10 August 2016, Iommi revealed that his cancer was in remission. Asked in November 2016 about his plans after Black Sabbath's final tour, Iommi replied, "I'll be doing some writing. Maybe I'll be doing something with the guys, maybe in the studio, but no touring." The band played their final concert on 4 February 2017 in Birmingham. The final song was streamed live on the band's Facebook page and fireworks went off as the band took their final bow. The band's final tour was not an easy one, as longstanding tensions between Osbourne and Iommi returned to the surface. Iommi stated that he would not rule out the possibility of one-off shows, "I wouldn't write that off, if one day that came about. That's possible. Or even doing an album, 'cause then, again, you're in one place. But I don't know if that would happen." In an April 2017 interview, Butler revealed that Black Sabbath considered making a blues album as the follow-up to "13", but added that, "the tour got in the way." On 7 March 2017, Black Sabbath announced their disbandment through posts made on their official social media accounts. 2017–2024: Post-final tour activities. In a June 2018 interview with ITV News, Osbourne expressed interest in reuniting with Black Sabbath for a performance at the 2022 Commonwealth Games which would be held in their home city Birmingham. Iommi said that performing at the event as Black Sabbath would be "a great thing to do to help represent Birmingham. I'm up for it. Let's see what happens." He also did not rule out the possibility for the band to reform only for a one-off performance rather than a full-length tour. Iommi was later announced to be part of the opening ceremony for the 2022 Commonwealth Games alongside Duran Duran. On 8 August 2022, Osbourne and Iommi made a surprise reunion to end the closing ceremony of the 2022 Commonwealth Games at the Alexander Stadium in Birmingham. They were joined by 2017 Black Sabbath touring musicians Tommy Clufetos and Adam Wakeman for a medley of "Iron Man" and "Paranoid". In September 2020, Osbourne stated in an interview that he was no longer interested in a reunion: "Not for me. It's done. The only thing I do regret is not doing the last farewell show in Birmingham with Bill Ward. I felt really bad about that. It would have been so nice. I don't know what the circumstances behind it were, but it would have been nice. I've talked to Tony a few times, but I don't have any of the slightest interest in doing another gig. Maybe Tony's getting bored now." Butler also ruled out the possibility of any future Black Sabbath performances in an interview with Eonmusic on 10 November 2020, stating that the band were over: "There will definitely be no more Sabbath. It's done." Iommi however, pondered the possibility of another reunion tour in an interview with "The Mercury News", stating that he "would like to play with the guys again" and that he missed the audiences and stage. Ward stated in an interview with Eddie Trunk that he no longer had the ability or chops to perform with Black Sabbath in concert, but expressed that he would love to make another album with Osbourne, Butler and Iommi. Despite ruling out the possibility of another Black Sabbath reunion, Osbourne revealed in an episode of "Ozzy Speaks" on Ozzy's Boneyard that he was working with Iommi, who appeared as one of the guests for his thirteenth solo album, "Patient Number 9" (2022). In an October 2021 interview with the "Metro", Ward revealed that he had kept "in contact" with his former bandmates and stated that he was "very open-minded" to the possibility of recording another Black Sabbath album: "I haven't spoken to the guys about it, but I have talked to a couple of people in management about the possibility of making a recording." On 30 September 2020, Black Sabbath announced a new Dr. Martens shoe collection. The partnership with the British footwear company celebrated the 50th anniversaries of the band's "Black Sabbath" and "Paranoid" albums, with the boots depicting artwork from the former. On 13 January 2021, the band announced that they would reissue both "Heaven & Hell" and "Mob Rules" as expanded deluxe editions on 5 March 2021, with unreleased material included. In September 2022, Osbourne reiterated that he was unwilling to reunite with Black Sabbath, stating that if the band were to make another album, he would not sing on it. However, he remained open to working with Iommi on more solo projects following the latter's involvement on "Patient Number 9". Osbourne later retired from touring in February 2023 after not sufficiently recovering from medical treatment, putting the possibility of another Black Sabbath reunion in concert in further doubt. Butler, who had retired in June 2023, insisted that Black Sabbath had been "put to bed", until August 2023 when he stated that he was open to performing a one-off show, but expressed that he had "no desire to tour again" with Black Sabbath. According to Iommi, the band were offered, but turned down, a reunion at Power Trip in October 2023, where Osbourne was initially scheduled to headline the festival's second date; he eventually cancelled his appearance and was replaced by Judas Priest, due to health issues. In May 2024, Osbourne renewed interest in a reunion of the original line-up, admitting he was sad that Ward was not part of the final tour and that "it wasn't Black Sabbath that finished it. It's unfinished. If they wanted to do one more gig with Bill, I would jump at the chance." Iommi, Butler and Ward all later expressed interest in the possibility of a one-off reunion show featuring the original line-up. The Birmingham Royal Ballet presented "Black Sabbath: The Ballet" which premiered at the Birmingham Hippodrome in September 2023, before touring to Theatre Royal, Plymouth and Sadler's Wells Theatre in October. A box set of Tony Martin-era albums, "Anno Domini 1989–1995", was released on 31 May 2024 and includes remasters of "Headless Cross", "Tyr" and "Cross Purposes" and a remixed version of "Forbidden"; each disc of the box set (except "Tyr") includes one bonus track. 2025: Final reunion. On 5 February 2025, Osbourne announced that the original line-up of Black Sabbath would reform for one final charity show at Villa Park, Birmingham on 5 July. Titled Back to the Beginning, it was the final gig for both Osbourne and the group. It was Black Sabbath's first concert in eight years and also marked the first time in twenty years that the original line-up of the band had performed together. Proceeds from the show went to support Cure Parkinsons, Birmingham Children's Hospital and Acorns Children's Hospice. Tom Morello was the show's musical director. Osbourne said, "I'm not going to get up there and do a half-hearted Ozzy looking for sympathy. What's the fucking point in that? I'm not going up there in a fucking wheelchair." In addition to a solo performance by Osbourne, the supporting acts for the show included Metallica, Guns N' Roses, Tool, Slayer, Pantera, Gojira, Alice in Chains, Halestorm, Lamb of God, Anthrax, Mastodon and Rival Sons, and included "additional performances from" Morello, Steven Tyler, Billy Corgan, Slash, David Draiman, Sammy Hagar, Fred Durst, former Judas Priest guitarist K. K. Downing, former Megadeth bassist David Ellefson, and three former members of Osbourne's solo band (Rudy Sarzo, Jake E. Lee and Mike Bordin). Despite being billed as a final concert, Iommi, Butler and Ward did not rule out recording new music as Black Sabbath. A 100-minute concert film of the show, titled "Back to the Beginning: Ozzy's Final Bow", will receive a theatrical release in early 2026, and will be released to DVD and Blu-ray later that same year. One week before the concert, the four original band members were made Freemen of the City of Birmingham. Run by Central BID, the event was supported by two exhibitions. One in Victoria Square, in place from 25 June to 28 September, featuring boards showcasing the band's origins, history, success, as well as album covers and unseen photos of the group. The other, a painted mural on the wall on Navigation Street, on the bridge over the track entering Birmingham New Street station. Musical style. Black Sabbath are a heavy metal band. The band have also been cited as a key influence on genres including stoner rock, grunge, doom metal, and sludge metal. Early on, Black Sabbath were influenced by Cream, The Beatles, Fleetwood Mac, Jimi Hendrix, John Mayall & the Bluesbreakers, Blue Cheer, Led Zeppelin, Jethro Tull, and Iron Butterfly. Although Black Sabbath went through many line-ups and stylistic changes, their core sound focuses on ominous lyrics and doomy music, often making use of the musical tritone, also called the "devil's interval". While their Ozzy-era albums such as "Sabbath Bloody Sabbath" (1973) had slight compositional similarities to the progressive rock genre that was growing in popularity at the time, standing in stark contrast to popular music of the early 1970s, Black Sabbath's dark sound was dismissed by rock critics of the era. Much like many of their early heavy metal contemporaries, the band received virtually no airplay on rock radio. As the band's primary songwriter, Tony Iommi wrote the majority of Black Sabbath's music, while Osbourne would write vocal melodies, and bassist Geezer Butler would write lyrics. The process was sometimes frustrating for Iommi, who often felt pressured to come up with new material: "If I didn't come up with anything, nobody would do anything." On Iommi's influence, Osbourne later said: Beginning with their third album, "Master of Reality" (1971), Black Sabbath began to feature tuned-down guitars. In 1965, before forming Black Sabbath, guitarist Tony Iommi suffered an accident while working in a sheet metal factory, losing the tips of two fingers on his right hand. Iommi almost gave up music, but was urged by the factory manager to listen to Django Reinhardt, a jazz guitarist who lost the use of two fingers in a fire. Inspired by Reinhardt, Iommi created two thimbles made of plastic and leather to cap off his missing fingertips. The guitarist began using lighter strings, and detuning his guitar, to better grip the strings with his prosthesis. Early in the band's history Iommi experimented with different dropped tunings, including C tuning, or 3 semitones down, before settling on E/D tuning, or a half-step down from standard tuning. Legacy. Black Sabbath has sold over 70 million records worldwide, including a RIAA-certified 15 million in the US They are one of the most influential heavy metal bands of all time. The band helped to create the genre with ground-breaking releases such as "Paranoid" (1970), an album that "Rolling Stone" magazine said "changed music forever", and called the band "the Beatles of heavy metal". "Time" magazine called "Paranoid" "the birthplace of heavy metal", placing it in their Top 100 Albums of All Time. MTV placed Black Sabbath at number one on their Top Ten Heavy Metal Bands and VH1 placed them at number two on their list of the 100 Greatest Artists of Hard Rock. VH1 ranked Black Sabbath's "Iron Man" the number one song on their 40 Greatest Metal Songs countdown. "Rolling Stone" magazine ranked the band number 85 in their list of the "100 Greatest Artists of All Time". AllMusic's William Ruhlmann said: According to "Rolling Stone" Holly George-Warren, "Black Sabbath was the heavy metal king of the 1970s." Although initially "despised by rock critics and ignored by radio programmers", the group sold more than 8 million albums by the end of that decade. ""The" heavy metal band..." marvelled Ronnie James Dio. "A band that didn't apologise for coming to town; it just stepped on buildings when it came to town." Influence and innovation. Black Sabbath have influenced many acts including Judas Priest, Iron Maiden, Diamond Head, Slayer, Metallica, Korn, Black Flag, Mayhem, Venom, Guns N' Roses, Body Count, Alice in Chains, Anthrax, Disturbed, Death, Opeth, Pantera, Megadeth, Sepultura, the Smashing Pumpkins, Slipknot, Foo Fighters, Testament, Fear Factory, Candlemass, Godsmack, Corrosion of Conformity, and Van Halen. Two Gold-selling tribute albums have been released, "Nativity in Black Volume 1 & 2", including covers by Sepultura, White Zombie, Type O Negative, Faith No More, Machine Head, Primus, System of a Down, and Monster Magnet. Metallica's Lars Ulrich, who, along with bandmate James Hetfield inducted Black Sabbath into the Rock and Roll Hall of Fame in 2006, said "Black Sabbath is and always will be synonymous with heavy metal", while Hetfield said "Sabbath got me started on all that evil-sounding shit, and it's stuck with me. Tony Iommi is the king of the heavy riff." Guns N' Roses guitarist Slash said of the "Paranoid" album: "There's just something about that whole record that, when you're a kid and you're turned onto it, it's like a whole different world. It just opens up your mind to another dimension..."Paranoid" is the whole Sabbath experience; very indicative of what Sabbath meant at the time. Tony's playing style—doesn't matter whether it's off "Paranoid" or if it's off "Heaven and Hell"—it's very distinctive." Anthrax guitarist Scott Ian said "I always get the question in every interview I do, 'What are your top five metal albums?' I make it easy for myself and always say the first five Sabbath albums." Lamb of God's Chris Adler said: "If anybody who plays heavy metal says that they weren't influenced by Black Sabbath's music, then I think that they're lying to you. I think all heavy metal music was, in some way, influenced by what Black Sabbath did." Judas Priest vocalist Rob Halford commented: "They were and still are a groundbreaking band...you can put on the first Black Sabbath album and it still sounds as fresh today as it did 30-odd years ago. And that's because great music has a timeless ability: To me, Sabbath are in the same league as the Beatles or Mozart. They're on the leading edge of something extraordinary." On Black Sabbath's standing, Rage Against the Machine guitarist Tom Morello states: "The heaviest, scariest, coolest riffs and the apocalyptic Ozzy wail are without peer. You can hear the despair and menace of the working-class Birmingham streets they came from in every kick-ass, evil groove. Their arrival ground hippy, flower-power psychedelia to a pulp and set the standard for all heavy bands to come." Phil Anselmo of Pantera and Down stated that "Only a fool would leave out what Black Sabbath brought to the heavy metal genre". According to Tracii Guns of L.A. Guns and former member of Guns N' Roses, the main riff of "Paradise City" by Guns N' Roses, from "Appetite for Destruction" (1987), was influenced by the song "Zero the Hero" from the "Born Again" album. King Diamond guitarist Andy LaRocque affirmed that the clean guitar part of "Sleepless Nights" from "Conspiracy" (1989) is inspired by Tony Iommi's playing on "Never Say Die!". In addition to being pioneers of heavy metal, they also have been credited for laying the foundations for heavy metal subgenres stoner rock, sludge metal, thrash metal, black metal and doom metal. Sabbath has had a significant impact on alternative music, being cited as an influence by Nirvana, Soundgarden, and Dinosaur Jr.. Rock critic Simon Reynolds writes that when late 1980s bands such as Tad and the Butthole Surfers "revived Black Sabbath's ponderous riffs, it felt like a daring challenge to the approved canon of underground rock", and that "Sabbath-style heaviness" became the norm after the commercial emergence of grunge. Tony Iommi has been credited as the pioneer of lighter gauge guitar strings. The tips of his fingers were severed in a steel factory, and while using thimbles (artificial finger tips) he found that standard guitar strings were too difficult to bend and play. He found that there was only one size of strings available, so after years with Sabbath he had strings custom made. Culturally, Black Sabbath have exerted a huge influence in both television and literature and have in many cases become synonymous with heavy metal. In the film "Almost Famous", Lester Bangs gives the protagonist an assignment to cover the band with the immortal line: 'Give me 500 words on Black Sabbath'. Contemporary music and arts publication "Trebuchet Magazine" has put this to practice by asking all new writers to write a short piece (500 words) on Black Sabbath as a means of proving their creativity and voice on a well documented subject. Band members. Original line-up Discography. Studio albums
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Buffalo Bills
The Buffalo Bills are a professional American football team based in the Buffalo–Niagara Falls metropolitan area. The Bills compete in the National Football League (NFL) as a member of the American Football Conference (AFC) East division. The team plays its home games at Highmark Stadium in Orchard Park, New York, and is building a new stadium which will be completed in 2026. Founded in 1959 as a charter member of the American Football League (AFL), the team joined the NFL in 1970 following the AFL–NFL merger. The Bills' name is derived from an All-America Football Conference (AAFC) franchise from Buffalo that was in turn named after western frontiersman Buffalo Bill. Drawing much of its fanbase from western New York and neighboring southern Ontario, the Bills are the only NFL team that plays home games in the state of New York. The franchise is owned by Terry Pegula, who purchased the Bills after the death of the original owner Ralph Wilson in 2014, and a coalition of private equity funds and investors who purchased a minority stake in the team in 2024. The Bills advanced to the AFL Championship Game three years in a row from 1964 to 1966, winning the first two. To date, these are the only major professional sports championships from a team representing Buffalo. They struggled heavily in the latter years of the AFL and for much of their first two decades in the NFL, tallying only five winning seasons and three postseason berths from 1967 to 1987. However, they were perennial postseason contenders from the late 1980s to the early 1990s, peaking between 1990 and 1993 when they appeared in a record four consecutive Super Bowls, an accomplishment often overshadowed by the fact they lost each game. From the early 2000s to the mid-2010s, the Bills endured the longest playoff drought of 17 years in the four major North American professional sports, making them the last franchise in the four leagues to qualify for the postseason in the 21st century. They returned to consistent postseason contention by the late 2010s, although the Bills have not returned to the Super Bowl. Alongside the Minnesota Vikings, their four Super Bowl appearances are the most among NFL franchises that have not won the Super Bowl. In December 2024, the Bills became one of the first teams in NFL history to sell part of their franchise to outside private equity investors. 20.6% of the team interest was sold at a valuation of $5.6 billion, including 10% to the American investment group Arctos Partners LP. History. The Bills began competitive play in 1960 as a charter member of the American Football League led by head coach Buster Ramsey and joined the NFL as part of the AFL–NFL merger in 1970. In the first two seasons, the Bills went 5–8–1 and 6–8 under Ramsey. The Bills won two consecutive American Football League titles in 1964 and 1965 with quarterback Jack Kemp and coach Lou Saban, but the club has yet to win a league championship since. Once the AFL–NFL merger took effect, the Bills became the second NFL team to represent the city; they followed the Buffalo All-Americans, a charter member of the league. Buffalo had been left out of the league since the All-Americans (by that point renamed the Bisons) folded in 1929; the Bills were no less than the third professional non-NFL team to compete in the city before the merger, following the Indians/Tigers of the early 1940s and an earlier team named the Bills, originally the Bisons, in the late 1940s in the All-America Football Conference (AAFC). Following the AFL–NFL merger, the Bills were generally mediocre in the 1970s but featured All-Pro running back O. J. Simpson. After being pushed to the brink of failure in the mid-1980s, the collapse of the United States Football League and a series of highly drafted players such as Jim Kelly (who initially played for the USFL instead of the Bills), Thurman Thomas, Bruce Smith and Darryl Talley allowed the Bills to rebuild into a perennial contender in the late 1980s through the mid-1990s under head coach Marv Levy, a period in which the team won four consecutive AFC Championships; the team nevertheless lost all four subsequent Super Bowls, records in both categories that still stand. The rise of the division rival New England Patriots under Bill Belichick and Tom Brady, along with numerous failed attempts at rebuilding in the 2000s and 2010s, helped prevent the Bills from reaching the playoffs in seventeen consecutive seasons between 2000 and 2016, a 17-year drought that was the longest active playoff drought in all major professional sports at the time. Mike Mularkey coached the Bills in the 2004 and 2005 seasons. He went 9–7 but missed the postseason in 2004 and 5–11 in 2005. He resigned from the team following the 2005 season. From 2006 to 2009, the Bills were coached by Dick Jauron. Following three consecutive 7–9 seasons, Jauron was dismissed after a 3–6 start to his fourth season. Perry Fewell finished out the season as interim with a 3–4 mark. From 2010 to 2012, the Bills were coached by Chan Gailey. The team had Ryan Fitzpatrick as their quarterback in those seasons. Gailey was fired after three consecutive last place finishes in the AFC East. Doug Marrone was hired to be the Bills' head coach prior to the 2013 season. The Bills went 6–10 in the 2013 season and improved to 9–7 in the 2014 season. Marrone decided to step down as head coach following the season. On October 8, 2014, Buffalo Sabres owners Terry and Kim Pegula received unanimous approval to acquire the Bills during the NFL owners' meetings, becoming the second ownership group of the team after team founder Ralph Wilson. After Kim was incapacitated by a 2022 vascular brain injury, a portion of her stake in the team was transferred to her stepdaugher Laura, with a 20% stake in the team sold to a coalition of private equity investors and former Toronto athletes Jozy Altidore, Vince Carter and Tracy McGrady in December 2024. Prior to the 2015 season, the team hired former Jets' head coach Rex Ryan to become the next head coach of the Bills. The team went 8–8 in 2015 and 7–9 in 2016. Ryan was dismissed with one game remaining in the 2016 season, with Anthony Lynn finishing the season as interim. Sean McDermott era (2017–present). Under head coach Sean McDermott, the Bills broke the playoff drought, appearing in the playoffs for six of the next seven seasons. The team drafted Wyoming quarterback Josh Allen with the seventh overall pick in the first round of the 2018 NFL draft. The team earned its first division championship and playoff wins since 1995 during the 2020 season, aided by Brady's departure to Tampa Bay and out of the AFC East, as well as the Bills' own development of a core of talent including Allen, Stefon Diggs, Matt Milano, and Tre'Davious White. In the 2020 season, the Bills reached the AFC Championship for the first time since the 1993 season. However, their run ended with a 38–24 loss to the Kansas City Chiefs. The Bills won the AFC East with a 11–6 record in the 2021 season. The Bills defeated the Patriots 47–17 in the Wild Card Round before falling to the Kansas City Chiefs 42–36 in overtime. In the 2022 season, the Bills won the AFC East with a 13–3 record. The season saw a cancelled game against the Bengals due to a near-fatal medical episode with Damar Hamlin, who eventually recovered and returned to football activities the following season. The team defeated the Miami Dolphins in the Wild Card Round 34–31 before falling to the Cincinnati Bengals 27–10 in the Divisional Round. In the 2023 season, the Bills won the AFC East for the fourth consecutive season. In the Wild Card Round, they defeated the Pittsburgh Steelers 31–17 before falling to the Kansas City Chiefs in the Divisional Round 27–24. In the 2024 season, the Bills finished with a 13–4 record and won another AFC East title. Following wins over the Denver Broncos in the Wild Card Round and the Baltimore Ravens in the Divisional Round, the Bills lost to the Kansas City Chiefs in the AFC Championship. The Bills announced plans to build a new stadium to replace Highmark Stadium to be ready by 2026. Logos and uniforms. For their first two seasons, the Bills wore uniforms based on those of the Detroit Lions at the time. Ralph Wilson had been a minority owner of the Lions before founding the Bills, and the Bills' predecessors in the AAFC had also worn blue and silver uniforms. The team's original colors were Honolulu blue, silver, and white, and the helmets were silver with no striping. There was no logo on the helmet, which displayed the players' numbers on each side. In 1962, the standing red bison was designated as the logo and took its place on a white helmet. In 1962, the team's colors also changed to red, white, and blue. The team switched to blue jerseys with red and white shoulder stripes, similar to the Buffalo Bisons AHL hockey team of the same era. The helmets were white with a red center stripe. The jerseys again saw a change in 1964 when the shoulder stripes were replaced by a distinctive stripe pattern on the sleeves consisting of four stripes, two thicker inner stripes and two thinner outer stripes all bordered by red piping. By 1965, red and blue center stripes were put on the helmets. The Bills introduced blue pants worn with the white jerseys in 1973, the last year of the standing buffalo helmet. The blue pants remained through 1985. The face mask on the helmet was blue from 1974 through 1986 before changing to white. The standing bison logo was replaced by a blue charging one with a red slanting stripe streaming from its horn. The newer emblem, still the primary one used by the franchise, was designed by aerospace designer Stevens Wright in 1974. In 1984, the helmet's shell color was changed from white to red, primarily to help Bills quarterback Joe Ferguson distinguish them more readily from three of their division rivals at that time, the Baltimore Colts, the Miami Dolphins, and the New England Patriots, who all also wore white helmets at that point. Ferguson said, "Everyone we played had white helmets at that time. Our new head coach Kay Stephenson just wanted to get more of a contrast on the field that may help spot a receiver down the field." (The Patriots have worn silver helmets since 1993, the Colts have since been realigned to the AFC South, and in 2019 the New York Jets have since switched back to green-colored helmets, after playing 20 years with white ones.) In 2002, under the direction of general manager Tom Donahoe, the Bills' uniforms went through radical changes. A darker shade of blue was introduced as the primary jersey color, and nickel gray was introduced as an accent color. Both the blue and white jerseys featured red side panels. The white jerseys included a dark blue shoulder yoke and royal blue numbers. The helmet remained primarily red with one navy blue, two nickel, two royal blue, two white stripes, and a white face mask. A new logo, a stylized "B" consisting of two bullets and a more detailed buffalo head on top, was proposed and had been released (it can be seen on a few baseball caps that were released for sale), but fan backlash led to the team retaining the running bison logo. The helmet logo adopted in 1974—a charging royal blue bison with a red streak, white horn, and eyeball—remained unchanged. In 2005, the Bills revived the standing bison helmet and uniform of the mid-1960s as a throwback uniform. The Bills usually wore the all-blue combination at home and the all-white combination on the road when not wearing the throwback uniforms. They stopped wearing blue-on-white after 2006, while the white-on-blue was not worn after 2007. For the 2011 season, the Bills unveiled a new uniform design, an updated rendition of the 1975–83 design. This change includes a return to the white helmets with "charging buffalo" logo, and a return to royal blue instead of navy. The set initially featured striped socks, but by 2021, the Bills gradually reduced its usage and began wearing either all-white or all-blue hosiery without stripes in most games. Buffalo sporadically wore white at home in the 1980s, including all eight home games in 1984, but stopped doing so beginning in 1987. On November 6, 2011, against the New York Jets, the Bills wore white at home for the first time since 1986. Since 2011, the Bills have worn white for home games, either with their primary uniform or a throwback set. The Bills' uniform received minor alterations as part of the league's new uniform contract with Nike. The new Nike uniform was unveiled on April 3, 2012. On November 12, 2015, the Bills and the New York Jets became the first two teams to participate in the NFL's Color Rush uniform initiative, with Buffalo wearing an all-red combination for the first time in team history. Like the primary uniforms, the set initially had red socks with white and blue stripes, but in 2020, it was replaced with red socks without stripes. A notable use of the Bills' uniforms outside of football was in the 2018 World Junior Ice Hockey Championships when the United States men's national junior ice hockey team wore Bills-inspired uniforms in their outdoor game against Team Canada on December 29, 2017. This game was also played at the Bills' home stadium, Highmark Stadium. On April 1, 2021, the team announced they would wear white face masks during the upcoming season and beyond. On December 22, 2024, the team debuted a brand new uniform combination consisting of their red Color Rush uniform and white pants. Rivalries. The Bills have rivalries with their three AFC East opponents (the Miami Dolphins, New England Patriots, and New York Jets) and also have rivalries with the Baltimore/Indianapolis Colts (a former divisional opponent), Kansas City Chiefs, Houston Oilers/Tennessee Titans, Jacksonville Jaguars, and Dallas Cowboys. The Cleveland Browns once shared a rivalry with the Bills' predecessors in the All-America Football Conference. The current teams have a more friendly relationship and have played sporadically since the AFL–NFL merger. Divisional. Miami Dolphins. This is often considered Buffalo's most famous rivalry. Though the Bills and Dolphins both originated in the American Football League, the Dolphins did not start playing until 1966 as an expansion team, while the Bills were one of the original eight AFL teams. The rivalry first gained prominence when the Dolphins won every matchup against the Bills in the 1970s for an NFL-record 20 straight wins against a single opponent (the Bills defeated the Dolphins in their first match-up of the 1980s). Fortunes changed in the following decades with the rise of Jim Kelly as Buffalo's franchise quarterback. Though Kelly and Dolphins quarterback Dan Marino shared a competitive rivalry in the 1980s and 1990s, the Bills became dominant in the 1990s. Things cooled down after the retirements of Kelly and Marino and the rise of the New England Patriots in the 2000s and 2010s, but Miami remains a fierce rival of the Bills, coming in second place in a recent poll of Buffalo's primary rival, and the two teams have typically been close to each other in win–loss records. Recently, they have often competed for the division title since Tua Tagovailoa became Miami's quarterback, despite Buffalo's 13–2 record over the Dolphins under Josh Allen. Miami leads the overall series 62–60–1 as of 2024, but Buffalo has the advantage in the playoffs at 4–1, including a win in the 1992 AFC Championship Game. New England Patriots. The rivalry with the New England Patriots began when both teams were original franchises in the American Football League (AFL) prior to the NFL–AFL merger, but did not gain notability until the emergence of New England quarterback Tom Brady in 2001. The teams were very competitive prior to the 2000s. However, Brady's arrival in the early 2000s led to the Patriots dominating the AFC East, including the Bills, for two decades. As a result, New England replaced the Dolphins as Buffalo's most hated rival. The Bills have taken a 8–3 edge since Brady's departure in 2020, which included consecutive AFC East titles from 2020 to 2024 and a season sweep of the Patriots in two of the first three years. In 2021, the Bills dominated in a 47–17 victory against the Patriots in the two teams' first playoff match-up in 59 years, which saw the Bills score a touchdown on every offensive drive throughout the entire game and, as such, is the only "perfect offensive game" in NFL history. Overall, the Patriots lead the series 79–51–1 as of 2024, but trail the Bills by a 48–47–1 margin without Brady on the field. The rivalry is also noted for several players being a members of both teams during their careers, including Drew Bledsoe, Doug Flutie, Lawyer Milloy, Brandon Spikes, Scott Chandler, Chris Hogan, Mike Gillislee, and Stephon Gilmore. New York Jets. The Bills and Jets were both original AFL teams, and both represent the state of New York, though the Jets have played their home games in East Rutherford, New Jersey since 1984. While the rivalry represents the differences between New York City and Western New York, it has historically not been as intense as Buffalo's rivalries with the Dolphins and Patriots. When not playing one another, the teams' fan bases either have grudging respect or low-key annoyance for each other (stemming more from the broader upstate-downstate tensions than the teams or sport). The Bills-Jets rivalry has often become characterized by ugly games and shared mediocrity, but it has had a handful of competitive moments. The series heated up recently when former Jets head coach Rex Ryan became the Bills' head coach for two seasons and had become notable again as Bills quarterback Josh Allen and former Jets quarterback Sam Darnold, both drafted in the same year, maintained a friendly rivalry with one another. Buffalo leads the series 71–58 as of 2024, including a playoff win in 1981. Conference. Kansas City Chiefs. The Kansas City Chiefs, another original franchise in the AFL, have a long history against the Bills, despite the two teams never being in the same division. Buffalo currently leads the series 30–26–1, which has included seven playoff meetings, four of which were AFL/AFC Championship Games; Kansas City won the 1966 AFL Championship Game that determined the AFL's representative in the first Super Bowl against the NFL champion Green Bay Packers, in addition to the 2020 and 2024 AFC Championship Games that saw the team advance to its second and fifth Super Bowl appearances in six years, respectively, while Buffalo defeated Kansas City in the 1993 AFC Championship Game to advance to its fourth straight Super Bowl appearance. However, after each victory in the AFC Championship Game, the Chiefs or the Bills went on to lose the ensuing Super Bowl. Despite a lull in the series in the 2000s and 2010s, the rivalry gained attention as the Bills and Chiefs met in nine of ten years from 2008 to 2017. After a two-year hiatus in the series, a rivalry between Bills quarterback Josh Allen and Chiefs quarterback Patrick Mahomes developed, particularly in the post-season, drawing comparisons to Jim Kelly's rivalry with Dan Marino as well as the rivalry between Tom Brady and Peyton Manning. Since 2019, four high-profile postseason matchups occurred between the Bills and Chiefs. The four playoff games include the aforementioned 2020 Championship Game and the 2021 Divisional round game, the latter of which is now considered one of the greatest playoff games of all time, but was also controversial due to the league's overtime rules. In , Bills lost to the Chiefs 24–27 as Bills kicker Tyler Bass missed the game-tying field goal attempt wide right, a play that evoked memories of Scott Norwood missing the game-winning field goal attempt in Super Bowl XXV In the 2024 AFC Championship Game, Bills failed to convert two 4th downs in the fourth quarter: the first was a 4th and inches quarterback sneak by Allen that was controversially ruled short of the line of gain and the second was a 4th and 5 pass from Allen that the tight end Kincaid dropped while sliding. The Chiefs went on to win 32–29. In the four playoff matchups between Allen and Mahomes, Mahomes leads the series 4–0. Jacksonville Jaguars. A new rivalry emerged between the Bills and the Jacksonville Jaguars after former Bills head coach Doug Marrone, who had quit the team after the 2014 season, was hired as a coaching assistant for Jacksonville and eventually rose to become the Jaguars' head coach. The first game between the Marrone-led Jaguars was a London game in of the 2015 season, which saw the Jaguars' win 34–31. The most important game of this series was an ugly, low-scoring game in 2017 that saw the Jaguars win 10–3. This game is notable as it was the first Bills playoff appearance in 17 seasons. Prior to this, Jacksonville had handed Buffalo its first playoff loss in Bills Stadium in 1996. Following the 2017 wild card game the Bills and Jaguars have met three additional times. The first was a "rematch" game in of the 2018 season, which saw the Bills win 24–21. During this game, trash talk from former Jaguars players such as Jalen Ramsey resulted in a brawl between the teams. The second time was in of the 2021 season. By now, the "point" of the rivalry, Marrone's feud with the Bills organization, and the personal drama between Bills and Jaguars players no longer applied as Marrone had been fired and replaced by Urban Meyer and all the players from the 2017 Jaguars team have since moved on to other teams or retired. Regardless, this game was the seventh largest upset at the time in NFL history, which saw the 15.5-point favorite Bills lose 9–6. The most recent meeting between the two teams was a 47–10 Bills win on Monday Night Football in 2024. The series is currently tied at 10–10. Houston Oilers/Tennessee Titans. The Tennessee Titans (formerly the Houston Oilers) share an extended history with the Bills, both teams being original AFL clubs and rivals in that league's East Division before the AFL-NFL merger. Match-ups were intense in the 1990s, with quarterback Warren Moon leading the Oilers against Jim Kelly's Bills. After both teams failed to meet the same success in the late 2000s to early 2010s, they have returned to consistent playoff contention since 2017, resulting in several high-profile games as of late. Memorable playoff moments between the teams include The Comeback, in which the Frank Reich-led Bills overcame a 35–3 deficit to stun the Oilers 41–38 in 1992, and the Music City Miracle, in which the now-Titans scored on a near-last-minute kickoff return with a controversial lateral pass ruling to beat the Bills 22–16 in 1999. The Music City Miracle was notable for being Buffalo's last playoff appearance until 2017. The Titans currently lead the series 30–21. Notable players. Retired numbers. The Buffalo Bills have retired three numbers in franchise history: No. 12 for Jim Kelly, No. 34 for Thurman Thomas, and No. 78 for Bruce Smith. Although the Bills have retired only three jersey numbers, other numbers are no longer issued or are in reduced circulation. Since the team's earliest days, the number 31 was not supposed to be issued to any other player. The Bills had stationery and various other team merchandise showing a running player wearing that number, and it was not supposed to represent any specific person but the 'spirit of the team.' In the first three decades of the team's existence, the number 31 was only seen once. In 1969, when reserve running back Preston Ridlehuber damaged his number 36 jersey during a game, equipment manager Tony Marchitte gave him the number 31 jersey to wear while repairing the number 36. The number 31 was not reissued until 1990 when first-round draft choice James Williams wore it for his first two seasons; it has since been returned to general circulation. Cornerback Rasul Douglas most recently wore the number through the 2024 season. Number 32 had been withdrawn from circulation but not retired after O. J. Simpson. Former owner Ralph Wilson insisted on not reissuing the number, even after Simpson's highly publicized murder case and later robbery conviction. The number was placed back into circulation in 2019 with Senorise Perry wearing the number that year; it was most recently worn by linebacker Nicholas Morrow until he was waived in January 2025. Number 15 was historically only issued sparingly after the retirement of Jack Kemp. It was last worn by wide receiver Marquez Valdes-Scantling in 2024, before he was released on October 15, 2024. Other numbers that have been historically issued only on rare circumstances included the 44 of Elbert Dubenion (worn as of 2024 by Joe Andreessen) and the 66 of Billy Shaw (worn since 2023 by Connor J. McGovern), each of which were typically only issued to players not expected to make the team's regular season roster. Number 1 has also rarely been used for reasons yet to be explained. While there is no proper explanation, Tommy Hughitt was a player-coach for the early Buffalo teams in the New York Pro Football League and NFL from 1918 to 1924 and was both a major on-field success and a fixture in Buffalo culture after his retirement as a politician and auto salesman. Hughitt was reported to wear number 1 during this time. Wide receiver Curtis Samuel currently wears the number; prior to Emmanuel Sanders's one-year stint with the Bills in 2021, it had been 19 years since it had been worn in the regular season when kicker Mike Hollis wore it in 2002. Number 95 has not been reissued since the retirement of Kyle Williams in 2019. Silver Anniversary Team. On April 27, 1984, Bills announced the Silver Anniversary team to commemorate its 25th anniversary. Coaching staff. Head coaches. The Bills have had twenty coaches serve as head coach in franchise history. Radio and television. The Buffalo Bills Radio Network is flagshipped at WGR AM 550 in Buffalo, with sister station WWKB AM 1520 simulcasting all home games. Chris Brown is the team's current play-by-play announcer, having taken over from John Murphy (the announcer from 2003 to 2022 and color commentator most years from 1984 to 2003) after Murphy suffered a stroke. Former Bills center Eric Wood is the color analyst. In 2018, the team signed an agreement with Nexstar Media Group to carry Bills preseason games across its network of stations in the region. As of 2020, WIVB-TV serves as the flagship station of the network, which includes WJET-TV in Erie, WROC-TV in Rochester, WSYR-TV in Syracuse, WUTR in Utica, WETM-TV in Elmira and WIVT in Binghamton. Steve Tasker does color commentary on these games; the play-by-play position is rotated between Andrew Catalon and Rob Stone. WROC-TV reporter Thad Brown is the sideline reporter. Since 2008, preseason games have been broadcast in high definition. Beginning in the 2016 season, as per a new rights deal that covers rights to the team as well as its sister NHL franchise, the Buffalo Sabres, most team-related programming, including studio programming and the coach's show, was re-located to MSG Western New York—a joint venture of MSG and the team ownership. Preseason games will continue to air in simulcast on broadcast television. In the event that regular season games are broadcast by ESPN, in accordance with the league's television policies, a local Buffalo station will broadcast the game. From 2014 to 2017, WKBW-TV held the broadcast rights to that contest, with the station winning back the rights to cable games after WBBZ-TV held the rights for 2012 and 2013. Mascots, cheerleaders, and marching band. The Bills' official mascot is Billy Buffalo, an eight-foot-tall, anthropomorphic blue American bison who wears the jersey "number" BB. The Bills do not have cheerleaders. The Bills operated a cheerleading squad named the Buffalo Jills from 1967 to 1985; from 1986 to 2013, the Jills operated as an independent organization sponsored by various companies. The Jills suspended operations prior to the 2014 season due to legal actions. The Bills and Jills were previously involved in a legal battle, in which the Jills alleged they were employees, not independent contractors, and sought back pay. On March 3, 2022, a settlement was reached where the Bills agreed to pay the Jills $3.5 million, while Cumulus Media paid $4 million in stock options of the company while admitting no wrongdoing. The Bills are one of six teams in the NFL to designate an official marching band or drumline (the others being the Baltimore Ravens, Washington Commanders, New York Jets, Carolina Panthers and Seattle Seahawks). Since the last game of the 2013 season, this position has been served by the Stampede Drumline, known outside of Buffalo as Downbeat Percussion. The Bills have several theme songs associated with them. The most popular is a variation of the Isley Brothers hit "Shout," recorded by Scott Kemper, which served as the Bills' official promotional song from 1987 through 1990s. It can be heard at every Bills home game following a field goal or touchdown and at the game's end if the Bills win. The Bills' unofficial fight song, "Go Bills," was penned by Bills head coach Marv Levy in the mid-1990s on a friendly wager with his players that he will write the song if the team won a particular game. In 2024, the Bills offensive players began a tradition of singing along to "Mr. Brightside" by The Killers as a hype song, usually in the fourth quarter; the Bills were undefeated at home in 2024 after the song was introduced. Supporters. The "Bills Backers" are the official fan organization of the Buffalo Bills. It has over 200 chapters across North America, Europe, and Oceania. Also notable is the "Bills Mafia," organized via Twitter beginning in 2010 by Del Reid, Leslie Wille, and Breyon Harris; the phrase "Bills Mafia" had by 2017 grown to unofficially represent the broad community surrounding and encompassing the team as a whole, and players who join the Bills often speak of joining the Bills Mafia. Outsiders frequently treat the Bills' fan base in derogatory terms, especially since the 2010s, partly because of negative press coverage of select fans' wilder antics. In 2020, the Bills filed to trademark the "Bills Mafia" name. Bills fans are particularly well known for their wearing of Zubaz zebra-printed sportswear; so much is the association between Bills fans and Zubaz that when a revival of the company opened its first brick-and-mortar storefront, it chose Western New York as its first location. The "wing hat," a hat shaped like a spicy chicken wing (much in the same style as the Green Bay Packers' Cheesehead hats), can also frequently be seen atop Bills fans' heads, having originated as promotional merchandise by the Anchor Bar, the purported inventors of the modern chicken wing as a delicacy. Another hat associated with the Bills fandom is the water buffalo hat, resembling the headgear of the fictional Loyal Order of Water Buffaloes seen in the TV series "The Flintstones"; this hat gained particular popularity with the Water Buffalo Club 716, a community of over 2,000 Bills supporters from around the world founded in 2021 by Therese Forton-Barnes. In 1982, a local grocery store introduced the Whammy Weenie as a promotional item, a maraca-like hot dog-shaped device, painted green (which was not a Bills color, but instead painted as such in reference to a military slang term), that Bills fans were supposed to shake at the team's opponents; Bills owner Ralph Wilson, after having seen a Whammy Weenie dangled in front of his suite in the midst of a disappointing season, ordered the Whammy Weenie to be discontinued due to the double entendre it posed. Bills Mafia members are also well known for jumping off of elevated surfaces (often cars or RVs) into folding tables, in the style of professional wrestlers, during the pregame tailgate. Bills fans are noted for their frequent support for charitable causes, especially helping charities run by players from opposing teams. After the Bills received help in breaking their 17-year playoff drought through a last-minute Cincinnati Bengals victory, Bills fans crowdfunded the charities of Bengals players Andy Dalton and Tyler Boyd with hundreds of thousands of dollars as a gesture of thanks. Also in 2020, following a November 8 upset win over the Seattle Seahawks led by one of the best career performances by quarterback Josh Allen, news emerged that Allen had elected to take the field after having been given the option to sit out the contest as he had received news of his grandmother's death only the night before. Fans showed support for their team and community by donating nearly $700,000 to the Oishei Children's Hospital, an organization supported by Allen throughout his time in Buffalo. Following the Bills' defeat of the Baltimore Ravens in the Divisional round of the 2020–21 NFL playoffs and an injury to Ravens quarterback Lamar Jackson late in that game, Bills fans crowdfunded Jackson's favorite charity, Blessings in a Backpack. After a 2024 game between the Bills and Miami Dolphins, Bills fans helped raise $18,000 for Dolphins quarterback Tua Tagovailoa's charity, The Tua Foundation, after Tagovailoa suffered a concussion during the game. The Bills are one of the favorite teams of ESPN announcer Chris Berman, who picked the Bills to reach the Super Bowl nearly every year in the 1990s. Berman often uses the catchphrase, "No one circles the wagons like the Buffalo Bills!" Berman gave the induction speech for Bills owner Ralph Wilson when Wilson was inducted into the Pro Football Hall of Fame in 2009. The Bills were also the favorite team of late NBC political commentator Tim Russert, a South Buffalo native, who often referred to the Bills on his Sunday morning talk show, "Meet the Press". (His son, Luke, is also a notable fan of the team.) CNN's Wolf Blitzer, also a Buffalo native, has proclaimed he is also a fan, as has "CBS Evening News" lead anchor and Tonawanda native Jeff Glor and DNC Chairman Tom Perez. ESPN anchor Kevin Connors is also a noted Bills fan, dating to his time attending Ithaca College. Actor Nick Bakay, a Buffalo native, is also a well-known Bills fan; he has discussed the team in segments of "NFL Top 10". Character actor William Fichtner, raised in Cheektowaga, is a fan, and did a commercial for the team in 2014. In 2015, Fichtner also narrated the ESPN "30 for 30" documentary on the Bills' four Super Bowl appearances, "Four Falls of Buffalo". Former Olympic swimmer Summer Sanders (an in-law to former Bills kicker Todd Schlopy) has professed her fandom of the team. Actor Christopher McDonald, who was raised in Romulus, New York, is a fan of the team. Persons notable almost entirely for their Bills fandom include Ken "Pinto Ron" Johnson, whose antics while appearing at every Bills home and away game since 1994 earned enough scrutiny that his tailgate parties were banned from stadium property on order of the league; John Lang, an Elvis impersonator who carries a large guitar that he uses as a billboard; Marc Miller, whose professional wrestling promo-style interview with WGRZ prior to Super Bowl XXVII (distinguished by the line "Dallas is going down, Gary!" and picked up at the time by "The George Michael Sports Machine") was rediscovered in 2019; and Ezra Castro, also known as "Pancho Billa", a native of El Paso, Texas who wore a large sombrero and lucha mask in Bills colors. Castro was diagnosed with a spinal tumor that had metastasized in 2017; he was invited on stage during the 2018 NFL draft to read one of the Bills' selections. Castro died on May 14, 2019. In popular culture. Several former Buffalo Bills players earned a name in politics in the late 20th century after their playing careers had ended, nearly always as members of the Republican Party. The most famous of these was quarterback Jack Kemp, who was elected to the U.S. House of Representatives from Western New York in 1971—two years after his playing career ended and remained there for nearly two decades, serving as the Republican Party nominee for Vice President of the United States under Bob Dole in 1996. Kemp's backup, Ed Rutkowski, served as county executive of Erie County from 1979 to 1987. Former tight end Jay Riemersma, nose tackle Fred Smerlas and defensive end Phil Hansen have all run for Congress, though all three either lost or withdrew from their respective races.
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Big Dig
The Big Dig was a megaproject in Boston that rerouted the elevated Central Artery of Interstate 93 into the O'Neill Tunnel and built the Ted Williams Tunnel to extend Interstate 90 to Logan International Airport. Those two projects were the origin of the official name, the Central Artery/Tunnel Project (CA/T Project). The megaproject constructed the Zakim Bunker Hill Bridge over the Charles River, created the Rose Kennedy Greenway in the space vacated by the previous elevated roadway and funded more than a dozen projects to improve the region's public transportation system. Planning began in 1982 and construction was carried out between 1991 and 2006. The project concluded in December 2007. The project's general contractor was Bechtel, with Parsons Brinckerhoff as the engineers, who worked as a consortium, both overseen by the Massachusetts Highway Department. The Big Dig was the most expensive highway project in the United States, and was plagued by cost overruns, delays, leaks, design flaws, accusations of poor execution and use of substandard materials, criminal charges and arrests, and the death of one motorist. The project was originally scheduled to be completed in 1998 at an estimated cost of $2.8 billion, US$7.4 billion adjusted for inflation . The project was completed in December 2007 at a cost of over $8.08 billion in 1982 dollars, $21.5 billion adjusted for inflation, a cost overrun of about 190%. As a result of a death, leaks, and other design flaws, the Parsons Brinckerhoff and Bechtel consortium agreed to pay $407 million in restitution, and several smaller companies agreed to pay a combined sum of approximately $51 million. Origin. This project was developed in response to traffic congestion on Boston's historically tangled streets, which were laid out centuries before the advent of the automobile. As early as 1930, the city's Planning Board recommended a raised express highway running north–south through the downtown district in order to draw through-traffic off the city streets. Commissioner of Public Works William Callahan promoted plans for the Central Artery, an elevated expressway which eventually was constructed between the downtown area and the waterfront. In the 1950s, Governor John Volpe interceded to change the design of the last section of the Central Artery, putting it underground through the Dewey Square Tunnel. While traffic moved somewhat better, the other problems remained. There was chronic congestion on the Central Artery (I-93), the elevated six-lane highway through the center of downtown Boston, which was, in the words of Pete Sigmund, "like a funnel full of slowly-moving, or stopped, cars (and swearing motorists)." In 1959, the road section carried approximately 75,000 vehicles a day. By the 1990s, this had grown to 190,000 vehicles a day. Traffic jams of 16 hours were predicted for 2010. The expressway had tight turns, an excessive number of entrances and exits, entrance ramps without merge lanes, and as the decades passed and other planned expressways were cancelled, continually escalating vehicular traffic that was well beyond its design capacity. Local businesses again wanted relief, city leaders sought a reuniting of the waterfront with the city, and nearby residents desired removal of the matte green-painted elevated road, which mayor Thomas Menino called Boston's "other Green Monster", as an unfavorable comparison to Fenway Park's famed left-field wall. MIT engineers Bill Reynolds, and eventual state Secretary of Transportation Frederick P. Salvucci envisioned moving the whole expressway underground. Cancellation of the Inner Belt project. Another important motivation for the final form of the Big Dig was the abandonment of the Massachusetts Department of Public Works' intended expressway system through and around Boston. The Central Artery, as part of Mass. DPW's Master Plan of 1948, was originally planned to be the downtown Boston stretch of Interstate 95, and was signed as such. A bypass road called the Inner Belt, was subsequently renamed Interstate 695. The law establishing the Interstate highway system was enacted in 1956. The Inner Belt District was to pass to the west of the downtown core, through the neighborhood of Roxbury and the cities of Brookline, Cambridge, and Somerville. Earlier controversies over impact of the Boston extension of the Massachusetts Turnpike, particularly on the heavily populated neighborhood of Brighton, and the additional large amount of housing that would have had to be destroyed, led to massive community opposition to both the Inner Belt and the Boston section of I-95. By 1970, building demolition and land clearances had been completed along the I-95 right of way through the neighborhoods of Roxbury, Jamaica Plain, the South End and Roslindale. This led to secession threats by Hyde Park, Boston's youngest and southernmost neighborhood, which I-95 was also slated to go through. By 1972, with relatively little work done on the Southwest Corridor portion of I-95 and none on the potentially massively disruptive Inner Belt, Governor Francis Sargent put a moratorium on highway construction within the Route 128 corridor, except for the final short stretch of Interstate 93. In 1974, the remainder of the Master Plan was canceled. With ever-increasing traffic volumes funneled onto I-93 alone, the Central Artery became chronically gridlocked. The Sargent moratorium led to the rerouting of I-95 away from Boston around the Route 128 beltway, and the conversion of the cleared land in the southern part of the city into the Southwest Corridor linear park, and a new right-of-way for the Orange Line subway and Amtrak. Parts of the planned I-695 right-of-way remain unused and under consideration for future mass-transit projects. The original 1948 Master Plan included a Third Harbor Tunnel plan that was hugely controversial in its own right, because it would have disrupted the Maverick Square area of East Boston. It was never built. Mixing of traffic. A major reason for the all-day congestion was that the Central Artery carried north–south traffic and east–west traffic. Boston's Logan Airport lies across Boston Harbor in East Boston. Before the Big Dig, the only access to the airport from downtown was through the paired Callahan and Sumner tunnels. Traffic on the major highways from west of Boston—the Massachusetts Turnpike and Storrow Drive—mostly traveled on portions of the Central Artery to reach these tunnels. Getting between the Central Artery and the tunnels involved short diversions onto city streets, increasing local congestion. Mass transit. A number of public transportation projects were included as part of an environmental mitigation for the Big Dig. The most expensive was the building of the Phase II Silver Line tunnel under Fort Point Channel, done in coordination with Big Dig construction. Silver Line buses now use this tunnel and the Ted Williams Tunnel to link South Station and Logan Airport. Construction of the MBTA Green Line extension beyond Lechmere to Medford/Tufts station opened in December 2022. , promised projects to connect the Red and Blue subway lines, and to restore the Green Line streetcar service to the Arborway in Jamaica Plain have not been completed. The Red and Blue subway line connection underwent initial design, but no funding has been designated for the project. The Arborway Line restoration has been abandoned, following a final court decision in 2011. The original Big Dig plan included the North-South Rail Link, which would have connected North and South Stations, the major passenger train stations in Boston. This aspect of the project was dropped by the state transportation administration early in the Dukakis administration. Negotiations with the federal government had led to an agreement to widen some of the lanes in the new harbor tunnel, and accommodating these would require the tunnel to be deeper and mechanically vented. This left no room for the rail lines. Diesel trains, then in use, passing through the tunnel would have substantially increased the cost of the ventilation system. Early planning. The project was conceived in the 1970s by the Boston Transportation Planning Review to replace the rusting elevated six-lane Central Artery. The expressway separated downtown from the waterfront, and was increasingly choked with bumper-to-bumper traffic. Business leaders were more concerned about access to Logan Airport, and pushed instead for a third harbor tunnel. In 1982, planning for the Big Dig as a project officially began. In 1983, environmental impact studies started. In 1987, after years of extensive lobbying for federal dollars, a public works bill appropriating funding for the Big Dig was passed by the US Congress, but it was vetoed by President Ronald Reagan for being too expensive. When Congress overrode the veto, the project had its green light. In 1991, ground was first broken. In 1997, the state legislature created the Metropolitan Highway System and transferred responsibility for the Central Artery and Tunnel "CA/T" Project from the Massachusetts Highway Department and the Massachusetts Governor's Office to the Massachusetts Turnpike Authority (MTA). The MTA, which had little experience in managing an undertaking of the scope and magnitude of the CA/T Project, hired a joint venture to provide preliminary designs, manage design consultants and construction contractors, track the project's cost and schedule, advise MTA on project decisions, and, in some instances, act as the MTA's representative. Eventually, MTA combined some of its employees with joint venture employees in an integrated project organization. This was intended to make management more efficient, but it hindered MTA's ability to independently oversee project activities because MTA and the joint venture had effectively become partners in the project. Obstacles. In addition to political and financial difficulties, the project received resistance from residents of Boston's historic North End, who in the 1950s had seen 20% of the neighborhood's businesses displaced by development of the Central Artery. In 1993, the North End Waterfront Central Artery Committee (NEWCAC) created, co-founded by Nancy Caruso, representing residents, businesses, and institutions in the North End and Waterfront neighborhoods of Boston. The NEWCAC Committee's goal included lessening the impact of the Central Artery/Tunnel Project on the community, representing the neighborhoods to government agencies, keeping the community informed, developing a list of priorities of immediate neighborhood concerns, and promoting responsible and appropriate development of the post-construction artery corridor in the North End and Waterfront neighborhoods. The political, financial and residential obstacles were magnified when several environmental and engineering obstacles occurred. The downtown area through which the tunnels were to be dug was largely land fill, and included existing Red Line and Blue Line subway tunnels as well as innumerable pipes and utility lines that would have to be replaced or moved. Tunnel workers encountered many unexpected geological and archaeological barriers, ranging from glacial debris to foundations of buried houses and a number of sunken ships lying within the reclaimed land. The project received approval from state environmental agencies in 1991, after satisfying concerns including release of toxins by the excavation and the possibility of disrupting the homes of millions of rats, causing them to roam the streets of Boston in search of new housing. By the time the federal environmental clearances were delivered in 1994, the process had taken some seven years, during which time inflation greatly increased the project's original cost estimates. Reworking such a busy corridor without seriously restricting traffic flow required a number of state-of-the-art construction techniques. Because the old elevated highway, which remained in operation throughout the construction process, rested on pylons located throughout the designated dig area, engineers first utilized slurry wall techniques to create concrete walls upon which the highway could rest. These concrete walls also stabilized the sides of the site, preventing cave-ins during the continued excavation process. The multi-lane Interstate highway also had to pass under South Station's seven railroad tracks, which carried over 40,000 commuters and 400 trains per day. To avoid multiple relocations of train lines while the tunneling advanced, as had been initially planned, a specially designed jack was constructed to support the ground and tracks to allow the excavation to take place below. Construction crews also used ground freezing (an artificial induction of permafrost) to help stabilize surrounding ground as they excavated the tunnel. This was the largest tunneling project undertaken beneath railroad lines anywhere in the world. The ground freezing enabled safer, more efficient excavation, and also assisted in environmental issues, as less contaminated fill needed to be exported than if a traditional cut-and-cover method had been applied. Other challenges included existing subway tunnels crossing the path of the underground highway. To build slurry walls past these tunnels, it was necessary to dig beneath the tunnels and to build an underground concrete bridge to support the tunnels' weight, without interrupting rail service. Construction phase. The project was managed by the Massachusetts Turnpike Authority, with the Big Dig and the Turnpike's Boston Extension from the 1960s being financially and legally joined by the legislature as the Metropolitan Highway System. Design and construction was supervised by a joint venture of Bechtel Corporation and Parsons Brinckerhoff. Because of the enormous size of the project—too large for any company to undertake alone—the design and construction of the Big Dig was broken up into dozens of smaller subprojects with well-defined interfaces between contractors. Major heavy-construction contractors on the project included Jay Cashman, Modern Continental, Obayashi Corporation, Perini Corporation, Peter Kiewit Sons' Incorporated, J. F. White, and the Slattery division of Skanska USA. Of those, Modern Continental was awarded the greatest gross value of contracts, joint ventures included. The nature of the Charles River crossing had been a source of major controversy throughout the design phase of the project. Many environmental advocates preferred a river crossing entirely in tunnels, but this, along with 27 other plans, was rejected as too costly. With a deadline looming to begin construction on a separate project that would connect the Tobin Bridge to the Charles River crossing, Salvucci overrode the objections and chose a variant of the plan known as "Scheme Z". This plan was considered to be reasonably cost-effective, but had the drawback of requiring highway ramps stacked up as high as immediately adjacent to the Charles River. The city of Cambridge objected to the visual impact of the chosen Charles River crossing design. The city sued to revoke the project's environmental certificate and forced the project planners to redesign the river crossing again. Swiss engineer Christian Menn took over the design of the bridge. He suggested a cradle cable-stayed bridge that would carry ten lanes of traffic. The plan was accepted and construction began on the Leonard P. Zakim Bunker Hill Memorial Bridge. The bridge employed an asymmetrical design and a hybrid of steel and concrete was used to construct it. The distinctive bridge is supported by two forked towers connected to the span by cables and girders. It was the first bridge in the country to employ this method and it was, at the time, the widest cable-stayed bridge in the world, having since been surpassed by the Eastern span replacement of the San Francisco–Oakland Bay Bridge. Meanwhile, construction continued on the Tobin Bridge approach. By the time all parties agreed on the I-93 design, construction of the Tobin connector, today known as the "City Square Tunnel" for a Charlestown area it bypasses, was far along, significantly adding to the cost of constructing the US Route 1 interchange and retrofitting the tunnel. Boston blue clay and other soils extracted from the path of the tunnel were used to cap many local landfills, fill in the Granite Rail Quarry in Quincy, and restore the surface of Spectacle Island in the Boston Harbor Islands National Recreation Area. The Storrow Drive Connector, a companion bridge to the Zakim, began carrying traffic from I-93 to Storrow Drive in 1999. The project had been under consideration for years, but was opposed by the wealthy residents of the Beacon Hill neighborhood. It was finally accepted because it would funnel traffic bound for Storrow Drive and downtown Boston away from the mainline roadway. The Connector ultimately used a pair of ramps that had been constructed for Interstate 695, enabling the mainline I-93 to carry more traffic that would have used I-695 under the original Master Plan. When construction began, the project cost, including the Charles River crossing, was estimated at $5.8 billion. Eventual cost overruns were so high that the chairman of the Massachusetts Turnpike Authority, James Kerasiotes, was fired in 2000. His replacement had to commit to an $8.55 billion cap on federal contributions. The total expenses eventually passed $15 billion. Interest brought this cost to $21.93 billion. Engineering methods and details. Several unusual engineering challenges arose during the project, requiring unusual solutions and methods to address them. At the beginning of the project, engineers had to figure out the safest way to build the tunnel without endangering the existing elevated highway above. Eventually, they created horizontal braces as wide as the tunnel, then cut away the elevated highway's struts, and lowered it onto the new braces. Three alternative construction methods were studied with their corresponding structural design to address existing conditions, safety measures, and constructability. In addition to codified loads, construction loads were computed to support final design and field execution. Final phases. On January 18, 2003, the opening ceremony was held for the I-90 Connector Tunnel, extending the Massachusetts Turnpike (Interstate 90) east into the Ted Williams Tunnel, and onwards to Boston Logan International Airport. The Ted Williams tunnel had been completed and was in limited use for commercial traffic and high-occupancy vehicles since late 1995. The westbound lanes opened on the afternoon of January 18 and the eastbound lanes on January 19. The northbound lanes of the I-93 tunnel opened on March 29, 2003. A temporary ramp from I-90 westbound to I-93 southbound opened on December 6, 2003, as did Cross Street on the surface. The southbound lanes of the I-93 tunnel opened on December 20, 2003. A tunnel underneath Leverett Circle connecting eastbound Storrow Drive to I-93 North and the Tobin Bridge opened December 19, 2004, easing congestion at the circle. All southbound lanes of I-93 opened to traffic on March 5, 2005, including the left lane of the Zakim Bridge, and all of the refurbished Dewey Square Tunnel. By the end of December 2004, 95% of the Big Dig was completed. Major construction remained on the surface, including construction of final ramp configurations in the North End and in the South Bay interchange, and reconstruction of the surface streets. The final ramp downtown — exit 16A (formerly 20B) from I-93 south to Albany Street — opened January 13, 2006. In 2006, the two Interstate 93 tunnels were dedicated as the Thomas P. O'Neill Jr. Tunnel, after the former Democratic speaker of the House of Representatives from Massachusetts who pushed to have the Big Dig funded by the federal government. Coordinated projects. The Commonwealth of Massachusetts was required under the Federal Clean Air Act to mitigate air pollution generated by the highway improvements. Secretary of Transportation Fred Salvucci signed an agreement with the Conservation Law Foundation in 1990 enumerating 14 specific projects the state agreed to build. This list was affirmed in a 1992 lawsuit settlement. Projects which have been completed include: However, some projects were removed: Surface treatments. Some surface treatments that were part of the original project plan were dropped due to the massive cost overruns on the highway portion of the project. $99.1 million was allocated for mitigating improvements to the Charles River Basin, including the construction of North Point Park in Cambridge and Paul Revere Park in Charlestown. The North Bank Bridge, providing pedestrian and bicycle connectivity between the parks, was not funded until the American Recovery and Reinvestment Act of 2009. Nashua Street Park on the Boston side was completed in 2003, by McCourt Construction with $7.9 million in funding from MassDOT. As of 2017, $30.5 million had been transferred to the Massachusetts Department of Conservation and Recreation to complete five projects. Another incomplete but required project is the South Bank Bridge over the MBTA Commuter Rail tracks at North Station (connecting Nashua Street Park to the proposed South Bank Park, which is currently a parking lot under the Zakim Bridge at the Charles River locks). Improvements in the lower Charles River Basin include the new walkway at Lovejoy Wharf (constructed by the developer of 160 North Washington Street, the new headquarters of Converse), the Lynch Family Skate Park (constructed in 2015 by the Charles River Conservancy), rehabilitation of historic operations buildings for the Charles River Dam and lock, a maintenance facility, and a planned pedestrian walkway across the Charles River next to the MBTA Commuter Rail drawbridge at North Station (connecting Nashua Street Park and North Point Park). MassDOT is funding the South Bank Park, and replacement of the North Washington Street Bridge (construction Aug 2018–23). EF Education is funding public greenspace improvements as part of its three-phase expansion at North Point. Remaining funding may be used to construct the North Point Inlet pedestrian bridge, and a pedestrian walkway over Leverett Circle. Before being replaced with surface access during the reconstruction of the Science Park MBTA Green Line station, Leverett Circle had pedestrian bridges with stairs that provided elevated access between the station, the Charles River Parks, and the sidewalk to the Boston Museum of Science. The replacement ramps would comply with Americans with Disabilities Act requirements and allow easy travel by wheelchair or bicycle over the busy intersection. Public art. While not a legally mandated requirement, public art was part of the urban design planning process, and later design development work, through the Artery Arts Program. The intent of the program was to integrate public art into highway infrastructure (retaining walls, fences, and lighting) and the essential elements of the pedestrian environment (walkways, park landscape elements, and bridges). As overall project costs increased, the Artery Arts Program was seen as a potential liability, even though there was support and interest from the public and professional arts organizations in the area. At the beginning of the highway design process, a temporary arts program was initiated, and over 50 proposals were selected. Development began on only a few projects before funding for the program was cut. Permanent public art that was funded includes: super graphic text and facades of former West End houses cast into the concrete elevated highway abutment support walls near North Station by artist Sheila Levrant de Bretteville; Harbor Fog, a sensor-activated mist, light and sound sculptural environment by artist Ross Miller in parcel 17; a historical sculpture celebrating the 18th and 19th century shipbuilding industry and a bust of shipbuilder Donald McKay in East Boston; blue interior lighting of the Zakim Bridge; and the Miller's River Littoral Way walkway and lighting under the loop ramps north of the Charles River. Extensive landscape planting, as well as a maintenance program to support the plantings, was requested by many community members during public meetings. Impact on traffic. The Big Dig separated the co-mingled traffic from the Massachusetts Turnpike and the Sumner and Callahan tunnels. While only one net lane in each direction was added to the north–south I-93, several new east–west lanes became available. East–west traffic on the Massachusetts Turnpike/I-90 now proceeds directly through the Ted Williams Tunnel to Logan Airport and Route 1A beyond. Traffic between Storrow Drive and the Callahan and Sumner Tunnels still uses a short portion of I-93, but additional lanes and direct connections are provided for this traffic. The result was a 62% reduction in vehicle hours of travel on I-93, the airport tunnels, and the connection from Storrow Drive, from an average 38,200 hours per day before construction (1994–1995) to 14,800 hours per day in 2004–2005, after the project was largely complete. The savings for travelers was estimated at $166 million annually in the same 2004–2005 time frame. Travel times on the Central Artery northbound during the afternoon peak hour were reduced 85.6%. A 2008 "Boston Globe" report asserted that waiting time for the majority of trips actually increased as a result of demand induced by the increased road capacity. Because more drivers were opting to use the new roads, traffic bottlenecks were only pushed outward from the city, not reduced or eliminated (although some trips are now faster). The report states, "Ultimately, many motorists going to and from the suburbs at peak rush hours are spending more time stuck in traffic, not less." The "Globe" also asserted that their analysis provides a fuller picture of the traffic situation than a state-commissioned study done two years earlier, in which the Big Dig was credited with helping to save at least $167 million a year by increasing economic productivity and decreasing motor vehicle operating costs. That study did not look at highways outside the Big Dig construction area and did not take into account new congestion elsewhere. Impact on property values. Towards the end of the Big Dig in 2003, it was estimated that the demolition of the Central Artery highway would cause a $732 million increase in property value in Boston's financial district, with the replacement parks providing an additional $252 million in value. As a result of the Big Dig, a large amount of waterfront space was opened up, which is now a high-rent residential and commercial area called the Seaport District. The development of Seaport alone was estimated to create $7 billion in private investment and 43,000 jobs. Operations Control Center (OCC). As part of the project, an elaborate Operations Control Center (OCC) control room was constructed in South Boston. Staffed on a "24/7/365" basis, this center monitors and reports on traffic congestion, and responds to emergencies. Continuous video surveillance is provided by hundreds of cameras, and thousands of sensors monitor traffic speed and density, air quality, water levels, temperatures, equipment status, and other conditions inside the tunnel. The OCC can activate emergency ventilation fans, change electronic display signs, and dispatch service crews when necessary. Problems. Leaks. As far back as 2001, Turnpike Authority officials and contractors knew of thousands of leaks in ceiling and wall fissures, extensive water damage to steel supports and fireproofing systems, and overloaded drainage systems. Many of the leaks were a result of Modern Continental and other subcontractors failing to remove gravel and other debris before pouring concrete. This information was not made public until engineers at MIT (volunteer students and professors) performed several experiments and found serious problems with the tunnel. On September 15, 2004, a major leak in the Interstate 93 north tunnel forced the closure of the tunnel while repairs were conducted. This also forced the Turnpike Authority to release information regarding its non-disclosure of prior leaks. A follow-up reported on "extensive" leaks that were more severe than state authorities had previously acknowledged. The report went on to state that the tunnel system had more than 400 leaks. A "Boston Globe" report countered that by stating there were nearly 700 leaks in a single section of tunnel beneath South Station. Turnpike officials also stated that the number of leaks being investigated was down from 1,000 to 500. The problem of leaks is further aggravated by the fact that many of them involve corrosive salt water. This is caused by the proximity of Boston Harbor and the Atlantic Ocean, causing a mix of salt and fresh water leaks in the tunnel. The situation is made worse by road salt spread in the tunnel to melt ice during freezing weather, or brought in by vehicles passing through. Salt water and salt spray are well-known issues that must be dealt with in any marine environment. It has been reported that "hundreds of thousands of gallons of salt water are pumped out monthly" in the Big Dig, and a map has been prepared showing "hot spots" where water leakage is especially serious. Salt-accelerated corrosion has caused ceiling light fixtures to fail (see below), but can also cause rapid deterioration of embedded rebar and other structural steel reinforcements holding the tunnel walls and ceiling in place. Substandard materials. Massachusetts State Police searched the offices of Aggregate Industries, the largest concrete supplier for the underground portions of the project, in June 2005. They seized evidence that Aggregate delivered concrete that did not meet contract specifications. In March 2006 Massachusetts Attorney General Tom Reilly announced plans to sue project contractors and others because of poor work on the project. Over 200 complaints were filed by the state of Massachusetts as a result of leaks, cost overruns, quality concerns, and safety violations. In total, the state has sought approximately $100 million from the contractors ($1 for every $141 spent). In May 2006, six employees of the company were arrested and charged with conspiracy to defraud the United States. The employees were accused of reusing old concrete and double-billing loads. In July 2007, Aggregate Industries settled the case with an agreement to pay $50 million. $42 million of the settlement went to civil cases and $8 million was paid in criminal fines. The company will provide $75 million in insurance for maintenance as well as pay $500,000 toward routine checks on areas suspected to contain substandard concrete. In July 2009, two of the accused, Gerard McNally and Keith Thomas, both managers, pled guilty to charges of conspiracy, mail fraud, and filing false reports. The following month, the remaining four, Robert Prosperi, Mark Blais, Gregory Stevenson, and John Farrar, were found guilty on conspiracy and fraud charges. The four were sentenced to probation and home confinement and Blais and Farrar were additionally sentenced to community service. Fatal ceiling collapse. A fatal accident raised safety questions and closed part of the project for most of the summer of 2006. On July 10, 2006, concrete ceiling panels and debris weighing and measuring fell on a car traveling on the two-lane ramp connecting northbound I-93 to eastbound I-90 in South Boston, killing Milena Del Valle, who was a passenger, and injuring her husband, Angel Del Valle, who was driving. Immediately following the fatal ceiling collapse, Governor Mitt Romney ordered a "stem-to-stern" safety audit conducted by the engineering firm of Wiss, Janney, Elstner Associates, Inc. to look for additional areas of risk. Said Romney: "We simply cannot live in a setting where a project of this scale has the potential of threatening human life, as has already been seen". The collapse and closure of the tunnel greatly snarled traffic in the city. The resulting traffic jams are cited as contributing to the death of another person, a heart attack victim who died en route to Boston Medical Center when his ambulance was caught in one such traffic jam two weeks after the collapse. On September 1, 2006, one eastbound lane of the connector tunnel was re-opened to traffic. Following extensive inspections and repairs, Interstate 90 east- and westbound lanes reopened in early January 2007. The final piece of the road network, a high occupancy vehicle lane connecting Interstate 93 north to the Ted Williams Tunnel, reopened on June 1, 2007. On July 10, 2007, after a lengthy investigation, the National Transportation Safety Board found that epoxy glue used to hold the roof in place during construction was not appropriate for long-term bonding. This was determined to be the cause of the roof collapse. The Power-Fast Epoxy Adhesive used in the installation was designed for short-term loading, such as wind or earthquake loads, not long-term loading, such as the weight of a panel. Powers Fasteners, the makers of the adhesive, revised their product specifications on May 15, 2007, to increase the safety factor from 4 to 10 for all of their epoxy products intended for use in overhead applications. The safety factor on Power-Fast Epoxy was increased from 4 to 16. On December 24, 2007, the Del Valle family announced they had reached a settlement with Powers Fasteners that would pay the family $6 million. In December 2008, Powers Fasteners agreed to pay $16 million to the state to settle manslaughter charges. "Ginsu guardrails". Public safety workers have called the walkway safety handrails in the Big Dig tunnels "ginsu guardrails", because the squared-off edges of the support posts have caused mutilations and deaths of passengers ejected from crashed vehicles. After an eighth reported death involving the safety handrails, MassDOT officials announced plans to cover or remove the allegedly dangerous fixtures, but only near curves or exit ramps. This partial removal of hazards has been criticized by a safety specialist, who suggests that the handrails are just as dangerous in straight sections of the tunnel. Lighting fixtures. In March 2011, it became known that senior MassDOT officials had failed to disclose an issue with the lighting fixtures in the O'Neill tunnel. In early February 2011, a maintenance crew found a fixture lying in the middle travel lane in the northbound tunnel. Assuming it to be simple road debris, the maintenance team picked it up and brought it back to its home facility. The next day, a supervisor passing through the yard realized that the fixture was not road debris but was in fact one of the fixtures used to light the tunnel itself. Further investigation revealed that the fixture's mounting apparatus had failed, due to galvanic corrosion of incompatible metals, caused by having aluminum in direct contact with stainless steel, in the presence of salt water. The electrochemical potential difference between stainless steel and aluminum is in the range of 0.5 to 1.0V, depending on the exact alloys involved, and can cause considerable corrosion within months under unfavorable conditions. After the discovery of the reason why the fixture had failed, a comprehensive inspection of the other fixtures in the tunnel revealed that numerous other fixtures were also in the same state of deterioration. Some of the worst fixtures were temporarily shored up with plastic ties. Moving forward with temporary repairs, members of the MassDOT administration team decided not to let the news of the systemic failure and repair of the fixtures be released to the public or to Governor Deval Patrick's administration. , it appeared that all of the 25,000 light fixtures would have to be replaced, at an estimated cost of $54 million. The replacement work was mostly done at night, and required lane closures or occasional closing of the entire tunnel for safety, and was estimated to take up to two years to complete. See also. International:
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Books of Chronicles
The Book of Chronicles ( , "words of the days") is a book in the Hebrew Bible, found as two books (1–2 Chronicles) in the Christian Old Testament. Chronicles is the final book of the Hebrew Bible, concluding the third section of the Jewish Tanakh, the Ketuvim ("Writings"). It contains a genealogy starting with Adam and a history of ancient Judah and Israel up to the Edict of Cyrus in 539 BC. The book was translated into Greek and divided into two books in the Septuagint in the mid-3rd century BC. In Christian contexts Chronicles is referred to in the plural as the Books of Chronicles, after the Latin name given to the text by Jerome, but is also referred to by its Greek name as the Books of Paralipomenon. In Christian Bibles, they usually follow the two Books of Kings and precede Ezra–Nehemiah, the last history-oriented book of the Protestant Old Testament. Summary. The Chronicles narrative begins with Adam, Seth and Enosh, and the story is then carried forward, almost entirely through genealogical lists, down to the founding of the United Kingdom of Israel in the "introductory chapters", 1 Chronicles 1–9. The bulk of the remainder of 1 Chronicles, after a brief account of Saul in chapter 10, is concerned with the reign of David. The next long section concerns David's son Solomon, and the final part is concerned with the Kingdom of Judah, with occasional references to the northern Kingdom of Israel (2 Chronicles 10–36). The final chapter covers briefly the reigns of the last four kings, until Judah is destroyed and the people taken into exile in Babylon. In the two final verses, identical to the opening verses of the Book of Ezra, the Persian king Cyrus the Great conquers the Neo-Babylonian Empire, and authorises the restoration of the Temple in Jerusalem and the return of the exiles. Structure. Originally a single work, Chronicles was divided into two in the Septuagint, a Greek translation produced in the 3rd and 2nd centuries BC. It has three broad divisions: Within this broad structure there are signs that the author has used various other devices to structure his work, notably through drawing parallels between David and Solomon (the first becomes king, establishes the worship of Israel's God in Jerusalem, and fights the wars that will enable the Temple to be built, then Solomon becomes king, builds and dedicates the Temple, and reaps the benefits of prosperity and peace). 1 Chronicles is divided into 29 chapters and 2 Chronicles into 36 chapters. Biblical commentator C. J. Ball suggests that the division into two books introduced by the translators of the Septuagint "occurs in the most suitable place", namely with the conclusion of David's reign as king and the initiation of Solomon's reign. The Talmud considered Chronicles one book. Composition. Origins. The last events recorded in Chronicles take place in the reign of Cyrus the Great, the Persian king who conquered Babylon in 539 BC; this sets the earliest possible date for this passage of the book. Chronicles appears to be largely the work of a single individual. The writer was probably male, probably a Levite (temple priest), and probably from Jerusalem. He was well-read, a skilled editor, and a sophisticated theologian. He aimed to use the narratives in the Torah and former prophets to convey religious messages to his peers, the literary and political elite of Jerusalem in the time of the Achaemenid Empire. Jewish and Christian tradition identified this author as the 5th-century BC figure Ezra, who gives his name to the Book of Ezra; Ezra is also believed by the Talmudic sages to have written both his own book (i. e., Ezra–Nehemiah) and Chronicles up to his own time, the latter having been finished by Nehemiah. Later critics, skeptical of the long-maintained tradition, preferred to call the author "the Chronicler". However, many scholars maintain support for Ezra's authorship, not only based on centuries of work by Jewish historians, but also due to the consistency of language and speech patterns between Chronicles and Ezra–Nehemiah. Professor Emeritus Menahem Haran of the Hebrew University of Jerusalem explains, "the overall unity of the Chronistic Work is … demonstrated by a common ideology, the uniformity of legal, cultic and historical conceptions and specific style, all of which reflect one opus." One of the most striking, although inconclusive, features of Chronicles is that its closing sentence is repeated as the opening of Ezra–Nehemiah. In antiquity, such repeated verses, like the "catch-lines" used by modern printers, often appeared at the end of a scroll to facilitate the reader's passing on to the correct second book-scroll after completing the first. This scribal device was employed in works that exceeded the scope of a single scroll and had to be continued on another scroll. The latter half of the 20th century, amid growing skepticism in academia regarding history in the Biblical tradition, saw a reappraisal of the authorship question. Though there is a general lack of corroborating evidence, many now regard it as improbable that the author of Chronicles was also the author of the narrative portions of Ezra–Nehemiah. These critics suggest that "Chronicles" was probably composed between 400 and 250 BC, with the period 350–300 BC the most likely. This timeframe is achieved by estimates made based on genealogies appearing in the Greek Septuagint. This theory bases its premise on the latest person mentioned in Chronicles, Anani. Anani is an eighth-generation descendant of King Jehoiachin according to the Masoretic Text. This has persuaded many supporters of the Septuagint's reading to place Anani's likely date of birth a century later than what had been largely accepted for two millennia. Sources. Much of the content of Chronicles is a repetition of material from other books of the Bible, from Genesis to Kings, and so the usual scholarly view is that these books, or an early version of them, provided the author with the bulk of his material. It is, however, possible that the situation was rather more complex, and that books such as Genesis and Samuel should be regarded as contemporary with Chronicles, drawing on much of the same material, rather than a source for it. Despite much discussion of this issue, no agreement has been reached. It is also likely that Chronicles preserved ancient heterodox traditions regarding Israel's history. Genre. The translators who created the Greek version of the Jewish Bible (the Septuagint) called this book "Paralipomenon", "Things Left Out", indicating that they thought of it as a supplement to another work, probably Genesis–Kings, but the idea seems inappropriate, since much of Genesis–Kings has been copied almost without change. Some modern scholars proposed that Chronicles is a midrash, or traditional Jewish commentary, on Genesis–Kings, but again this is not entirely accurate since the author or authors do not comment on the older books so much as use them to create a new work. Recent suggestions have been that it was intended as a clarification of the history in Genesis–Kings, or a replacement or alternative for it. Themes. Presbyterian theologian Paul K. Hooker argues that the generally accepted message the author wished to give to his audience was a theological reflection, not a "history of Israel": External links. Translations Introductions Audiobooks
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Binary search tree
In computer science, a binary search tree (BST), also called an ordered or sorted binary tree, is a rooted binary tree data structure with the key of each internal node being greater than all the keys in the respective node's left subtree and less than the ones in its right subtree. The time complexity of operations on the binary search tree is linear with respect to the height of the tree. Binary search trees allow binary search for fast lookup, addition, and removal of data items. Since the nodes in a BST are laid out so that each comparison skips about half of the remaining tree, the lookup performance is proportional to that of binary logarithm. BSTs were devised in the 1960s for the problem of efficient storage of labeled data and are attributed to Conway Berners-Lee and David Wheeler. The performance of a binary search tree is dependent on the order of insertion of the nodes into the tree since arbitrary insertions may lead to degeneracy; several variations of the binary search tree can be built with guaranteed worst-case performance. The basic operations include: search, traversal, insert and delete. BSTs with guaranteed worst-case complexities perform better than an unsorted array, which would require linear search time. The complexity analysis of BST shows that, on average, the insert, delete and search takes formula_1 for formula_2 nodes. In the worst case, they degrade to that of a singly linked list: formula_3. To address the boundless increase of the tree height with arbitrary insertions and deletions, self-balancing variants of BSTs are introduced to bound the worst lookup complexity to that of the binary logarithm. AVL trees were the first self-balancing binary search trees, invented in 1962 by Georgy Adelson-Velsky and Evgenii Landis. Binary search trees can be used to implement abstract data types such as dynamic sets, lookup tables and priority queues, and used in sorting algorithms such as tree sort. History. The binary search tree algorithm was discovered independently by several researchers, including P.F. Windley, Andrew Donald Booth, Andrew Colin, Thomas N. Hibbard. The algorithm is attributed to Conway Berners-Lee and David Wheeler, who used it for storing labeled data in magnetic tapes in 1960. One of the earliest and popular binary search tree algorithm is that of Hibbard. The time complexity of a binary search tree increases boundlessly with the tree height if the nodes are inserted in an arbitrary order, therefore self-balancing binary search trees were introduced to bound the height of the tree to formula_1. Various height-balanced binary search trees were introduced to confine the tree height, such as AVL trees, Treaps, and red–black trees. Overview. A binary search tree is a rooted binary tree in which nodes are arranged in strict total order in which the nodes with keys greater than any particular node "A" is stored on the right sub-trees to that node "A" and the nodes with keys equal to or less than "A" are stored on the left sub-trees to "A," satisfying the binary search property. Binary search trees are also efficacious in sortings and search algorithms. However, the search complexity of a BST depends upon the order in which the nodes are inserted and deleted; since in worst case, successive operations in the binary search tree may lead to degeneracy and form a singly linked list (or "unbalanced tree") like structure, thus has the same worst-case complexity as a linked list. Binary search trees are also a fundamental data structure used in construction of abstract data structures such as sets, multisets, and associative arrays. Operations. Searching. Searching in a binary search tree for a specific key can be programmed recursively or iteratively. Searching begins by examining the root node. If the tree is , the key being searched for does not exist in the tree. Otherwise, if the key equals that of the root, the search is successful and the node is returned. If the key is less than that of the root, the search proceeds by examining the left subtree. Similarly, if the key is greater than that of the root, the search proceeds by examining the right subtree. This process is repeated until the key is found or the remaining subtree is formula_5. If the searched key is not found after a formula_5 subtree is reached, then the key is not present in the tree. Recursive search. The following pseudocode implements the BST search procedure through recursion. The recursive procedure continues until a formula_5 or the formula_8 being searched for are encountered. Iterative search. The recursive version of the search can be "unrolled" into a while loop. On most machines, the iterative version is found to be more efficient. Since the search may proceed till some leaf node, the running time complexity of BST search is formula_9 where formula_10 is the height of the tree. However, the worst case for BST search is formula_3 where formula_2 is the total number of nodes in the BST, because an unbalanced BST may degenerate to a linked list. However, if the BST is height-balanced the height is formula_1. Successor and predecessor. For certain operations, given a node formula_14, finding the successor or predecessor of formula_14 is crucial. Assuming all the keys of a BST are distinct, the successor of a node formula_14 in a BST is the node with the smallest key greater than formula_14's key. On the other hand, the predecessor of a node formula_14 in a BST is the node with the largest key smaller than formula_14's key. The following pseudocode finds the successor and predecessor of a node formula_14 in a BST. Operations such as finding a node in a BST whose key is the maximum or minimum are critical in certain operations, such as determining the successor and predecessor of nodes. Following is the pseudocode for the operations. Insertion. Operations such as insertion and deletion cause the BST representation to change dynamically. The data structure must be modified in such a way that the properties of BST continue to hold. New nodes are inserted as leaf nodes in the BST. Following is an iterative implementation of the insertion operation. The procedure maintains a "trailing pointer" formula_21 as a parent of formula_14. After initialization on line 2, the while loop along lines 4-11 causes the pointers to be updated. If formula_21 is formula_5, the BST is empty, thus formula_25 is inserted as the root node of the binary search tree formula_26, if it is not formula_5, insertion proceeds by comparing the keys to that of formula_21 on the lines 15-19 and the node is inserted accordingly. Deletion. The deletion of a node, say formula_29, from the binary search tree formula_30 has three cases: The following pseudocode implements the deletion operation in a binary search tree. The formula_51 procedure deals with the 3 special cases mentioned above. Lines 2-3 deal with case 1; lines 4-5 deal with case 2 and lines 6-16 for case 3. The helper function formula_52 is used within the deletion algorithm for the purpose of replacing the node formula_53 with formula_54 in the binary search tree formula_30. This procedure handles the deletion (and substitution) of formula_53 from formula_30. Traversal. A BST can be traversed through three basic algorithms: inorder, preorder, and postorder tree walks. Following is a recursive implementation of the tree walks. Balanced binary search trees. Without rebalancing, insertions or deletions in a binary search tree may lead to degeneration, resulting in a height formula_2 of the tree (where formula_2 is number of items in a tree), so that the lookup performance is deteriorated to that of a linear search. Keeping the search tree balanced and height bounded by formula_1 is a key to the usefulness of the binary search tree. This can be achieved by "self-balancing" mechanisms during the updation operations to the tree designed to maintain the tree height to the binary logarithmic complexity. Height-balanced trees. A tree is height-balanced if the heights of the left sub-tree and right sub-tree are guaranteed to be related by a constant factor. This property was introduced by the AVL tree and continued by the red–black tree. The heights of all the nodes on the path from the root to the modified leaf node have to be observed and possibly corrected on every insert and delete operation to the tree. Weight-balanced trees. In a weight-balanced tree, the criterion of a balanced tree is the number of leaves of the subtrees. The weights of the left and right subtrees differ at most by formula_61. However, the difference is bound by a ratio formula_62 of the weights, since a strong balance condition of formula_61 cannot be maintained with formula_1 rebalancing work during insert and delete operations. The formula_62-weight-balanced trees gives an entire family of balance conditions, where each left and right subtrees have each at least a fraction of formula_62 of the total weight of the subtree. Types. There are several self-balanced binary search trees, including T-tree, treap, red-black tree, B-tree, 2–3 tree, and Splay tree. Examples of applications. Sort. Binary search trees are used in sorting algorithms such as tree sort, where all the elements are inserted at once and the tree is traversed at an in-order fashion. BSTs are also used in quicksort. Priority queue operations. Binary search trees are used in implementing priority queues, using the node's key as priorities. Adding new elements to the queue follows the regular BST insertion operation but the removal operation depends on the type of priority queue:
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Binary tree
In computer science, a binary tree is a tree data structure in which each node has at most two children, referred to as the "left child" and the "right child". That is, it is a "k"-ary tree with . A recursive definition using set theory is that a binary tree is a triple , where "L" and "R" are binary trees or the empty set and "S" is a singleton (a single–element set) containing the root. From a graph theory perspective, binary trees as defined here are arborescences. A binary tree may thus be also called a bifurcating arborescence, a term which appears in some early programming books before the modern computer science terminology prevailed. It is also possible to interpret a binary tree as an undirected, rather than directed graph, in which case a binary tree is an ordered, rooted tree. Some authors use rooted binary tree instead of "binary tree" to emphasize the fact that the tree is rooted, but as defined above, a binary tree is always rooted. In mathematics, what is termed "binary tree" can vary significantly from author to author. Some use the definition commonly used in computer science, but others define it as every non-leaf having exactly two children and don't necessarily label the children as left and right either. In computing, binary trees can be used in two very different ways: Definitions. Recursive definition. Recursive full tree definition. A simple, informal approach to describe a binary tree might be as follows: a binary tree has a root node, which has 0 or 2 children nodes (which in turn may have their 0 or 2 children, and so on). More formally: This definition implies two limitations: a full binary tree contains at least one node, and no node can have only one child. This is resolved with the next definition. Recursive extended tree definition. The extended tree definition starts with the assumption the tree can be empty. Another way of imagining this construction (and understanding the terminology) is to consider instead of the empty set a different type of node—for instance square nodes if the regular ones are circles. Using graph theory concepts. A binary tree is a rooted tree that is also an ordered tree (a.k.a. plane tree) in which every node has at most two children. A rooted tree naturally imparts a notion of levels (distance from the root); thus, for every node, a notion of children may be defined as the nodes connected to it a level below. Ordering of these children (e.g., by drawing them on a plane) makes it possible to distinguish a left child from a right child. But this still does not distinguish between a node with left but not a right child from a node with right but no left child. The necessary distinction can be made by first partitioning the edges; i.e., defining the binary tree as triplet (V, E1, E2), where (V, E1 ∪ E2) is a rooted tree (equivalently arborescence) and E1 ∩ E2 is empty, and also requiring that for all "j" ∈ { 1, 2 }, every node has at most one E"j" child. A more informal way of making the distinction is to say, quoting the Encyclopedia of Mathematics, that "every node has a left child, a right child, neither, or both" and to specify that these "are all different" binary trees. Types of binary trees. Tree terminology is not well-standardized and therefore may vary among examples in the available literature. Combinatorics. In combinatorics, one considers the problem of counting the number of full binary trees of a given size. Here the trees have no values attached to their nodes (this would just multiply the number of possible trees by an easily determined factor), and trees are distinguished only by their structure; however, the left and right child of any node are distinguished (if they are different trees, then interchanging them will produce a tree distinct from the original one). The size of the tree is taken to be the number "n" of internal nodes (those with two children); the other nodes are leaf nodes and there are of them. The number of such binary trees of size "n" is equal to the number of ways of fully parenthesizing a string of symbols (representing leaves) separated by "n" binary operators (representing internal nodes), to determine the argument subexpressions of each operator. For instance for one has to parenthesize a string like , which is possible in five ways: formula_29 The correspondence to binary trees should be obvious, and the addition of redundant parentheses (around an already parenthesized expression or around the full expression) is disallowed (or at least not counted as producing a new possibility). There is a unique binary tree of size 0 (consisting of a single leaf), and any other binary tree is characterized by the pair of its left and right children; if these have sizes "i" and "j" respectively, the full tree has size . Therefore, the number formula_30 of binary trees of size "n" has the following recursive description formula_31, and formula_32 for any positive integer "n". It follows that formula_30 is the Catalan number of index "n". The above parenthesized strings should not be confused with the set of words of length 2"n" in the Dyck language, which consist only of parentheses in such a way that they are properly balanced. The number of such strings satisfies the same recursive description (each Dyck word of length 2"n" is determined by the Dyck subword enclosed by the initial '(' and its matching ')' together with the Dyck subword remaining after that closing parenthesis, whose lengths 2"i" and 2"j" satisfy ); this number is therefore also the Catalan number formula_30. So there are also five Dyck words of length 6: These Dyck words do not correspond to binary trees in the same way. Instead, they are related by the following recursively defined bijection: the Dyck word equal to the empty string corresponds to the binary tree of size 0 with only one leaf. Any other Dyck word can be written as (formula_35)formula_36, where formula_35,formula_36 are themselves (possibly empty) Dyck words and where the two written parentheses are matched. The bijection is then defined by letting the words formula_35 and formula_36 correspond to the binary trees that are the left and right children of the root. A bijective correspondence can also be defined as follows: enclose the Dyck word in an extra pair of parentheses, so that the result can be interpreted as a Lisp list expression (with the empty list () as only occurring atom); then the dotted-pair expression for that proper list is a fully parenthesized expression (with NIL as symbol and '.' as operator) describing the corresponding binary tree (which is, in fact, the internal representation of the proper list). The ability to represent binary trees as strings of symbols and parentheses implies that binary trees can represent the elements of a free magma on a singleton set. Methods for storing binary trees. Binary trees can be constructed from programming language primitives in several ways. Nodes and references. In a language with records and references, binary trees are typically constructed by having a tree node structure which contains some data and references to its left child and its right child. Sometimes it also contains a reference to its unique parent. If a node has fewer than two children, some of the child pointers may be set to a special null value, or to a special sentinel node. The C# class below can be used to represent a binary tree. class Node This method of storing binary trees wastes a fair bit of memory, as the pointers will be null (or point to the sentinel) more than half the time; a more conservative representation alternative is threaded binary tree. In languages with tagged unions such as ML, a tree node is often a tagged union of two types of nodes, one of which is a 3-tuple of data, left child, and right child, and the other of which is a "leaf" node, which contains no data and functions much like the null value in a language with pointers. For example, the following line of code in OCaml (an ML dialect) defines a binary tree that stores a character in each node. type chr_tree = Empty | Node of char * chr_tree * chr_tree Arrays. Binary trees can also be stored in breadth-first order as an implicit data structure in arrays, and if the tree is a complete binary tree, this method wastes no space. In this compact arrangement, if a node has an index "i", its children are found at indices formula_41 (for the left child) and formula_42 (for the right), while its parent (if any) is found at index "formula_43" (assuming the root has index zero). Alternatively, with a 1-indexed array, the implementation is simplified with children found at formula_44 and formula_45, and parent found at formula_46. This method benefits from more compact storage and better locality of reference, particularly during a preorder traversal. It is often used for binary heaps. Encodings. Succinct encodings. A succinct data structure is one which occupies close to minimum possible space, as established by information theoretical lower bounds. The number of different binary trees on formula_47 nodes is formula_48, the formula_47th Catalan number (assuming we view trees with identical "structure" as identical). For large formula_47, this is about formula_51; thus we need at least about formula_52 bits to encode it. A succinct binary tree therefore would occupy bits (with 'o()' being the Little-o notation). One simple representation which meets this bound is to visit the nodes of the tree in preorder, outputting "1" for an internal node and "0" for a leaf. If the tree contains data, we can simply simultaneously store it in a consecutive array in preorder. This function accomplishes this: function EncodeSuccinct("node" n, "bitstring" structure, "array" data) { if n = "nil" then append 0 to structure; else append 1 to structure; append n.data to data; EncodeSuccinct(n.left, structure, data); EncodeSuccinct(n.right, structure, data); The string "structure" has only formula_53 bits in the end, where formula_47 is the number of (internal) nodes; we don't even have to store its length. To show that no information is lost, we can convert the output back to the original tree like this: function DecodeSuccinct("bitstring" structure, "array" data) { remove first bit of "structure" and put it in "b" if b = 1 then create a new node "n" remove first element of data and put it in n.data n.left = DecodeSuccinct(structure, data) n.right = DecodeSuccinct(structure, data) return n else return nil More sophisticated succinct representations allow not only compact storage of trees but even useful operations on those trees directly while they're still in their succinct form. Encoding ordered trees as binary trees. There is a natural one-to-one correspondence between ordered trees and binary trees. It allows any ordered tree to be uniquely represented as a binary tree, and vice versa: Let "T" be a node of an ordered tree, and let "B" denote "T's" image in the corresponding binary tree. Then "B's" "left" child represents "T's" first child, while the "B's right" child represents "T"'s next sibling. For example, the ordered tree on the left and the binary tree on the right correspond: In the pictured binary tree, the black, left, edges represent "first child", while the blue, right, edges represent "next sibling". This representation is called a left-child right-sibling binary tree. Common operations. There are a variety of different operations that can be performed on binary trees. Some are mutator operations, while others simply return useful information about the tree. Insertion. Nodes can be inserted into binary trees in between two other nodes or added after a leaf node. In binary trees, a node that is inserted is specified as to whose child it will be. Leaf nodes. To add a new node after leaf node A, A assigns the new node as one of its children and the new node assigns node A as its parent. Internal nodes. Insertion on internal nodes is slightly more complex than on leaf nodes. Say that the internal node is node A and that node B is the child of A. (If the insertion is to insert a right child, then B is the right child of A, and similarly with a left child insertion.) A assigns its child to the new node and the new node assigns its parent to A. Then the new node assigns its child to B and B assigns its parent as the new node. Deletion. Deletion is the process whereby a node is removed from the tree. Only certain nodes in a binary tree can be removed unambiguously. Node with zero or one children. Suppose that the node to delete is node A. If A has no children, deletion is accomplished by setting the child of A's parent to null. If A has one child, set the parent of A's child to A's parent and set the child of A's parent to A's child. Node with two children. In a binary tree, a node with two children cannot be deleted unambiguously. However, in certain binary trees (including binary search trees) these nodes "can" be deleted, though with a rearrangement of the tree structure. Traversal. Pre-order, in-order, and post-order traversal visit each node in a tree by recursively visiting each node in the left and right subtrees of the root. Below are the brief descriptions of above mentioned traversals. Pre-order. In pre-order, we always visit the current node; next, we recursively traverse the current node's left subtree, and then we recursively traverse the current node's right subtree. The pre-order traversal is a topologically sorted one, because a parent node is processed before any of its child nodes is done. In-order. In in-order, we always recursively traverse the current node's left subtree; next, we visit the current node, and lastly, we recursively traverse the current node's right subtree. Post-order. In post-order, we always recursively traverse the current node's left subtree; next, we recursively traverse the current node's right subtree and then visit the current node. Post-order traversal can be useful to get postfix expression of a binary expression tree. Depth-first order. In depth-first order, we always attempt to visit the node farthest from the root node that we can, but with the caveat that it must be a child of a node we have already visited. Unlike a depth-first search on graphs, there is no need to remember all the nodes we have visited, because a tree cannot contain cycles. Pre-order is a special case of this. See depth-first search for more information. Breadth-first order. Contrasting with depth-first order is breadth-first order, which always attempts to visit the node closest to the root that it has not already visited. See breadth-first search for more information. Also called a "level-order traversal". In a complete binary tree, a node's breadth-index ("i" − (2"d" − 1)) can be used as traversal instructions from the root. Reading bitwise from left to right, starting at bit "d" − 1, where "d" is the node's distance from the root ("d" = ⌊log("i"+1)⌋) and the node in question is not the root itself ("d" > 0). When the breadth-index is masked at bit "d" − 1, the bit values and mean to step either left or right, respectively. The process continues by successively checking the next bit to the right until there are no more. The rightmost bit indicates the final traversal from the desired node's parent to the node itself. There is a time-space trade-off between iterating a complete binary tree this way versus each node having pointer(s) to its sibling(s).
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Borel measure
In mathematics, specifically in measure theory, a Borel measure on a topological space is a measure that is defined on all open sets (and thus on all Borel sets). Some authors require additional restrictions on the measure, as described below. Formal definition. Let formula_1 be a locally compact Hausdorff space, and let formula_2 be the smallest σ-algebra that contains the open sets of formula_1; this is known as the σ-algebra of Borel sets. A Borel measure is any measure formula_4 defined on the σ-algebra of Borel sets. A few authors require in addition that formula_4 is locally finite, meaning that every point has an open neighborhood with finite measure. For Hausdorff spaces, this implies that formula_6 for every compact set formula_7; and for locally compact Hausdorff spaces, the two conditions are equivalent. If a Borel measure formula_4 is both inner regular and outer regular, it is called a regular Borel measure. If formula_4 is both inner regular, outer regular, and locally finite, it is called a Radon measure. Alternatively, if a regular Borel measure formula_4 is tight, it is a Radon measure. If formula_1 is a separable complete metric space, then every Borel measure formula_4 on formula_1 is a Radon measure. On the real line. The real line formula_14 with its usual topology is a locally compact Hausdorff space; hence we can define a Borel measure on it. In this case, formula_15 is the smallest σ-algebra that contains the open intervals of formula_14. While there are many Borel measures "μ", the choice of Borel measure that assigns formula_17 for every half-open interval formula_18 is sometimes called "the" Borel measure on formula_14. This measure turns out to be the restriction to the Borel σ-algebra of the Lebesgue measure formula_20, which is a complete measure and is defined on the Lebesgue σ-algebra. The Lebesgue σ-algebra is actually the "completion" of the Borel σ-algebra, which means that it is the smallest σ-algebra that contains all the Borel sets and can be equipped with a complete measure. Also, the Borel measure and the Lebesgue measure coincide on the Borel sets (i.e., formula_21 for every Borel measurable set, where formula_4 is the Borel measure described above). This idea extends to finite-dimensional spaces formula_23 (the Cramér–Wold theorem, below) but does not hold, in general, for infinite-dimensional spaces. Infinite-dimensional Lebesgue measures do not exist. Product spaces. If "X" and "Y" are second-countable, Hausdorff topological spaces, then the set of Borel subsets formula_24 of their product coincides with the product of the sets formula_25 of Borel subsets of "X" and "Y". That is, the Borel functor formula_26 from the category of second-countable Hausdorff spaces to the category of measurable spaces preserves finite products. Applications. Lebesgue–Stieltjes integral. The Lebesgue–Stieltjes integral is the ordinary Lebesgue integral with respect to a measure known as the Lebesgue–Stieltjes measure, which may be associated to any function of bounded variation on the real line. The Lebesgue–Stieltjes measure is a regular Borel measure, and conversely every regular Borel measure on the real line is of this kind. Laplace transform. One can define the Laplace transform of a finite Borel measure "μ" on the real line by the Lebesgue integral formula_27 An important special case is where "μ" is a probability measure or, even more specifically, the Dirac delta function. In operational calculus, the Laplace transform of a measure is often treated as though the measure came from a distribution function "f". In that case, to avoid potential confusion, one often writes formula_28 where the lower limit of 0− is shorthand notation for formula_29 This limit emphasizes that any point mass located at 0 is entirely captured by the Laplace transform. Although with the Lebesgue integral, it is not necessary to take such a limit, it does appear more naturally in connection with the Laplace–Stieltjes transform. Moment problem. One can define the moments of a finite Borel measure "μ" on the real line by the integral formula_30 For formula_31 these correspond to the Hamburger moment problem, the Stieltjes moment problem and the Hausdorff moment problem, respectively. The question or problem to be solved is, given a collection of such moments, is there a corresponding measure? For the Hausdorff moment problem, the corresponding measure is unique. For the other variants, in general, there are an infinite number of distinct measures that give the same moments. Hausdorff dimension and Frostman's lemma. Given a Borel measure "μ" on a metric space "X" such that "μ"("X") > 0 and "μ"("B"("x", "r")) ≤ "rs" holds for some constant "s" > 0 and for every ball "B"("x", "r") in "X", then the Hausdorff dimension dimHaus("X") ≥ "s". A partial converse is provided by the Frostman lemma: Lemma: Let "A" be a Borel subset of R"n", and let "s" > 0. Then the following are equivalent: formula_32 holds for all "x" ∈ R"n" and "r" > 0. Cramér–Wold theorem. The Cramér–Wold theorem in measure theory states that a Borel probability measure on formula_33 is uniquely determined by the totality of its one-dimensional projections. It is used as a method for proving joint convergence results. The theorem is named after Harald Cramér and Herman Ole Andreas Wold.
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Blackadder
Blackadder is a series of four period British sitcoms—"The Black Adder", "Blackadder II", "Blackadder the Third" and "Blackadder Goes Forth—"plus several one-off instalments, which originally aired on BBC1 from 1983 to 1989. All episodes starred Rowan Atkinson as the antihero Edmund Blackadder and Tony Robinson as Blackadder's servant Baldrick. Each series was set in a different historical period, with the two protagonists accompanied by different characters, though several reappear in one series or another, including Tim McInnerny as Percy and Darling, Stephen Fry as Melchett, and Hugh Laurie as George. The first series was written by Richard Curtis and Atkinson, while the subsequent three series were written by Curtis and Ben Elton. All four series were produced by John Lloyd. In 2000, "Blackadder Goes Forth" ranked at 16 in the 100 Greatest British Television Programmes, a list created by the British Film Institute. In a 2001 poll by Channel 4, Edmund Blackadder was ranked third on their list of the 100 Greatest TV Characters. In the 2004 TV poll to find Britain's Best Sitcom, "Blackadder" (all four series combined) was voted the second-best British sitcom of all time, topped by "Only Fools and Horses". It was also ranked as the ninth-best TV show of all time by "Empire" magazine in 2009. Atkinson said "Blackadder" is "the thing he found the least stressful" to do. Premise. Each series comprises six half-hour episodes and is set in a different period of British history. The first series, made in 1983, was titled "The Black Adder" and was set in the fictional reign of "Richard IV". The second series, "Blackadder II" (1986), was set during the reign of Elizabeth I. "Blackadder the Third" (1987) was set in the late 18th and early 19th centuries during the reign of George III. "Blackadder Goes Forth" (1989) was set in 1917 in the trenches of the Great War. "Blackadder" follows the misfortunes of Edmund Blackadder (played by Atkinson). It is implied in each series that the Blackadder character is a descendant of the previous one. The end theme lyrics of the series 2 episode "Head" specify that he is the great-grandson of the previous incarnation, although it is never specified how or when any of the Blackadders (who are usually bachelors) manage to father children. In series 1, Edmund Blackadder is not particularly bright, and is much the intellectual inferior of his servant, Baldrick (played by Tony Robinson). However, in subsequent series, the positions are reversed: Blackadder is clever, shrewd, scheming and manipulative while Baldrick is extremely dim. Each incarnation of Blackadder and Baldrick is also saddled with tolerating the presence of a dimwitted aristocrat. In the first two series, this is Percy, played by Tim McInnerny. Hugh Laurie plays the role in the third and fourth series, as George. Characters of a higher organisational standing, such as Stephen Fry's Melchett in series 2 and 4, and McInnerny's other character, Darling, in series 4, provide antagonistic figures for Blackadder to deal with. Episodes. Series 1: "The Black Adder". "The Black Adder", the first series of "Blackadder", was written by Richard Curtis and Rowan Atkinson and produced by John Lloyd, who would also produce the subsequent three series. It originally aired on BBC1 from 15 June to 20 July 1983, and was a joint production with the Australian Seven Network. Set in 1485 at the end of the British Middle Ages, the series is written as an alternative history in which Richard III won the Battle of Bosworth Field only to be mistaken for someone else and assassinated, and is succeeded by Richard IV (Brian Blessed), one of the Princes in the Tower. The series follows the exploits of Richard IV's unfavoured second son Prince Edmund, the Duke of Edinburgh (who calls himself "The Black Adder") (played by Atkinson) in his various attempts to increase his standing with his father and his eventual quest to overthrow him. Other regular characters in this series are Edmund's mother Gertrude, Queen of Flanders (Elspet Gray), his brother Harry, Prince of Wales (Robert East), his sidekick Lord Percy Percy, the Duke of Northumberland (Tim McInnerny), and his squire Baldrick (Tony Robinson). Guest appearances in this series include Peter Cook as King Richard III, Russell Enoch as the Duke of Winchester, Miriam Margolyes as the Infanta Maria Escalosa of Spain (with Jim Broadbent as her interpreter), Frank Finlay as the Witchsmeller Pursuivant, Valentine Dyall as Lord Angus, Stephen Frost and Mark Arden as guards, and Rik Mayall as Mad Gerald. Conceived while Atkinson and Curtis were working on "Not the Nine O'Clock News", the series dealt comically with a number of aspects of medieval life in Britain: witchcraft, royal succession, European relations, the Crusades, and the conflict between the Church and the Crown. Along with the secret history, many historical events portrayed in the series were anachronistic (for example, Constantinople had already fallen to the Ottoman Empire in 1453, predating the events in the episode by 32 years); this dramatic license would continue in the subsequent three "Blackadder" series. The filming of the series was highly ambitious, with a large cast and much location shooting. The series also featured Shakespearean dialogue, often adapted for comic effect; the end credits featured the words "Additional Dialogue by William Shakespeare". Series 2: "Blackadder II". "Blackadder II", the second series of "Blackadder", was written by Richard Curtis and Ben Elton, the team who would also write the subsequent two series, and originally aired on BBC1 from 9 January to 20 February 1986. The series is set in England during the reign of Queen Elizabeth I (1558–1603), often referred to as "Queenie", who is portrayed by Miranda Richardson. The principal character is Edmund, Lord Blackadder (Rowan Atkinson), the great-grandson of the original Black Adder. During the series, he regularly deals with the Queen, her obsequious Lord Chamberlain Lord Melchett (Stephen Fry; his rival for the Queen's affections), his friend Lord Percy Percy (Tim McInnerny) and the Queen's demented former nanny Nursie (Patsy Byrne). Tony Robinson returned as Blackadder's servant Baldrick. Guest appearances in the series include Tom Baker as Captain Redbeard Rum, Simon Jones as Sir Walter Raleigh, Ronald Lacey as the Bishop of Bath and Wells, and Miriam Margoyles as Blackadder's aunt, Lady Whiteadder. The series also features two appearances by Hugh Laurie (as Simon Partridge, a friend of Blackadder's, in the episode "Beer", and as Prince Ludwig the Indestructible in the series' finale "Chains"), a returning Rik Mayall, this time as Lord Flashheart, and the first appearance of Gabrielle Glaister as Kate/"Bob" (a young woman who pretends to be a boy in order to achieve a well-paying job). Following the BBC's request for improvements (and a severe budget reduction), several changes were made. Ben Elton joined Richard Curtis as co-writer—they would remain "Blackadder"'s writers from this series onwards—and this second series was the first to establish the familiar Blackadder character: cunning, shrewd and witty, in sharp contrast to the first series' bumbling Prince Edmund. To reduce the cost of production, it was shot with virtually no outdoor scenes (the first series was shot largely on location) and several frequently used indoor sets, such as the Queen's throne room and Blackadder's front room. A quote from this series ranked number three in a list of the top 25 television "putdowns" of the last 40 years by the "Radio Times" magazine: "The eyes are open, the mouth moves, but Mr. Brain has long since departed, hasn't he, Percy?" Series 3: "Blackadder the Third". "Blackadder the Third", the third series of "Blackadder", originally aired on BBC1 from 17 September to 22 October 1987. The series is set in the late 18th and early 19th centuries, a period known as the Regency. In the series, Mr. Edmund Blackadder Esquire (Rowan Atkinson) is a butler to George IV, who at this time is the Prince Regent, played by Hugh Laurie as a buffoonish fop. Despite Edmund's respected intelligence and abilities, he has no personal fortune to speak of, apart from his frequently fluctuating wage packet from the Prince (“If I’m running short of cash, all I have to do is go upstairs and ask Prince Fathead for a raise”), and from (it seems) stealing the Prince's socks and selling them off. As usual, Blackadder also has his own servant Baldrick (Tony Robinson). The episode titles were puns on Jane Austen’s novels "Sense and Sensibility" and "Pride and Prejudice". Along with Atkinson, Robinson, and Laurie, this series also starred Helen Atkinson-Wood as Mrs. Miggins. The series features Dr. Samuel Johnson (Robbie Coltrane); William Pitt the Younger (Simon Osborne); the French Revolution (with Chris Barrie, Tim McInnerny as the Scarlet Pimpernel, and Nigel Planer); hammy theatrical actors (Kenneth Connor and Hugh Paddick); Samuel Taylor Coleridge (Jim Sweeney); Shelley (Lee Cornes); Lord Byron (Steve Steen); Amy Hardwood (aka "The Shadow") (Miranda Richardson); and the Duke of Wellington (Stephen Fry). Series 4: "Blackadder Goes Forth". "Blackadder Goes Forth", the fourth and final series of "Blackadder", originally aired on BBC1 from 28 September to 2 November 1989. This series is set in 1917, on the Western Front of the First World War. Another "big push" is planned, and Captain Edmund Blackadder (Rowan Atkinson) has one goal—to avoid being killed—but his schemes always land him back in the trenches. Blackadder is joined by his batman Private S. Baldrick (Tony Robinson) and idealistic Edwardian twit Lieutenant George (Hugh Laurie). General Melchett (Stephen Fry) rallies his troops from a French château from the front, where he is aided and abetted by his assistant, Captain Kevin Darling (Tim McInnerny), pencil-pusher supreme and Blackadder's nemesis, whose last name is played on for maximum comedic value. Guest appearances in this series include Stephen Frost as the leader of a firing squad detail, Miranda Richardson as Nurse Mary Fletcher-Brown, two further appearances of Gabrielle Glaister as "Bob" (in this series, a young woman who pretends to be a boy in order to join the army), Rik Mayall as Royal Flying Corps Squadron Commander The Lord Flasheart, Adrian Edmondson as Baron Manfred von Richthofen (aka "The Red Baron"), and Geoffrey Palmer as Field Marshal Douglas Haig. The series' tone is somewhat darker than the previous three series; it details the privations of trench warfare as well as the incompetence and life-wasting strategies of the top brass. For example, Baldrick is reduced to cooking rats and making coffee from mud, while General Melchett hatches a plan for the troops to walk very slowly toward the German lines, because "it'll be the last thing Fritz will expect." The final episode, "Goodbyeee", is known for being extraordinarily poignant for a comedy – especially the final scene, which sees four of the five main characters (Blackadder, Baldrick, George, and Darling) finally going "over the top" and charging off into the fog and smoke of no man's land, presumably to die. In a list of the 100 Greatest British Television Programmes, drawn up by the British Film Institute in 2000 and voted for by industry professionals, "Blackadder Goes Forth" was placed 16th. Specials. Pilot episode. A pilot episode of "The Black Adder" was shot in 1982, but was never broadcast on TV until 15 June 2023, when it was shown as part of an 80-minute UKTV Gold documentary titled "Blackadder: The Lost Pilot", hosted by Sir Tony Robinson and featuring interviews with Ben Elton and Richard Curtis. Prior to this, only brief clips had been seen in the 2008 25th anniversary documentary "Blackadder Rides Again", shown on BBC1. One notable difference in the pilot, as in many pilots, is the casting. Baldrick is played not by Tony Robinson, but by Philip Fox. Another significant difference is that the character of Prince Edmund presented in the pilot is much closer to the intelligent, conniving Blackadder of the later series than the snivelling, weak buffoon of the original. Set in the year 1582, the script of the pilot is roughly the same as the episode "Born to Be King", albeit with some different jokes and some lines appearing in other episodes of the series. "Blackadder: The Cavalier Years". This special, set in the English Civil War, was shown as part of Comic Relief's Red Nose Day on Friday 5 February 1988. The 15-minute episode is set in November 1648, during the last days of the Civil War. Sir Edmund Blackadder and his servant, Baldrick, are the last two men loyal to the defeated King Charles I of England (played by Stephen Fry), portrayed as a soft-spoken, ineffective, naive character, with the voice and mannerisms of Charles I's namesake, the then Prince of Wales (now Charles III). However, owing to a misunderstanding between Oliver Cromwell (guest-star Warren Clarke) and Baldrick, the King is arrested and sent to the Tower of London. The rest of the episode revolves around Blackadder's attempts to save the King as well as improve his own standing. "Blackadder's Christmas Carol". The second special was broadcast on Friday 23 December 1988. In a twist on Charles Dickens' "A Christmas Carol", Ebenezer Blackadder is the "kindest and loveliest" man in England. The Spirit of Christmas shows Blackadder the contrary antics of his ancestors and descendants, and reluctantly informs him that if he turns evil his descendants will enjoy power and fortune, while if he remains the same a future Blackadder will live shamefully subjugated to a future incompetent Baldrick. This remarkable encounter causes him to proclaim, "Bad guys have all the fun", and adopt the personality with which viewers are more familiar. "Blackadder: Back & Forth". "Blackadder: Back & Forth" was originally shown in the Millennium Dome in 2000, followed by a screening on Sky One in the same year (and later on BBC1). It is set on the turn of the millennium, and features Lord Blackadder placing a bet with his friends – modern versions of Queenie (Miranda Richardson), Melchett (Stephen Fry), George (Hugh Laurie) and Darling (Tim McInnerny) – that he has built a working time machine. While this is intended as a clever con trick, the machine surprisingly works, sending Blackadder and Baldrick back to the Cretaceous period, where they manage to cause the extinction of the dinosaurs through the use of Baldrick's best-worst-and-only pair of underpants as a weapon against a hungry T. Rex. Finding that Baldrick has forgotten to write dates on the machine's dials, the rest of the film follows their attempts to find their way back to 1999, often creating huge historical anomalies in the process that must be corrected before the end. Rik Mayall appears as Robin Hood, and the film also includes cameo appearances from Kate Moss and Colin Firth. "The Big Night In". Broadcast in 2020 as part of Children in Need and Comic Relief's joint special "The Big Night In" during the COVID-19 pandemic, Fry resumed the role of Lord Melchett (an intellectually-brilliant version), Head of the Royal Household, under lockdown at Melchett Manor, to help Prince William deal with educating his children via Zoom and discussing "Tiger King", before they both step outside to clap for the National Health Service. Melchett is said to be isolating with Lord Blackadder, both grandsons to their First World War counterparts. Live stage performances. In 1998, as part of Prince Charles' 50th Birthday Gala televised on ITV, Atkinson appeared as a Restoration Blackadder reading aloud a letter to the Privy Council of King Charles II. He colourfully refuses their invitation to stage a royal gala, calling such occasions "very, very, very dull" and asserting that there was "more musical talent on display when my servant Baldrick breaks wind." In 2000, on the BBC's annual Royal Variety Performance, Atkinson portrayed Blackadder as a present-day officer in "Her Majesty's Royal Regiment of Shirkers" and delivered a monologue titled "Blackadder: The Army Years", proposing that Britain regain her former greatness by invading (or at least buying) France. In 2012, as part of the Prince's Trust charity show "We Are Most Amused", Atkinson and Robinson reprised their roles as Blackadder and Baldrick in a comedy sketch featuring Miranda Hart as leader of a government inquiry into the recent banking crisis. Blackadder, chief executive of a fictional British bank, appearing with Baldrick as his gardener, convinces the panel to publicly blame the entire crisis on Baldrick, to the latter's consternation. Red Nose Day 2023. Baldrick (Tony Robinson) returned in 2023 for a Red Nose Day sketch for the BBC. There was no involvement of Rowan Atkinson or a subsequent reboot, amid speculation. Production. Series development. Rowan Atkinson and Richard Curtis developed the idea for the sitcom while working on "Not the Nine O'Clock News". Eager to avoid comparisons to the critically acclaimed "Fawlty Towers", they proposed the idea of a historical sitcom. A pilot episode was made in 1982, and a six-episode series was commissioned. The budget for the series was considerable, with much location shooting particularly at Alnwick Castle in Northumberland and the surrounding countryside in February 1983. The series also used large casts of extras, horses and expensive medieval-style costumes. Atkinson has said about the making of the first series: The first series was odd, it was very extravagant. It cost a million pounds for the six programmes ... [which] was a lot of money to spend ... It looked great, but it wasn't as consistently funny as we would have liked. Owing to the high cost of the first series, the then-controller of programming of BBC1, Michael Grade, was reluctant to sign off a second series without major improvements to the show and drastic cost-cutting, leaving a gap of three years between the two series. A chance meeting between Richard Curtis and comedian Ben Elton led to the decision to collaborate on a new series of "Blackadder". Recognising the main faults of the first series, Curtis and Elton agreed that "Blackadder II" would be a studio-only production (along with the inclusion of a live audience during recording, instead of showing the episodes to an audience after taping). Besides adding a greater comedy focus, Elton suggested a major change in character emphasis: Baldrick would become the stupid sidekick, while Edmund Blackadder evolved into a cunning sycophant. This led to the familiar set-up that was maintained in the following series. Only in the "Back & Forth" millennium special was the shooting once again on location, because this was a production with a budget estimated at £3 million, and was a joint venture between Tiger Aspect, Sky Television, the New Millennium Experience Company and the BBC, rather than the BBC alone. Casting. Each series tended to feature the same set of regular actors in different period settings, although throughout the four series and specials, only Blackadder and Baldrick were constant characters. Several regular cast members recurred as characters with similar names, implying, like Blackadder, that they were descendants. Recurring cast. Various actors have appeared in more than one of the Blackadder series and/or specials. These are: Guest cast. Ben Elton's arrival, from "Blackadder II" onwards, heralded the more frequent recruitment of comic actors from the alternative comedy era for guest appearances, including Robbie Coltrane, Rik Mayall (who had appeared in the final episode of "The Black Adder" as "Mad Gerald"), Adrian Edmondson, Nigel Planer, Mark Arden, Stephen Frost, Chris Barrie, Jim Sweeney, Steve Steen and Jeremy Hardy. Elton himself played an anarchist in "Blackadder the Third". Gabrielle Glaister played Bob, an attractive girl who poses as a man, in both "Blackadder II" and "Blackadder Goes Forth", where in the latter her official title is Driver Parkhurst. One episode each of "Blackadder II" and "Blackadder Goes Forth" feature Rik Mayall as Lord Flashheart, a vulgar friend in his first appearance and then a successful rival of Blackadder in his second. He also played a decidedly Flashheart-like Robin Hood in "Back & Forth". Lee Cornes appeared in one episode each of the Curtis/Elton-written series; as a guard in the "Blackadder II" episode "Chains"; as the poet Shelley in the "Blackadder the Third" episode "Ink and Incapability"; and as firing squad soldier Private Fraser in the "Blackadder Goes Forth" episode "Corporal Punishment". More established actors, some at the veteran stage of their careers, were also recruited for roles. These included Peter Cook, Alex Norton, Jim Broadbent, Frank Finlay, Valentine Dyall, Bill Wallis, John Grillo, Simon Jones, Tom Baker, Ronald Lacey, Roger Blake, Denis Lill, Hugh Paddick, Kenneth Connor, Warren Clarke and Geoffrey Palmer, who played Field Marshal Sir Douglas Haig in "Goodbyeee", the final episode of "Blackadder Goes Forth". Miriam Margolyes played three different guest roles: The Spanish Infanta in "The Queen of Spain's Beard" ("The Black Adder"), Lady Whiteadder in "Beer" ("Blackadder II"), and Queen Victoria in "Blackadder's Christmas Carol". Patrick Allen provided narration for all six episodes of "The Black Adder", and appeared as "The Hawk" in the last episode, "The Black Seal". Two episodes of "The Black Adder" feature Natasha King as Princess Leia of Hungary, while the second episode, "Born to Be King", features a brief, early screen appearance of Angus Deayton. Unusually for a sitcom based loosely on factual events and in the historical past, a man was recruited for one episode essentially to play himself. Political commentator Vincent Hanna played a character billed as "his own great-great-great grandfather" in the "Blackadder the Third" episode "Dish and Dishonesty". Hanna was asked to take part because the scene was of a by-election in which Baldrick was a candidate and, in the style of modern television, Hanna gave a long-running "live" commentary of events at the count (and interviewed candidates and election agents) to a crowd through the town hall window. Theme tune. Howard Goodall's theme tune has the same melody throughout all the series, but is played in roughly the style of the period in which it is set. It is performed mostly with trumpets and timpani in "The Black Adder", the fanfares used suggesting typical medieval court fanfares; with a combination of recorder, string quartet and electric guitar in "Blackadder II" (the end theme, with different lyrics each time reflecting on the episode's events, was sung by a countertenor); on oboe, cello and harpsichord (in the style of a minuet) for "Blackadder the Third"; by The Band of the 3rd Battalion, Royal Anglian Regiment in "Blackadder Goes Forth"; sung by carol singers in "Blackadder's Christmas Carol"; and by an orchestra in "Blackadder: The Cavalier Years" and "Blackadder: Back & Forth". Awards. In 2000, the fourth series, "Blackadder Goes Forth", ranked at 16 in the "100 Greatest British Television Programmes", a list created by the British Film Institute. In 2004, a BBC TV poll for "Britain's Best Sitcom", "Blackadder" was voted the second best British sitcom of all time, topped by "Only Fools and Horses". It was also ranked as the 20th Best TV Show of All Time by "Empire" magazine. Future. Despite regular statements denying any plans for a fifth series, cast members are regularly asked about the possibility of a new series. In January 2005, Tony Robinson told ITV's "This Morning" that Rowan Atkinson was more keen than he has been in the past to do a fifth series, set in the 1960s (centred on a rock band called the "Black Adder Five", with Baldrick – a.k.a. 'Bald Rick' – as the drummer). In the documentary "Blackadder Rides Again", Robinson stated that the series would present Blackadder as the bastard son of Queen Elizabeth II and running a Beatles-like rock band. Rowan Atkinson, Tony Robinson, Hugh Laurie, Stephen Fry, Tim McInnerny and Miranda Richardson would have reprised their roles, and reportedly, Brian Blessed, Elspet Gray and Robert East would have returned from the first series to play Blackadder's biological family. Robinson in a stage performance 1 June 2007, again mentioned this idea, but in the context of a movie. One idea mentioned by Curtis was that it was Baldrick who had accidentally assassinated John F. Kennedy. However, aside from a brief mention in June 2005, there have been no further announcements from the BBC that a new series is being planned. Furthermore, in November 2005, Rowan Atkinson told "BBC Breakfast" that, although he would very much like to do a new series set in Colditz or another prisoner-of-war camp during World War II, something which both he and Stephen Fry reiterated at the end of "Blackadder Rides Again", the chances of it happening are extremely slim. There were a couple of ideas that had previously floated for the fifth series. "Batadder" was intended to be a parody of "Batman" with Baldrick as the counterpart of Robin (suggested by John Lloyd). This idea eventually came to surface as part of the "Comic Relief" sketch "Spider-Plant Man" in 2005, with Atkinson as the title hero, Robinson as Robin, Jim Broadbent as Batman and Rachel Stevens as Mary Jane. "Star Adder" was to be set in space in the future (suggested by Atkinson). On 10 April 2007, "Hello!" reported that Atkinson was moving forward with his ideas for a fifth series. He said, "I like the idea of him being a prisoner of war in Colditz. That would have the right level of authority and hierarchy which is apparent in all the Blackadders." Stephen Fry has expressed the view that, since the series went out on such a good "high", a film might not be a good idea. During his June 2007 stage performance, chronicled on the Tony Robinson's Cunning Night Out DVD, Robinson states that, after filming the "Back & Forth special", the general idea was to reunite for another special in 2010. Robinson jokingly remarked that Hugh Laurie's success on "House" may make that difficult. On 28 November 2012, Rowan Atkinson reprised the role at the "We are most amused" comedy gala for the Prince's Trust at the Royal Albert Hall. He was joined by Tony Robinson as Baldrick. The sketch involved Blackadder as CEO of Melchett, Melchett and Darling bank facing an enquiry over the banking crisis. In August 2015, Tony Robinson said in an interview "I do think a new series of Blackadder is on the cards. I have spoken to virtually all the cast about this now. The only problem is Hugh [Laurie]'s fee. He's a huge star now." However, in October 2018, Richard Curtis "dashed hopes" that the show would return for a fifth series. In April 2017 at the BFI & Radio Times Television Festival, Atkinson stated "There are no plans to do anything" and revealed a potential Russian Revolution themed series that never materialised: "There was a plan twenty years ago that got nowhere which was called "Redadder" which I quite liked. It was set in Russia in 1917 and "Blackadder" and Baldrick were working for the Tsar. They had blue stripes around their caps and then the Revolution happened and Rik Mayall unsurprisingly was playing Rasputin." In December 2020, Rowan Atkinson told the "Radio Times": "I don't actually like the process of making anything – with the possible exception of "Blackadder". Because the responsibility for making that series funny was on many shoulders, not just mine. "Blackadder" represented the creative energy we all had in the '80s. To try to replicate that 30 years on wouldn't be easy." Most recently, in December 2024, Ben Elton poured doubt on a fifth series of "Blackadder": "But there will not be a fifth series of "Blackadder", I think that’s pretty much a certainty. I have no interest in doing it. I don’t think any of us do, with the possible exception of Tony [Robinson]. But if we did, the world would be our oyster. We could have fun with any period." Home media. All series and many of the specials are available on VHS tapes, DVDs & Blu-rays. Many are also available on BBC audio cassette. As of 2008, a "Best of BBC" edition box set is available containing all four series together with "Blackadder's Christmas Carol" and "Back & Forth". All four series and the Christmas special are also available for download on iTunes. VHS releases. On 5 February 1990, BBC Enterprises Ltd released the first series on two single VHS tapes. On 2 October 1989, BBC Enterprises Ltd released the second series on two single VHS tapes. On 6 June 1988, 3 October 1988, and 6 February 1989, BBC Enterprises Ltd released the third series on two single VHS tapes. On 10 September 1990, BBC Enterprises Ltd released the fourth and final series on two single VHS tapes. On 7 September 1992, all eight single Blackadder VHS tapes were re-released as four double VHS sets. These four double sets were re-released as single VHS tapes on 2 October 1995 and again as double sets on 2 November 1998. On 5 January 1998, five episodes of the first two series were released on a 15-rated VHS tape by BBC Worldwide Ltd. On 4 November 1991, "Blackadder's Christmas Carol" was released on a single VHS tape release rated PG (Cat. No. BBCV 4646). LP box set. On 19 October 2022 there was an announcement that there will be a LP box set release and collects the Blackadder soundtracks on vinyl for the first time. The deluxe 12-disc LP collection with the title "Blackadder's Historical Record" was pressed on gold-coloured 140g vinyl, and released on 10 February 2023 by Demon Records. It also includes a frameable print of Baldrick, each hand signed by Sir Tony Robinson himself and a comprehensive full-colour booklet detailing the comedy series, the "leather-look rigid box" Stamps. Royal Mail issued a set of special stamps celebrating "Blackadder" on 17 May 2023.
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Boii
The Boii (Latin plural, singular "Boius"; ) were a Celtic tribe of the later Iron Age, attested at various times in Cisalpine Gaul (present-day Northern Italy), Pannonia (present-day Austria and Hungary), present-day Bavaria, in and around present-day Bohemia (after whom the region is named in most languages; comprising the bulk of today's Czech Republic), parts of present-day Slovakia and Poland, and Gallia Narbonensis (located in modern Languedoc and Provence). In addition, the archaeological evidence indicates that in the 2nd century BC Celts expanded from Bohemia through the Kłodzko Valley into Silesia, now part of Poland and the Czech Republic. They first appear in history in connection with the Gallic invasion of northern Italy, 390 BC, when they made the Etruscan city of Felsina their new capital, Bononia (Bologna). After a series of wars, they were decisively beaten by the Romans in the Battle of Mutina (193 BC) and their territory became part of the Roman province of Cisalpine Gaul. According to Strabo, writing two centuries after the events, rather than being destroyed by the Romans like their Celtic neighbours, Around 60 BC, a group of Boii joined the Helvetiis' ill-fated attempt to conquer land in western Gaul and were defeated by Julius Caesar, along with their allies, in the Battle of Bibracte. Caesar settled the remnants of that group in Gorgobina, from where they sent 2,000 warriors to Vercingetorix's aid at the Battle of Alesia six years later. The eastern Boii on the Danube were incorporated into the Roman Empire in 8 AD. Etymology and name. From all the different names of the same Celtic people in literature and inscriptions, it is possible to abstract a Continental Celtic segment, . There are two major derivations of this segment, both presupposing that it belongs to the family of Indo-European languages: from 'cow' and from 'warrior.' The Boii would thus be either 'the herding people' or 'the warrior people'. The 'cow' derivation depends most immediately on the Old Irish legal term for 'outsider': "ambue", from Proto-Celtic (<"*an-bouios"), 'not a cattle owner'. In a reference to the first known historical Boii, Polybius relates that their wealth consisted of cattle and gold, that they depended on agriculture and war, and that a man's status depended on the number of associates and assistants he had. The latter were presumably the ', as opposed to the man of status, who was ', a cattle owner, and the "" were originally a class, 'the cattle owners'. The 'warrior' derivation was adopted by the linguist Julius Pokorny, who presented it as being from Indo-European , , 'hit'; however, not finding any Celtic names close to it (except for the Boii), he adduces examples somewhat more widely from originals further back in time: "phohiio-s-", a Venetic personal name; "Boioi", an Illyrian tribe; "Boiōtoi", a Greek tribal name (the Boeotians); and a few others. The same wider connections can be hypothesized for the 'cow' derivation: the Boeotians have been known for well over a century as a people of kine, which might have been parallel to the meaning of Italy as 'land of calves'. Indo-European reconstructions can be made using 'cow' as a basis, such as ; the root may itself be an imitation of the sound a cow makes. Other ancient names which appear to be derived from the name of the Boii include "Boiorix" ('king of the Boii', one of the chieftains of the Cimbri) and "Boiodurum" ('gate/fort of the Boii', modern Passau) in Germany. Their memory also survives in the modern regional names of Bohemia ("Boiohaemum"), a mixed-language form from and Proto-Germanic , 'home': 'home of the Boii'. Bavaria, , is derived from the name of the "Baiovarii" tribe. The first component is most plausibly explained as a Germanic version of "Boii", while the second part is a common formational morpheme of Germanic tribal names, meaning 'dwellers', as in Old English "-ware". History. Settlement in north Italy. According to the ancient authors, the Boii arrived in northern Italy by crossing the Alps. While of the other tribes who had come to Italy along with the Boii, the Senones, Lingones and Cenomani are also attested in Gaul at the time of the Roman conquest. It remains therefore unclear where exactly the Central Europe origins of the Boii lay, if somewhere in Gaul, Southern Germany or in Bohemia. Polybius relates that the Celts were close neighbors of the Etruscan civilization and "cast covetous eyes on their beautiful country". Invading the Po Valley with a large army, they drove out the Etruscans and resettled it, the Boii taking the right bank in the center of the valley. Strabo confirms that the Boii emigrated from their lands across the Alps and were one of the largest tribes of the Celts. The Boii occupied the old Etruscan settlement of Felsina, which they named "Bononia" (modern Bologna). Polybius describes the Celtic way of life in Cisalpine Gaul as follows: The archaeological evidence from Bologna and its vicinity contradicts the testimony of Polybius and Livy on some points, who say the Boii expelled the Etruscans and perhaps some were forced to leave. It indicates the Boii neither destroyed nor depopulated Felsinum, but simply moved in and became part of the population by intermarriage. The cemeteries of the period in Bologna contain La Tène weapons and other artifacts, as well as Etruscan items such as bronze mirrors. At Monte Bibele not far away one grave contained La Tène weapons and a pot with an Etruscan female name scratched on it. War against Rome. In the second half of the 3rd century BC, the Boii allied with the other Cisalpine Gauls and the Etruscans against Rome. They also fought alongside Hannibal, killing the Roman general Lucius Postumius Albinus in 216 BC, whose skull was then turned into a sacrificial bowl. A short time earlier, they had been defeated at the Battle of Telamon in 225 BC, and were again at Placentia in 194 BC (modern Piacenza) and Mutina in 193 BC (modern Modena). Publius Cornelius Scipio Nasica completed the Roman conquest of the Boii in 191 BC, celebrating a triumph for it. After their losses, according to Strabo, a large portion of the Boii left Italy. Boii on the Danube. Contrary to the interpretation of the classical writers, the Pannonian Boii attested in later sources are not simply the remnants of those who had fled from Italy, but rather another division of the tribe, which had settled there much earlier. The burial rites of the Italian Boii show many similarities with contemporary Bohemia, such as inhumation, which was uncommon with the other Cisalpine Gauls, or the absence of the typically western Celtic torcs. This makes it much more likely that the Cisalpine Boii had actually originated from Bohemia rather than the other way round. Having migrated to Italy from north of the Alps, some of the defeated Celts simply moved back to their kinsfolk. The Pannonian Boii are mentioned again in the late 2nd century BC when they repelled the Cimbri and Teutones (Strabo VII, 2, 2). Later on, they attacked the city of Noreia (in modern Austria) shortly before a group of Boii (32,000 according to Julius Caesar) joined the Helvetii in their attempt to settle in western Gaul. After the Helvetian defeat at Bibracte, the influential Aedui tribe allowed the Boii survivors to settle on their territory, where they occupied the "oppidum" of Gorgobina. Although attacked by Vercingetorix during one phase of the war, they supported him with two thousand troops at the battle of Alesia (Caesar, "Commentarii de Bello Gallico", VII, 75). Again, other parts of the Boii had remained closer to their traditional home, and settled in the Slovak and Hungarian lowlands by the Danube and the Mura, with a centre at Bratislava. In July 2025 it was published that Czech archaeologists have uncovered a Celtic settlement near Hradec Králové in the Czech Republic, dating back to the La Tène period. The site is around 65 acres, larger ten times larger than typical settlements in the region and is thought to have served as a major economic and administrative center for the Celtic Boii tribe, whose name gave rise to “Bohemia.” Excavations revealed over 13,000 artifacts, including gold and silver coins, amber, ceramics, pottery kilns, glass workshops, and coin molds. This is evidence of sophisticated craftsmanship and trade along the ancient Amber Road. A rare ceramic shard engraved with a horse was also found. The settlement appears to have gradually declined without signs of conflict. The finds are currently being studied and will be featured in an upcoming museum exhibition. Dacian Conquest. In the middle of the 1st century BC, the Boii tried to expand eastwards into modern-day Hungary, but clashed with the rising power of the Dacians under their king Burebista and were defeated. This war is often dated to the 60s or 50s BC or even precisely to 60/59 BC, but cannot be dated with that certainty. The numismatic material suggests that the clash may in fact have only happened by 41/40 BC. The Dacians under Burebista likely used a combination of military force and political strategies to conquer the Boii and compel some of them to migrate. Once the Boii were defeated or weakened, the Dacians would have annexed their territory, incorporating it into their expanding kingdom. If the early dating of the clash with Burebista is accepted, the migration of the Boii to Gaul and other parts of Europe may have been a consequence of their defeat and the Dacian occupation of their lands, as they sought new territories and opportunities elsewhere. However, specific details of this conquest and migration are often scarce in historical records, leaving much open to interpretation. When the Romans finally conquered Pannonia in 8 AD, the Boii seem not to have opposed them. Their former territory was now called "deserta Boiorum" (deserta meaning 'empty or sparsely populated lands'). However, the Boii had not been exterminated: There was a "civitas Boiorum et Azaliorum" (the Azalii being a neighbouring tribe) which was under the jurisdiction of a prefect of the Danube shore ("praefectus ripae Danuvii"). This , a common Roman administrative term designating both a city and the tribal district around it, was later adjoined to the city of Carnuntum. The Boii in ancient sources. Plautus. Plautus refers to the Boii in "Captivi": There is a play on words: "Boia" means 'woman of the Boii', also 'convicted criminal's restraint collar'. Livy. In volume 21 of his "History of Rome", Livy (59 BC – 17 AD) claims that it was a Boio man that offered to show Hannibal the way across the Alps. Inscriptions. In the first century BC, the Boii living in an oppidum of Bratislava minted Biatecs, high-quality coins with inscriptions (probably the names of kings) in Latin letters. At the oppidum of Manching there was a ceramic found bearing the labeling "Boius" or "Baius" which is being displayed at the local Celts and Romans museum.
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Backgammon
Backgammon is a two-player board game played with counters and dice on tables boards. It is the most widespread Western member of the large family of tables games, whose ancestors date back at least 1,600 years. The earliest record of backgammon itself dates to 17th-century England, being descended from the 16th-century game of Irish. Backgammon is a two-player game of contrary movement in which each player has fifteen pieces known traditionally as men (short for "tablemen"), but increasingly known as "checkers" in the United States in recent decades. The backgammon table pieces move along twenty-four "points" according to the roll of two dice. The objective of the game is to move the fifteen pieces around the board and be first to "bear off", i.e., remove them from the board. The achievement of this while the opponent is still a long way behind results in a triple win known as a "backgammon", hence the name of the game. Backgammon involves a combination of strategy and luck from rolling of the dice. While the dice may determine the outcome of a single game, the better player will accumulate the better record over a series of many games. With each roll of the dice, players must choose from numerous options for moving their pieces and anticipate possible counter-moves by the opponent. The optional use of a doubling cube allows players to raise the stakes during the game. History. The earliest specific reference to backgammon was in a letter dated 1635, when it was emerging as a variant of the popular medieval Anglo-Scottish game of Irish; the latter was described as a better game. By the 19th century, however, backgammon had spread to Europe, where it rapidly superseded other tables games like Trictrac in popularity, and also to America, where the doubling cube was introduced. In other parts of the world, different tables games such as Nard or Nardy are better known. Tables games. Backgammon is a recent member of the large family of tables games that date back to ancient times. Its equipment is similar or identical to earlier tables games that have been depicted for centuries in art, leading to the mistaken belief that backgammon itself is much older. Ancient history. The history of board games can be traced back nearly 5,000 years to archaeological discoveries of the Jiroft culture, located in present-day Iran, the world's oldest game set having been discovered in the region with equipment comprising a dumbbell-shaped board, counters and dice. Although its precise rules are unknown, it has been termed the Game of 20 Squares and Irving Finkel has suggested a possible reconstruction. The Royal Game of Ur from 2600 BC may also be an ancestor or intermediate of modern-day table games like backgammon and is the oldest game for which rules have been handed down. It used tetrahedral dice. Various other board games spanning the 10th to 7th centuries BC have been found throughout modern day Iraq, Syria, Egypt and western Iran. Sasanian Empire. The Persian tables game of nard or nardšir emerged somewhere between the 3rd and 6th century AD, one text ("Kār-nāmag ī Ardaxšēr ī Pāpakān") linking it with Ardashir I (r. 224–41), founder of the Sasanian dynasty, whereas another ("Wičārišn ī čatrang ud nihišn ī nēw-ardaxšēr") attributes it to Bozorgmehr Bokhtagan, the Vizier of Khosrow (r. 531–79), who is credited with the invention of the game. Roman and Byzantine Empires. The earliest identifiable tables game, Tabula, meaning 'table' or 'board', is described in an epigram of Byzantine Emperor Zeno (AD 476–491). The overall aim was to be first to bear one's pieces off; the board had the typical tables layout, with 24 points, 12 on each side; and there were 15 counters per player. However, unlike modern Western backgammon, there were three cubical dice not two, no bar nor doubling die, and all counters started off the board. Modern backgammon follows the same rules as tabula for hitting a blot and for bearing off; and the rules for re-entering pieces in backgammon are the same as those for initially entering pieces in tabula. The name Tavli () is still used in Greece for various tables games, which are frequently played in town plateias and cafes. The of Emperor Zeno's time is believed to be a direct descendant of the earlier Roman "ludus duodecim scriptorum" ('Game of twelve lines') with the board's middle row of points removed, and only the two outer rows remaining. used a board with three rows of 12 points each, with the 15 pieces being moved in opposing directions by the two players across three rows according to the roll of the three cubical dice. Little specific text about the gameplay of has survived; it may have been related to the older Ancient Greek dice game "Kubeia". The earliest known mention of the game is in Ovid's "Ars Amatoria" ('The Art of Love'), written between 1 BC and 8 AD. In Roman times, this game was also known as "alea". Western Europe. Tables games first appeared in France during the 11th century and became a favourite pastime of gamblers. In 1254, Louis IX issued a decree prohibiting his court officials and subjects from playing. They were played in Germany in the 12th century, and had reached Iceland by the 13th century. In Spain, the Alfonso X manuscript "Libro de los Juegos", completed in 1283, describes rules for a number of dice and table games in addition to its discussion of chess. By the 17th century, games at tables had spread to Sweden. A wooden board and counters were recovered from the wreck of the "Vasa" among the belongings of the ship's officers. Tables games appear widely in paintings of this period, mainly those of Dutch and German painters, such as van Ostade, Jan Steen, Hieronymus Bosch, and Bruegel. Among surviving artworks are "Cardsharps" by Caravaggio. Backgammon. Early backgammon. Backgammon's immediate predecessor was the 16th century tables game of Irish. Irish was the Anglo-Scottish equivalent of the French "Toutes Tables" and Spanish "Todas Tablas", the latter name first being used in the 1283 "El Libro de los Juegos", a translation of Arabic manuscripts by the Toledo School of Translators. Irish had been popular at the Scottish court of James IV and considered to be "the more serious and solid game" when the variant which became known as Backgammon began to emerge in the first half of the 17th century. In medieval Italy, Barail was played on a backgammon board, with the important difference that both players moved their pieces counter-clockwise and starting from the same side of the board. The game rules for Barail are recorded in a 13th-century manuscript held in the Italian National Library in Florence. The earliest mention of backgammon, under the name "Baggammon", was by James Howell in a letter dated 1635. In English, the word "backgammon" is most likely derived from "back" and , meaning "game" or "play". Meanwhile, the first use documented by the Oxford English Dictionary was in 1650. In 1666, it is reported that the "old name for backgammon used by Shakespeare and others" was Tables. However, it is clear from Willughby that "tables" was a generic name and that the phrase "playing at tables" was used in a similar way to "playing at cards". The first known rules of "Back Gammon" were produced by Francis Willoughby around 1672; they were quickly followed by Charles Cotton in 1674. In the 16th century, Elizabethan laws and church regulations had prohibited "playing at tables" in England, but by the 18th century, Backgammon had superseded Irish and become popular among the English clergy. Edmond Hoyle published "A Short Treatise on the Game of Back-Gammon" in 1753; this described rules and strategy for the game and was bound together with a similar text on whist. The early form of backgammon was very similar to its predecessor, Irish. The aim, board, number of pieces or "men", direction of play and starting layout were the same as in the modern game. However, there was no doubling die, there was no bar on the board or the bar was not used (men simply being moved off the table when hit) and the scoring was different. The game was won double if either the winning throw was a doublet or the opponent still had men outside the home board. It was won triple if a player bore all men off before any of the opponent's men reached the home board; this was a "back-gammon". Some terminology, such as "point", "hitting a blot", "home", "doublet", "bear off" and "men" are recognisably the same as in the modern game; others, such as "binding a man" (adding a second man to a point) "binding up the tables" (taking all one's first 6 points), "fore game", "latter game", "nipping a man" (hitting a blot and playing it on forwards) "playing at length" (using both dice to move one man) are no longer in vogue. Modern backgammon. By no later than 1850, the rules of play had changed to those used today. Tables boards were now made with a "bar" in the centre and men that were hit went onto the bar. Winning double or by "two hits" was achieved by bearing all one's men off before the other has borne this was now called a "gammon". If the winner bore off all men while the loser still had men in his adversary's table, it was a "back-gammon" and worth "three hits", i.e., triple. The most recent major development in backgammon was the addition of the doubling cube. Doubles had originally been recorded by placing "common parlour matches" on the bar in the centre of the board. A doubling cube was first introduced in the 1920s in New York City among members of gaming clubs on the Lower East Side. The cube required players not only to select the best move in a given position, but also to estimate the probability of winning from that position, transforming backgammon into the expected value-driven game played in the 20th and 21st centuries. The popularity of backgammon surged in the mid-1960s, in part due to the charisma of Prince Alexis Obolensky who became known as "The Father of Modern Backgammon". "Obe", as he was called by friends, co-founded the International Backgammon Association, which published a set of official rules. He also established the World Backgammon Club of Manhattan, devised a backgammon tournament system in 1963, then organized the first major international backgammon tournament in March 1964, which attracted royalty, celebrities and the press. The game became a huge fad and was played on college campuses, in discothèques and at country clubs; stockbrokers and bankers began playing at conservative men's clubs. People young and old all across the country dusted off their boards and pieces. Cigarette, liquor and car companies began to sponsor tournaments, and Hugh Hefner held backgammon parties at the Playboy Mansion. Backgammon clubs were formed and tournaments were held, resulting in a World Championship promoted in Las Vegas in 1967. In the second half of the 20th century, new terms were introduced in America, such as 'beaver' and 'checkers' for men (although American backgammon experts Jacoby and Crawford continued to use both the older terms as well as the new ones). Most recently, the United States Backgammon Federation (USBGF) was organized in 2009 to repopularize the game in the United States. Board and committee members include many of the top players, tournament directors and writers in the worldwide backgammon community. The USBGF has recently created Standards of Ethical Practice to address issues on which tournament rules fail to touch. In its country of origin, the UK Backgammon Federation is the national authority and runs a backgammon the Backgammon Galaxy UK Open as well as club championships, online leagues and knockout tournaments. Like the USBGF they are active members of the World Backgammon Federation (WBF) and their tournament rules have been adopted in their entirety by the WBF. Software. Backgammon entered the computer era in the 1990s when software was developed to play and analyze games, and for people to play one another over the internet. Real-time online play began with the First Internet Backgammon Server in July 1992, but there are now a range of options. Rules. Since 2018, backgammon has been overseen internationally by the World Backgammon Federation who set the rules of play for international tournaments. Backgammon playing pieces may be termed men, checkers, draughts, stones, counters, pawns, discs, pips, chips, or nips. Checkers is a relatively modern American English term derived from another board game, draughts, which in US English is called checkers. The objective is for players to bear off all their disc pieces from the board before their opponent can do the same. As the playing time for each individual game is short, it is often played in matches where victory is awarded to the first player to reach a certain number of points. Board. The dimensions of a board when opened, for a tournament game, should be at a minimum of 44 cm by 55 cm to a maximum of 66 cm by 88 cm. Setup. Each side of the board has a track of 12 isosceles triangles, called points. The points form a continuous track in the shape of a horseshoe, and are numbered from 1 to 24. In the most commonly used setup, each player begins with fifteen pieces; two are placed on their 24-point, three on their 8-point, and five each on their 13-point and their 6-point. The two players move their pieces in opposing directions, from the 24-point towards the 1-point. Points 1 through 6 are called the home board or inner board, and points 7 through 12 are called the outer board. The 7-point is referred to as the bar point, and the 13-point as the midpoint. The 5-point for each player is sometimes called the "golden point". Movement. To start the game, each player rolls one die, and the player with the higher number moves first using the numbers shown on both dice. If the players roll the same number, they must roll again until they roll different numbers. Both dice must land completely flat on the right-hand side of the gameboard. The players then take alternate turns, rolling two dice at the beginning of each turn. After rolling the dice, players must, if possible, move their pieces according to the number shown on each die. For example, if the player rolls a 6 and a 3 (denoted as "6-3"), the player must move one checker six points forward, and another or the same checker three points forward. The same checker may be moved twice, as long as the two moves can be made separately and legally: six and then three, or three and then six. If a player rolls two of the same number, called doubles, that player must play each die twice. For example, a roll of 5-5 allows the player to make four moves of five spaces each. On any roll, a player must move according to the numbers on both dice if it is at all possible to do so. If one or both numbers do not allow a legal move, the player forfeits that portion of the roll and the turn ends. If moves can be made according to either one die or the other, but not both, the higher number must be used. If one checker is unable to be moved, but such a move is made possible by the moving of the other checker, that move is compulsory. In the course of a move, a checker may land on any point that is unoccupied or is occupied by one or more of the player's own checkers. It may also land on a point occupied by exactly one opposing checker, or "blot". In this case, the blot has been "hit" and is placed in the middle of the board on the bar that divides the two sides of the playing surface. A checker may never land on a point occupied by two or more opposing checkers; thus, no point is ever occupied by checkers from both players simultaneously. There is no limit to the number of checkers that can occupy a point or the bar at any given time. Checkers placed on the bar must re-enter the game through the opponent's home board before any other move can be made. A roll of 1 allows the checker to enter on the 24-point (opponent's 1), a roll of 2 on the 23-point (opponent's 2), and so forth, up to a roll of 6 allowing entry on the 19-point (opponent's 6). Checkers may not enter on a point occupied by two or more opposing checkers. Checkers can enter on unoccupied points, or on points occupied by a single opposing checker; in the latter case, the single checker is hit and placed on the bar. A player may not move any other checkers until all checkers belonging to that player on the bar have re-entered the board. If a player has checkers on the bar, but rolls a combination that does not allow any of those checkers to re-enter, the player does not move. If the opponent's home board is completely "closed" (i.e. all six points are each occupied by two or more checkers), there is no roll that will allow a player to enter a checker from the bar, and that player stops rolling and playing until at least one point becomes open (occupied by one or zero checkers) due to the opponent's moves. A turn ends only when the player has removed his or her dice from the board. Prior to this moment, a move can be undone and replayed an unlimited number of times. Bearing off. When all of a player's checkers are in that player's home board, that player may start removing them; this is called "bearing off". A roll of 1 may be used to bear off a checker from the 1-point, a 2 from the 2-point, and so on. If all of a player's checkers are on points lower than the number showing on a particular die, the player must use that die to bear off one checker from the highest occupied point. For example, if a player rolls a 6 and a 5, but has no checkers on the 6-point and two on the 5-point, then the 6 and the 5 must be used to bear off the two checkers from the 5-point. When bearing off, a player may also move a lower die roll before the higher even if that means the full value of the higher die is not fully utilized. For example, if a player has exactly one checker remaining on the 6-point, and rolls a 6 and a 1, the player may move the 6-point checker one place to the 5-point with the lower die roll of 1, and then bear that checker off the 5-point using the die roll of 6. As before, if there is a way to use all moves showing on the dice by moving checkers within the home board or by bearing them off, the player must do so. If a player's checker is hit while in the process of bearing off, that player may not bear off any others until it has been re-entered into the game and moved into the player's home board, according to the normal movement rules. The first player to bear off all fifteen of their own checkers wins the game. When keeping score in backgammon, the points awarded depend on the scale of the victory. A player who bears off all fifteen pieces when the opponent has borne off at least one, wins a "single game" worth 1 point. If all fifteen have been borne off before the opponent gets at least one checker off, this is a "gammon" or "double game" worth 2 points. A "backgammon" or "triple game" is worth 3 points and occurs when the losing player has borne off no pieces and has one or more on the bar and/or in the winner's home table (inner board). Doubling cube. To speed up match play and to provide an added dimension for strategy, a doubling cube is usually used. The doubling cube is not a die to be rolled, but rather a marker, with the numbers 2, 4, 8, 16, 32, and 64 inscribed on its sides to denote the current stake. At the start of each game, the doubling cube is placed on the midpoint of the bar with the number 64 showing; the cube is then said to be "centered, on 1". When the cube is still centered, either player may start their turn by proposing that the game be played for twice the current stakes. Their opponent must either accept ("take") the doubled stakes or resign ("drop") the game immediately. Whenever a player accepts doubled stakes, the cube is placed on their side of the board with the corresponding power of two facing upward, to indicate that the right to redouble, which is to offer to continue doubling the stakes, belongs exclusively to that player. If the opponent drops the doubled stakes, they lose the game at the current value of the doubling cube. For instance, if the cube showed the number 2 and a player wanted to redouble the stakes to put it at 4, the opponent choosing to drop the redouble would lose two, or twice the original stake. There is no limit on the number of redoubles. Although 64 is the highest number depicted on the doubling cube, the stakes may rise to 128, 256, and so on. In money games, a player is often permitted to "beaver" when offered the cube, doubling the value of the game again, while retaining possession of the cube. A variant of the doubling cube "beaver" is the "raccoon". Players who doubled their opponent, seeing the opponent beaver the cube, may in turn then double the stakes once again ("raccoon") as part of that cube phase before any dice are rolled. The opponent retains the doubling cube. An example of a "raccoon" is the following: White doubles Black to 2 points, Black accepts then beavers the cube to 4 points; White, confident of a win, raccoons the cube to 8 points, while Black retains the cube. Such a move adds greatly to the risk of having to face the doubling cube coming back at 8 times its original value when first doubling the opponent (offered at 2 points, counter offered at 16 points) should the luck of the dice change. Some players may opt to invoke the "Murphy rule" or the "automatic double rule". If both opponents roll the same opening number, the doubling cube is incremented on each occasion yet remains in the middle of the board, available to either player. The Murphy rule may be invoked with a maximum number of automatic doubles allowed and that limit is agreed to prior to a game or match commencing. When a player decides to double the opponent, the value is then a double of whatever face value is shown (e.g. if two automatic doubles have occurred putting the cube up to 4, the first in-game double will be for 8 points). The Murphy rule is not an official rule in backgammon and is rarely, if ever, seen in use at officially sanctioned tournaments. The "Jacoby rule", named after Oswald Jacoby, allows gammons and backgammons to count for their respective double and triple values only if the cube has already been offered and accepted. This encourages a player with a large lead to double, possibly ending the game, rather than to play it to conclusion hoping for a gammon or backgammon. The Jacoby rule is widely used in money play but is not used in match play. The "Crawford rule", named after John R. Crawford, is designed to make match play more equitable for the player in the lead. If a player is one point away from winning a match, that player's opponent will always want to double as early as possible in order to catch up. Whether the game is worth one point or two, the trailing player must win to continue the match. To balance the situation, the Crawford rule requires that when a player first reaches a score one point short of winning, neither player may use the doubling cube for the following game, called the "Crawford game". After the Crawford game, normal use of the doubling cube resumes. The Crawford rule is routinely used in tournament match play. It is possible for a Crawford game to never occur in a match. If the Crawford rule is in effect, then another option is the "Holland rule", named after Tim Holland, which stipulates that after the Crawford game, a player cannot double until after at least two rolls have been played by each side. It was common in tournament play in the 1980s, but is now rarely used. Related games. Minor variations to the standard game are common among casual players in certain regions. For instance, only allowing a maximum of five men on any point (Britain) or disallowing "hit-and-run" in the home board (Middle East). There are also many relatives of backgammon within the tables family with different aims, modes of play and strategies. Some are played primarily throughout one geographic region, and others add new tactical elements to the game. These other tables games commonly have a different starting position, restrict certain moves, or assign special value to certain dice rolls, but in some geographic games even the rules and direction of movement of the counters change, rendering them fundamentally different. "Acey-deucey" is a relative of backgammon in which players start with no counters on the board, and must enter them onto the board at the beginning of the game. The roll of 1-2 is given special consideration, allowing the player, after moving the 1 and the 2, to select any desired doubles move. A player also receives an extra turn after a roll of 1-2 or of doubles. "Hypergammon" is a game in which players have only three counters on the board, starting with one each on the 24, 23 and 22 points. With the aid of a computer this game was solved by Hugh Sconyers around 1994, meaning that exact equities for all cube positions are available for all 32 million possible positions. "Nard" is a traditional tables game from Persia which may be an ancestor of backgammon. It has a different opening layout in which all 15 pieces start on the 24th point. During play pieces may not be hit and there are no gammons or backgammons. "Ban-sugoroku" is a Japanese game that is a close relative of backgammon. It utilizes the same starting position but has slightly different rules. "Russian backgammon" is a variant described in 1895 as: "much in vogue in Russia, Germany, and other parts of the Continent". Players start with no counters on the board, and both players move in the same direction to bear off in a common home board. In this variant, doubles are powerful: four moves are played as in backgammon, followed by four moves according to the difference of the dice value from 7, and then the player has another turn (with the caveat that the turn ends if any portion of it cannot be completed). "Gul bara" and "Tapa" are tables games popular in south-eastern Europe and Turkey. The play will iterate among Backgammon, Gul Bara, and Tapa until one of the players reaches a score of 7 or 5. "Coan ki" is an ancient Chinese tables game. "Plakoto", "Fevga" and "Portes" are three varieties of tables games played in Greece. Together, the three are referred to as "Tavli" and are usually played one after the other; game being three, five, or seven points. "Misere (backgammon to lose)" is a variant of backgammon in which the objective is to lose the game. "Tavla" is a Turkish variation. Strategy and tactics. Backgammon is played in two principal variations, "money" and "match" play: The format has a significant effect on strategy. In a match, the objective is not to win the maximum possible number of points, but rather to simply reach the score needed to win the match, so optimal play may depend on the match score. In money play, the theoretically correct checker play and cube action would never vary based on the score. Backgammon has an established opening theory, although it is less detailed than that of chess. The tree of positions expands rapidly because of the number of possible dice rolls and the moves available on each turn. Recent computer analysis has offered more insight on opening plays, but the midgame is reached quickly. After the opening, backgammon players frequently rely on some established general strategies, combining and switching among them to adapt to the changing conditions of a game. There are several strategies or "game plans" to achieve a win: A "backgame" is a strategy that involves holding two or more anchors in an opponent's home board while being substantially behind in the race. The anchors obstruct the opponent's checkers and create opportunities to hit them as they move home. The backgame is generally used only to salvage a game wherein a player is already significantly behind. Using a backgame as an initial strategy is usually unsuccessful. "Duplication" refers to the placement of checkers such that one's opponent needs the same dice rolls to achieve different goals. For example, players may position all of their blots in such a way that the opponent must roll a 2 in order to hit any of them, reducing the probability of being hit more than once. "Diversification" refers to a complementary tactic of placing one's own checkers in such a way that more numbers are useful. The "pipcount" is number of pips needed to move a player's checkers around and off the board. Many positions require a measurement of a player's standing in the race, for example, in making a doubling cube decision, or in determining whether to run home and begin bearing off. The difference between the two players' pip counts is a measure of the leader's racing advantage. For cube decisions, a number of formulas have been developed over the years, including the Thorpe count, the Ward count, the Keith count, and iSight. These calculations enable a player to determine whether to offer or take a double based on the pipcount in non-contact positions. Cube handling. Two theoretical models provide a basis for cube handling, i.e. when to offer a double and when to accept an offered double. Both ignore the effects of gammons and backgammons. In practice, the takepoints and doubling points are somewhere in between, since while cube ownership cannot be ignored, assuming maximal efficiency for a re-cube is also not a valid assumption. Ignoring gammons and backgammons, the takepoint in money play is about 22%. All of the above ignores gammons and backgammons for either side, so in practice the calculation of takepoints is more complicated. Equity. A player's equity in a money or unlimited game is the average expected value that will be won or lost as a result of that game. For instance, if a player is certain to win but has no chance of a gammon or backgammon their equity is 1 and their opponent's equity is −1. If it is certain that the player will win a backgammon, their equity is 3 and their opponent's equity is −3. In Example 1 below, the player's winning chances are 75%, which corresponds to an equity of +0.5. "Example 1" Suppose there are only two checkers left on the board and the player on-roll has a checker on their six point and the opponent has a checker on their one point. The player on-roll will bear off with 27/36 rolls or 75% of the time. If the game was played from that position 100 times the on-roll player would win ~75 games and their opponent would win ~25 for a net win of ~50 points per 100 games. The on-roll player's equity would be .5 and their opponent's would be −.5. If the doubling cube was accessible they could offer the cube and increase their equity to 1: either their opponent passes the cube and the game is over, or their opponent takes the cube and loses 100 points per 100 games (instead of the 50 with the cube centered). This illustrates that the raw takepoint for money play is 25%. "Example 2" Now, suppose the on-roll player has two checkers, one on the five point and one on the one point while their opponent still has one on the one point. 23 rolls bear off both checkers so the winning percentage is 64% instead of 75% and the equities are about +0.28 ((64−36)/100) and −0.28. If the on-roll player offers the cube, their equity doubles to 0.56 and their opponent should take the cube because −0.56 is better than −1. "Example 3" This example is more complicated, since there are gammons and backgammons to be had by both players and it is not the last chance to offer the cube. Computer analysis estimates the player with the black pieces wins 72.1% of games, plus 2.0% gammons, and 0.1% backgammons. Their opponent wins 27.9% of games, 2.0% gammons, and no backgammons. This adds up to the following equities: No double 0.667 Double, take 0.684 Double, pass 1.000 The on-roll player should offer a double since their equity increases, and their opponent should take since they retain more equity by taking than passing. Cheating. To reduce the possibility of cheating, most good-quality backgammon sets use precision dice and a dice cup. This reduces the likelihood of loaded dice being used, which is the main way of cheating in face-to-face play. A common method of cheating online is the use of a computer program to find the optimal move on each turn; to combat this, many online sites use move-comparison software that identifies when a player's moves resemble those of a backgammon program. Online cheating has therefore become extremely difficult. Social and competitive play. Legality. In "State of Oregon v. Barr", a 1982 court case pivotal to the continued widespread organised playing of backgammon in the US, the State argued that backgammon is a game of chance and that it was therefore subject to Oregon's stringent gambling laws. Paul Magriel was a key witness for the defence, contradicting Roger Nelson, the expert prosecution witness, by saying, "Game theory, however, really applies to games with imperfect knowledge, where something is concealed, such as poker. Backgammon is not such a game. Everything is in front of you. The person who uses that information in the most effective manner will win." After the closing arguments, Judge Stephen S. Walker concluded that backgammon is a game of skill, not a game of chance, and found the defendant, backgammon tournament director Ted Barr, not guilty of promoting gambling. Club and tournament play. Played "ad hoc" in cafés and bars, clubs throughout Europe also host backgammon with informal gatherings to play throughout the day or in the evening as well as by way of social interaction. A few clubs offer specialized backgammon services, maintaining their own facilities or offering computer analysis of troublesome plays. Around 2003, some club leaders noticed a growth of interest in backgammon, and attributed it to the game's popularity on the internet. A backgammon chouette permits three or more players to participate in a single game, often for money. One player competes against a team of all the other participants, and positions rotate after each game. Chouette play often permits the use of multiple doubling cubes. Backgammon clubs may also organize tournaments. Large club tournaments sometimes draw competitors from other regions, with final matches viewed by hundreds of spectators. The top players at regional tournaments often compete in major national and international championships. Winners at major tournaments may receive prizes of tens of thousands of dollars. A successful triangular backgammon tournament, devised by UKBGF, was hosted in 2025 by the Walbrook Club versus the Haberdashers' & Salters' Companies. International competition. The first world championship competition in backgammon was held in Las Vegas, Nevada, in 1967. Tim Holland was declared the winner that year and at the tournament the following year. For unknown reasons, there was no championship in 1970, but in 1971, Tim Holland again won the title. The competition remained in Las Vegas until 1975, when it moved to Paradise Island in the Bahamas. The years 1976, 1977 and 1978 saw "dual" World Championships, one in the Bahamas attended by the Americans, and the "European Open Championships" in Monte Carlo with mostly European players. In 1979, Lewis Deyong, who had promoted the Bahamas World Championship for the prior three years, suggested that the two events be combined. Monte Carlo was universally acknowledged as the site of the World Backgammon Championship and has remained as such for thirty years. The Monte Carlo tournament draws hundreds of players and spectators, and is played over the course of a week. By the 21st century, the largest international tournaments had established the basis of a tour for top professional players. Major tournaments are held yearly worldwide. PartyGaming sponsored the first World Series of Backgammon in 2006 from Cannes and later the "Backgammon Million" tournament held in the Bahamas in January 2007 with a prize pool of one million dollars, the largest for any tournament to date. In 2008, the World Series of Backgammon ran the world's largest international events in London, the UK Masters, the biggest tournament ever held in the UK with 128 international class players; the Nordic Open, which instantly became the largest in the world with around 500 players in all flights and 153 in the championship, and Cannes, which hosted the Riviera Cup, the traditional follow-up tournament to the World Championships. Cannes also hosted the WSOB championship, the WSOB finale, which saw 16 players play three-point shootout matches for €160,000. The event was recorded for television in Europe and aired on Eurosport. The World Backgammon Association (WBA) has been holding the biggest backgammon tour on the circuit since 2007, the "European Backgammon Tour" (EBGT). In 2011, the WBA collaborated with the online backgammon provider Play65 for the 2011 season of the European Backgammon Tour and with "Betfair" in 2012. The 2013 season of the European Backgammon Tour featured 11 stops and 19 qualified players competing for €19,000 in a grand finale in Lefkosa, Northern Cyprus. Gambling. When backgammon is played for money, the most common arrangement is to assign a monetary value to each point, and to play to a certain score, or until either player chooses to stop. The stakes are raised by gammons, backgammons, and use of the doubling cube. Backgammon is sometimes available in casinos. Before the commercialization of artificial neural network programs, proposition bets on specific positions were very common among backgammon players and gamblers. As with most gambling games, successful play requires a combination of luck and skill, as a single dice roll can sometimes significantly change the outcome of the game. Mediterranean and West Asian cultural significance. Backgammon is considered the national game in many countries of the Eastern Mediterranean: Egypt, Turkey, Cyprus, Syria, Israel, and Palestine, Lebanon and Greece. The popularity of the game across the region is primarily an oral tradition, and appears to have been strengthened during the era of the Ottoman Empire, which controlled the whole Eastern Mediterranean in the early modern period. Afif Bahnassi, Syria's director of antiquities, stated in 1988: "For some reason, backgammon became the rage of the Ottoman Empire. It really spread across the Arab world with the Turks, and it stayed behind when they left." The game is a common feature of coffeehouses throughout the region. Since at least the early 19th century, Damascus became well known as the preeminent location for Damascene-style wooden marquetry backgammon sets that have become famous throughout the region. A unique feature of backgammon throughout the region is players' use of mixed Persian and Turkish numbers to announce dice rolls, rather than Arabic or other local languages. Related to this phenomenon, the game is frequently referred to as "Shesh Besh", which is a rhyming combination "shesh", meaning ‘six’ in Persian (as well as many historical and current Iranian languages), and "besh", meaning five in Turkish. "Shesh besh" is commonly used to refer to when a player scores a 5 and 6 at the same time on dice. This language contains six types of irregular inflections: In the early 20th century, as use of Classical Arabic was being promoted with the rise of Arab nationalism, efforts were made to replace the Persian-Turkish numbers used in backgammon play. Studies and analysis. Backgammon has been studied considerably by computer scientists. Neural networks and other approaches have offered significant advances to software for gameplay and analysis. With 15 white and 15 black counters and 24 possible positions, backgammon has 18 quintillion possible legal positions. The first strong computer opponent was BKG 9.8. It was written by Hans Berliner in the late 1970s on a DEC PDP-10 as an experiment in evaluating board game positions. Early versions of BKG played badly even against poor players, but Berliner noticed that its critical mistakes were always at transitional phases in the game. He applied principles of fuzzy logic to improve its play between phases, and by July 1979, BKG 9.8 was strong enough to play against the reigning world champion Luigi Villa. It won the match 7–1, becoming the first computer program to defeat a world champion in any board game. Berliner stated that the victory was largely a matter of luck, as the computer received more favorable dice rolls. In the late 1980s, backgammon programmers found more success with an approach based on artificial neural networks. TD-Gammon, developed by Gerald Tesauro of IBM, was the first of these programs to play near the expert level. Its neural network was trained using temporal difference learning applied to data generated from self-play. According to assessments by Bill Robertie and Kit Woolsey, TD-Gammon's play was at or above the level of the top human players in the world. Woolsey said of the program that "There is no question in my mind that its positional judgment is far better than mine." Tesauro proposed using rollout analysis to compare the performance of computer algorithms against human players. In this method, a Monte-Carlo evaluation of positions is conducted (typically thousands of trials) where different random dice sequences are simulated. The rollout score of the human (or the computer) is the difference of the average game results by following the selected move versus following the best move, then averaged for the entire set of taken moves. Neural network research has resulted in three modern proprietary programs, JellyFish, Snowie and eXtreme Gammon, as well as the shareware BGBlitz and the free software GNU Backgammon. These programs not only play the game, but offer tools for analyzing games and detailed comparisons of individual moves. The strength of these programs lies in their neural networks' weights tables, which are the result of months of training. Without them, these programs play no better than a human novice. For the bearoff phase, backgammon software usually relies on a database containing precomputed equities for all possible bearoff positions. There are 54,263 bearoff positions for each side. This means there are 542632 total bearoff positions (~3 billion positions). In 1981 Hugh Sconyers wrote a computer program that solved all positions with nine checkers or fewer for both sides. In the early 1990s Hugh extended his results to all bearoff positions. For each position there are four results: no cube, roller's cube, center cube and opponent's cube. So, Hugh's bearoff database contains the exact answers to ~12 billion bearoff situations. Another neural network software developed by Nikolaos Papachristou is Palamedes that was developed in the early 2000s and it can also play variations like Hypergammon, Portes, Plakoto, Fevga, Narde and has multiple engines for each one. Computer-versus-computer competitions are also held at Computer Olympiad events.
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Book of Joshua
The Book of Joshua is the sixth book in the Hebrew Bible and the Old Testament, and is the first book of the Deuteronomistic history, the story of Israel from the conquest of Canaan to the Babylonian exile. It tells of the campaigns of the Israelites in central, southern and northern Canaan, the destruction of their enemies, and the division of the land among the Twelve Tribes, framed by two set-piece speeches, the first by God commanding the conquest of the land, and, at the end, the second by Joshua warning of the need for faithful observance of the Law ("torah") revealed to Moses. The consensus among scholars is that the Book of Joshua is historically problematic and should be treated with caution in reconstructing the history of early Israel. The earliest parts of the book are possibly chapters 2–11, the story of the conquest; these chapters were later incorporated into an early form of Joshua likely written late in the reign of king Josiah (reigned 640–609 BC), but the book was not completed until after the fall of Jerusalem to the Neo-Babylonian Empire in 586 BC, and possibly not until after the return from the Babylonian exile in 539 BC. Many scholars interpret the book of Joshua as describing what would now be considered genocide. Other scholars counter that calling what the book of Joshua relates a "genocide" is anachronistic. Contents. Structure. I. Transfer of leadership to Joshua (1:1–18) A. God's commission to Joshua (1:1–9) B. Joshua's instructions to the people (1:10–18) II. Entrance into and conquest of Canaan (2:1–12:24) A. Entry into Canaan 1. Reconnaissance of Jericho (2:1–24) 2. Crossing the River Jordan (3:1–17) 3. Establishing a foothold at Gilgal (4:1–5:1) 4. Circumcision and Passover (5:2–15) B. Victory over Canaan (6:1–12:24) 1. Destruction of Jericho (6) 2. Failure and success at Ai (7:1–8:29) 3. Renewal of the covenant at Mount Ebal (8:30–35) 4. Other campaigns in central Canaan. The Gibeonite Deception (9:1–27) 5. Campaigns in southern Canaan (10:1–43) 6. Campaigns in northern Canaan (11:1–15) 7. Summary of lands conquered (11:16–23) 8. Summary list of defeated kings (12:1–24) III. Division of the land among the tribes (13:1–22:34) A. God's instructions to Joshua (13:1–7) B. Tribal allotments (13:8–19:51) 1. Eastern tribes (13:8–33) 2. Western tribes (14:1–19:51) C. Cities of refuge and levitical cities (20:1–21:42) D. Summary of conquest (21:43–45) E. De-commissioning of the eastern tribes (22:1–34) IV. Conclusion (23:1–24:33) A. Joshua's farewell address (23:1–16) B. Covenant at Shechem (24:1–28) C. Deaths of Joshua and Eleazar; burial of Joseph's bones (24:29–33) Narrative. God's commission to Joshua (chapter 1). Chapter 1 commences "after the death of Moses" and presents the first of three important moments in Joshua marked with major speeches and reflections by the main characters; here first God, and then Joshua, make speeches about the goal of conquest of the Promised Land; in chapter 12, the narrator looks back on the conquest; and in chapter 23 Joshua gives a speech about what must be done if Israel is to live in peace in the land. God commissions Joshua to take possession of the land and warns him to keep faith with the Mosaic covenant. God's speech foreshadows the major themes of the book: the crossing of the Jordan River and conquest of the land, its distribution, and the imperative need for obedience to the Law. Joshua's own immediate obedience is seen in his speeches to the Israelite commanders and to the Transjordanian tribes, and the Transjordanians' affirmation of Joshua's leadership echoes Yahweh's assurances of victory. Entry into the land and conquest (chapters 2–12). Rahab, a Canaanite woman of the Bible, sets in motion the entrance into Canaan by the Israelites. To avoid repeating failed attempts by Moses to have notable men of Israel predict the success rate of entry into Canaan mentioned in the book of Numbers, Joshua tasks two regular men with entering Jericho as spies. They arrive at Rahab's house and spend the night. The king of Jericho, having heard of possible Israelite spies, demands that Rahab reveal the men. She tells him that she is unaware of their whereabouts, when in reality, she hid them on her roof under flax. The next morning, Rahab professes her faith in God to the men and acknowledges her belief that Canaan was divinely reserved for the Israelites from the beginning. Because of Rahab's actions, the Israelites are able to enter Canaan. The Israelites cross the Jordan River through a miraculous intervention of God with the Ark of the Covenant and are circumcised at Gibeath-Haaraloth (translated as "hill of foreskins"), renamed Gilgal in memory. "Gilgal" sounds like "Gallothi", "I have removed", but is more likely to translate as "circle of standing stones". The conquest begins with the battle of Jericho, followed by Ai (central Canaan), after which Joshua builds an altar to Yahweh at Mount Ebal in northern Canaan and renews the Covenant in a ceremony with elements of a divine land-grant ceremony, similar to ceremonies known from Mesopotamia. The narrative then switches to the south. The Gibeonites trick the Israelites into entering an alliance with them by saying that they are not Canaanites. Despite this, the Israelites decide to keep the alliance by enslaving them instead. An alliance of Amorite kingdoms headed by the Canaanite king of Jerusalem attacks the Gibeonites but they are defeated with Yahweh's miraculous help of stopping the Sun and the Moon, and hurling down large hailstones (Joshua 10:10–14). The enemy kings were eventually hanged on trees. The Deuteronomist author may have used the then-recent 701 BC campaign of the Assyrian king Sennacherib in the Kingdom of Judah as his model; the hanging of the captured kings is in accordance with Assyrian practice of the 8th century BC. With the south conquered the narrative moves to the northern campaign. A powerful multi-national (or more accurately, multi-ethnic) coalition headed by the king of Hazor, the most important northern city, is defeated at the Battle of the Waters of Merom with Yahweh's help. Hazor itself is then captured and destroyed. Chapter 11:16–23 summarises the extent of the conquest: Joshua has taken the entire land, almost entirely through military victories, with only the Gibeonites agreeing to peaceful terms with Israel. The land then "had rest from war" (Joshua 11:23, repeated at 14:15). Chapter 12 lists the vanquished kings on both sides of the Jordan River: the two kings who ruled east of the Jordan who were defeated under Moses' leadership (Joshua 12:1–6; cf. Numbers 21), and the 31 kings on the west of the Jordan who were defeated under Joshua's leadership (Joshua 12:7–24). The list of the 31 kings is quasi-tabular: "the king of Jerusalem, one; the king of Hebron, one"; "the king of Jarmuth, one; the king of Lachish, one"; (etc.; Joshua 12:10–11). Division of the land (chapters 13–22). Having described how the Israelites and Joshua have carried out the first of their God's commands, the narrative now turns to the second: to "put the people in possession of the land." Joshua is "old, advanced (or stricken) in years" by this time. This land distribution is a "covenantal land grant": Yahweh, as king, is issuing each tribe its territory. The "Cities of Refuge" and Levitical cities are attached to the end, since it is necessary for the tribes to receive their grants before they allocate parts of it to others. The Transjordanian tribes are dismissed, affirming their loyalty to Yahweh. The book reaffirms Moses' allocation of land east of the Jordan to the tribes of Reuben and Gad and the half-tribe of Manasseh, and then describes how Joshua divided the newly conquered land of Canaan into parcels, and assigned them to the tribes by lot. Joshua 14:1 also makes reference to the role of Eleazar the priest (ahead of Joshua) in the distribution process. The description serves a theological function to show how the promise of the land was realized in the biblical narrative; its origins are unclear, but the descriptions may reflect geographical relations among the places named. The wording of Joshua 18:1–4 suggests that the tribes of Reuben, Gad, Judah, Ephraim and Manasseh received their land allocation some time before the "remaining seven tribes", and a 21-member expedition set out to survey the remainder of the land with a view to organising the allocation to the tribes of Simeon, Benjamin, Asher, Naphtali, Zebulun, Issachar and Dan. Subsequently, 48 cities with their surrounding lands were allocated to the Tribe of Levi. Omitted in the Masoretic Text, but present in the Septuagint, is a statement that: By the end of chapter 21, the narrative records that the fulfilment of God's promise of land, rest and supremacy over the enemies of the Israelites was complete. The tribes to whom Moses had granted land east of the Jordan are authorized to return home to Gilead (here used in the widest sense for the whole Transjordan district), having faithfully 'kept the charge' of supporting the tribes occupying Canaan. They are granted "riches... with very much livestock, with silver, with gold, with bronze, with iron, and with very much clothing" as a reward. Joshua's farewell speeches (chapters 23–24). Joshua, in his old age and conscious that he is "going the way of all the earth", gathers the leaders of the Israelites together and reminds them of Yahweh's great works for them, and of the need to love Yahweh. The Israelites are told – just as Joshua himself had been told – that they must comply with "all that is written in the Book of the Law of Moses", neither "turn[ing] aside from it to the right hand or to the left" (i.e. by adding to the law, or diminishing from it). Joshua meets again with all the people at Shechem in chapter 24 and addresses them a second time. He recounts the history of God's formation of the Israelite nation, beginning with "Terah, the father of Abraham and Nahor, [who] lived beyond the Euphrates River and worshiped other gods." He invited the Israelites to choose between serving the Lord who had delivered them from Egypt, or the gods which their ancestors had served on the other side of the Euphrates, or the gods of the Amorites in whose land they now lived. The people chose to serve the Lord, a decision which Joshua recorded in the Book of the Law of God. He then erected a memorial stone "under the oak that was by the sanctuary of the Lord" in Shechem. The oak is associated with the Oak of Moreh where, during his travels in this area, Abram built an altar after the Lord appeared to him. Thus "Joshua made a covenant with the people", literally "cut a covenant", a phrase common to the Hebrew, Greek, and Latin languages. It derives from the custom of sacrifice, in which the victims were cut in pieces and offered to the deity invoked in ratification of the engagement. The people then returned to their inheritance, i.e., their allocated lands. Closing items. The Book of Joshua closes with three concluding items (referred to in the Jerusalem Bible as "Two Additions"): The death of Joshua and his burial at Timnath-serah The burial of the bones of Joseph at Shechem The death of Eleazar and his burial in land belonging to Phinehas in the mountains of Ephraim. There were no Levitical cities given to the descendants of Aaron in Ephraim, so theologians Carl Friedrich Keil and Franz Delitzsch supposed the land may have been at Geba in the territory of the Tribe of Benjamin: "the situation, 'upon the mountains of Ephraim', is not at variance with this view, as these mountains extended, according to Judges 4:5, etc., far into the territory of Benjamin". In some manuscripts and editions of the Septuagint, there is an additional verse relating to the apostasy of the Israelites after Joshua's death. Composition. Authorship and date. The Book of Joshua is an anonymous work. The Babylonian Talmud, written in the 3rd to 5th centuries AD, attributed it to Joshua himself, but this idea was rejected as untenable by John Calvin (1509–64), and by the time of Thomas Hobbes (1588–1679) it was recognised that the book must have been written much later than the period it depicted. There is now general agreement that it was composed as part of a larger work, the Deuteronomistic history, stretching from the Book of Deuteronomy to the Books of Kings, composed first at the court of king Josiah in the late 7th century BC, and extensively revised in the 6th century BC. Historicity. The prevailing scholarly view is that Joshua is not a factual account of historical events. The apparent setting of Joshua in the 13th century BC corroborates with the Bronze Age Collapse, which was indeed a time of widespread city-destruction. However, with a few exceptions (Hazor, Lachish), the destroyed cities are not the ones the Bible associates with Joshua, and the ones it does associate with him show little or no sign of even being occupied at the time. The archaeological evidence shows that Jericho and Ai were not occupied in the Near Eastern Late Bronze Age, although recent excavations at Jericho have questioned this. According to "Eerdmans Dictionary of the Bible", the story of the conquest represents the nationalist propaganda of the 8th-century BC kings of Judah and their claims to the territory of the Kingdom of Israel; incorporated into an early form of Joshua written late in the reign of king Josiah (reigned 640–609 BC). The Book of Joshua was probably revised and completed after the fall of Jerusalem to the Neo-Babylonian Empire in 586 BC, and possibly after the return from the Babylonian exile in 538 BC. In the 1930s Martin Noth made a sweeping criticism of the usefulness of the Book of Joshua for history. Noth was a student of Albrecht Alt, who emphasized form criticism (whose pioneer had been Hermann Gunkel in the 19th century) and the importance of etiology. Alt and Noth posited a peaceful movement of the Israelites into various areas of Canaan, in contradiction to the Biblical account. American archaeologist William F. Albright questioned the "tenacity" of etiologies, which were key to Noth's analysis of the campaigns in Joshua. The site of Et-Tell (identified as Ai) was first excavated by Judith Marquet-Krause. Her investigations in the 1930s showed that the city, an early target for conquest in the putative Joshua account, had existed and been destroyed, but in the 22nd century BC. Some alternate sites for Ai, such as Khirbet el-Maqatir or Khirbet Nisya, have been proposed which would partially resolve the discrepancy in dates, but these sites have not been widely accepted. In 1951, Kathleen Kenyon showed that City IV at Tell es-Sultan (Jericho) was destroyed at the end of the Middle Bronze Age (c. 2100–1550 BC), not during the Late Bronze Age (c. 1550–1200 BC). Kenyon argued that the early Israelite campaign could not be historically corroborated, but rather explained as an etiology of the location and a representation of the Israelite settlement. Although this destruction is dated to 16th century by carbon dating, scholars propose that this destruction could be ascribed to either Ahmose I (1549–1524 BC), whose royal signet was found in the necropolis in a slightly later LB I tomb, or Tuthmose III (1479–1425 BC), whose scarab was recovered from a cemetery northwest of Jericho. More recently, Lorenzo Nigro of the Italian-Palestinian Expedition to Tell es-Sultan has argued that there was a later settlement (City V) at the site during the 14th and 13th centuries BC. He states that the expedition detected Late Bronze Age II layers in several parts of the tell, although its upper layers were heavily cut by leveling operations during the Iron Age, which explains the low amount of 13th-century materials. Nigro says that the idea that the Biblical account should have a literal archaeological correspondence is erroneous, and "any attempt to seriously identify something on the ground with biblical personages and their acts" is hazardous. In 1955, G. Ernest Wright discussed the correlation of archaeological data to the early Israelite campaigns, which he divided into three phases per the Book of Joshua. He pointed to two sets of archaeological findings that "seem to suggest that the biblical account is in general correct regarding the nature of the late thirteenth and twelfth-eleventh centuries in the country" (i.e., "a period of tremendous violence"). He gives particular weight to what were then recent digs at Hazor by Yigael Yadin. Archaeologist Amnon Ben-Tor of the Hebrew University of Jerusalem, who replaced Yadin as the supervisor of excavations at Hazor in 1990, believed that recently unearthed evidence of violent destruction by burning verifies the Biblical account of the city's conquest by the Israelites. In 2012, a team led by Ben-Tor and Sharon Zuckerman discovered a scorched palace from the 13th century BC in whose storerooms they found 3,400-year-old ewers holding burned crops. Sharon Zuckerman did not agree with Ben-Tor's theory, and claimed that the burning was the result of the city's numerous factions opposing each other with excessive force. In her commentary for the "Westminster Bible Companion series," Carolyn Pressler suggested that readers of Joshua should give priority to its theological message ("what passages teach about God") and be aware of what these would have meant to audiences in the 7th and 6th centuries BC. Richard Nelson explained that the needs of the centralised monarchy favoured a single story of origins, combining old traditions of an exodus from Egypt, belief in a national god as "divine warrior," and explanations for ruined cities, social stratification and ethnic groups, and contemporary tribes. Lester L. Grabbe states that when he was studying for his doctorate (more than three decades before 2007), the "substantial historicity" of the Bible's stories of the patriarchs and the conquest of Canaan was widely accepted, but today it is hard to find a historian who still believes in it. Ann E. Killebrew writes that, while archaeological findings at Hazor and the Mount Ebal altar and a few literary elements suggest that the Book of Joshua may preserve some real memories of Israel's early history in Canaan, "consensus exists that, whatever its sources (either oral and/or written), the conquest account as narrated is historically problematic and should be treated with caution." In 2005, Pierre de Miroschedji published an article in the journal "La Recherche". He wrote: The consensus of historians is that the ancient Israelites did not enter Canaan from outside and did not conquer it in a military campaign. Manuscripts. Fragments of Joshua dating to the Hasmonean period were found among the Dead Sea Scrolls (4QJosha and 4QJoshb, found in Qumran Cave 4). The Septuagint (Greek translation) is found in manuscripts such as Washington Manuscript I (5th century AD), and a reduced version of the Septuagint text is found in the illustrated Joshua Roll. The earliest complete copy of the book in Hebrew is in the Aleppo Codex (10th century AD). Themes. Faith and wrath. The overarching theological theme of the Deuteronomistic history is faithfulness and God's mercy, and their opposites, faithlessness and God's wrath. In the Book of Judges, the Books of Samuel, and the Books of Kings, the Israelites become faithless and God ultimately shows his anger by sending his people into exile. But in Joshua Israel is obedient, Joshua is faithful, and God fulfills his promise and gives them the land as a result. Yahweh's war campaign in Canaan validates Israel's entitlement to the land and provides a paradigm of how Israel was to live there: twelve tribes, with a designated leader, united by covenant in warfare and in worship of Yahweh alone at a single sanctuary, all in obedience to the commands of Moses as found in the Book of Deuteronomy. God and Israel. The Book of Joshua takes forward Deuteronomy's theme of Israel as a single people worshipping Yahweh in the land God has given them. Yahweh, as the main character in the book, takes the initiative in conquering the land, and Yahweh's power wins the battles. For example, the walls of Jericho fall because Yahweh fights for Israel, not because the Israelites show superior fighting ability. The potential disunity of Israel is a constant theme, the greatest threat of disunity coming from the tribes east of the Jordan. Chapter 22:19 even hints that the land across the Jordan is unclean and that the tribes who live there have secondary status. Land. Land is the central topic of Joshua. The introduction to Deuteronomy recalled how Yahweh had given the land to the Israelites but then withdrew the gift when Israel showed fear and only Joshua and Caleb had trusted in God. The land is Yahweh's to give or to withhold, and the fact that he has promised it to Israel gives Israel an inalienable right to take it. For exilic and post-exilic readers, the land was both the sign of Yahweh's faithfulness and Israel's unfaithfulness, as well as the centre of their ethnic identity. In Deuteronomistic theology, "rest" meant Israel's unthreatened possession of the land, the achievement of which began with the conquests of Joshua. The enemy. Joshua "carries out a systematic campaign against the civilians of Canaan – men, women and children – that amounts to genocide." This practice was known as "herem", as described in Deuteronomy 20:17, which entailed no treaties with the enemy, no mercy, and no intermarriage. "The extermination of the nations glorifies Yahweh as a warrior and promotes Israel's claim to the land," while their continued survival "explores the themes of disobedience and penalty and looks forward to the story told in Judges and Kings." The divine call for massacre at Jericho and elsewhere can be explained in terms of cultural norms (Israel was not the only Iron Age state to practice "herem") and theology (e.g. to ensure Israel's purity, fulfill God's promise, judge the Canaanites for their "sexual misconduct"). Patrick D. Miller in his commentary on Deuteronomy, writes that "there is no real way to make such reports palatable to the hearts and minds of contemporary readers and believers," and that the "tension between the Israelites and its neighbors was fundamentally a religious conflict," writing further for the need to understand what the reports teach "so that they make some sense to us in the whole." Miller writes further that the "Deuteronomistic history in Joshua through Second Kings is a story of constant or recurring apostasy" and that for the Israelites, maintaining their allegiance with Yahweh "required, in their sight, removal of all temptation." Nissim Amzallag sees similarities between Joshua's conquest and the return of Judean exiles in Ezra-Nehemiah but compared to the former, the Judeans merely refrained from intermarrying the "Canaanites". These "Canaanites" were most likely non-exiled Judeans, who were contaminated with "foreign influence". Obedience. Obedience versus disobedience is a constant theme of the work. Obedience ties in the Jordan crossing, the defeat of Jericho and Ai, circumcision and Passover, and the public display and reading of the Law. Disobedience appears in the story of Achan (stoned for violating the "herem" command), the Gibeonites, and the altar built by the Transjordan tribes. Joshua's two final addresses challenge the Israel of the future (the readers of the story) to obey the most important command of all, to worship Yahweh and no other gods. Joshua thus illustrates the central Deuteronomistic message, that obedience leads to success and disobedience to ruin. Moses, Joshua and Josiah. The Deuteronomistic history draws parallels in proper leadership between Moses, Joshua and Josiah. God's commission to Joshua in chapter 1 is framed as a royal installation. The people's pledge of loyalty to Joshua as the successor of Moses recalls royal practices. The covenant-renewal ceremony led by Joshua was the prerogative of the kings of Judah. God's command to Joshua to meditate on the "book of the law" day and night parallels the description of Josiah in 2 Kings 23:25 as a king uniquely concerned with the study of the law. The two figures had identical territorial goals; Josiah died in 609 BC while attempting to annex the former Israel to his own kingdom of Judah. Some of the parallels with Moses can be seen in the following, and not exhaustive, list: Moral and political interpretations. The Book of Joshua deals with the conquest of the Land of Israel and its settlement, which are politically charged issues in Israeli society. In her article "The Rise and Fall of the Book of Joshua in Public Education in the Light of Ideological Changes in Israeli Society," Israeli biblical scholar Leah Mazor analyzes the history of the book and reveals a complex system of references to it expressed in a wide range of responses, often extreme, moving from narrow-minded admiration, through embarrassment and thunderous silence to a bitter and poignant critique. The changes in the status of the Book of Joshua, she shows, are the manifestations of the ongoing dialogue that Israeli society has with its cultural heritage, with its history, with the Zionist idea, and with the need to redefine its identity. David Ben-Gurion saw in the war narrative of Joshua an ideal basis for a unifying national myth for the State of Israel, framed against a common enemy, the Arabs. He met with politicians and scholars such as Biblical scholar Shemaryahu Talmon to discuss Joshua's supposed conquests and later published a book of the meeting transcripts; in a lecture at Ben-Gurion's home, archaeologist Yigael Yadin argued for the historicity of the Israelite military campaign pointing to the conquests of Hazor, Bethel, and Lachish. Palestinian writer Nur Masalha claimed that Zionism had presented the 1948 Arab-Israeli War (which saw the creation of the State of Israel) as a "miraculous" clearing of the land based on Joshua, and the Bible as a mandate for the expulsion of the Palestinians. The biblical narrative of conquest has been used as an apparatus of critique against Zionism. For example, Michael Prior criticizes the use of the campaign in Joshua to favor "colonial enterprises" (in general, not only Zionism), which have been interpreted as validating ethnic cleansing. He asserts that the Bible was used to make the mistreatment of Palestinians more morally palatable. A related moral condemnation can be seen in "The political sacralization of imperial genocide: contextualizing Timothy Dwight's "The Conquest of Canaan"" by Bill Templer. This kind of critique is not new; Jonathan Boyarin notes how Frederick W. Turner blamed Israel's monotheism for the very idea of genocide, which Boyarin found "simplistic" yet with precedents. In her tenure as Minister of Education, Israeli leftist politician Shulamit Aloni often complained about the centrality of the book of Joshua in the curricula, as opposed to the secondaryness of humane and universal principles found in the Books of the Prophets. Her attempt to change the Bible study program was unsuccessful. Harvard Bible professor and conservative Rabbi Shaye J. D. Cohen stated he is not happy with the genocide chapters being part of the Torah, and he would remove those from it, if it were his choice.
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Book of Ezra
The Book of Ezra is a book of the Hebrew Bible which formerly included the Book of Nehemiah in a single book, commonly distinguished in scholarship as Ezra–Nehemiah. The two became separated with the first printed rabbinic bibles of the early 16th century, following late medieval Latin Christian tradition. Composed in Hebrew and Aramaic, its subject is the Return to Zion following the close of the Babylonian captivity. Together with the Book of Nehemiah, it represents the final chapter in the historical narrative of the Hebrew Bible. The Book of Ezra is divided into two parts: the first telling the story of the first return of exiles in the first year of Cyrus the Great (538 BC) and the completion and dedication of the new Temple in Jerusalem in the sixth year of Darius I (515 BC); the second telling of the subsequent mission of Ezra to Jerusalem and his struggle to purify the Jews from marriage with non-Jews. In the book's recurring narrative pattern, the God of Israel three times inspires a king of Persia to commission a leader from among the Jews to carry out a mission: the first to rebuild the Temple, the second to purify the Jewish community, and the third to seal the holy city behind a wall. This third mission, that of Nehemiah, is not part of the Book of Ezra. There is no historical consensus on Ezra's existence or mission due to a lack of extrabiblical evidence and conflicting scholarly interpretations, ranging from viewing him as a historical Aramean official to a literary figure, with debates hinging on the authenticity of the Artaxerxes rescript and its dating. Summary. The Book of Ezra consists of ten chapters: chapters 1–6, covering the period from the decree of Cyrus the Great to the dedication of the Second Temple, are told in the third person. Chapters 7–10, dealing with the mission of Ezra, are told largely in the first person. The book contains several documents presented as historical inclusions, written in Aramaic while the surrounding text is in Hebrew (1:2–4, 4:8–16, 4:17–22, 5:7–17, 6:3–5, 6:6–12, 7:12–26) Historical background. In the early 6th century BC, the Kingdom of Judah rebelled against the Neo-Babylonian Empire and was destroyed. As a result, the royal court, the priests, the prophets, and the scribes were taken into captivity in the city of Babylon. There, a profound intellectual revolution took place, the exiles blaming their fate on disobedience to their God and looking forward to a future when he would allow a purified people to return to Jerusalem and rebuild the Temple in Jerusalem. The same period saw the rapid rise of Persia, previously an unimportant kingdom in present-day southern Iran, to a position of great power, and in 539 BC Cyrus II, the Persian ruler, conquered Babylon. It is difficult to describe the parties and politics of Judea in this period because of the lack of historical sources, but there seem to have been three important groups involved: the returnees from the exile who claimed the reconstruction with the support of Cyrus II; "the adversaries of Judah and Benjamin"; and a third group, "people of the land", who seem to be local opposition against the returnees building the Temple in Jerusalem. The following table is a guide to major events in the region during the period covered by the Book of Ezra: Texts. Ezra–Nehemiah. The single Hebrew book Ezra–Nehemiah, with title "Ezra", was translated into Greek around the middle of the 2nd century BC. The Septuagint names Ezra–Nehemiah and 1 Esdras Esdras B and A respectively. This usage is noted by the early Christian scholar Origen, who remarked that the Hebrew 'book of Ezra' might then be considered a 'double' book. Jerome, writing in the early 5th century, noted that this duplication had since been adopted by Greek and Latin Christians. Jerome himself rejected the duplication in his Vulgate translation of the Bible into Latin from the Hebrew. Consequently, all early Vulgate manuscripts present Ezra-Nehemiah as a single book. From the 9th century onwards, Latin bibles are found that for the first time separate the Ezra and Nehemiah sections of Ezra-Nehemiah as two distinct books, then called the first and second books of Ezra. This becomes standard in the Paris Bibles of the 13th century. It was not until 1516/17, in the first printed Rabbinic Bible of Daniel Bomberg that the separation was introduced generally in Hebrew Bibles. First Esdras. 1 Esdras, also known as "Esdras α", is an alternate Greek-language version of Ezra. This text has one additional section, the 'Tale of the Three Guardsmen' in the middle of Ezra 4. 1 Esdras (3 Esdras in the Vulgate) was considered apocryphal by Jerome. Date, structure and composition. Date. Koresh of Ezra 1:1 is called "king of Persia" (מלך פרס "Melekh Pāras"); the title was introduced by Cyrus the Great sometime after he defeated Astyages of Media (585–550 BC). Scholars are divided over the chronological sequence of the activities of Ezra and Nehemiah. Ezra 7:8 says that Ezra arrived in Jerusalem in the seventh year of King Artaxerxes, while Nehemiah 2:1–9 has Nehemiah arriving in Artaxerxes' twentieth year. If this was Artaxerxes I (465–424 BC), then Ezra arrived in 458 and Nehemiah in 445 BC. Nehemiah 8–9, in which the two (possibly by editorial error) appear together, supports this scenario. Structure. The contents of Ezra–Nehemiah are structured in a theological rather than chronological order: "The Temple must come first, then the purifying of the community, then the building of the outer walls of the city, and so finally all could reach a grand climax in the reading of the law." The narrative follows a repeating pattern in which the God of Israel "stirs up" the king of Persia to commission a Jewish leader (Zerubbabel, Ezra, Nehemiah) to undertake a mission; the leader completes his mission in the face of opposition, and success is marked by a great assembly. The tasks of the three leaders are progressive: first the Temple is restored (Zerubabbel), then the community of Israel (Ezra), and finally the walls which will separate the purified community and Temple from the outside world (Nehemiah). The pattern is completed with a final coda in which Nehemiah restores belief in Yahweh. This concern with a schematic pattern-making, rather than with history in the modern sense of a factual account of events in the order in which they occurred, explains the origin of the many problems which surround both Ezra and Nehemiah as historical sources. Composition. Twentieth-century views on the composition of Ezra revolved around whether the author was Ezra himself, and who may have also authored the Books of Chronicles, or was another author or authors who also wrote the Chronicles. More recently it has been increasingly recognised that Ezra, Nehemiah and Chronicles all have extremely complex histories stretching over many stages of editing, and most scholars now are cautious of assuming a unified composition with a single theology and point of view. As an indication of the many layers of editing which Ezra has undergone, one recent study finds that Ezra 1–6 and Ezra 9–10 were originally separate documents, that they were spliced together at a later stage by the authors of Ezra 7–8, and that all have undergone extensive later editing. Tamara Cohn Eskenazi argues that the final composition of Ezra took place during the late Persian period (c. 370–350 BCE), with some small additions from the Hellenistic period. She states that the language and ideology of the book seem to best fit within a Persian-period context. Manuscripts. The oldest surviving manuscript of Ezra is 4QEzra, also called 4Q117; it contains Ezra 4:2–6, 9–11; 5:17; 6:1–5. It dates to the Hasmonean period (140–37 BC). A 7th-century Egyptian ostracon contains a fragmentary text of the Septuagint (Greek translation): 1 Esdras 2:10, 9:21–24. A Vulgar Latin translation is found in the Codex Amiatinus (8th century). The Hebrew text in full is found in the Aleppo Codex (10th century) and Leningrad Codex (11th century). Persian documents. Seven purported Persian decrees of kings or letters to and from high officials are quoted in Ezra. Their authenticity has been contentious. While some scholars accept them in their current form, most accept only part of them as genuine, while still others reject them entirely. L.L. Grabbe surveyed six tests against which the documents can be measured (comparative known Persian material, linguistic details, contents, presence of Jewish theology, the Persian attitude to local religions, and Persian letter-writing formulas) and concluded that all the documents are late post-Persian works and probable forgeries, but that some features suggest a genuine Persian correspondence behind some of them. By contrast, Richard C. Steiner and H. G. M. Williamson argue that the linguistic and other evidence suggests that the documents are authentic. External links. Commentaries Translations
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Book of Daniel
The Book of Daniel is a 2nd-century BC biblical apocalypse with a 6th-century BC setting. It is ostensibly a narrative detailing the experiences and prophetic visions of Daniel, a Jewish exile in Babylon. The text features prophecy rooted in Jewish history as well as a portrayal of the end times that is cosmic in scope and political in its focus. The message of the text intended for the original audience was that just as the God of Israel saves Daniel from his enemies, so too he would save the Israelites in their present oppression. The Hebrew Bible includes Daniel as one of the Ketuvim, while Christian biblical canons group the work with the major prophets. It divides into two parts: a set of six court tales in chapters 1–6, written mostly in Biblical Aramaic, and four apocalyptic visions in chapters 7–12, written mainly in Late Biblical Hebrew; the Septuagint contains three additional sections in Koine Greek: the Prayer of Azariah and Song of the Three Holy Children, Susanna, and Bel and the Dragon. The book's themes have resonated throughout the ages, including with the community of the Dead Sea Scrolls and the authors of the canonical gospels and the Book of Revelation. From the 2nd century to the modern era, religious movements, including the Reformation and later millennialist movements, have been deeply influenced by it. Structure. Divisions. The Book of Daniel is divided between the court tales of chapters 1–6 and the apocalyptic visions of 7–12, and between the Hebrew of chapters 1 and 8–12 and the Aramaic of chapters 2–7. The division is reinforced by the chiastic arrangement of the Aramaic chapters (see below), and by a chronological progression in chapters 1–6 from Babylonian to Median rule, and from Babylonian to Persian rule in chapters 7–12. Various suggestions have been made by scholars to explain the fact that the genre division does not coincide with the other two, but it appears that the language division and concentric structure of chapters 2–6 are artificial literary devices designed to bind the two halves of the book together. The following outline is provided by Collins in his commentary on Daniel: PART I: Tales (chapters 1:1–6:29) PART II: Visions (chapters 7:1–12:13) Chiastic structure in the Aramaic section. There is a recognised chiasm (a concentric literary structure in which the main point of a passage is placed in the centre and framed by parallel elements on either side in "ABBA" fashion) in the chapter arrangement of the Aramaic section. The following is taken from Paul Redditt's "Introduction to the Prophets": Content. Introduction in Babylon (chapter 1). In the third year of King Jehoiakim, God allows Jerusalem to fall into the power of Nebuchadnezzar II, king of Babylon. Young Israelites of noble and royal family, "without physical defect, and handsome," versed in wisdom and competent to serve in the palace of the king, are taken to Babylon to be taught the literature and language of that nation. Among them are Daniel and his three companions, who refuse to touch the royal food and wine. Their overseer fears for his life in case the health of his charges deteriorates, but Daniel suggests a trial and the four emerge healthier than their counterparts from ten days of consuming nothing but vegetables and water. They are allowed to continue to refrain from eating the king's food, and to Daniel, God gives insight into visions and dreams. When their training is done Nebuchadnezzar finds them 'ten times better' than all the wise men in his service and therefore keeps them at his court, where Daniel continues until the first year of King Cyrus. Nebuchadnezzar's dream of four kingdoms (chapter 2). In the second year of his reign, Nebuchadnezzar has a dream. When he wakes up, he realizes that the dream has some important message, so he consults his wise men. Wary of their potential to fabricate an explanation, the king refuses to tell the wise men what he saw in his dream. Rather, he demands that his wise men tell him what the content of the dream was, and then interpret it. When the wise men protest that this is beyond the power of any man, he sentences all, including Daniel and his friends, to death. Daniel receives an explanatory vision from God: Nebuchadnezzar had seen an enormous statue with a head of gold, breast and arms of silver, belly and thighs of bronze, legs of iron, and feet of mixed iron and clay, then saw the statue destroyed by a rock that turned into a mountain filling the whole earth. Daniel explains the dream to the king: the statue symbolized four successive kingdoms, starting with Nebuchadnezzar, all of which would be crushed by God's kingdom, which would endure forever. Nebuchadnezzar acknowledges the supremacy of Daniel's god, raises Daniel over all his wise men, and places Daniel and his companions over the province of Babylon. The fiery furnace (chapter 3). Daniel's companions Shadrach, Meshach, and Abednego refuse to bow to King Nebuchadnezzar's golden statue and are thrown into a fiery furnace. Nebuchadnezzar is astonished to see a fourth figure in the furnace with the three, one "with the appearance like a son of the gods." So the king calls the three to come out of the fire, blesses the God of Israel, and decrees that any who blaspheme against him shall be torn limb from limb. Nebuchadnezzar's madness (chapter 4). Nebuchadnezzar recounts a dream of a huge tree that is suddenly cut down at the command of a heavenly messenger. Daniel is summoned and interprets the dream. The tree is Nebuchadnezzar himself, who for seven years will lose his mind and live like a wild beast. All of this comes to pass until, at the end of the specified time, Nebuchadnezzar acknowledges that "heaven rules" and his kingdom and sanity are restored. Belshazzar's feast (chapter 5). Belshazzar and his nobles blasphemously drink from sacred Jewish temple vessels, offering praise to inanimate gods, until a mysterious hand suddenly appears and writes upon the wall. The horrified king summons Daniel, who upbraids him for his lack of humility before God and interprets the message: Belshazzar's kingdom will be given to the Medes and Persians. Belshazzar rewards Daniel and raises him to be third in the kingdom, and that very night Belshazzar is slain and Darius the Mede takes the kingdom. Daniel in the lions' den (chapter 6). Darius elevates Daniel to high office, exciting the jealousy of other officials. Knowing of Daniel's devotion to his God, his enemies trick the king into issuing an edict forbidding worship of any other god or man for a 30-day period. Daniel continues to pray three times a day to God towards Jerusalem; he is accused and King Darius, forced by his own decree, throws Daniel into the lions' den. But God shuts up the mouths of the lions, and the next morning Darius rejoices to find him unharmed. The king casts Daniel's accusers into the lions' pit together with their wives and children to be instantly devoured, while he himself acknowledges Daniel's God as he whose kingdom shall never be destroyed. Vision of the beasts from the sea (chapter 7). In the first year of Belshazzar Daniel has a dream of four monstrous beasts arising from the sea. The fourth, a beast with ten horns, devours the whole earth, treading it down and crushing it, and a further small horn appears and uproots three of the earlier horns. The Ancient of Days judges and destroys the beast, and "one like a son of man" is given everlasting kingship over the entire world. One of Daniel's attendants explains that the four beasts represent four kings, but that "the holy ones of the Most High" would receive the everlasting kingdom. The fourth beast would be a fourth kingdom with ten kings, and another king who would pull down three kings and make war on the "holy ones" for "a time, two times and a half," after which the heavenly judgment will be made against him and the "holy ones" will receive the everlasting kingdom. Vision of the ram and goat (chapter 8). In the third year of Belshazzar Daniel has a vision of a ram and goat. The ram has two mighty horns, one longer than the other, and it charges west, north and south, overpowering all other beasts. A goat with a single horn appears from the west and destroys the ram. The goat becomes very powerful until the horn breaks off and is replaced by four lesser horns. A small horn that grows very large, it stops the daily temple sacrifices and desecrates the sanctuary for two thousand three hundred "evenings and mornings" (which could be either 1,150 or 2,300 days) until the temple is cleansed. The angel Gabriel informs him that the ram represents the Medes and Persians, the goat is Greece, and the "little horn" is a wicked king. Vision of the Seventy Weeks (chapter 9). In the first year of Darius the Mede, Daniel meditates on the word of Jeremiah that the desolation of Jerusalem would last seventy years; he confesses the sin of Israel and pleads for God to restore Israel and the "desolated sanctuary" of the Temple. The angel Gabriel explains that the seventy years stand for seventy "weeks" of years (490 years), during which the Temple will first be restored, then later defiled by a "prince who is to come," "until the decreed end is poured out." Vision of the kings of north and south (chapters 10–12). Daniel 10: In the third year of Cyrus Daniel sees in his vision an angel (called "a man", but clearly a supernatural being) who explains that he is in the midst of a war with the "prince of Persia", assisted only by Michael, "your prince." The "prince of Greece" will shortly come, but first he will reveal what will happen to Daniel's people. Daniel 11: A future king of Persia will make war on the king of Greece, a "mighty king" will arise and wield power until his empire is broken up and given to others, and finally the king of the south (identified in verse 8 as Egypt) will go to war with the "king of the north." After many battles (described in great detail) a "contemptible person" will become king of the north; this king will invade the south two times, the first time with success, but on his second he will be stopped by "ships of Kittim." He will turn back to his own country, and on the way his soldiers will desecrate the Temple, abolish the daily sacrifice, and set up the abomination of desolation. He will defeat and subjugate Libya and Egypt, but "reports from the east and north will alarm him," and he will meet his end "between the sea and the holy mountain." Daniel 12: At this time Michael will come. It will be a time of great distress, but all those whose names are written will be delivered. "Multitudes who sleep in the dust of the earth will awake, some to everlasting life, others to shame and everlasting contempt; those who are wise will shine like the brightness of the heavens, and those who lead many to righteousness, like the stars for ever and ever." In the final verses the remaining time to the end is revealed: "a time, times and half a time" (three years and a half). Daniel fails to understand and asks again what will happen, and is told: "From the time that the daily sacrifice is abolished and the abomination that causes desolation is set up, there will be 1,290 days. Blessed is the one who waits for and reaches the end of the 1,335 days." Additions to Daniel (Greek text tradition). The Greek text of Daniel is considerably longer than the Hebrew, due to three additional stories: they remain in Catholic and Orthodox Christian Bibles but were rejected by the Christian Protestant movement in the 16th century on the basis that they were absent from the Hebrew Bible. The Book of Daniel is preserved in the 12-chapter Masoretic Text and in two longer Greek versions, the original Septuagint version, , and the later Theodotion version from . Both Greek texts contain the three additions to Daniel. Theodotion is much closer to the Masoretic Text and became so popular that it replaced the original Septuagint version in all but two manuscripts of the Septuagint itself. The Greek additions were apparently never part of the Hebrew text. Several Old Greek texts of the Book of Daniel have been discovered, and the original form of the book is being reconstructed. Historical background. The visions of chapters 7–12 reflect the crisis which took place in Judea in 167–164 BC when Antiochus IV Epiphanes, the Greek king of the Seleucid Empire, threatened to destroy traditional Jewish worship in Jerusalem. When Antiochus came to the throne in 175 BC the Jews were largely pro-Seleucid. The High Priestly family was split by rivalry, and one member, Jason, offered the king a large sum to be made High Priest. Jason also asked—or more accurately, paid—to be allowed to make Jerusalem a "polis", or Greek city. This meant, among other things, that city government would be in the hands of the citizens, which meant in turn that citizenship would be a valuable commodity, to be purchased from Jason. None of this threatened the Jewish religion, and the reforms were widely welcomed, especially among the Jerusalem aristocracy and the leading priests. Three years later Jason was deposed when another priest, Menelaus, offered Antiochus an even larger sum for the post of High Priest. Antiochus invaded Egypt twice, in 169 BC with success, but on the second incursion, in late 168 BC, he was forced to withdraw by the Romans. Jason, hearing a rumour that Antiochus was dead, attacked Menelaus to take back the High Priesthood. Antiochus drove Jason out of Jerusalem, plundered the Temple, and introduced measures to pacify his Egyptian border by imposing complete Hellenization: the Jewish Book of the Law was prohibited and on 15 December 167 BC an "abomination of desolation", probably a Greek altar, was introduced into the Temple. With the Jewish religion now clearly under threat a resistance movement sprang up, led by the Maccabee brothers, and over the next three years it won sufficient victories over Antiochus to take back and purify the Temple. The crisis which the author of Daniel addresses is the defilement of the altar in Jerusalem in 167 BC (first introduced in chapter 8:11): the daily offering which used to take place twice a day, at morning and evening, stopped, and the phrase "evenings and mornings" recurs through the following chapters as a reminder of the missed sacrifices. But whereas the events leading up to the sacking of the Temple in 167 BC and the immediate aftermath are remarkably accurate, the predicted war between the Syrians and the Egyptians (11:40–43) never took place, and the prophecy that Antiochus would die in Palestine (11:44–45) was inaccurate (he died in Persia). The most probable conclusion is that the account must have been completed near the end of the reign of Antiochus but before his death in December 164 BC, or at least before news of it reached Jerusalem, and the consensus of modern scholarship is accordingly that the book dates to the period 167–163 BC. Composition. Development. It is generally accepted that Daniel originated as a collection of Aramaic court tales, later expanded by Hebrew revelations. The court tales may have originally circulated independently, but the edited collection was probably composed in the third or early second-century BC. Chapter 1 was composed in Aramaic at this time as a brief introduction to provide historical context, introduce the characters of the tales, and explain how Daniel and his friends came to Babylon. The visions of chapters 7–12 were added, and chapter 1 was translated into Hebrew at the third stage when the final book was being drawn together. This final stage, marking the composition of the book of Daniel, took place between the desecration of the Temple by Antiochus IV Epiphanes in 167 and his death in 164 BC. Authorship. Daniel is a product of "Wisdom" circles, but the type of wisdom is (i.e., the discovery of heavenly secrets from earthly signs) rather than the wisdom of learning—the main source of wisdom in Daniel is God's revelation. It is one of a large number of Jewish apocalypses, all of them pseudonymous. The stories of the first half are legendary in origin, and the visions of the second the product of anonymous authors in the Maccabean period (2nd century BC). Chapters 1–6 are in the voice of an anonymous narrator, except for chapter 4 which is in the form of a letter from king Nebuchadnezzar; the second half (chapters 7–12) is presented by Daniel himself, introduced by the anonymous narrator in chapters 7 and 10. The author/editor was probably an educated Jew, knowledgeable in Greek learning, and of high standing in his own community. It is possible that the name of Daniel was chosen as the hero of the book because of his reputation as a wise seer in Hebrew tradition. Ezekiel, who lived during the Babylonian exile, mentioned him in association with Noah and Job (Ezekiel 14:14) as a figure of legendary wisdom (28:3), and a hero named Daniel (more accurately Dan'el, but the spelling is close enough for the two to be regarded as identical) features in a late 2nd millennium myth from Ugarit. "The legendary Daniel, known from long ago but still remembered as an exemplary character ... serves as the principal human 'hero' in the biblical book that now bears his name"; Daniel is the wise and righteous intermediary who can interpret dreams and thus convey the will of God to humans, the recipient of visions from on high that are interpreted to him by heavenly intermediaries. Dating. The prophecies of Daniel are accurate down to the career of Antiochus IV Epiphanes, king of Syria and oppressor of the Jews, but not in its prediction of his death: the author seems to know about Antiochus' two campaigns in Egypt (169 and 167 BC), the desecration of the Temple (the "abomination of desolation"), and the fortification of the Akra (a fortress built inside Jerusalem), but he seems to know nothing about the reconstruction of the Temple or about the actual circumstances of Antiochus' death in late 164 BC. Chapters 10–12 must have been written between 167 and 164 BC. There is no evidence of a significant time lapse between those chapters and chapters 8 and 9, and chapter 7 may have been written just a few months earlier again. Some evidence of the book's date can be found in the fact that Daniel is not present in the Hebrew Bible's Nevi'im (wherein it might arguably be expected to fit), which was closed . Rather, Daniel forms a part of the Ketuvim ('Writings') also formed . Additionally, the Wisdom of Sirach, a work dating from , draws on almost every book of the Hebrew Bible except Daniel, leading scholars to suppose that its author was unaware of it, Daniel is, however, quoted in a section of the Sibylline Oracles commonly dated to the middle of the 2nd century BC, and was popular at Qumran at much the same time, suggesting that it was known from the middle of that century. Manuscripts. The Book of Daniel is preserved in the 12-chapter Masoretic Text and in two longer Greek versions, the original Septuagint version, c. 100 BC, and the later Theodotion version from c. 2nd century AD. Both Greek texts contain three additions to Daniel: The Prayer of Azariah and Song of the Three Holy Children; the story of Susannah and the Elders; and the story of Bel and the Dragon. Theodotion is much closer to the Masoretic Text and became so popular that it replaced the original Septuagint version in all but two manuscripts of the Septuagint itself. The Greek additions were apparently never part of the Hebrew text. Eight copies of the Book of Daniel, all incomplete, have been found at Qumran, two in Cave 1, five in Cave 4, and one in Cave 6. Among them, they preserve text from eleven of Daniel's twelve chapters, and the twelfth is quoted in the Florilegium (a compilation scroll) 4Q174, showing that the book at Qumran did not lack this conclusion. All eight manuscripts were copied between 125 BC (4QDanc) and about 50 AD (4QDanb), showing that Daniel was being read at Qumran only about 40 years after its composition. All appear to preserve the 12-chapter Masoretic version rather than the longer Greek text. None reveal any major disagreements against the Masoretic, and the four scrolls that preserve the relevant sections (1QDana, 4QDana, 4QDanb, and 4QDand) all follow the bilingual nature of Daniel where the book opens in Hebrew, switches to Aramaic at 2:4b, then reverts to Hebrew at 8:1. A 2025 study published a series of radiocarbon tests which dated 4Q114, a manuscript preserving Daniel 8–11, to about 230–160 BC. This estimated date range overlaps with the period in which the final part of Daniel was presumably composed. Genre, meaning, symbolism and chronology. "(This section deals with modern scholarly reconstructions of the meaning of Daniel to its original authors and audience)" Genre. The Book of Daniel is an apocalypse, a literary genre in which a heavenly reality is revealed to a human recipient; such works are characterized by visions, symbolism, an other-worldly mediator, an emphasis on cosmic events, angels and demons, and pseudonymity (false authorship). The production of apocalypses occurred commonly from 300 BC to 100 AD, not only among Jews and Christians, but also among Greeks, Romans, Persians and Egyptians, and Daniel is a representative apocalyptic seer, the recipient of divine revelation: he has learned the wisdom of the Babylonian magicians and surpassed them because his God is the true source of knowledge; he is one of the "maskilim" (משכלים), the wise ones, who have the task of teaching righteousness and whose number may be considered to include the authors of the book itself. The book is also an eschatology, as the divine revelation concerns the end of the present age, a predicted moment in which God will intervene in history to usher in the final kingdom. It gives no real details of the end-time, but it seems that God's kingdom will be on this earth, that it will be governed by justice and righteousness, and that the tables will be turned on the Seleucids and those Jews who have cooperated with them. Meaning, symbolism, and chronology. The message of the Book of Daniel is that, just as the God of Israel saved Daniel and his friends from their enemies, he would save all of Israel from their present oppression. The book is filled with monsters, angels, and numerology, drawn from a wide range of sources, both biblical and non-biblical, that would have had meaning in the context of 2nd-century Jewish culture and while Christian interpreters have always viewed these as predicting events in the New Testament—"the Son of God", "the Son of Man", Christ and the Antichrist—the book's intended audience is the Jews of the 2nd century BC. The following explains a few of these predictions as modern biblical scholars understand them. Influence. The concepts of immortality and resurrection, with rewards for the righteous and punishment for the wicked, have roots much deeper than Daniel, but the first clear statement is found in the final chapter of that book: "Many of those who sleep in the dust of the earth shall awake, some to everlasting life, and some to everlasting shame and contempt." According to Daniel R. Schwartz, without the claim of the resurrection of Jesus, Christianity would have disappeared like the movements following other charismatic Jewish figures of the 1st century. Daniel was quoted and referenced by both Jews and Christians in the 1st century AD as predicting the imminent end-time. Moments of national and cultural crisis continually reawakened the apocalyptic spirit, through the Montanists of the 2nd/3rd centuries, persecuted for their millennialism, to the more extreme elements of the 16th-century Reformation such as the Zwickau prophets and the Münster Rebellion. During the English Civil War, the Fifth Monarchy Men took their name and political program from Daniel 7, demanding that Oliver Cromwell allow them to form a "government of saints" in preparation for the coming of the Messiah; when Cromwell refused, they identified him instead as the Beast usurping the rightful place of King Jesus. For modern popularizers, the visions and revelations of Daniel remain a guide to the future, when the Antichrist will be destroyed by Jesus Christ at the Second Coming. Daniel belongs not only to the religious tradition but also to the wider Western intellectual and artistic heritage. It was easily the most popular of the prophetic books for the Anglo-Saxons, who nevertheless treated it not as prophecy but as a historical book, "a repository of dramatic stories about confrontations between God and a series of emperor-figures who represent the highest reach of man". Isaac Newton paid special attention to it, Francis Bacon borrowed a motto from it for his work "Novum Organum", Baruch Spinoza drew on it, its apocalyptic second half attracted the attention of Carl Jung, and it inspired musicians from medieval liturgical drama to Darius Milhaud and artists including Michelangelo, Rembrandt and Eugène Delacroix.
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Batman
Batman is a superhero who appears in American comic books published by DC Comics. Batman was created by artist Bob Kane and writer Bill Finger, and debuted in the 27th issue of the comic book "Detective Comics" on March 30, 1939. In the DC Universe, Batman is the alias of Bruce Wayne, a wealthy American playboy, philanthropist, and industrialist who resides in the fictional Gotham City. His origin story features him swearing vengeance against criminals after witnessing the murder of his parents, Thomas and Martha, as a child, a vendetta tempered by the ideal of justice. He trains himself physically and intellectually, crafts a bat-inspired persona, and monitors the Gotham streets at night. Kane, Finger, and other creators accompanied Batman with supporting characters, including his sidekicks Robin and Batgirl; allies Alfred Pennyworth and James Gordon; love interest and occasional adversary Catwoman; as well as foes such as the Penguin, the Riddler, Two-Face, and his archenemy, the Joker, among others. Kane conceived Batman in early 1939 to capitalize on the popularity of Superman; although Kane frequently claimed sole creation credit, Finger substantially developed the concept from a generic superhero into something more bat-like. They drew inspiration from pulp fiction characters like the Shadow, Sherlock Holmes, & The Green Hornet. Batman received a spin-off publication, "Batman", in 1940. Kane and Finger introduced Batman as a ruthless vigilante who frequently killed or maimed criminals, but he evolved into a just, tempered superhero with a stringent moral code that prohibits killing during the 1940s. Unlike most superheroes, Batman does not possess any superpowers, instead relying on his intellect, fighting skills, and wealth. The 1960s "Batman" television series used a camp aesthetic, which continued to be associated with Batman for years after it ended. Various creators worked to return Batman to his darker roots in the 1970s and 1980s, culminating with the 1986 miniseries "The Dark Knight Returns" by Frank Miller. DC has featured Batman in many comic books, including comics published under its imprints such as Vertigo and Black Label; he has been considered DC's flagship charactersince the 1990s. The longest-running Batman comic, "Detective Comics", is the longest-running comic book in the United States. Batman is frequently depicted alongside other DC superheroes, such as Superman and Wonder Woman, as a member of organizations such as the Justice League and the Outsiders. In addition to Bruce Wayne, other characters used the Batman persona, such as Jean-Paul Valley / Azrael in the 1993–1994 "" story arc; Dick Grayson, the first Robin, from 2009 to 2011; and Jace Fox, the son of Wayne's ally Lucius, since 2021. DC has also published comics featuring alternate versions of Batman, including the incarnation seen in "The Dark Knight Returns" and its successors, the incarnation from the "Flashpoint" (2011) event, and numerous interpretations in comics published under the Elseworlds label. Batman is one of the most iconic characters in popular culture and has been listed among the greatest comic book superheroes and characters ever created. He is one of the most commercially successful superheroes, and his likeness has been licensed and featured in various media and merchandise sold around the world; this includes toy lines such as "Lego Batman" and video games such as the "" series. Batman has been adapted in many live-action and animated television series and films. Adam West portrayed him in the 1960s "Batman" television series, and he has been portrayed in film by Michael Keaton, Val Kilmer, George Clooney, Christian Bale, Ben Affleck, and Robert Pattinson. Many actors, most prolifically Kevin Conroy, have provided Batman's voice in animation and video games. In September 2024, Batman was given a star on the Hollywood Walk of Fame, being the first superhero to receive the honor. Publication history. Creation and early history. In early 1939, following the success of Superman, DC Comics' editors requested more superheroes. Bob Kane created Batman, initially drawing a character with red tights, bat wings, and a domino mask. Bill Finger, a collaborator, made significant contributions by suggesting a cowl, cape, gloves, and a darker costume. The character's alter ego, Bruce Wayne, was inspired by historical figures Robert the Bruce and Mad Anthony Wayne. Batman's early adventures drew inspiration from contemporary pulp fiction and characters like Zorro and the Shadow, establishing Batman as a master detective with a dark, brooding persona driven by the murder of his parents. Golden, Silver and Bronze Ages. Batman debuted in "Detective Comics" #27 in 1939. Early stories were dark, featuring a Batman who did not shy away from killing. The character quickly became popular, leading to his own solo title in 1940. Robin, Batman's sidekick, was introduced in 1940, lightening the tone and boosting sales. Over the next few years, Batman's rogues' gallery expanded with iconic villains like the Joker and Catwoman. The 1950s saw Batman in lighter, science fiction-influenced stories. However, declining sales led to a 1964 revamp by editor Julius Schwartz, who returned Batman to his detective roots and updated his appearance. The 1966 Batman TV series introduced a campy, humorous tone, which was reflected in the comics until its cancellation in 1968. In the 1970s, writers Dennis O'Neil and Neal Adams restored Batman's dark, gritty nature, a trend that continued despite fluctuating sales. Modern Age and reboots. In the Modern Age of Comic Books Batman comics have undergone significant transformations, reflecting changing storytelling trends and audience interests. Beginning with seminal works like "The Dark Knight Returns" in the 1980s, which reintroduced Batman in a grittier, more mature context, the character's narrative evolved to explore deeper themes and darker tones. This period also saw the exploration of Batman's origins and psyche through works like ",""" and ', which delved into the complexities of heroism and villainy. In the 1990s, storylines such as "" introduced new adversaries like Bane, who physically and mentally challenged Batman, leading to a temporary replacement by Jean-Paul Valley. The aftermath of an earthquake in "No Man's Land" depicted Gotham City in chaos, further pushing Batman to new limits of heroism and survival. Entering the 21st century, Grant Morrison's influential run introduced Damian Wayne as Batman's son and heir, bringing familial dynamics and a new generation of challenges to the forefront. Morrison's storytelling also delved into surreal and existential themes, such as in "Batman R.I.P." and "Final Crisis", which tested Batman's resolve and sanity against cosmic threats and personal demons. The New 52 reboot in 2011 refreshed Batman's continuity while preserving core elements of his character. This era introduced modern interpretations of classic storylines, like ', where Batman confronts the Court of Owls, a clandestine society controlling Gotham for centuries. The chilling return of the Joker in "Death of the Family" explored the intricate relationships within Batman's extended family of allies and adversaries. More recent developments under DC Rebirth and Infinite Frontier have continued to evolve Batman's universe, exploring new characters like Gotham and Gotham Girl, and tackling contemporary issues within the context of Gotham City's ever-evolving landscape of crime and heroism. Characterization. Bruce Wayne. Batman's secret identity is Bruce Wayne, a wealthy American industrialist. As a child, Bruce witnessed the murder of his parents, Dr. Thomas Wayne and Martha Wayne, which ultimately led him to craft the Batman persona and seek justice against criminals. He resides on the outskirts of Gotham City in his personal residence, Wayne Manor. Wayne averts suspicion by acting the part of a superficial playboy idly living off his family's fortune and the profits of Wayne Enterprises, his inherited conglomerate. He supports philanthropic causes through his nonprofit Wayne Foundation, which in part addresses social issues encouraging crime as well as assisting victims of it, but is more widely known as a celebrity socialite. In public, he frequently appears in the company of high-status women, which encourages tabloid gossip while feigning near-drunkenness with consuming large quantities of disguised ginger ale since Wayne is actually a strict teetotaler to maintain his physical and mental prowess. Although Bruce Wayne leads an active romantic life, his vigilante activities as Batman account for most of his time. While Bruce Wayne is never depicted as being especially religious, he is ethnically Jewish on his mother's side; his maternal cousin Batwoman (Kate Kane) is practising. His father, Thomas, raised Bruce as a Christian, but as an adult he doesn't follow any religion. Various modern stories have portrayed the extravagant, playboy image of Bruce Wayne as a facade. This is in contrast to the Post-"Crisis" Superman, whose Clark Kent persona is the true identity, while the Superman persona is the facade. In "Batman Unmasked", a television documentary about the psychology of the character, behavioral scientist Benjamin Karney notes that Batman's personality is driven by Bruce Wayne's inherent humanity; that "Batman, for all its benefits and for all of the time Bruce Wayne devotes to it, is ultimately a tool for Bruce Wayne's efforts to make the world better". Bruce Wayne's principles include the desire to prevent future harm and a vow not to kill. Bruce Wayne believes that our actions define us, we fail for a reason, and anything is possible. Writers of Batman and Superman stories have often compared and contrasted the two. Interpretations vary depending on the writer, the story, and the timing. Grant Morrison notes that both heroes "believe in the same kind of things" despite the day/night contrast their heroic roles display. Morrison notes an equally stark contrast in their real identities. Bruce Wayne and Clark Kent belong to different social classes: "Bruce has a butler, Clark has a boss." T. James Musler's book "Unleashing the Superhero in Us All" explores the extent to which Bruce Wayne's vast personal wealth is important in his life story, and the crucial role it plays in his efforts as Batman. Will Brooker notes in his book "Batman Unmasked" that "the confirmation of the Batman's identity lies with the young audience ...he doesn't have to be Bruce Wayne; he just needs the suit and gadgets, the abilities, and most importantly the morality, the humanity. There's just a sense about him: 'they trust him ...and they're never wrong." Personality. Batman's primary character traits can be summarized as "wealth; physical prowess; deductive abilities and obsession". The details and tone of Batman comic books have varied over the years with different creative teams. Dennis O'Neil noted that character consistency was not a major concern during early editorial regimes: "Julie Schwartz did a Batman in "Batman" and "Detective" and Murray Boltinoff did a Batman in the "Brave and the Bold" and apart from the costume they bore very little resemblance to each other. Julie and Murray did not want to coordinate their efforts, nor were they asked to do so. Continuity was not important in those days." The driving force behind Bruce Wayne's character is his parents' murder and their absence. Bob Kane and Bill Finger discussed Batman's background and decided that "there's nothing more traumatic than having your parents murdered before your eyes". Despite his trauma, he sets his mind on studying to become a scientist and to train his body into physical perfection to fight crime in Gotham City as Batman, an inspired idea from Wayne's insight into the criminal mind. He also speaks over 40 languages. Another of Batman's characterizations is that of a vigilante; in order to stop evil that started with the death of his parents, he must sometimes break the law himself. Although manifested differently by being re-told by different artists, it is nevertheless that the details and the prime components of Batman's origin have never varied at all in the comic books, the "reiteration of the basic origin events holds together otherwise divergent expressions". The origin is the source of the character's traits and attributes, which play out in many of the character's adventures. Batman is often treated as a vigilante by other characters in his stories. Frank Miller views the character as "a dionysian figure, a force for anarchy that imposes an individual order". Dressed as a bat, Batman deliberately cultivates a frightening persona in order to aid him in crime-fighting, a fear that originates from the criminals' own guilty conscience. Miller is often credited with reintroducing anti-heroic traits into Batman's characterization, such as his brooding personality, willingness to use violence and torture, and increasingly alienated behavior. Batman, shortly a year after his debut and the introduction of Robin, was changed in 1940 after DC editor Whitney Ellsworth felt the character would be tainted by his lethal methods and DC established their own ethical code, subsequently he was retconned to have a stringent moral code, which has stayed with the character of Batman ever since. Miller's Batman was closer to the original pre-Robin version, who was willing to kill criminals if necessary. Others. On several occasions former Robin Dick Grayson has served as Batman; most notably in 2009 while Wayne was believed dead, and served as a second Batman even after Wayne returned in 2010. As part of DC's 2011 continuity relaunch, Grayson returned to being Nightwing following the "Flashpoint" crossover event. In an interview with IGN, Morrison detailed that having Dick Grayson as Batman and Damian Wayne as Robin represented a "reverse" of the normal dynamic between Batman and Robin, with, "a more light-hearted and spontaneous Batman and a scowling, badass Robin". Morrison explained their intentions for the new characterization of Batman: "Dick Grayson is kind of this consummate superhero. The guy has been Batman's partner since he was a kid, he's led the Teen Titans, and he's trained with everybody in the DC Universe. So he's a very different kind of Batman. He's a lot easier; a lot looser and more relaxed." Over the years, there have been numerous others to assume the name of Batman, or to officially take over for Bruce during his leaves of absence. Jean-Paul Valley, also known as Azrael, assumed the cowl after the events of the ' saga. Jim Gordon donned a mecha-suit after the events of ', and served as Batman in 2015 and 2016. In 2021, as part of the "Fear State" crossover event, Lucius Fox's son Jace Fox succeeds Bruce as Batman in a 2021 storyline, depicted in the series "I Am Batman", after Batman was declared dead. Additionally, members of the group Batman Incorporated, Bruce Wayne's experiment at franchising his brand of vigilantism, have at times stood in as the official Batman in cities around the world. Various others have also taken up the role of Batman in stories set in alternative universes and possible futures, including, among them, various former proteges of Bruce Wayne. Supporting characters. Batman's interactions with both villains and cohorts have, over time, developed a strong supporting cast of characters. Enemies. Batman faces a variety of foes ranging from common criminals to outlandish supervillains. Many of them mirror aspects of the Batman's character and development, often having tragic origin stories that lead them to a life of crime. These foes are commonly referred to as Batman's "rogues gallery". Batman's "most implacable foe" is the Joker, a homicidal maniac with a clown-like appearance. The Joker is considered by critics to be his perfect adversary, since he is the antithesis of Batman in personality and appearance; the Joker has a maniacal demeanor with a colorful appearance, while Batman has a serious and resolute demeanor with a dark appearance. As a "personification of the irrational", the Joker represents "everything Batman [opposes]". Other long-time recurring foes that are part of Batman's rogues gallery include Catwoman (a cat burglar anti-heroine who is variously an ally and romantic interest), the Penguin, Ra's al Ghul, Two-Face (Harvey Dent), the Riddler, the Scarecrow, Mr. Freeze, Poison Ivy, Harley Quinn, Bane, Clayface, and Killer Croc, among others. Many of Batman's adversaries are often psychiatric patients at Arkham Asylum. Allies. Alfred Pennyworth, Batman's loyal butler and father figure, first appeared in "Batman" #16 (1943). After Bruce Wayne's parents were killed, Alfred raised Bruce and became one of the few people to know his secret identity. He is often portrayed as a steadying presence in Bruce's life, offering both emotional support and practical assistance in Batman's crime-fighting endeavors. More than just a caretaker, Alfred is a trusted ally and sometimes sidekick, sharing Wayne Manor with Bruce and contributing to Batman's mission. One of Batman's most crucial allies is Commissioner James Gordon. Their relationship is built on mutual respect and a shared commitment to justice in Gotham City. In "", Gordon and Batman learn to trust each other, which transforms their efforts against crime into a more effective partnership. Gordon's perspective as a police officer complements Batman's vigilantism, allowing them to tackle Gotham's challenges together. Another important ally is the Justice League, which further emphasizes the importance of collaboration. Batman's relationship with Superman showcases how their contrasting ideologies can complement each other. In stories like "World's Finest", their friendship highlights how Batman's methods benefit from Superman's optimism and strength. Sidekicks. Robin, Batman's vigilante partner, has been a widely recognized supporting character for many years; each iteration of the Robin character, of which there have been five in the mainstream continuity, function as members of the Batman family, but additionally, as Batman's "central" sidekick in various media. Bill Finger stated that he wanted to include Robin because "Batman didn't have anyone to talk to, and it got a little tiresome always having him thinking." The first Robin, Dick Grayson, was introduced in 1940. In the 1970s he finally grew up, went off to college and became the hero Nightwing. A second Robin, Jason Todd was introduced in the 1980s, following Dick Grayson's departure from the role. Initially impulsive and rebellious, Jason's tenure as Robin was controversial among fans. In 1988, DC held a fan vote to determine his fate in the iconic "A Death in the Family" storyline, where the Joker brutally beat Jason with a crowbar and left him to die in an explosion. The fans voted for his death. However, Jason was later resurrected and returned as the antihero Red Hood. The third Robin in the mainstream comics is Tim Drake, who first appeared in 1989. He went on to star in his own comic series, and goes by the name Red Robin, a variation on the traditional Robin persona. In the first decade of the new millennium, Stephanie Brown served as the fourth in-universe Robin between stints as her self-made vigilante identity the Spoiler, and later as Batgirl. After Brown's apparent death, Drake resumed the role of Robin for a time. The role eventually passed to Damian Wayne, the 10-year-old son of Bruce Wayne and Talia al Ghul, in the late 2000s. Damian's tenure as "du jour" Robin ended when the character was killed off in the pages of "Batman Incorporated" in 2013. Batman's next young sidekick is Harper Row, a streetwise young woman who avoids the name Robin but followed the ornithological theme nonetheless; she debuted the codename and identity of the Bluebird in 2014. Unlike the Robins, the Bluebird is willing and permitted to use a gun, albeit non-lethal; her weapon of choice is a modified rifle that fires taser rounds. In 2015, a new series began titled "We Are...Robin," focused on a group of teenagers using the Robin persona to fight crime in Gotham City. The most prominent of these, Duke Thomas, later becomes Batman's crimefighting partner as The Signal. Romantic interests. Batman's romantic history spans decades, filled with relationships that reflect his struggle between personal happiness and his duty as Gotham's protector. His first love interest was Julie Madison, introduced in "Detective Comics" #31 (1939). Though engaged to Bruce Wayne, she left due to his distant and playboy persona, highlighting the conflict between Bruce's dual life and his desire for a normal relationship. Selina Kyle, also known as Catwoman, is perhaps the most notable figure in Batman's romantic history. Debuting in "Batman" #1 (1940), their relationship is characterized by a blend of romance and rivalry. Over the years, they have shared intense connections, often navigating the fine line between love and conflict. Their relationship culminated in an engagement during the DC Rebirth"." Another important figure is Vicki Vale, a journalist introduced in "Batman" #49 (1948). Vicki's attempts to uncover Batman's true identity lead to a complicated romantic involvement that waxed and waned over the years, especially during the early 1980s when their relationship became more serious. Talia al Ghul, introduced in "Detective Comics" #411 (1971), is another key player in Batman's love life. Their relationship is fraught with conflict due to her father, Ra's al Ghul, and his criminal ambitions. Despite the challenges, their love story resulted in the birth of Damian Wayne, who would grow to become the latest Robin and add a new layer of complexity to Batman's character. Additionally, Batman's relationship with Wonder Woman has been explored in various storylines, including a passionate kiss in "JLA" (2003) during a moment of crisis. However, their relationship remains largely unexplored, often overshadowed by their respective commitments. One of the most controversial romantic pairings emerged from the animated adaptation of "" (2016), which depicted a brief romantic involvement between Batman and Batgirl (Barbara Gordon). This portrayal sparked significant criticism among fans, reflecting the challenges and complexities of Batman's romantic entanglements over the years. Abilities. Skills and training. Batman has no inherent superhuman powers; he relies on "his own scientific knowledge, detective skills, and athletic prowess". Batman's inexhaustible wealth gives him access to advanced technologies, and as a proficient scientist, he is able to use and modify these technologies to his advantage. In the stories, Batman is regarded as one of the world's greatest detectives, if not the world's greatest crime solver. Batman has been repeatedly described as having a genius-level intellect, being one of the greatest martial artists in the DC Universe, and having peak human physical and mental conditioning. As a polymath, his knowledge and expertise in countless disciplines is nearly unparalleled by any other character in the DC Universe. He has shown prowess in assorted fields such as mathematics, biology, physics, chemistry, and several levels of engineering. He has traveled the world acquiring the skills needed to aid him in his endeavors as Batman. In the "" story arc, Superman considers Batman to be one of the most brilliant minds on the planet. Batman has trained extensively in various fighting styles, making him one of the best hand-to-hand fighters in the DC Universe. He possesses a photographic memory, and has fully utilized his photographic memory to master a total of 127 forms of martial arts. In terms of his physical condition, Batman is described as peak human and far beyond an Olympic-athlete-level condition, able to perform feats such as easily running across rooftops in a Parkour-esque fashion, pressing thousands of pounds regularly, and even bench pressing six hundred pounds of soil and coffin in a poisoned and starved state. Superman describes Batman as "the most dangerous man on Earth", able to defeat an entire team of superpowered extraterrestrials by himself in order to rescue his imprisoned teammates in Grant Morrison's first storyline in "JLA". Batman is strongly disciplined, and he has the ability to function under great physical pain and resist most forms of telepathy and mind control. He is a master of disguise, multilingual, and an expert in espionage, often gathering information under the identity of a notorious gangster named Matches Malone. Batman is highly skilled in stealth movement and escapology, which allows him to appear and disappear at will and to break free of nearly inescapable deathtraps with little to no harm. He is also a master strategist, considered DC's greatest tactician, with numerous plans in preparation for almost any eventuality. Batman is an expert in interrogation techniques and his intimidating and frightening appearance alone is often all that is needed in getting information from suspects. Despite having the potential to harm his enemies, Batman's most defining characteristic is his strong commitment to justice and his reluctance to take a life. This unyielding moral rectitude has earned him the respect of several heroes in the DC Universe, most notably that of Superman and Wonder Woman. Among physical and other crime fighting related training, he is also proficient at other types of skills. Some of these include being a licensed pilot (in order to operate the Batplane), as well as being able to operate other types of machinery. In some publications, he even underwent some magician training. Technology. Batman utilizes a vast arsenal of specialized, high-tech vehicles and gadgets in his war against crime, the designs of which usually share a bat motif. Batman historian Les Daniels credits Gardner Fox with creating the concept of Batman's arsenal with the introduction of the utility belt in "Detective Comics" #29 (July 1939) and the first bat-themed weapons the batarang and the "Batgyro" in "Detective Comics" #31 and 32 (Sept. and October 1939). Batman's batsuit aids in his combat against enemies, having the properties of both Kevlar and Nomex. It protects him from gunfire and other significant impacts, and incorporates the imagery of a bat in order to frighten criminals. The details of the Batman costume change repeatedly through various decades, stories, media and artists' interpretations, but the most distinctive elements remain consistent: a scallop-hem cape; a cowl covering most of the face; a pair of bat-like ears; a stylized bat emblem on the chest; and the ever-present utility belt. His gloves typically feature three scallops that protrude from long, gauntlet-like cuffs, although in his earliest appearances he wore short, plain gloves without the scallops. The overall look of the character, particularly the length of the cowl's ears and of the cape, varies greatly depending on the artist. Dennis O'Neil said, "We now say that Batman has two hundred suits hanging in the Batcave so they don't have to look the same ...Everybody loves to draw Batman, and everybody wants to put their own spin on it." Finger and Kane originally conceptualized Batman as having a black cape and cowl and grey suit, but conventions in coloring called for black to be highlighted with blue. Hence, the costume's colors have appeared in the comics as dark blue and grey; as well as black and grey. In the Tim Burton's "Batman" and "Batman Returns" films, Batman has been depicted as completely black with a bat in the middle surrounded by a yellow background. Christopher Nolan's "The Dark Knight Trilogy" depicted Batman wearing high-tech gear painted completely black with a black bat in the middle. Ben Affleck's Batman in the DC Extended Universe films wears a suit grey in color with a black cowl, cape, and bat symbol. Seemingly following the suit of the DC Extended Universe outfit, Robert Pattinson's uniform in "The Batman" restores the more traditional gray bodysuit and black appendage design, notably different from prior iterations by mostly utilizing real world armor and apparel pieces from modern military and motorcycle gear. Batman's primary vehicle is the Batmobile, which is usually depicted as an imposing black car, often with tailfins that suggest a bat's wings. Batman also has an aircraft called the Batplane (originally a relatively traditionally, but bat-motifed plane, later seen as the much more unique "Batwing" starting in the 1989 film), along with various other means of transportation. In proper practice, the "bat" prefix (as in Batmobile or batarang) is rarely used by Batman himself when referring to his equipment, particularly after some portrayals (primarily the 1960s "Batman" live-action television show and the "Super Friends" animated series) stretched the practice to campy proportions. For example, the 1960s television show depicted a Batboat, Bat-Sub, and Batcycle, among other bat-themed vehicles. The 1960s television series Batman has an arsenal that includes such "bat-" names as the Bat-computer, Bat-scanner, bat-radar, bat-cuffs, bat-pontoons, bat-drinking water dispenser, bat-camera with polarized bat-filter, bat-shark repellent bat-spray, and Bat-rope. The storyline "A Death in the Family" suggests that given Batman's grim nature, he is unlikely to have adopted the "bat" prefix on his own. In "The Dark Knight Returns", Batman tells Carrie Kelley that the original Robin came up with the name "Batmobile" when he was young, since that is what a kid would call Batman's vehicle. The Batmobile, which was before frequently depicted to resemble a sports car, was redesigned in 2011 when DC Comics relaunched its entire line of comic books, with the Batmobile being given heavier armor and new aesthetics. Batman keeps most of his field equipment in his utility belt. Over the years it has shown to contain an assortment of crime-fighting tools, weapons, and investigative and technological instruments. Different versions of the belt have these items stored in compartments, often as pouches or hard cylinders attached evenly around it. Since the 1989 film, Batman is often depicted as carrying a projectile which shoots a retractable grappling hook attached to a cable (before this, a he employed a traditionally thrown grappling hook.) This allows him to attach to distant objects, be propelled into the air, and thus swing from the rooftops of Gotham City. An exception to the range of Batman's equipment are hand guns, which he refuses to use on principle, since a gun was used in his parents' murder. In modern stories in terms of his vehicles, Batman compromises on that principle to install weapon systems on them for the purpose of non-lethally disabling other vehicles, forcing entry into locations and attacking dangerous targets too large to defeat by other means. When Batman is needed, the Gotham City police activate a searchlight with a bat-shaped insignia over the lens called the Bat-Signal, which shines into the night sky, creating a bat-symbol on a passing cloud which can be seen from any point in Gotham. The origin of the signal varies, depending on the continuity and medium. In various incarnations, most notably the 1960s "Batman" TV series, Commissioner Gordon also has a dedicated phone line, dubbed the Bat-Phone, connected to a bright red telephone (in the TV series) which sits on a wooden base and has a transparent top. The line connects directly to Batman's residence, Wayne Manor, specifically both to a similar phone sitting on the desk in Bruce Wayne's study and the extension phone in the Batcave. The Batcave is Batman's secret headquarters, consisting of a series of caves beneath his mansion, Wayne Manor. As his command center, the Batcave serves multiple purposes; supercomputer, surveillance, redundant power-generators, forensics lab, medical infirmary, private study, training dojo, fabrication workshop, arsenal, hangar and garage. It houses the vehicles and equipment Batman uses in his campaign to fight crime. It is also a trophy room and storage facility for Batman's unique memorabilia collected over the years from various cases he has worked on. In both the comic book "" #45 and the 2005 film "Batman Begins", the cave is said to have been part of the Underground Railroad. Fictional character biography. Batman's history has undergone many retroactive continuity revisions, both minor and major. Elements of the character's history have varied greatly. Scholars William Uricchio and Roberta E. Pearson noted in the early 1990s, "Unlike some fictional characters, the Batman has no primary urtext set in a specific period, but has rather existed in a plethora of equally valid texts constantly appearing over more than five decades." 20th century. Origin. The central fixed event in the Batman stories is the character's origin story. As a young boy, Bruce Wayne was horrified and traumatized when he watched his parents, the physician Dr. Thomas Wayne and his wife Martha, murdered with a gun by a mugger named Joe Chill. Batman refuses to utilize any sort of gun on the principle that a gun was used to murder his parents. This event drove him to train his body to its peak condition and fight crime in Gotham City as Batman. Pearson and Uricchio also noted beyond the origin story and such events as the introduction of Robin, "Until recently, the fixed and accruing and hence, canonized, events have been few in number", a situation altered by an increased effort by later Batman editors such as Dennis O'Neil to ensure consistency and continuity between stories. Golden Age. In Batman's first appearance in "Detective Comics" #27, he is already operating as a crime-fighter. Batman's origin is first presented in "Detective Comics" #33 (November 1939) and is later expanded upon in "Batman" #47. As these comics state, Bruce Wayne is born to Dr. Thomas Wayne and his wife Martha, two very wealthy and charitable Gotham City socialites. Bruce is brought up in Wayne Manor, and leads a happy and privileged existence until the age of 8, when his parents are killed by a small-time criminal named Joe Chill while on their way home from a movie theater. That night, Bruce Wayne swears an oath to spend his life fighting crime. He engages in intense intellectual and physical training; however, he realizes that these skills alone would not be enough. "Criminals are a superstitious cowardly lot", Wayne remarks, "so my disguise must be able to strike terror into their hearts. I must be a creature of the night, black, terrible ..." As if responding to his desires, a bat suddenly flies through the window, inspiring Bruce to craft the Batman persona. In early strips, Batman's career as a vigilante earns him the ire of the police. During this period, Bruce Wayne has a fiancé named Julie Madison. In "Detective Comics" #38, Wayne takes in an orphaned circus acrobat, Dick Grayson, who becomes his vigilante partner, Robin. Batman also becomes a founding member of the Justice Society of America, although he, like Superman, is an honorary member, and thus only participates occasionally. Batman's relationship with the law thaws quickly, and he is made an honorary member of Gotham City's police department. During this time, Alfred Pennyworth arrives at Wayne Manor, and after deducing the Dynamic Duo's secret identities, joins their service as their butler. Silver Age. The Silver Age of Comic Books in DC Comics is sometimes held to have begun in 1956 when the publisher introduced Barry Allen as a new, updated version of the Flash. Batman is not significantly changed by the late 1950s for the continuity which would be later referred to as Earth-One. The lighter tone Batman had taken in the period between the Golden and Silver Ages led to the stories of the late 1950s and early 1960s that often feature many science-fiction elements, and Batman is not significantly updated in the manner of other characters until "Detective Comics" #327 (May 1964), in which Batman reverts to his detective roots, with most science-fiction elements jettisoned from the series. After the introduction of DC Comics' Multiverse in the 1960s, DC established that stories from the Golden Age star the Earth-Two Batman, a character from a parallel world. This version of Batman partners with and marries the reformed Earth-Two Catwoman (Selina Kyle). The two have a daughter, Helena Wayne, who becomes the Huntress. She assumes the position as Gotham's protector along with Dick Grayson, the Earth-Two Robin, once Bruce Wayne retires to become police commissioner. Wayne holds the position of police commissioner until he is killed during one final adventure as Batman. Batman titles, however, often ignored that a distinction had been made between the pre-revamp and post-revamp Batmen (since unlike the Flash or Green Lantern, Batman comics had been published without interruption through the 1950s) and would occasionally make reference to stories from the Golden Age. Nevertheless, details of Batman's history were altered or expanded upon through the decades. Additions include meetings with a future Superman during his youth, his upbringing by his uncle Philip Wayne (introduced in "Batman" #208 (February 1969)) after his parents' death, and appearances of his father and himself as prototypical versions of Batman and Robin, respectively. In 1980, then-editor Paul Levitz commissioned the "Untold Legend of the Batman" miniseries to thoroughly chronicle Batman's origin and history. Batman meets and regularly works with other heroes during the Silver Age, most notably Superman, whom he began regularly working alongside in a series of team-ups in "World's Finest Comics", starting in 1954 and continuing through the series' cancellation in 1986. Batman and Superman are usually depicted as close friends. As a founding member of the Justice League of America, Batman appears in its first story, in 1960's "The Brave and the Bold" #28. In the 1970s and 1980s, "The Brave and the Bold" became a Batman title, in which Batman teams up with a different DC Universe superhero each month. Bronze Age. In 1969, Dick Grayson attends college as part of DC Comics' effort to revise the Batman comics. Additionally, Batman also moves from his mansion, Wayne Manor into a penthouse apartment atop the Wayne Foundation building in downtown Gotham City, in order to be closer to Gotham City's crime. In 1974's "Night of the Stalker" storyline, a diploma on the wall reveals Bruce Wayne as a graduate of Yale Law School. Batman spends the 1970s and early 1980s mainly working solo, with occasional team-ups with Robin or Batgirl. Batman's adventures also become somewhat darker and more grim during this period, depicting increasingly violent crimes, including the first appearance (since the early Golden Age) of the Joker as a homicidal psychopath, and the arrival of Ra's al Ghul, a centuries-old terrorist who knows Batman's secret identity. In the 1980s, Dick Grayson becomes Nightwing. In the final issue of "The Brave and the Bold" in 1983, Batman quits the Justice League and forms a new group called the Outsiders. He serves as the team's leader until "Batman and the Outsiders" #32 (1986) and the comic subsequently changed its title. Modern Age. After the 12-issue miniseries "Crisis on Infinite Earths", DC Comics retconned the histories of some major characters in an attempt at updating them for contemporary audiences. Frank Miller retold Batman's origin in the storyline "" from "Batman" #404–407, which emphasizes a grittier tone in the character. Though the Earth-Two Batman is erased from history, many stories of Batman's Silver Age/Earth-One career (along with an amount of Golden Age ones) remain canonical in the post-"Crisis" universe, with his origins remaining the same in essence, despite alteration. For example, Gotham's police are mostly corrupt, setting up further need for Batman's existence. The guardian Phillip Wayne is removed, leaving young Bruce to be raised by Alfred Pennyworth. Additionally, Batman is no longer a founding member of the Justice League of America, although he becomes leader for a short time of a new incarnation of the team launched in 1987. To help fill in the revised backstory for Batman following "Crisis", DC launched a new Batman title called "Legends of the Dark Knight" in 1989 and has published various miniseries and one-shot stories since then that largely take place during the "Year One" period. Subsequently, Batman begins exhibiting an excessive, reckless approach to his crimefighting, a result of the pain of losing Jason Todd. Batman works solo until the decade's close, when Tim Drake becomes the new Robin. Many of the major Batman storylines since the 1990s have been intertitle crossovers that run for a number of issues. In 1993, DC published "". During the storyline's first phase, the new villain Bane paralyzes Batman, leading Wayne to ask Azrael to take on the role. After the end of "Knightfall", the storylines split in two directions, following both the Azrael-Batman's adventures, and Bruce Wayne's quest to become Batman once more. The story arcs realign in "KnightsEnd", as Azrael becomes increasingly violent and is defeated by a healed Bruce Wayne. Wayne hands the Batman mantle to Dick Grayson (then Nightwing) for an interim period, while Wayne trains for a return to the role. The 1994 company-wide crossover storyline "" changes aspects of DC continuity again, including those of Batman. Noteworthy among these changes is that the general populace and the criminal element now consider Batman an urban legend rather than a known force. Batman once again becomes a member of the Justice League during Grant Morrison's 1996 relaunch of the series, titled "JLA". During this time, Gotham City faces catastrophe in the decade's closing crossover arc. In 1998's "" storyline, Gotham City is devastated by an earthquake and ultimately cut off from the United States. Deprived of many of his technological resources, Batman fights to reclaim the city from legions of gangs during 1999's "No Man's Land". Meanwhile, Batman's relationship with the Gotham City Police Department changed for the worse with the events of "Batman: Officer Down" and "Batman: War Games/War Crimes"; Batman's long-time law enforcement allies Commissioner Gordon and Harvey Bullock are forced out of the police department in "Officer Down", while "War Games" and "War Crimes" saw Batman become a wanted fugitive after a contingency plan of his to neutralize Gotham City's criminal underworld is accidentally triggered, resulting in a massive gang war that ends with Black Mask becoming the undisputed ruler of the city's criminal gangs. Lex Luthor arranges for the murder of Batman's on-again, off-again love interest Vesper Lynd (introduced in the mid-1990s) during the "Bruce Wayne: Murderer?" and "" story arcs. Though Batman is able to clear his name, he loses another ally in the form of his new bodyguard Sasha Bordeaux, who is recruited into the organization Checkmate while stuck in prison due to her refusal to turn state's evidence against her employer. While he was unable to prove that Luthor was behind the murder of Vesper, Batman does get his revenge with help from Talia al Ghul in "Superman/Batman" #1–6. 21st century. 2000s. DC Comics' 2005 miniseries "Identity Crisis" reveals that JLA member Zatanna had edited Batman's memories to prevent him from stopping the Justice League from lobotomizing Dr. Light after he raped Sue Dibny. Batman later creates the satellite surveillance system Brother Eye to watch over and, if necessary, kill the other heroes after he remembered. The revelation of Batman's creation and his tacit responsibility for Blue Beetle's death becomes a driving force in the lead-up to the "Infinite Crisis" miniseries, which again restructures DC continuity. Batman and a team of superheroes destroy Brother Eye and the OMACs, though, at the very end, Batman reaches his apparent breaking point when Alexander Luthor Jr. seriously wounds Nightwing. Picking up a gun, Batman nearly shoots Luthor in order to avenge his former sidekick, until Wonder Woman convinces him to not pull the trigger. Following "Infinite Crisis", Bruce Wayne, Dick Grayson (having recovered from his wounds), and Tim Drake retrace the steps Bruce had taken when he originally left Gotham City, to "rebuild Batman". In the ' storyline, Batman and Robin return to Gotham City after their year-long absence. Part of this absence is captured during Week 30 of the "52" series, which shows Batman fighting his inner demons. Later on in "52", Batman is shown undergoing an intense meditation ritual in Nanda Parbat. This becomes an important part of the regular "Batman" title, which reveals that Batman is reborn as a more effective crime fighter while undergoing this ritual, having "hunted down and ate" the last traces of fear in his mind. At the end of the "Face the Face" story arc, Bruce officially adopts Tim (who had lost both of his parents at various points in the character's history) as his son. The follow-up story arc in "Batman", "Batman and Son", introduces Damian Wayne, who is Batman's son with Talia al Ghul. Although originally, in ', Bruce's coupling with Talia was implied to be consensual, this arc retconned it into Talia forcing herself on Bruce. Batman, along with Superman and Wonder Woman, reforms the Justice League in the new "Justice League of America" series, and is leading the newest incarnation of the Outsiders. Grant Morrison's 2008 storyline, "Batman R.I.P." featured Batman being physically and mentally broken by the enigmatic villain Doctor Hurt and attracted news coverage in advance of its highly promoted conclusion, which would speculated to feature the death of Bruce Wayne. However, though Batman is shown to possibly perish at the end of the arc, the two-issue arc "Last Rites", which leads into the crossover storyline "Final Crisis", shows that Batman survives his helicopter crash into the Gotham City River and returns to the Batcave, only to be summoned to the Hall of Justice by the JLA to help investigate the New God Orion's death. The story ends with Batman retrieving the god-killing bullet used to kill Orion, setting up its use in "Final Crisis". In the pages of "Final Crisis" Batman is reduced to a charred skeleton. In "Final Crisis" #7, Wayne is shown witnessing the death of the first man, Anthro. Wayne's "death" sets up the three-issue "" miniseries in which Wayne's ex-proteges compete for the "right" to assume the role of Batman, which concludes with Grayson becoming Batman, while Tim Drake takes on the identity of the Red Robin. Dick and Damian continue as Batman and Robin, and in the crossover storyline "Blackest Night", what appears to be Wayne's corpse is reanimated as a Black Lantern zombie, but is later shown that the corpse is one of Darkseid's failed Batman clones. Dick and Batman's other friends conclude that Bruce is alive. 2010s. Bruce subsequently returned in Morrison's miniseries "", which depicted his travels through time from prehistory to present-day Gotham. Bruce's return set up "Batman Incorporated", an ongoing series which focused on Wayne franchising the Batman identity across the globe, allowing Dick and Damian to continue as Gotham's Dynamic Duo. Bruce publicly announced that Wayne Enterprises will aid Batman on his mission, known as "Batman, Incorporated". However, due to rebooted continuity that occurred as part of DC Comics' 2011 relaunch of all of its comic books, "The New 52", Dick Grayson was restored as Nightwing with Wayne serving as the sole Batman once again. The relaunch also interrupted the publication of "Batman, Incorporated", which resumed its story in 2012–2013 with changes to suit the new status quo. The New 52. During "The New 52", all of DC's continuity was reset and the timeline was changed, making Batman the first superhero to emerge. This emergence took place during "Zero Year", where Bruce Wayne returns to Gotham and becomes Batman, fighting the original Red Hood and the Riddler. In the present day, Batman discovers the Court of Owls, a secret organization operating in Gotham for decades. Batman somewhat defeats the Court by defeating Owlman, although the Court continues to operate on a smaller scale. The Joker returns after losing the skin on his face (as shown in the opening issue of the second volume of "Detective Comics") and attempts to kill the Batman's allies, though he is stopped by Batman. After some time, Joker returns again, and both he and Batman die while fighting each other. Jim Gordon temporarily becomes Batman, using a high-tech suit, while it is revealed that an amnesiac Bruce Wayne is still alive. Gordon attempts to fight a new villain called Mr. Bloom, while Wayne, regains his memories with the help of Alfred Pennyworth and Julie Madison. Once with his memories, Wayne becomes Batman again and defeats Bloom with the help of Gordon. DC Rebirth. The timeline was reset again during "Rebirth", although no significant changes were made to the Batman mythos. Batman meets two new superheroes operating in Gotham named Gotham and Gotham Girl. Psycho-Pirate gets into Gotham's head and turns against Batman, and is finally defeated when he is killed. This event is very traumatic for Gotham Girl and she begins to lose her sanity. Batman forms his own Suicide Squad, including Catwoman, and attempts to take down Bane. The mission is successful, and Batman breaks Bane's back. Batman proposes to Catwoman. After healing from his wounds, an angry Bane travels to Gotham, where he fights Batman and loses. Batman then tells Catwoman about the War of Jokes and Riddles, and she agrees to marry him. Bane takes control of Arkham Asylum and manipulates Catwoman into leaving Wayne before the wedding. This causes Wayne to become very angry, and, as Batman, lashes out against criminals, nearly killing Mr. Freeze. Batman learns of Bane's control over Arkham and teams up with the Penguin to stop him. Bane captures Batman, and Scarecrow causes him to hallucinate, although he eventually breaks free. Batman escapes and reunites with Catwoman, while Bane captures and kills Alfred Pennyworth. Batman returns and defeats Bane, although too late to save Alfred. Gotham Girl prompts him to marry Catwoman. It is revealed that the Joker who was working for Bane was Clayface in disguise. The real Joker has been plotting a master plan to take over Gotham. This plan comes to fruition during "The Joker War", in which Joker takes over the city. Batman defeats the Joker who vanishes after an explosion. Ghost-Maker, an enemy from Batman's past, appears in Gotham, and, after a battle, becomes a sort of ally to Batman. A new group called the Magistrate rises up in Gotham, led by Simon Saint, whose goal is to outlaw vigilantes such as Batman. At the same time, Scarecrow returns, fighting Batman. During "Fear State", Batman battles and defeats both Scarecrow and the Magistrate's Peacekeepers. Other versions. The character of Batman has been portrayed in numerous alternative versions across various media since his debut in 1939. These adaptations explore different facets and interpretations of the character. In "Smallville", Bruce Wayne adopts the Batman persona in 2001, later teaming up with Superman and other superheroes. Frank Miller's influential series, "The Dark Knight Returns", reimagines Batman as an older, more hardened vigilante, coming out of retirement to fight crime in a dystopian future. In the "" universe, Batman leads a resistance against a tyrannical Superman who has taken control of Earth. The "DC Bombshells" series sets Batman in a World War II-era context, with Bruce Wayne taking inspiration from Batwoman to become the masked hero. The "Dark Multiverse" introduces various twisted versions of Batman, such as The Batman Who Laughs, a hybrid of Batman and the Joker, and Red Death, a fusion of Batman and the Flash. Other notable reimaginings include "JLA/Avengers", where Batman appears in a crossover with Marvel's Avengers; Stan Lee's "Just Imagine", which offers a completely different origin for Batman; and "Kingdom Come", where an older Batman operates in a dystopian future alongside other aged superheroes. In "Superman: American Alien", Bruce Wayne's journey is retold with significant differences, and "Batman: White Knight" explores a reality where the Joker is cured of his insanity and seeks to expose Batman as the true villain of Gotham. These various adaptations and reinterpretations highlight the versatility and enduring appeal of Batman as a character, allowing for a rich exploration of his mythology across different narratives and settings. In popular culture. Batman has ascended to the status of a global pop culture phenomenon, transcending his origins in comic books. His influence expanded notably with the release of the 1989 film, which propelled him to the forefront of public consciousness through widespread merchandising. "The Guardian" describes Batman as emblematic of the constant reinvention characteristic of modern mass culture, embodying both iconic status and commercial appeal, making him a quintessential cultural artifact of the 21st century. Media appearances. Apart from comics, Batman's presence spans various mediums, including newspapers, radio dramas, television, stage, and film. From the 1940s serials to contemporary TV shows like "Gotham" and "Titans", Batman's legacy endures. Celebrating the character's 75th anniversary, Warner Bros released "", showcasing his timeless appeal. In September 2024, Batman become the first superhero to be given a star on the Hollywood Walk of Fame. It was the 2,790th star. Criticism. Batman has been criticized by fans for the extreme changes in tone and style between different iterations of the character in the franchise. Different interpretations. Gay interpretations of Batman have been studied academically since psychologist Fredric Wertham's claims in 1954. Andy Medhurst and Will Brooker have explored Batman's appeal to gay audiences and the validity of a queer reading. Meanwhile, in psychological interpretations, Dr. Travis Langley sees Batman as representing the "shadow archetype", confronting inner darkness to fight evil, according to Carl Jung and Joseph Campbell's theories. Langley's analysis adds depth to Batman's psychological complexity.
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Boston Red Sox
The Boston Red Sox are an American professional baseball team based in Boston. The Red Sox compete in Major League Baseball (MLB) as a member club of the American League (AL) East Division. Founded in as one of the American League's eight charter franchises, the team's home ballpark has been Fenway Park since . The "Red Sox" name was chosen by the team owner, John I. Taylor, , following the lead of previous teams that had been known as the "Boston Red Stockings", including the Boston Braves (now the Atlanta Braves). The team has won nine World Series championships, tied for the third-most of any MLB team, and has played in thirteen World Series. Their most recent World Series appearance and win was in 2018. In addition, they won the American League pennant, but were not able to defend their 1903 World Series championship when the New York Giants refused to participate in the 1904 World Series. The Red Sox were a dominant team in the new league, defeating the Pittsburgh Pirates in the first World Series in 1903 and winning four more championships by 1918. However, they then went into one of the longest championship droughts in baseball history, dubbed the "Curse of the Bambino" after its alleged inception due to the Red Sox' sale of star player Babe Ruth to the rival New York Yankees two years after their World Series championship in 1918. The Sox endured an 86-year wait before the team's sixth World Series championship in . The team's history during that period was punctuated with some of the most memorable moments in World Series history, including Enos Slaughter's "mad dash" in , the "Impossible Dream" of , Carlton Fisk's home run in , and Bill Buckner's error in . Following their victory in the 2018 World Series, they became the first team to win four World Series trophies in the 21st century, with championships in 2004, , and 2018. The team's history has also been marked by its intense rivalry with the New York Yankees, arguably the fiercest and most historic in North American professional sports. The Red Sox are owned by Fenway Sports Group, which also owns Liverpool of the Premier League in England, the National Hockey League's Pittsburgh Penguins and partially owns RFK Racing of the NASCAR Cup Series. They are consistently one of the top MLB teams in average road attendance, while the small capacity of Fenway Park prevents them from leading in overall attendance. From May 15, 2003, to April 10, 2013, the Red Sox sold out every home game—a total of 820 games (794 regular season) for a major professional sports record. Both Neil Diamond's "Sweet Caroline" and the Standells' "Dirty Water" have become anthems for the Red Sox. As of the end of the 2024 season, the franchise's all-time regular-season record is (). Nickname. The name "Red Sox", chosen by owner John I. Taylor after the 1907 season, refers to the red hose in the team uniform beginning in 1908. "Sox" had been previously adopted for the Chicago White Sox by newspapers needing a headline-friendly form of "Stockings", as "Stockings Win!" in large type did not fit in a column. The team name "Red Sox" had previously been used as early as 1888 by a 'colored' team from Norfolk, Virginia. The Spanish language media sometimes refers to the team as , a translation of "red socks". The official Spanish site uses the variant "Los Red Sox". The Red Stockings nickname was previously used by the Cincinnati Red Stockings, who were members of the pioneering National Association of Base Ball Players. Managed by Harry Wright, Cincinnati adopted a uniform with white knickers and red stockings and earned the famous nickname, a year or two before hiring the first fully professional team in 1869. When the club folded after the 1870 season, Wright was hired by Boston businessman Ivers Whitney Adams to organize a new team in Boston, and he brought three teammates and the "Red Stockings" nickname along. (Most nicknames were then unofficial—neither club names nor registered trademarks—so the migration was informal.) The Boston Red Stockings won four championships in the five seasons of the new National Association, the first professional league. When a new Cincinnati club was formed as a charter member of the National League in 1876, the "Red Stockings" nickname was commonly reserved for them once again, and the Boston team was referred to as the "Red Caps". Other names were sometimes used before Boston officially adopted the nickname "Braves" in 1912; the club eventually left Boston for Milwaukee and is now playing in Atlanta. In 1901, the upstart American League established a competing club in Boston. (Originally, a team was supposed to be started in Buffalo, but league ownership at the last minute removed that city from their plans in favor of the expansion Boston franchise.) For seven seasons, the AL team wore "dark blue" stockings and had no official nickname. They were simply "Boston", "Bostonians" or "the Bostons"; or the "Americans" or "Boston Americans" as in "American Leaguers", Boston being a two-team city. Their 1901–1907 jerseys, both home, and road, just read "Boston", except for 1902 when they sported large letters "B" and "A" denoting "Boston" and "American". Newspaper writers of the time used other nicknames for the club, including "Somersets" (for owner Charles Somers), "Plymouth Rocks", "Beaneaters", the "Collinsites" (for manager Jimmy Collins)", and "Pilgrims". For years many sources have listed "Pilgrims" as the early Boston AL team's "official" nickname, but researcher Bill Nowlin has demonstrated that the name was barely used, if at all, during the team's early years. The origin of the nickname appears to be a poem entitled "The Pilgrims At Home" written by Edwin Fitzwilliam that was sung at the 1907 home opener ("Rory O'More" melody). This nickname was commonly used during that season, perhaps because the team had a new manager and several rookie players. John I. Taylor had said in December 1907 that the Pilgrims "sounded too much like homeless wanderers." The National League club in Boston, though seldom called the "Red Stockings" anymore, still wore red trim. In 1907, the National League club adopted an all-white uniform, and the American League team saw an opportunity. On December 18, 1907, Taylor announced that the club had officially adopted red as its new team color. The 1908 uniforms featured a large icon of a red stocking angling across the shirt front. For 1908, the National League club returned to wearing red trim, but the American League team finally had an official nickname and remained the "Red Sox" for good. The name is often shortened to "Bosox" or "BoSox", a combination of "Boston" and "Sox" (similar to the "ChiSox" in Chicago or the minor league "WooSox" of Worcester, a minor league affiliate of Boston). Sportswriters sometimes refer to the Red Sox as the "Crimson Hose" and "the Olde Towne Team". Recently, media have begun to call them the "Sawx" casually, reflecting how the word is pronounced with a New England accent. However, most fans simply refer to the team as the "Sox" when the context is understood to mean Red Sox. The formal name of the entity which owns the team is "Boston Red Sox Baseball Club Limited Partnership". The name shown on a door near the main entrance to Fenway Park, "Boston American League Baseball Company", was used prior to the team's reorganization as a limited partnership on May 26, 1978. History. 1901–1919: The golden era. In 1901, the minor Western League, led by Ban Johnson, declared itself to be equal to the National League, then the only major league in baseball. Johnson had changed the name of the league to the American League prior to the 1900 season. In 1901, the league created a franchise in Boston, called the "Boston Americans", to compete with the National League team there. Playing their home games at Huntington Avenue Grounds, the Boston franchise finished second in the league in 1901 and third in 1902. The team was originally owned by C.W. Somers. In January 1902, he sold all but one share of the team to Henry Killilea. The early teams were led by manager and star third baseman Jimmy Collins, outfielders Chick Stahl, Buck Freeman, and Patsy Dougherty, and pitcher Cy Young, who in 1901 won the pitching Triple Crown with 33 wins (41.8% of the team's 79 wins), 1.62 ERA and 158 strikeouts. In 1903, the team won their first American League pennant and, as a result, Boston participated in the first modern World Series, going up against the Pittsburgh Pirates. Aided by the modified chants of "Tessie" by the Royal Rooters fan club and by its stronger pitching staff, the Americans won the best-of-nine series five games to three. In April 1904, the team was purchased by John I. Taylor of Boston. The 1904 team found itself in a pennant race against the New York Highlanders. A predecessor to what became a storied rivalry, this race featured the trade of Patsy Dougherty to the Highlanders for Bob Unglaub. In order to win the pennant, the Highlanders needed to win both games of their final doubleheader with the Americans at the Highlanders' home stadium, Hilltop Park. With Jack Chesbro on the mound, and the score tied 2–2 with a man on third in the top of the ninth, a spitball got away from Chesbro and Lou Criger scored the go-ahead run and the Americans won their second pennant. However, the NL champion New York Giants declined to play any postseason series, but a sharp public reaction led the two leagues to make the World Series a permanent championship, starting in 1905. In 1906, Boston lost 105 games and finished last in the league. In December 1907, Taylor proposed that the Boston Americans name change to the Boston Red Sox. By 1909, center fielder Tris Speaker had become a fixture in the Boston outfield, and the team finished the season in third place. In 1912, the Red Sox won 105 games and the pennant. The 105 wins stood as the club record until the 2018 club won 108. Anchored by an outfield including Tris Speaker, Harry Hooper and Duffy Lewis, and pitcher Smoky Joe Wood, the Red Sox beat the New York Giants 4–3–1 in the 1912 World Series best known for Snodgrass's Muff. From 1913 to 1916, the Red Sox were owned by Joseph Lannin. In 1914, Lannin signed a young up-and-coming pitcher named Babe Ruth from the Baltimore Orioles of the International League. In 1915, the team won 101 games and went on to the 1915 World Series, where they beat the Philadelphia Phillies four games to one. Following the 1915 season, Tris Speaker was traded to the Cleveland Indians. The Red Sox went on to win the 1916 World Series, defeating the Brooklyn Robins. Harry Frazee bought the Red Sox from Joseph Lannin in 1916 for about $675,000. In 1918, Babe Ruth led the team to another World Series championship over the Chicago Cubs. Sale of Babe Ruth and aftermath (1920–1938). Prior to the sale of Babe Ruth, multiple trades occurred between the Red Sox and the Yankees. On December 18, 1918, outfielder Duffy Lewis, pitcher Dutch Leonard and pitcher Ernie Shore were traded to the Yankees for pitcher Ray Caldwell, Slim Love, Roxy Walters, Frank Gilhooley and $15,000. In July 1919, pitcher Carl Mays quit the team and then was traded to the Yankees for Bob McGraw, Allan Russell and $40,000. After Mays was traded, league president Ban Johnson suspended him due to his breaking of his contract with the Red Sox. The Yankees went to court after Johnson suspended Mays. After the Yankees were able to play Mays, the American League split into two factions: the Yankees, Red Sox and White Sox, known as the "Insurrectos", versus Johnson and the remaining five clubs, a.k.a. the "Loyal Five". On December 26, 1919, the team sold Babe Ruth, who had played the previous six seasons for the Red Sox, to the rival New York Yankees. The sale was announced on January 6, 1920. In 1919, Ruth had broken the single-season home run record, hitting 29 home runs. It was believed that Frazee sold Ruth to finance the Broadway musical "No, No, Nanette". While No, No, Nanette did not open on Broadway until 1925, Leigh Montville's book, "The Big Bam: The Life and Times of Babe Ruth", reports that "No, No, Nanette" had originated as a non-musical stage play called "My Lady Friends", which opened on Broadway in December 1919. According to the book, "My Lady Friends" had been financed by Ruth's sale to the Yankees. The sale of Babe Ruth came to be viewed as the beginning of the Yankees–Red Sox rivalry, considered the "best rivalry" by American sports journalists. In the December 1920, Wally Schang, Waite Hoyt, Harry Harper and Mike McNally were traded to the Yankees for Del Pratt, Muddy Ruel, Hank Thormahlen, Sammy Vick. The following winter, shortstop Everett Scott, and pitchers Bullet Joe Bush and Sad Sam Jones were traded to the Yankees for Roger Peckinpaugh, who was immediately traded to the Washington Senators, Jack Quinn, Rip Collins, Bill Piercy. On July 23, 1922, Joe Dugan and Elmer Smith were traded to the Yankees for Elmer Miller, Chick Fewster, Johnny Mitchell, and Lefty O'Doul. Acquiring Dugan helped the Yankees edge the St. Louis Browns in a tight pennant race. After late trades in 1922, a June 15 trading deadline went into effect. In 1923, Herb Pennock was traded by the Red Sox to the Yankees for Camp Skinner, Norm McMillan, and George Murray. The loss of several top players sent the Red Sox into free fall. During the 1920s and early 1930s, the Red Sox were fixtures in the second division, never finishing closer than 20 games out of first. The losses increased after Frazee sold the team to Bob Quinn in 1923. The team bottomed out in 1932 with a record of 43–111, still the worst record in franchise history. However, in 1931, Earl Webb set the all-time mark for most doubles in a season with 67. In 1933, Tom Yawkey bought the team. Yawkey acquired pitchers Wes Ferrell and Lefty Grove, Joe Cronin, a shortstop and manager, and first baseman Jimmie Foxx. In 1938, Foxx hit 50 home runs, which stood as a club record for 68 years. That year Foxx also set a club-record of 175 runs. 1939–1960: The Ted Williams era. In 1939, the Red Sox purchased the contract of outfielder Ted Williams from the minor league San Diego Padres of the Pacific Coast League, ushering in an era of the team sometimes called the "Ted Sox". Williams consistently hit for both high power and high average, and is generally considered one of the greatest hitters of all time. The right-field bullpens in Fenway were built in part for Williams' left-handed swing, and are sometimes called "Williamsburg". Before this addition, it was over to right field. He served two stints in the United States Marine Corps as a pilot and saw active duty in both World War II and the Korean War, missing at least five full seasons of baseball. His book "The Science of Hitting" is widely read by students of baseball. He is currently the last player to hit over .400 for a full season, batting .406 in 1941. Williams feuded with sports writers his whole career, calling them "The Knights of the Keyboard", and his relationship with the fans was often rocky as he was seen spitting towards the stands on more than one occasion. With Williams, the Red Sox reached the 1946 World Series but lost to the St. Louis Cardinals in seven games in part because of the use of the "Williams Shift", a defensive tactic in which the shortstop moves to the right side of the infield to make it harder for the left-handed-hitting Williams to hit to that side of the field. Some have claimed that he was too proud to hit to the other side of the field, not wanting to let the Cardinals take away his game. His performance may have also been affected by a pitch he took in the elbow in an exhibition game a few days earlier. Either way, in his only World Series, Williams gathered just five singles in 25 at-bats for a .200 average. The Cardinals won the 1946 Series when Enos Slaughter scored the go-ahead run all the way from first base on a base hit to left field. The throw from Leon Culberson was cut off by shortstop Johnny Pesky, who relayed the ball to the plate just a hair too late. Some say Pesky hesitated or "held the ball" before he turned to throw the ball, but this has been disputed. Along with Williams and Pesky, the Red Sox featured several other star players during the 1940s, including second baseman Bobby Doerr and center fielder Dom DiMaggio (the younger brother of Joe DiMaggio). The Red Sox narrowly lost the AL pennant in 1948 and 1949. In 1948, Boston finished in a tie with Cleveland, and their loss to Cleveland in a one-game playoff ended hopes of an all-Boston World Series. Curiously, manager Joseph McCarthy chose journeyman Denny Galehouse to start the playoff game when the young lefty phenom Mel Parnell was available to pitch. In 1949, the Red Sox were one game ahead of the New York Yankees, with the only two games left for both teams being against each other, and they lost both of those games. The 1950s were viewed as a time of tribulation for the Red Sox. After Williams returned from the Korean War in 1953, many of the best players from the late 1940s had retired or been traded. The stark contrast in the team led critics to call the Red Sox' daily lineup "Ted Williams and the Seven Dwarfs". Jackie Robinson was even worked out by the team at Fenway Park, however, owner Tom Yawkey did not want an African American player on his team. Willie Mays also tried out for Boston and was highly praised by team scouts. In 1955, Frank Malzone debuted at third base and Ted Williams hit .388 at the age of 38 in 1957, but there was little else for Boston fans to root for. Williams retired at the end of the 1960 season, famously hitting a home run in his final at-bat as memorialized in the John Updike story "Hub fans bid Kid adieu." The Red Sox finally became the last Major League team to field an African American player when they promoted infielder Pumpsie Green from their AAA farm team in 1959. 1960s: Yaz and the Impossible Dream. The 1960s also started poorly for the Red Sox, though 1961 saw the debut of Carl "Yaz" Yastrzemski, Williams' replacement in left field, who developed into one of the better hitters of a pitching-rich decade. Red Sox fans know 1967 as the season of the "Impossible Dream". The slogan refers to the hit song from the popular musical play "Man of La Mancha". 1967 saw one of the great pennant races in baseball history with four teams in the AL pennant race until almost the last game. The BoSox had finished the 1966 season in ninth place, but they found new life with Yastrzemski as the team won the pennant to reach the 1967 World Series. Yastrzemski won the American League Triple Crown (the most recent player to accomplish such a feat until Miguel Cabrera did so in 2012), hitting .326 with 44 home runs and 121 runs batted in. He was named the league's Most Valuable Player, just one vote shy of a unanimous selection as a Minnesota sportswriter placed Twins center fielder César Tovar first on his ballot. But the Red Sox lost the series to the St. Louis Cardinals in seven games. Cardinals pitcher Bob Gibson stymied the Red Sox, winning three games. An 18-year-old Bostonian rookie named Tony Conigliaro slugged 24 home runs in 1964. "Tony C" became the youngest player in Major League Baseball to hit his 100th home run, a record that stands today. He was struck just above the left cheek bone by a fastball thrown by Jack Hamilton of the California Angels on Friday, August 18, 1967, and sat out the entire next season with headaches and blurred vision. Although he did have a productive season in 1970, he was never the same. 1970s: The Red Hat Era. Although the Red Sox were competitive for much of the late 1960s and early 1970s, they never finished higher than second place in their division. The closest they came to a divisional title was 1972 when they lost by a half-game to the Detroit Tigers. The start of the season was delayed by a players' strike, and the Red Sox had lost one more game to the strike than the Tigers had. Games lost to the strike were not made up. The Red Sox went to Detroit with a half-game lead for the final series of the season, but lost the first two of those three and were eliminated from the pennant race. 1975. The Red Sox won the AL pennant in 1975. The 1975 Red Sox were as colorful as they were talented, with Yastrzemski and rookie outfielders Jim Rice and Fred Lynn, veteran outfielder Dwight Evans, catcher Carlton Fisk, and pitchers Luis Tiant and eccentric junkballer Bill "The Spaceman" Lee. Fred Lynn won both the American League Rookie of the Year award and the Most Valuable Player award, a feat which had never previously been accomplished, and was not duplicated until Ichiro Suzuki did it in 2001. In the 1975 American League Championship Series, the Red Sox swept the Oakland A's. In the 1975 World Series, they faced the heavily favored Cincinnati Reds, also known as The Big Red Machine. Luis Tiant won games 1 and 4 of the World Series but after five games, the Red Sox trailed the series 3 games to 2. Game 6 at Fenway Park is considered among the greatest games in postseason history. Down 6–3 in the bottom of the eighth inning, Red Sox pinch hitter Bernie Carbo hit a three-run homer into the center field bleachers off Reds fireman Rawly Eastwick to tie the game. In the top of the 11th inning, right fielder Dwight Evans made a spectacular catch of a Joe Morgan line drive and doubled off Ken Griffey at first base to preserve the tie. In the bottom of the 12th inning, Carlton Fisk hit a deep fly ball that sliced towards the left-field foul pole above the Green Monster. As the ball sailed into the night, Fisk waved his arms frantically towards fair territory, seemingly pleading with the ball not to go foul. The ball complied, and bedlam ensued at Fenway as Fisk rounded the bases to win the game for the Red Sox 7–6. The Red Sox lost game 7, 4–3 even though they had an early 3–0 lead. Starting pitcher Bill Lee threw a slow looping curve which he called a "Leephus pitch" or "space ball" to Reds first baseman Tony Pérez who hit the ball over the Green Monster and across the street. The Reds scored the winning run in the 9th inning. Carlton Fisk said famously about the 1975 World Series, "We won that thing 3 games to 4." 1978 pennant race. In 1978, the Red Sox and the Yankees were involved in a tight pennant race. The Yankees were games behind the Red Sox in July, and on September 10, after completing a 4-game sweep of the Red Sox (known as "The Boston Massacre"), the Yankees tied for the divisional lead. On September 16 the Yankees held a game lead over the Red Sox, but the Sox won 11 of their next 13 games and by the final day of the season, the Yankees' magic number to win the division was one—with a win over Cleveland or a Boston loss to the Toronto Blue Jays clinching the division. However, New York lost 9–2 and Boston won 5–0, forcing a one-game playoff to be held at Fenway Park on Monday, October 2. The most remembered moment from the game was Bucky Dent's 7th inning three-run home run in off Mike Torrez just over the Green Monster, giving the Yankees their first lead. The dejected Boston manager, Don Zimmer, gave Mr. Dent a new middle name which lives on in Boston sports lore to this day, uttering three words as the ball sailed over the left-field wall: "Bucky Fucking Dent!" Reggie Jackson provided a solo home run in the 8th that proved to be the difference in the Yankees' 5–4 win, which ended with Yastrzemski popping out to Graig Nettles in foul territory with Rick Burleson representing the tying run at third. Although Dent became a Red Sox demon, the Red Sox got retribution in 1990 when the Yankees fired Dent as their manager during a series at Fenway Park. 1986 World Series and Game Six. Carl Yastrzemski retired after the 1983 season, during which the Red Sox finished sixth in the seven-team AL East, posting their worst record since 1966. However, in 1986, it appeared that the team's fortunes were about to change. The offense had remained strong with Jim Rice, Dwight Evans, Don Baylor and Wade Boggs. Roger Clemens led the pitching staff, going 24–4 with a 2.48 ERA, and had a 20-strikeout game to win both the American League Cy Young and Most Valuable Player awards. Clemens became the first starting pitcher to win both awards since Vida Blue in 1971. Despite spending a month and a half on the disabled list in the middle of the season, left-hander Bruce Hurst went 13–8, striking out 167 and pitching four shutout games. Boston sportswriters that season compared Clemens and Hurst to Don Drysdale and Sandy Koufax from the 1960s Los Angeles Dodgers. The Red Sox won the AL East for the first time in 11 seasons, and faced the California Angels in the ALCS. The teams split the first two games in Boston, but the Angels won the next two home games, taking a 3–1 lead in the series. With the Angels poised to win the series, the Red Sox trailed 5–2 heading into the ninth inning of Game 5. A two-run homer by Baylor cut the lead to one. With two outs and a runner on, and one strike away from elimination, Dave Henderson homered off Donnie Moore to put Boston up 6–5. Although the Angels tied the game in the bottom of the ninth, the Red Sox won in the eleventh on a Henderson sacrifice fly off Moore. The Red Sox then found themselves with six- and seven-run wins at Fenway Park in Games 6 and 7 to win the American League title. The Red Sox faced a heavily favored New York Mets team that had won 108 games in the regular season in the 1986 World Series. Boston won the first two games in Shea Stadium but lost the next two at Fenway, knotting the series at two games apiece. After Bruce Hurst recorded his second victory of the series in Game 5, the Red Sox returned to Shea Stadium looking to garner their first championship in 68 years. However, Game 6 became one of the most devastating losses in club history. After pitching seven strong innings, Clemens was lifted from the game with a 3–2 lead. Years later, Manager John McNamara said Clemens was suffering from a blister and asked to be taken out of the game, a claim Clemens denied. The Mets then scored a run off reliever and former Met Calvin Schiraldi to tie the score 3–3. The game went to extra innings, where the Red Sox took a 5–3 lead in the top of the 10th on a solo home run by Henderson, a double by Boggs and an RBI single by second baseman Marty Barrett. After recording two outs in the bottom of the 10th, a graphic appeared on the NBC telecast hailing Barrett as the Player of the Game and Bruce Hurst as Most Valuable Player of the World Series. A message even appeared briefly on the Shea Stadium scoreboard congratulating the Red Sox as World Series champions. After so many years of abject frustration, Red Sox fans around the world could taste victory. With the count at two balls and one strike, Mets catcher Gary Carter hit a single. It was followed by singles by Kevin Mitchell and Ray Knight. With Mookie Wilson batting, a wild pitch by Bob Stanley tied the game at 5. Wilson then hit a slow ground ball to first; the ball rolled through Bill Buckner's legs, allowing Knight to score the winning run from second. While Buckner was singled out as responsible for the loss, many observers—as well as both Wilson and Buckner—have noted that even if Buckner had fielded the ball cleanly, the speedy Wilson probably would have still been safe, leaving the game-winning run at third with two out. Many observers questioned why Buckner was in the game at that point considering he had bad knees and that Dave Stapleton had come in as a late-inning defensive replacement in prior series games. It appeared as though McNamara was trying to reward Buckner for his long and illustrious career by leaving him in the game. After falling behind 3–0, the Mets then won Game 7, concluding the devastating collapse and feeding the myth that the Red Sox were "cursed". This World Series loss had a strange twist: Red Sox General Manager Lou Gorman was vice-president, player personnel, of the Mets from 1980 to 1983. Working under Mets' GM Frank Cashen, with whom Gorman served with the Orioles, he helped lay the foundation for the Mets' championship. 1988–1991: Morgan Magic. The Red Sox returned to the postseason in 1988. With the club in fourth place midway through the 1988 season at the All-Star break, manager John McNamara was fired and replaced by Walpole resident and longtime minor-league manager Joe Morgan on July 15. The club immediately won 12 games in a row, and 19 of 20 overall, to surge to the AL East title in what was called "Morgan Magic". But the magic was short-lived, as the team was swept by the Oakland Athletics in the ALCS. The Most Valuable Player of that Series was former Red Sox pitcher and Baseball Hall of Fame player Dennis Eckersley, who saved all four wins for Oakland. Two years later, in 1990, the Red Sox again won the division and face the Athletics in the ALCS. However, the outcome was the same, with the A's sweeping the ALCS in four straight. In 1990, Yankees fans started to chant "1918!" to taunt the Red Sox. The demeaning chant echoed at Yankee Stadium each time the Red Sox were there. Also, Fenway Park became the scene of Bucky Dent's worst moment as a manager, although it was where he had his greatest triumph. In June, when the Red Sox swept the Yankees during a four-game series at Fenway Park, the Yankees fired Dent as their manager. Red Sox fans felt retribution to Dent being fired on their field, but the Yankees used him as a scapegoat. However, Dan Shaughnessy of "The Boston Globe" severely criticized Yankees owner George Steinbrenner for firing Dent—his 18th managerial change in as many years since becoming owner—in Boston and said he should "have waited until the Yankees got to Baltimore" to fire Dent. He said that "if Dent had been fired in Seattle or Milwaukee, this would have been just another event in an endless line of George's jettisons. But it happened in Boston and the nightly news had its hook." "The firing was only special because ... it's the first time a Yankee manager—who was also a Red Sox demon—was purged on the ancient Indian burial grounds of the Back Bay." However, Bill Pennington called the firing of Dent "merciless". 1992–2001: Mixed results. Tom Yawkey died in 1976, and his wife Jean R. Yawkey took control of the team until her death in 1992. Their initials are shown in two stripes on the left field wall in Morse code. Upon Jean's death, control of the team passed to the Yawkey Trust, led by John Harrington. The trust sold the team in 2002, concluding 70 years of Yawkey ownership. In 1994, General Manager Lou Gorman was replaced by Dan Duquette, a Massachusetts native who had worked for the Montreal Expos. Duquette revived the team's farm system, which during his tenure produced players such as Nomar Garciaparra, Carl Pavano and David Eckstein. Duquette also spent money on free agents, notably an 8-year, $160 million deal for Manny Ramírez after the 2000 season. The Red Sox won the newly realigned American League East in 1995, finishing seven games ahead of the Yankees. However, they were swept in three games in the ALDS by the Cleveland Indians. Their postseason losing streak reached 13 straight games, dating back to the 1986 World Series. Roger Clemens tied his major league record by fanning 20 Detroit Tigers on September 18, 1996, in one of his final appearances in a Red Sox uniform. After Clemens had turned 30 and then had four seasons, 1993–96, which were by his standards mediocre at best, Duquette said the pitcher was entering "the twilight of his career". Clemens went on to pitch well for another ten years and win four more Cy Young Awards. Out of contention in 1997, the team traded closer Heathcliff Slocumb to Seattle for catching prospect Jason Varitek and right-handed pitcher Derek Lowe. Prior to the start of the 1998 season, the Red Sox dealt pitchers Tony Armas Jr. and Carl Pavano to the Montreal Expos for pitcher Pedro Martínez. Martínez became the anchor of the team's pitching staff and turned in several outstanding seasons. In 1998, the team won the American League Wild Card but again lost the American League Division Series to the Indians. In 1999, Duquette called Fenway Park "economically obsolete" and, along with Red Sox ownership, led a push for a new stadium. On the field, the 1999 Red Sox were finally able to overturn their fortunes against the Indians in the American League Division Series. Cleveland took a 2–0 series lead, but Boston won the next three games behind strong pitching by Derek Lowe, Pedro Martínez and his brother Ramón Martínez. Game 4's 23–7 win by the Red Sox was the highest-scoring playoff game in major league history. Game 5 began with the Indians taking a 5–2 lead after two innings, but Pedro Martínez, nursing a shoulder injury, came on in the fourth inning and pitched six innings without allowing a hit while the team's offense rallied for a 12–8 win behind two home runs and seven runs batted in from outfielder Troy O'Leary. After the ALDS victory, the Red Sox lost the American League Championship Series to the Yankees, four games to one. The one bright spot was a lopsided win for the Red Sox in the much-hyped Martinez-Clemens game. 2002–present: John Henry era. 2002–03. In 2002, the Red Sox were sold by Yawkey trustee and president Harrington to New England Sports Ventures, a consortium headed by principal owner John Henry. Tom Werner served as executive chairman, Larry Lucchino served as president and CEO, and serving as vice-chairman was Les Otten. Dan Duquette was fired as GM of the club on February 28, with former Angels GM Mike Port taking the helm for the 2002 season. A week later, manager Joe Kerrigan was fired and was replaced by Grady Little. While nearly all offseason moves were made under Duquette, such as signing outfielder Johnny Damon away from the Oakland Athletics, the new ownership made additions such as outfielder Cliff Floyd and relief pitcher Alan Embree. Nomar Garciaparra, Manny Ramírez, and Floyd all hit well, while Pedro Martínez put up his usual outstanding numbers. Derek Lowe, newly converted into a starter, won 20 games—becoming the first player to save 20 games and win 20 games in back-to-back seasons. After failing to reach the playoffs, Port was replaced by Yale University graduate Theo Epstein. Epstein, raised in Brookline, Massachusetts, and just 28 at the time of his hiring, became the youngest general manager in MLB history. The 2003 team was known as the "Cowboy Up" team, a nickname derived from first baseman Kevin Millar's challenge to his teammates to show more determination. In the 2003 American League Division Series, the Red Sox rallied from a 0–2 series deficit against the Athletics to win the best-of-five series. Derek Lowe returned to his former relief pitching role to save Game 5, a 4–3 victory. The team then faced the Yankees in the 2003 American League Championship Series. In Game 7, Boston led 5–2 in the eighth inning, but Pedro Martínez allowed three runs to tie the game. The Red Sox could not score off Mariano Rivera over the last three innings and eventually lost the game 6–5 when Yankee third baseman Aaron Boone hit a solo home run off Tim Wakefield. Some placed the blame for the loss on manager Grady Little for failing to remove starting pitcher Martínez in the 8th inning after some observers believe he began to show signs of tiring. It was stated by Epstein that the decision to not renew Little's contract was "made on a body of work after careful contemplation of the big picture...did not depend on any one decision in any one postseason game." Boston would hire former Philadelphia Phillies manager Terry Francona to manage the 2004 season. "The Idiots": 2004 World Series Championship. During the 2003–04 offseason, the Red Sox acquired another ace pitcher, Curt Schilling, and a closer, Keith Foulke. Due to some midseason struggles with injuries, management shook up the team at the July 31 trading deadline as part of a four-team trade. The Red Sox traded the team's popular, yet oft-injured, shortstop Nomar Garciaparra and outfielder Matt Murton to the Chicago Cubs, and received first baseman Doug Mientkiewicz from the Minnesota Twins, and shortstop Orlando Cabrera from the Montreal Expos. In a separate transaction, the Red Sox acquired center fielder Dave Roberts from the Los Angeles Dodgers. Following the trades, the club won 22 out of 25 games and qualified for the playoffs as the AL Wild Card. Players and fans affectionately referred to the players as "the Idiots", a term coined by Damon and Millar during the playoff push to describe the team's eclectic roster and devil-may-care attitude toward their supposed "curse". Boston began the postseason by sweeping the AL West champion Anaheim Angels in the ALDS. In the third game of the series, David Ortiz hit a walk-off two-run homer in the 10th inning to win the game and the series to advance to a rematch of the previous year's ALCS in the ALCS against the Yankees. The ALCS started very poorly for the Red Sox, as they lost the first three games (including a crushing 19–8 home loss in game 3). In Game 4, the Red Sox found themselves facing elimination, trailing 4–3 in the ninth with Mariano Rivera in to close for the Yankees. After Rivera issued a walk to Millar, Roberts came on to pinch run and promptly stole second base. He then scored on an RBI single by Bill Mueller, sending the game into extra innings. The Red Sox went on to win the game 6–4 on a two-run home run by Ortiz in the 12th inning. The odds were still very much against the Sox in the series, but Ortiz also made the walk-off hit in the 14th inning of Game 5. The comeback continued with a victory from an injured Schilling in Game 6. Three sutures being used to stabilize the tendon in Schilling's right ankle bled throughout the game, famously making his sock appear bloody red. With it, Boston became the first team in MLB history to force a series-deciding Game 7 after trailing 3–0 in games. The Red Sox completed their historic comeback in Game 7 with a 10–3 victory over the Yankees. Ortiz began the scoring with a two-run homer. Along with his game-winning runs batted in during games 4 and 5, he was named ALCS Most Valuable Player. The Red Sox joined the 1942 Toronto Maple Leafs and the 1975 New York Islanders as the only North American professional sports teams in history at the time to win a best-of-seven games series after being down 3–0. (The 2010 Philadelphia Flyers and the 2014 Los Angeles Kings would later accomplish the feat). The Red Sox swept the St. Louis Cardinals in the 2004 World Series. The Red Sox never trailed throughout the series; Mark Bellhorn hit a game-winning home run off Pesky's Pole in game 1, and Schilling pitched another bloodied-sock victory in game 2, followed by similarly masterful pitching performances by Martinez and Derek Lowe. It was the Red Sox' first championship in 86 years. Manny Ramírez was named World Series MVP. To add a final, surreal touch to Boston's championship season, on the night of Game 4 a total lunar eclipse colored the moon red over Busch Stadium. The Red Sox earned many accolades from the sports media and throughout the nation for their season, such as in December, when "Sports Illustrated" named the Boston Red Sox the 2004 Sportsmen of the Year. 2007: World Series Championship. The 2005 AL East was decided on the last weekend of the season, with the Yankees coming to Fenway Park with a one-game lead in the standings. The Red Sox won two of the three games to finish the season with the same record as the Yankees, 95–67. However, a playoff was not needed, as the loser of such a playoff would still make the playoffs as a wild card team. As the Yankees had won the season series, they were awarded the division title, and the Red Sox competed in the playoffs as the wild card team. Boston failed to defend their championship, and was swept in three games by the eventual 2005 World Series champion Chicago White Sox in the first round of the playoffs. In 2006 David Ortiz broke Jimmie Foxx's single-season Red Sox home run record by hitting 54 homers. However, Boston failed to make the playoffs after compiling a 9–21 record in the month of August due to several injuries in the club's roster. Theo Epstein's first step toward restocking the team for 2007 was to pursue one of the most anticipated acquisitions in baseball history. On November 14, MLB announced that Boston had won the bid for the rights to negotiate a contract with Japanese Nippon Professional Baseball superstar pitcher Daisuke Matsuzaka. Boston placed a bid of $51.1 million to negotiate with Matsuzaka and completed a 6-year, $52 million contract after they were announced as the winning bid. The Red Sox moved into first place in the AL East by mid-April and never relinquished their division lead. Initially, rookie second baseman Dustin Pedroia under-performed, hitting below .200 in April. Manager Terry Francona refused to bench him and his patience paid off as Pedroia eventually won the AL Rookie of the Year Award for his performance that season, which included 165 hits and a .317 batting average. On the mound, Josh Beckett emerged as the ace of the staff with his first 20-win season, as fellow starting pitchers Schilling, Matsuzaka, Wakefield and Julián Tavárez all struggled at times. Relief pitcher Hideki Okajima, another recent arrival from the NPB, posted an ERA of 0.88 through the first half and was selected for the All-Star Game. Okajima finished the season with a 2.22 ERA and 5 saves, emerging as one of baseball's top relievers. Minor league call-up Clay Buchholz provided a spark on September 1 by pitching a no-hitter in his second career start. The Red Sox captured their first AL East title since 1995. The Red Sox swept the Angels in the ALDS. Facing the Cleveland Indians in the ALCS, the Red Sox fell in games 2, 3, and 4 before Beckett picked up his second victory of the series in game 5, starting a comeback. The Red Sox captured their twelfth American League pennant by outscoring the Indians 30–5 over the final three games. The Red Sox faced the Colorado Rockies in the 2007 World Series, and swept the Rockies in four games. In Game 4, Wakefield gave up his spot in the rotation to a recovered Jon Lester, who gave the Red Sox an impressive start, pitching shutout innings. Key home runs late in the game by third baseman Mike Lowell and pinch-hitter Bobby Kielty secured the Red Sox' second title in four years, as Lowell was named Most Valuable Player in the World Series. 2008–2012: Injuries and collapses. The Red Sox began their season by participating in the third opening day game in MLB history to be played in Japan, where they defeated the Oakland A's in the Tokyo Dome. On May 19, Jon Lester threw the 18th no-hitter in team history, defeating the Kansas City Royals 7–0. Down the stretch, outfielder Manny Ramirez became embroiled in controversy surrounding public incidents with fellow players and other team employees, as well as criticism of ownership and not playing, which some claimed was due to laziness and nonexistent injuries. The front office decided to move the disgruntled outfielder at the July 31 trade deadline, shipping him to the Dodgers in a three-way deal with the Pittsburgh Pirates that landed them Jason Bay to replace him in left field. With Ramirez gone, and Bay providing a new spark in the lineup, the Red Sox improved vastly and made the playoffs as the AL Wild Card. The Red Sox defeated the Angels in the 2008 ALDS three games to one. The Red Sox then took on their AL East rivals the Tampa Bay Rays in the ALCS. Down three games to one in the 5th game of the ALCS, Boston mounted a comeback from trailing 7–0 in the 7th inning to win 8–7. They tied the series at three games apiece with a Game 6 victory before losing Game 7, 3–1, thus becoming the eighth team in a row since 2000 to fail to repeat as World Series champions. The Red Sox returned to postseason play in 2009 but were swept in the ALDS by the Los Angeles Angels. In 2010, they placed third in the division and failed to make the playoffs. In 2011, the Red Sox collapsed, becoming the first team in MLB history to blow a 9-game lead in the division heading into September, going 7–20 in the final month and failing again to make the playoffs. In December 2011, Bobby Valentine was hired as a new manager. The 2012 season marked the centennial of Fenway Park, and on April 20, past and present Red Sox players and coaches assembled to celebrate the park's anniversary. However, the collapse that they endured in September 2011 carried over into the season. The Red Sox struggled throughout the season due to injuries, inconsistent play, and off-field news. They finished 69–93 for their first losing season since 1997 and their worst season since 1965. Boston Strong: 2013 World Series Champions. Boston, which finished last in the American League East with a 69–93 record in 2012 (26 games behind the Yankees), became the 11th team in major league history to go from worst in the division to first the next season when it clinched the A.L. East division title on September 20, 2013. Many credit the team's turnaround with the hiring of manager John Farrell, the former Red Sox pitching coach under Terry Francona from 2007 to 2010. As a former member of the staff, he had the respect of influential players such as Lester, Pedroia, and Ortiz. But there were other moves made in the offseason by general manager Ben Cherington who targeted "character" players to fill the team's needs. These acquisitions included veteran catcher David Ross, Jonny Gomes, Mike Napoli and Shane Victorino. While some questioned these players as "re-treads", it was clear that Cherington was trying to move past 2011–2012 by bringing in "clubhouse players". Essential to the turnaround, however, was the pitching staff. With ace veteran John Lackey coming off Tommy John surgery and both Jon Lester and Clay Buchholz returning to their prior form, this allowed the team to rely less on their bullpen. Everything seemed in danger of collapsing, however, when both closers, Joel Hanrahan and Andrew Bailey, went down early with season-ending injuries. Farrell gave the closing job to Koji Uehara on June 21 who delivered with a 1.09 ERA and an MLB record 0.565 WHIP. On September 11, the 37-year-old right-hander set a new Red Sox record when he retired 33 straight batters. Other reasons include the trade deadline acquisition of pitcher Jake Peavy when the Red Sox were in second place in the AL East, the depth of the bench with players such as Mike Carp and rookies Jackie Bradley Jr. and Xander Bogaerts, and the re-emergence of players such as Will Middlebrooks and Daniel Nava. On September 28, 2013, the team secured home field advantage throughout the American League playoffs when their closest competition, the Oakland Athletics, lost. The next day, the team finished the season going 97–65, the best record in the American League and tied with the St. Louis Cardinals for the best record in baseball. They proceeded to defeat the St. Louis Cardinals in the 2013 World Series, four games to two. The Red Sox became the first team since the 1991 Minnesota Twins to win the World Series a year after finishing in last place, and the second overall. The 2012 Red Sox's .426 winning percentage was the lowest for a team in a season prior to a World Series championship. Throughout the season, the Red Sox players and organization formed a close association with the city of Boston and its people in relation to the Boston Marathon bombing that occurred on April 15, 2013. On April 20, the day after the alleged bombers were captured, David Ortiz gave a pre-game speech following a ceremony honoring the victims and the local law enforcement, in which he stated, "This is our fucking city! And nobody is going to dictate our freedom! Stay strong!" For the entirety of the season, the team wore an additional arm patch that exhibited the Red Sox "B" logo and the word "Strong" within a blue circle. The team also hung up in the dugout a custom jersey that read "Boston Strong" with the number 617, representing the city of Boston's area code. On many occasions during the season, victims of the attack and law enforcement involved were given the honor of throwing the ceremonial first pitch. Following their victory in the 2013 World Series, the first one clinched at home in Fenway Park since 1918, Red Sox players Jonny Gomes and Jarrod Saltalamacchia performed a ceremony during the team's traditional duck boat victory parade, in which they placed the World Series trophy and the custom 617 jersey on the Boston Marathon finish line on Boylston Street, followed by a moment of silence and the singing of "God Bless America". This ceremony helped the city "reclaim" its spirit that was lost after the bombing. Overall, the Red Sox team and organization played a role in the healing process after the tragedy, owing to the team's unifying effect on the city. 2014–2017. Following the 2013 championship, the team finished last in the AL East during 2014 with a record of 71–91, and again in 2015 with a record of 78–84. On September 12, 2015, David Ortiz hit his 500th career home run off Matt Moore in Tropicana Field becoming the 27th player in MLB history to achieve that prestigious milestone; in November 2015, Ortiz announced that the 2016 season was to be his last. The Red Sox had a record of 93–69 and won their division in 2016, with six American League All-Stars, the AL Cy Young Award winner in Rick Porcello, and the runner-up for the AL Most Valuable Player Award, Mookie Betts. Rookie Andrew Benintendi established himself in the Red Sox outfield, and Steven Wright emerged as one of the year's biggest surprises. The Red Sox grabbed the lead in the AL East early and held on to it throughout the year, which included many teams honoring Ortiz throughout the season. Despite the success, the team lost five of their last six games of the regular season and were swept in the ALDS by the eventual American League Champion Cleveland Indians. The Red Sox once again finished with a record of 93–69 in 2017 and repeated as division champions. The team went 5–5 in their last ten regular-season games and were eliminated by the Houston Astros in the ALDS in four games. The Red Sox subsequently fired their manager, John Farrell, and hired Alex Cora, signing him to a three-year deal. "Damage done": 2018 World Series Championship. The Red Sox finished with a record, winning the American League East division title for the third consecutive season, eight games ahead of the second-place New York Yankees, and were the first team to clinch a berth in the 2018 postseason. The Red Sox surpassed the 100-win mark for the first time since 1946, broke the franchise record of 105 wins that had been set in 1912, and won the most games of any MLB team since the 2001 Seattle Mariners won 116. The 2018 Red Sox were led by All-Stars Mookie Betts, J. D. Martinez, Chris Sale, and Craig Kimbrel. Betts led baseball in batting average and slugging percentage, while Martinez led in runs batted in. Sale tossed only 158 innings due to a shoulder injury late in the year, but was otherwise superb, posting a 2.11 earned run average to go along with 237 strikeouts. Kimbrel saved 42 games and struck out 96 batters. The Red Sox entered the postseason as the top seed in the American League, and defeated the New York Yankees (100–62) in four games in the Division Series. Next, they defeated the defending champion Houston Astros (103–59) in five games in the League Championship Series. Boston then defeated the Los Angeles Dodgers (92–71) in five games in the World Series, for the team's fourth championship in 15 years and ninth in franchise history. The team's motto during the season, "do damage", became "damage done" upon their victory. Based on these exploits, the team is considered the best MLB team of the 2010s, one of the best Red Sox teams ever, and one of the best baseball teams since the 1998 New York Yankees. 2019–present: Decline and struggles. Despite retaining most players from the 2018 championship team, the 2019 Red Sox won 24 fewer games, finishing third in the division and missing the playoffs for the first time since 2015. President of Baseball Operations Dave Dombrowski was dismissed following a September loss to the Yankees. On October 28, the Red Sox hired Chaim Bloom as his replacement on a five-year contract, with the title of Chief Baseball Officer. On January 7, 2020, it was reported in "The Athletic" that the Red Sox had used their video replay room to steal signs during their 2018 season. On January 15, the Red Sox and manager Alex Cora agreed to mutually part ways after he was named in the MLB's report about the Houston Astros sign stealing scandal, which occurred during his tenure as bench coach with the 2017 Astros. Ron Roenicke was subsequently named Boston's interim manager. On February 10, a trade of Mookie Betts and David Price to the Los Angeles Dodgers was made official, in a move seen as a salary dump by analysts, although denied by Red Sox executives. In March, the start of the MLB season was indefinitely postponed, due to the COVID-19 pandemic. In April, the MLB's investigation into 2018 sign-stealing resulted in a finding of improper actions by the team's replay operator, who as a result was suspended for the 2020 season, and the team forfeited their second-round selection in the 2020 MLB draft. The "interim" tag was subsequently removed from Roenicke's title. The team struggled throughout their abbreviated 60-game regular season, contested July 24 through September 27, finishing in last place in the AL East division, with a record of 24–36. Prior to the final regular season game, management announced that Roenicke would not return as manager for the 2021 season. Alex Cora returned as manager for the 2021 season, with the team finishing at 92–70 and qualifying for the postseason as the fourth seed in the AL. The Red Sox defeated the Yankees in the AL Wild Card Game, and defeated the Rays in the Division Series, but were eliminated by the Astros in the League Championship Series. The 2022 season was much less successful, with the team finishing in last place within their division with a 78–84 record, the first losing record for the team in a 162-game season since 2015. In 2023, the Red Sox once again finished in last place in their division with a 78–84 record. Bloom was fired on September 14, 2023. His replacement, Craig Breslow, an executive with the Chicago Cubs and former pitcher for the Red Sox, was hired on October 25, 2023. Expectations were not high going into Breslow's first year at the helm. Many analysts and fans throughout the game believed that the Red Sox hadn't done enough throughout the 2024 offseason to improve their roster, especially after chairman Tom Werner claimed the team would go "full throttle". The frustration even reached the players, with star player Rafael Devers publicly voicing out his frustration with the team for not doing enough. This led to much speculation around baseball believing that John Henry's interest in the team had waned, especially due to his ventures into other sports. However, despite a mediocre 81–81 2024 season where the Red Sox once again missed the playoffs, there was some upside, with major prospects Kristian Campbell, Marcelo Mayer, and Roman Anthony making national headlines, and center fielder Jarren Duran winning the All-Star Game MVP. Going into the 2024–25 offseason, Red Sox fans were hoping to push forward and make more improvements than the last offseason. Although the offseason started off slow, the Red Sox made two major moves to improve their team, trading for White Sox ace Garrett Crochet, who would start for them on Opening Day, and signing third baseman Alex Bregman to a three-year, $120-million dollar deal. The Red Sox flipped the script, and entered the 2025 season as contenders for the American League title. Ballpark. The Red Sox have played their home games at Fenway Park since 1912, making the ballpark the oldest active ballpark in Major League Baseball, as well as the oldest active venue across the four major North American sports leagues (MLB, NBA, NFL, and NHL). Previously, the team played at the Huntington Avenue Grounds from its inception in 1901 through 1911. Regular season home attendance. Between May 15, 2003, and April 10, 2013, the Red Sox sold out every home game at Fenway park. The 820-game streak is a record for all major American sports, narrowly passing the Portland Trail Blazers record of 814 between 1977 and 1995. The previous major league baseball record had been held by the Cleveland Indians, who sold out 455 games between June 12, 1995, and April 2, 2001. Due to the COVID-19 pandemic, the 2020 season was contested behind closed doors, and some 2021 games were contested with limited attendance per local ordinances. Source: Spring training. The franchise's first spring training was held in Charlottesville, Virginia, in 1901, when the team was known as the Boston Americans. Since 1993, the city of Fort Myers, Florida, has hosted Boston's spring training, first at City of Palms Park, and since 2012 at JetBlue Park at Fenway South. JetBlue Park. In October 2008, the Lee County, Florida, Board of Commissioners approved an agreement with the Red Sox to build a new spring training facility for the team. In November 2008, the Red Sox signed an agreement with Lee County intended to keep their spring training home in the Fort Myers area for 30 more years. In April 2009, the Red Sox announced that the new stadium would be located on a lot north of Southwest Florida International Airport. In March 2011, the team and JetBlue Airlines officials announced that the new field would be named JetBlue Park at Fenway South. JetBlue Park opened in March 2012. Many characteristics of the stadium have been taken from Fenway Park, including a Green Monster wall in left field. Included in the wall is a restored version of the manual scoreboard that was housed at Fenway for almost 30 years, beginning in the 1970s. The field dimensions are identical to those at Fenway. Truck Day. The unofficial beginning of the spring training season for the Red Sox is Truck Day, the day a tractor-trailer filled with equipment leaves Fenway Park bound for the team's spring training facility in Florida. 2021's Truck Day was February 8. Rivalries. New York Yankees. The Red Sox and New York Yankees have been rivals for more than 100 years. The rivalry is often considered one of the oldest, fiercest and most famous rivalries in professional sports. The rivalry is often a heated subject of conversation in the Northeastern United States. Since the inception of the wild card team and an added Division Series, every postseason except for 2014 and 2023 has featured one or both of the American League East rivals. The two teams have squared off in the American League Championship Series (ALCS) three times, with the Yankees winning in 1999 and 2003 and the Sox winning in 2004. The teams have faced off in one American League Division Series (ALDS); 2018, won by the Red Sox in four games. The teams have played one American League Wild Card Game on October 5, 2021, which the Red Sox won as well. The teams have twice met in the last regular-season series to decide the league title, in 1904 (which the Red Sox won) and 1949 (which the Yankees won). The teams also finished tied for first in 1978, when the Yankees won a high-profile one-game playoff for the division title. The 1978 division race is memorable for the Red Sox having held a 14-game lead over the Yankees more than halfway through the season. In 2003, The Red Sox lost in Game 7 of the ALCS on Aaron Boone's walk-off home run. Similarly, the 2004 ALCS is notable for the Yankees leading 3 games to 0 and ultimately losing the best-of-seven series. The Red Sox comeback was the first time in major league history that a team came back from an 0–3 deficit to win a series. The rivalry is often termed "the best" and "greatest rivalry in all of sports." Games between the two teams often generate a great deal of interest and get extensive media coverage, including being broadcast on national television. Tampa Bay Rays. The rivalry between Boston and the Tampa Bay Rays developed in the late 2000s, after the two clubs had their first postseason meeting in the 2008 ALCS. Since then, both teams have won the American League East division a combined seven times. While the rivalry is more recent than Sox' rivalry with the Yankees, it has been called one of the most competitive in modern baseball. The teams have met three times in the MLB postseason, with the Rays winning the 2008 ALCS and the Red Sox winning the 2013 ALDS and 2021 ALDS. Media. Radio and television. The flagship radio station of the Red Sox is WEEI-FM 93.7. Joe Castiglione has broadcast Red Sox games since 1983 (initially assisting Ken Coleman) and has been the lead play-by-play announcer since 1993. Tim Neverett worked with him from 2016 through 2018, but in 2019, WEEI opted for a more conversational format with a variety of commentators (see the above link) alongside Castiglione. Former Red Sox player Lou Merloni has provided color commentary since 2013. Castiglione's predecessors include Curt Gowdy and Ned Martin. He has also worked with play-by-play veterans Bob Starr and Jerry Trupiano. Many stations throughout New England and beyond carry the broadcasts. On August 26, 2024, Rylee Pay and Emma Tiedemann became the first pair of women to call a Red Sox game. All Red Sox telecasts not shown nationally are available on New England Sports Network (NESN), with Dave O'Brien calling play-by-play, and Kevin Youkilis, Kevin Millar and Will Middlebrooks splitting color commentary duties. Jerry Remy, a former Red Sox second baseman, served as color analyst from 1988 up until his death in 2021. Remy had lung cancer, and would at times step away from broadcasting duties to focus on his health. Former Red Sox pitcher Dennis Eckersley worked as a color commentator for NESN until his retirement following the 2022 season. Several local television stations, including the original WHDH-TV, WNAC-TV (now the current WHDH), WBZ-TV, WSBK-TV, WLVI, WABU, and WFXT, broadcast Red Sox games prior to 2006, when NESN became the exclusive home of the team. Music. The integration of music into the culture of the Red Sox dates back to the Americans era, which saw the first use of the popular 1902 showtune "Tessie" as a rallying cry by fans. The tune saw a resurgence in popularity when a new version by Boston area band The Dropkick Murphys was featured in the 2005 film "Fever Pitch", which tells the story of an obsessive Red Sox fan. The song is frequently played after home wins and inspired the name of Red Sox mascot Wally the Green Monster's "sister" "Tessie". Their song "I'm Shipping Up to Boston" was used to signify the entrance of Boston's closing pitcher. "Dirty Water" by The Standells is played immediately after the final play of each Red Sox home win, followed by the Dropkick Murphys' "Tessie" Another song associated with the team and its fan base is Neil Diamond's 1969 single "Sweet Caroline". The song was first introduced to Fenway Park in 1997. By 2002, its play had been established as a nightly occurrence. It continues to be played at every home game during the 8th inning, sung along to by those in attendance. In 2007, Diamond revealed that the song was written for Caroline Kennedy, American diplomat and daughter of Boston icon President John F. Kennedy. Caroline Kennedy's great-grandfather, John F. Fitzgerald, threw Fenway Park's first-ever ceremonial opening pitch on April 20, 1912. When Diamond was named a Kennedy Center Honors recipient in 2011, Red Sox executive assistant Claire Durant arranged for 80 Red Sox fans to travel to Washington for the ceremony, which culminated in them singing the song behind Smokey Robinson onstage. Honors and achievements. Awards. For major MLB awards, voted by the Baseball Writers' Association of America (BBWAA), Red Sox players have won the MVP Award 12 times, most recently by Mookie Betts in 2018; the Cy Young Award seven times, most recently by Rick Porcello in 2016; Rookie of the Year six times, most recently by Dustin Pedroia in 2007; and Manager of the Year twice, most recently by Jimy Williams in 1999. Retired numbers. Previously, the Red Sox published three official requirements for a player to have his number retired on their website and in their annual media guides. The requirements were as follows: These requirements were reconsidered after the election of Carlton Fisk to the Hall of Fame in 2000; who met the first two requirements but played the second half of his career with the Chicago White Sox. As a means of meeting the criteria, then-GM Dan Duquette hired Fisk for one day as a special assistant, which allowed Fisk to technically finish his career with the Red Sox. In 2008, the Red Sox made an "exception" by retiring number 6 for Johnny Pesky. Pesky neither spent ten years as a player nor was elected to the Baseball Hall of Fame; however, Red Sox ownership cited "... his versatility of his contributions—on the field, off the field, [and] in the dugout ...", including as a manager, scout, and special instructor and decided that the honor had been well-earned. Pesky spent 57 years with the Red Sox organization; as a minor league player (1940–1941), major league player (1942, 1946–1952), minor league manager (1961–1962, 1990), major league manager (1963–1964, 1980), broadcaster (1969–1974), major league coach (1975–1984), and as a special instructor and assistant general manager (1985–2012). In 2015, the Red Sox chose to forgo the official criteria and retire Pedro Martínez' number 45. Martínez only spent seven of his 18 seasons in Boston. In justifying the number's retirement, Red Sox principal owner John Henry stated, "To be elected into the Baseball Hall of Fame upon his first year of eligibility speaks volumes regarding Pedro's outstanding career, and is a testament to the respect and admiration so many in baseball have for him." After announcing Martínez's number retirement, the official criteria no longer appeared on the team website nor future media guides. In 2017, less than eight months after he played the final game of his illustrious career, David Ortiz had his number 34 retired by the Red Sox. Ortiz was elected to the Hall of Fame in his first year of eligibility in 2022. To date, Ortiz is the only Red Sox player to have been on the active playoff roster of three World Series championship teams (2004, 2007, 2013) since the issuance of jersey numbers starting in 1931. The number 42 was officially retired by Major League Baseball in 1997, but Mo Vaughn was one of a handful of players to continue wearing number 42 due to a grandfather clause. He last wore it for the team in 1998. In commemoration of Jackie Robinson Day, MLB invited players to wear the number 42 for games played on April 15, which Coco Crisp (CF), David Ortiz (DH), and DeMarlo Hale (Coach) did in 2007 and again in 2008. Starting in 2009, MLB had all uniformed players for all teams wear number 42 for Jackie Robinson Day. While not officially retired, the Red Sox have not issued several numbers since the departure of prominent figures who wore them, specifically: There has also been debate in Boston media circles and among fans about the potential retiring of Tony Conigliaro's number 25. Nonetheless, since Conigliaro's last full season in Boston, 1970, the number has never been taken out of circulation and issued to multiple players—notably Troy O'Leary from 1995 to 2001—along with coach Dwight Evans in 2002 and manager Bobby Valentine in 2012. Until the late 1990s, the numbers originally hung on the right-field facade in the order in which they were retired: 9–4–1–8. It was pointed out that the numbers, when read as a date (9/4/18), marked the eve of the first game of the 1918 World Series, the last championship series that the Red Sox won before 2004. After the facade was repainted, the numbers were rearranged in numerical order. In 2012, the numbers were rearranged again in chronological order of retirement (9, 4, 1, 8, 27, 6, 14) followed by Robinson's 42. As additional numbers were retired, Robinson's 42 was moved to the right so it remains the right-most number hanging. Baseball Hall of Famers. BBWAA Career Excellence Award recipients. Several baseball writers, professionally based in Boston while writing about the Red Sox, have been recipients of the BBWAA Career Excellence Award (formerly the J. G. Taylor Spink Award), given for "meritorious contributions to baseball writing". Each of these writers spent at least part of their career with "The Boston Globe". Boston Red Sox Hall of Fame. Since 1995, the team has maintained its own hall of fame, recognizing distinguished careers of former uniformed and non-uniformed team personnel. Red Sox personnel inducted to the National Baseball Hall of Fame are automatically inducted to the team's hall of fame. Other honorees are chosen via a 15-member selection committee. Notable records and achievements. No-hitters. There have been 18 no-hitters thrown in Red Sox history, most recently by Jon Lester on May 19, 2008, against the Kansas City Royals. The franchise's first no-hitter is also the only perfect game in franchise history so far, thrown by Cy Young on May 5, 1904, against the Philadelphia Athletics. The first Red Sox rookie to throw a no-hitter was Clay Buchholz, doing so against the Baltimore Orioles on September 1, 2007, in his second Major League start. Hitting for the cycle. Red Sox batters have hit for the cycle 23 times in franchise history, tied for second most (with the San Francisco Giants) for all franchises behind the Pittsburgh Pirates, who have hit 24. On October 8, 2018, Brock Holt became the first player in MLB history to hit for the cycle in the postseason, doing so in a 16–1 win over the New York Yankees in Game 3 of the 2018 American League Division Series. The following is a list of Boston Red Sox players who have hit for the cycle: Minor league affiliations. Since the 2021 season, Boston's farm system has consisted of six minor league affiliates, fielding seven minor league teams (the Red Sox have two teams in the Dominican Summer League).
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Baltimore Orioles
The Baltimore Orioles (also known as the O's) are an American professional baseball team based in Baltimore. The Orioles compete in Major League Baseball (MLB) as a member club of the American League (AL) East Division. As one of the American League's eight charter teams in 1901, the franchise spent its first year as a major league club in Milwaukee as the Milwaukee Brewers before moving to St. Louis to become the St. Louis Browns in 1902. After 52 years in St. Louis, the franchise was purchased in 1953 by a syndicate of Baltimore business and civic interests, led by attorney and civic activist Clarence Miles and Mayor Thomas D'Alesandro Jr. The team's current owner is David Rubenstein. The Orioles' home ballpark is Oriole Park at Camden Yards, which opened in 1992 in downtown Baltimore. The oriole is the official state bird of Maryland; the name has been used by several baseball clubs in the city, including another AL charter member franchise which folded after the 1902 season and was replaced the next year by the New York Highlanders, later the Yankees. Nicknames for the team include the "O's" and the "Birds". The franchise's first World Series appearance came in when the Browns lost to the St. Louis Cardinals. The Orioles went on to make six World Series appearances from 1966 to 1983, winning three in , , and . This era of the club featured several future Hall of Famers who would later be inducted representing the Orioles, such as third baseman Brooks Robinson, outfielder Frank Robinson, starting pitcher Jim Palmer, first baseman Eddie Murray, shortstop Cal Ripken Jr., and manager Earl Weaver. The Orioles have won a total of ten division championships (1969, 1970, 1971, 1973, 1974, 1979, 1983, 1997, 2014, 2023), seven pennants (1944 while in St. Louis, 1966, 1969, 1970, 1971, 1979, 1983), and four wild card berths (1996, 2012, 2016, 2024). The franchise was the last charter member of the American League to win a pennant, and the last charter member to win a World Series. After 14 consecutive losing seasons between 1998 and 2011, the team qualified for the postseason three times under manager Buck Showalter and general manager Dan Duquette, including a division title and advancement to the American League Championship Series for the first time in 17 years in 2014. Four years later, the Orioles lost 115 games, the most in franchise history. The Orioles chose not to renew the expired contracts of Showalter and Duquette after the season, ending their respective tenures with Baltimore. The Orioles' current manager is Tony Mansolino serving as interim, while Mike Elias serves as general manager and executive vice president. Two years after finishing 52–110 in 2021, the Orioles went 101–61 in 2023, en route to winning the AL East for the first time since 2014. From 1901 through the end of 2024, the franchise's overall win–loss record is (). Since moving to Baltimore in 1954, the Orioles have an overall win–loss record of () through the end of 2024. History. The Orioles franchise can trace its roots back to the original Milwaukee Brewers of the Western League (WL), beginning in 1894 when the league reorganized. The Brewers were still league members when the WL renamed itself the American League (AL) in 1900. At the end of the 1900 season, the AL removed itself from baseball's National Agreement, the formal understanding between the National League (NL) and the minor leagues, and declared itself a competing major league. During 1901, the first season the AL operated as a major league, the Brewers finished last among the league's eight teams. In 1902, the team moved to St. Louis and became the "Browns", named after the original name of the 1880s club now known as the Cardinals. Although they usually fielded mediocre teams, they were very popular at the gate. In 1916, after years of prosperity at the gate, Robert Hedges sold the team to Phil Ball, who made a considerable effort to make the Browns competitive. However, Ball's tenure was marked by errors, including the firing of Branch Rickey, which eventually benefited the Cardinals, who shared Sportsman's Park with the Browns. The 1944 season saw the Browns winning their only St. Louis-based American League pennant, becoming the last of the 16 teams that made up the major leagues from 1901 to 1960, to play in a World Series. In 1951, Bill Veeck purchased the Browns and introduced a series of promotions and wild antics. Veeck's efforts to drive the Cardinals out of St. Louis failed when Anheuser-Busch purchased the Cardinals. Veeck attempted to move the Browns to Milwaukee and then Baltimore, but both moves were initially blocked by other American League owners. Eventually, Veeck sold his stake to a group of Baltimore investors, and the team moved to Baltimore for the 1954 season, renaming themselves the Baltimore Orioles. The name has a rich history in Baltimore, having been used by Baltimore baseball teams since the late 19th century. The Orioles' early years in Baltimore were marked by a gradual climb to respectability, leading to their first World Series title in 1966. The Orioles enjoyed a period of sustained success from 1966 to 1983, winning three World Series titles and six American League pennants. After the 1983 World Series win, the Orioles experienced a decline, culminating in the 1988 season where they lost the first 21 games. In 1989, the Orioles showed improvement with the "Why Not?" Orioles finishing second in the AL East. The opening of Oriole Park at Camden Yards in 1992 marked a new era, and the team returned to the playoffs in 1996 and 1997. However, the late 1990s and 2000s were characterized by losing seasons and rebuilding efforts. The Orioles saw a resurgence in the 2010s, making the playoffs in 2012, 2014, and 2016, with Buck Showalter as manager. The team struggled again towards the end of the decade, leading to a major rebuild. The 2020s have been marked by rebuilding efforts and developing young talent, aiming for future competitiveness. Return to success and ownership changes (2022–present). In 2022, anticipated first-round pick catcher Adley Rutschman made his major-league debut in addition to rookie closer Félix Bautista. The Orioles finished the 2022 season with a 83–79 record, becoming the second team in MLB history to have a winning season only one year after losing 110 or more games. On June 9, 2022, Louis Angelos sued his brother, Orioles chairman and CEO John P. Angelos, and mother Georgia Angelos in Baltimore County Circuit Court. Louis Angelos claims that their father intended for the brothers and their mother to share control of the team. The lawsuit states the elder Angelos collapsed in 2017 due to heart problems and established a trust with his wife and sons as co-trustees. Louis Angelos is seeking to have his brother and mother removed as co-trustees of the trust that controls the Orioles and removed as co-agents of Peter Angelos' power of attorney. The suit claims Georgia Angelos wants to sell the team and an advisor attempted to negotiate a sale in 2020 but John Angelos vetoed a potential deal. The suit claims Angelos unilaterally fired long-time employees loyal to his father, including former center fielder Brady Anderson, the longtime special assistant to the executive vice president for baseball operations. The suit claims John Angelos transferred tens of millions of dollars' worth of property out of his father's law firm and into a limited liability company controlled by his personal attorney. In separate statements released by the team, Georgia and John Angelos refuted the claims. In the event of any sale, Major League Baseball has reportedly encouraged Cal Ripken Jr to be part of any incoming ownership group that may take control of the team. 2023. In April 2023, the Orioles went 19–9, setting a franchise record for wins in the month of April. By August 2023, the Orioles, led by a core of first-and-second-year players Adley Rutschman, Gunnar Henderson, Félix Bautista and Kyle Bradish, were in first place in the division and described in "The Athletic" as "young, fun and arguably the best story in baseball." However, the front office went under scrutiny when it was reported that play-by-play announcer Kevin Brown had been suspended indefinitely by the Orioles for his pregame remarks on MASN, the team-owned network, two weeks earlier. During a "seemingly benign" introduction to a game against the Tampa Bay Rays, Brown observed that the team had not won a series at Tropicana Field in the past several seasons. It was described in "The Athletic" as a "petty" move by John Angelos, "the only person [in the organization] with enough power that no one dare question the validity of anything he says and does, no matter how foolish it is." Several broadcasters came to Brown's defense after the news broke. Gary Cohen said the team had "draped itself in utter humiliation" and Michael Kay said the suspension made "the Orioles look so small and insignificant and minor league." Brown returned to broadcasting for the team and stated in a public message that "recent media reports [had] mischaracterized my relationship with my adopted hometown Orioles" and that his relationship with the team was "wonderful". In May 2023, following the team's new water-themed celebrations, Camden Yards created a Bird Bath splash zone in left field, where fans in one section had the opportunity get sprayed by the water hose-wielding "Mr. Splash" following an Orioles extra base hit. The Orioles finished the 2023 season with a record of 101–61, winning the American League East division for the first time since 2014, and claiming their first 100+ win season since 1980. On July 30, the pitching staff of Dean Kremer, Mike Baumann, Shintaro Fujinami, Danny Coulombe, and Yennier Canó combined to set a franchise record for the most strikeouts in a 9-inning game against the Yankees. The 2023 pitching staff also broke the Orioles franchise record of single-season strikeouts on September 6. However, the team's successful season ended in the postseason American League Division Series, with the Orioles losing three straight games to the Texas Rangers. The series sweep was the first time since the 2022 season that the Orioles had been swept in a series. Manager Brandon Hyde was awarded 2023 AL Manager of the Year, and players Adley Rutschman and Gunnar Henderson both were awarded the Silver Slugger Award. Additionally, Henderson was voted unanimous AL Rookie of the Year, marking the first time the team had a ROY winner since Gregg Olson in 1989. 2024. In January 2024, John Angelos reached a $1.7 billion deal to sell the Orioles to a group led by David Rubenstein, a Baltimore native and founder of The Carlyle Group. The group includes Cal Ripken, New York investment manager Michael Arougheti, former Baltimore mayor Kurt Schmoke, businessman Michael Bloomberg and NBA hall of famer Grant Hill. For tax reasons, the group would acquire 40% of the team with the Angelos family selling the remainder of Peter Angelos' stake after his death. The deal includes the Orioles' majority stake in MASN. Peter Angelos died aged 94 on March 23, 2024; his death occurred four days before the sale of the Orioles was finalized. On August 1, 2024, the Orioles' majority ownership group led by private equity billionaire David Rubenstein took full control of the team, when a deal closed for the group to purchase the remainder of the organization. Logos and uniforms. The Orioles' home uniform is white with the word "Orioles" written across the chest. The road uniform is gray with the word "Baltimore" written across the chest. This style, with noticeable changes in the script, striping and materials, has been worn for much of the team's history, but with a few exceptions: A long campaign of several decades was waged by numerous fans and sportswriters to return the name of the city to the "away" jerseys which was used since the 1950s and had been formerly dropped during the 1970s era of Edward Bennett Williams when the ownership was continuing to market the team also to fans in the nation's capital region after the moving of the former Washington Senators in 1971. After several decades, approximately 20% of the team's attendance came from the metro Washington area. In 2013, ESPN ran a "Battle of the Uniforms" contest between all 30 Major League clubs. Despite using a ranking system that had the Orioles as a #13 seed, the Birds beat the #1 seed Cardinals in the championship round. Caps. The Orioles' cap design have alternated between the team's iconic "cartoon bird" logo and the full-bodied bird logo. Initially, the caps had the full-bodied bird logo between 1954 and 1965, alternating between an all-black cap and an orange-brimmed black cap. They also wore a black cap with an orange block-letter "B" for part of the 1963 season. The "cartoon bird" was first used in 1966, and with minor tweaks, was prominently featured on the team's caps until 1988. Initially, the Orioles kept the orange-brimmed black cap with the "cartoon bird" but switched to a white-paneled black cap with orange brim in 1975. Also that same year, they wore orange-paneled black caps to pair with the orange alternates, but these lasted only two seasons. In 1989, the full-bodied bird logo returned along with the all-black cap, with a few tweaks along the way. Initially the cap was used regardless of home or road games, but in 2002 the caps were worn only on the road until 2008. An orange-brimmed variety was also introduced in 1995. Initially exclusive to the team's black uniforms, this style became the home cap in 2002 and became the team's regular cap (home or away) from 2009 to 2011. In 2012, the Orioles brought back a modernized version of the "cartoon bird" along with the white-paneled and orange-brimmed black cap for home games and the orange-brimmed black cap for road games. Alternate uniforms. An alternate uniform is black with the word "Orioles" written across the chest. They first wore black uniforms in the 1993 season and continue to do so since; the current style with the letters lacking additional trim was first used in 2000. The Orioles wear their black alternate jerseys for Friday night games with the alternate "O's" cap (first introduced in 2005), whether at home or on the road; the regular batting helmet is still used with this uniform. In 2017, the Orioles began to use their batting practice caps for select games with the black uniforms. The aforementioned caps resemble their regular road caps save for the black bill. Occasionally, the Orioles would also wear the black alternates on other days of the week, often pairing them with the home or road "cartoon bird" caps. After the "City Connect" uniforms became the team's Friday home uniform (see below), the black alternates were only used on Friday road games and on home games depending on the preference of the starting pitcher. The Orioles also wore orange alternate uniforms at various points in their history. The orange alternates were first used in the 1971 season and were paired with orange pants, but these lasted only two seasons. The second orange uniform, which was a pullover style, was worn from 1975 to 1987, but were not worn at all in the 1983, 1985 and 1986 seasons. A third orange uniform was used from 1988 to 1992, returning to the button-down style. In 2012, the Orioles brought back the orange uniforms as a second alternate uniform; the team currently wears them on Saturdays at home or on the road, though they've also worn them on other days of the week either due to pitcher's preference or a previously postponed contest. For 2025, the Orioles brought back the all-orange alternate for select games, while keeping the orange uniform/white pants option for a few other games. In 2023, the Orioles introduced a City Connect uniform, inspired by the art and culture of Baltimore and its neighborhoods. The uniform is mostly black base from the jersey to pants. Across the chest, it features the city name "BALTIMORE" in white lettering, and on the collar and sleeves features a small batch of colors and shapes, representing the neighborhoods of Baltimore. The cap, which is also on a black base, features an italic white "B". In 2024, the City Connect uniform was worn with the home white pants for select games. Uniform advertisements. The Orioles announced its first-ever jersey sponsorship deal with T. Rowe Price on June 10, 2024. A circular dark blue, aqua and white sleeve patch with the investment management firm's bighorn sheep logo debuted in a home game against the Atlanta Braves the following night on June 11. Radio and television coverage. Radio. In Baltimore, Orioles radio broadcasts can be heard on WBAL-AM and WIYY, both owned by Hearst Television. Geoff Arnold, Melanie Newman, Brett Hollander, Scott Garceau and Kevin Brown alternate as play-by-play announcers. WBAL feeds the games to a network of 36 stations, covering Washington, D.C., and all or portions of Maryland, Pennsylvania, Delaware, Virginia, West Virginia, and North Carolina. This is WBAL's fourth stint as the Orioles flagship. WBAL has carried Orioles games for most of the team's time in Baltimore. Prior to WBAL and WIYY, Orioles games were broadcast locally on WJZ-FM from 2015 to 2021. WJZ had earlier carried broadcasts from 2007 to 2010. Six former Orioles franchise radio announcers have received the Hall of Fame's Ford C. Frick Award for excellence in broadcasting: Chuck Thompson (who was also the voice of the old NFL Baltimore Colts); Jon Miller (now with the San Francisco Giants); Ernie Harwell, Herb Carneal; Bob Murphy and Harry Caray (as a St. Louis Browns announcer in the 1940s). Other former Baltimore announcers include Josh Lewin (currently with New York Mets), Bill O'Donnell, Tom Marr, Scott Garceau (returned in 2020 season), Mel Proctor, Michael Reghi, former major league catcher Buck Martinez (now Toronto Blue Jays play-by-play), Joe Angel and former Oriole players including Brooks Robinson, pitcher Mike Flanagan and outfielder John Lowenstein. In 1991, the Orioles experimented with longtime TV writer/producer Ken Levine as a play-by-play broadcaster. Levine was best noted for his work on TV shows such as "Cheers" and "M*A*S*H", but lasted only one season in the Orioles broadcast booth. Television. MASN, co-owned by the Orioles and the Washington Nationals, is the team's exclusive television broadcaster. MASN airs almost the entire slate of regular season games. Some exceptions include Saturday games on either Fox (via its Baltimore affiliate, WBFF) or Fox Sports 1, or "Sunday Night Baseball" on ESPN. Many MASN telecasts in conflict with Nationals' game telecasts air on an alternate MASN2 feed. Veteran sportscaster Gary Thorne served as lead television announcer from 2007 to 2019, with Jim Hunter as his backup along with Hall of Fame member and former Orioles pitcher Jim Palmer and former Oriole infielder Mike Bordick as color analysts, who almost always work separately. In 2020, Thorne and Palmer were removed from the television booth due to COVID-19 concerns and replaced with Scott Garceau. In 2021, MASN let go Thorne, Hunter, analysts Mike Bordick and Rick Dempsey, and studio host Tom Davis, and added Ben McDonald as a secondary analyst. Starting in 2022, Kevin Brown became the primary TV play-by-play announcer, with Garceau, Arnold or Newman the backups. The Orioles severed their ties with Comcast SportsNet Mid-Atlantic (now NBC Sports Washington) at the end of the 2006 season in favor of MASN, a joint venture with the Washington Nationals. It had been the Orioles' cable partner since 1984, when it was known as Home Team Sports. The Orioles and the Washington Nationals have been in a dispute since the early 2010s, MASN is owned by both teams with the Orioles holding an 80% stake. The dispute which is ongoing as of October 2020 contends that the Nationals deserves a greater fee from MASN due to the team's recent success and market growth. When fees paid to each team were first negotiated, both teams were paid the same fees. WJZ-TV was the Orioles' broadcast TV home, completing its latest stint from 1994 through 2017. Since MASN acquired rights in 2007, its coverage was simulcast on WJZ-TV under the branding "MASN on WJZ 13". MASN elected not to syndicate any Orioles or Washington Nationals games to broadcast television for the 2018 season, marking the first time since the Orioles' arrival that their games are not on local broadcast television. Previously, WJZ-TV carried the team from their arrival in Baltimore in 1954 through 1978. In the first four seasons, WJZ-TV shared coverage with Baltimore's other two stations, WMAR-TV and WBAL-TV. The games moved to WMAR from 1979 through 1993 before returning to WJZ-TV. From 1994 to 2009, some Orioles games aired on WNUV. Musical traditions. "O!". Since its introduction at games by the "Roar from 34", led by Wild Bill Hagy and others, in the late 1970s, it has been a tradition at Orioles games for fans to yell out the "Oh" in the line "Oh, say does that Star-Spangled Banner yet wave" in "The Star-Spangled Banner". "The Star-Spangled Banner" has special meaning to Baltimore historically, as it was written during the Battle of Baltimore in the War of 1812 by Francis Scott Key, a Baltimorean. The tradition is often carried out at other sporting events, both professional and amateur, and even sometimes at non-sporting events where the anthem is played, throughout the Baltimore/Washington area and beyond. Fans in Norfolk, Virginia, chanted "O!" even before the Tides became an Orioles affiliate. The practice caught some attention in the spring of 2005, when fans performed the "O!" cry at Washington Nationals games at RFK Stadium. The "O!" chant is also common at sporting events for the various Maryland Terrapins teams at the University of Maryland, College Park. At Cal Ripken Jr.'s induction into the National Baseball Hall of Fame, the crowd, composed mostly of Orioles fans, carried out the "O!" tradition during Tony Gwynn's daughter's rendition of "The Star-Spangled Banner". Additionally, a faint but audible "O!" could be heard on the television broadcast of Barack Obama's pre-inaugural visit to Baltimore as the national anthem played before his entrance. A resounding "O!" bellowed from the nearly 30,000 Ravens fans who attended the November 21, 2010, away game at the Carolina Panthers' Bank of America Stadium in Charlotte, North Carolina. A similar loud "O!" was heard from fans attending Super Bowl XLVII between the Baltimore Ravens and the San Francisco 49ers. The "O!" chant was also heard during the 2016 Summer Olympics in Rio de Janeiro, Brazil, when Baltimore native Michael Phelps received his gold medal for the freestyle on August 9, 2016. In recent years, when the Orioles host the Toronto Blue Jays, fans have begun to shout out the multiple instances of the word "O" in "O Canada". Washington Capitals fans will do the same when they play one of the NHL's Canadian teams. "Thank God I'm a Country Boy". It has been an Orioles tradition since 1975 to play John Denver's "Thank God I'm a Country Boy" during the seventh-inning stretch. In the edition of July 5, 2007, of Baltimore's weekly sports publication "Press Box", an article by Mike Gibbons covered the apocryphal details of how this tradition came to be. During "Thank God I'm a Country Boy", Charlie Zill, then an usher, would put on overalls, a straw hat, and false teeth and dance around the club level section (244) that he tended to. He also has an orange violin that spins for the fiddle solos. He went by the name Zillbilly and had done the skit from the 1999 season until shortly before he died in early 2013. Of course, that does nothing to explain why the Orioles' Audio staff began playing the song during every game's seventh inning stretch beginning in August 1975. In reality, the song was tremendously successful nationwide, topping the Billboard Top 100 for one week in 1975, and was played in stadiums across the country. The Orioles were chasing the Red Sox for the American League East Division title and incorporated numerous "good luck charms." After an inspiring comeback win, Oriole staff began playing this song at the seventh inning stretch of every home game as one of the good-luck charms, beginning in August. During a nationally televised game on September 20, 1997, Denver himself danced to the song atop the Orioles' dugout, one of his final public appearances before dying in a plane crash three weeks later. "Orioles Magic" and other songs. Songs from notable games in the team's history include "One Moment in Time" for Cal Ripken's record-breaking game in 1995, as well as the theme from "Pearl Harbor", "There You'll Be" by Faith Hill, during his final game in 2001. The theme from "Field of Dreams" was played at the last game at Memorial Stadium in 1991, and the song "Magic to Do" from the stage musical "Pippin" was used that season to commemorate "Orioles Magic" on 33rd Street. During the Orioles' heyday in the 1970s, a club song, appropriately titled "Orioles Magic (Feel It Happen)", was composed by Walt Woodward, and played when the team ran out until Opening Day of 2008. Since then, the song (a favorite among all fans, who appreciated its references to Wild Bill Hagy and Earl Weaver) is played (along with a video featuring several Orioles stars performing the song) only after wins. In the 2010s, "Seven Nation Army" was often played as a hype song while the fans chant the signature bass riff as a rally cry during key moments of a game or after a walk-off hit. In the 2023 season, closer Felix Bautista would come out of the bullpen to the ominous whistle of "The Wire" character Omar Little. The First Army Band. During the Orioles' final homestand of the season, it is a tradition to display a replica of the 15-star, 15-stripe American flag at Camden Yards. Prior to 1992, the 15-star, 15-stripe flag flew from Memorial Stadium's center-field flagpole in place of the 50-star, 13-stripe flag during the final homestand. Since the move to Camden Yards, the former flag has been displayed on the batters' eye. During the Orioles' final home game of the season, The United States Army Field Band from Fort Meade performs the National Anthem prior to the start of the game. The Band has also played the National Anthem at the finales of three World Series in which the Orioles played: 1970, 1971 and 1979. They are introduced as the "First Army Band" during the pregame ceremonies. PA announcer. For 23 years, Rex Barney was the PA announcer for the Orioles. His voice became a fixture of both Memorial Stadium and Camden Yards, and his expression "Give that fan a contract", uttered whenever a fan caught a foul ball, was one of his trademarksthe other being his distinct "Thank Yooooou..." following every announcement. (He was also known on occasion to say "Give that fan an error" after a dropped foul ball.) Barney died on August 12, 1997, and in his honor that night's game at Camden Yards against the Oakland Athletics was held without a public–address announcer. Barney was replaced as Camden Yards' PA Announcer by Dave McGowan, who held the position from 1998 to 2011, after Chris Ely finished out the 1997 season. Lifelong Orioles fan and former MLB Fan Cave resident Ryan Wagner soon took over as the PA announcer. He was chosen out of a field of more than 670 applicants in the 2011–12 offseason. He held the job from 2012 to 2020. He was dismissed just hours before the team's 2021 home opener, reportedly because of his conduct on Twitter. Adrienne Roberson, at the time the public address announcer for the Bowie Baysox and Wagner's primary substitute, has been the team's announcer from 2021 onward. She became the second woman to be named an MLB team's primary PA announcer, following Renel Brooks-Moon of the San Francisco Giants. Postseason appearances. Of the eight original American League teams, the Orioles were the last of the eight to win the World Series, doing so in 1966 with its four–game sweep of the heavily favored Los Angeles Dodgers. When the Orioles were the St. Louis Browns, they played in only one World Series, the 1944 matchup against their Sportsman's Park tenants, the Cardinals. The Orioles won the first-ever American League Championship Series in 1969, and in 2012 the Orioles beat the Texas Rangers in the inaugural American League Wild Card game, where for the first time two Wild Card teams faced each other during postseason play. Baseball Hall of Famers. Retired numbers. The Orioles will retire a number only when a player has been inducted into the Hall of Fame with Cal Ripken Jr. being the only exception. However, the Orioles have placed moratoriums on other former Orioles' numbers following their deaths (see note below). To date, the Orioles have retired the following numbers: Note: Elrod Hendricks' number 44 has not officially been retired, but a moratorium has been placed on it and it has not been issued by the team since his death. Cal Ripken Sr.'s number 7 and Mike Flanagan's number 46 had similar moratoriums until 2024 when they were worn by Jackson Holliday and Craig Kimbrel respectively. †"Jackie Robinson's number 42 is retired throughout Major League Baseball" Baltimore Orioles Hall of Fame. The Orioles' official team hall of fame is located on display on Eutaw Street at Camden Yards. Minor league affiliates. The Baltimore Orioles farm system consists of seven minor league affiliates. Rivalries. Washington Nationals. The Orioles have a minor regional rivalry with the nearby Washington Nationals nicknamed the Beltway Series or Battle of the Beltways. Baltimore currently leads the series with a 55–39 record over the Nationals. They have divisional rivals within the American League East, predominately with the New York Yankees in the past and in more recent years with the Toronto Blue Jays.
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Bastarnae
The Bastarnae, Bastarni or Basternae, also known as the Peuci or Peucini, were an ancient people who are known from Greek and Roman records to have inhabited areas north and east of the Carpathian Mountains between about 300 BC and about 300 AD, stretching in an arc from the sources of the Vistula in present-day Poland and Slovakia, to the Lower Danube, and including all or most of present-day Moldava. The Peucini were sometimes described as a subtribe, who settled the Peuke Island in the Danube Delta, but apparently due to their importance their name was sometimes used for the Bastarnae as a whole. Near the sources of the Vistula another part of the Bastarnae were the Sidones, while the Atmoni, another tribe of the Bastarnae are only mentioned in one listing by Strabo. The earliest Graeco-Roman historians to refer to the Bastarnae imply that they were culturally Celtic. Also consistent with connections to the cultures to their west, later Roman-era sources state directly that they spoke Germanic languages, and could be considered Germanic peoples. In contrast, like other peoples who lived in this geographical region, Graeco-Roman writers also sometimes referred to the Bastarnae as a "Scythian" or "Sarmatian" people, but this was a reference to their location, and customs, rather than a linguistic category. Although largely sedentary, at least one Roman writer, Tacitus, stated that the Bastarnae had adopted some Sarmatian customs. So far, no archaeological sites have been conclusively attributed to the Bastarnae. The archaeological horizon most often associated by scholars with the Bastarnae is the Poieneşti-Lucașeuca culture. From the first records which mention them, the Bastarnae were active in the region of the Danube estuary on the Black Sea coast. The Bastarnae first came into conflict with the Romans during the first century BC when, in alliance with Dacians and Sarmatians, they unsuccessfully resisted Roman expansion into Moesia and Pannonia, south of the Danube. Later, they appear to have maintained friendly relations with the Roman Empire during the first two centuries AD. This changed around 180 AD, when the Bastarnae are recorded as participants in an invasion of Roman territory, once again in alliance with Sarmatians and Dacians. In the mid-3rd century AD, the Bastarnae were part of a Gothic-led grand coalition of lower Danube tribes that repeatedly invaded the Balkan provinces of the Roman Empire. Many Bastarnae were resettled within the Roman Empire in the late third century. Etymology. The origin of the tribal name is uncertain. It is not even clear whether it was an exonym (a name ascribed to them by outsiders) or an endonym (a name by which the Bastarnae described themselves). A related question is whether the groups denoted "Bastarnae" by the Romans considered themselves a distinct ethnic group at all (endonym) or whether it was a generic exonym used by the Greco-Romans to denote a disparate group of tribes of the Carpathian region that could not be classified as Dacians or Sarmatians. One possible derivation is from the proto-Germanic word "*bastjan" (from Proto-Indo-European root *"bʰas-"), meaning "binding" or "tie". In this case, "Bastarnae" may have had the original meaning of a coalition or "bund" of tribes. It is possible that the Roman term "basterna", denoting a type of wagon or litter, is derived from the name of this people (or, if it is an exonym, that the name of the people is derived from it) who were known, like many Germanic tribes, to travel with a wagon train for their families. It has also been suggested that the name is linked with the Germanic word "bastard", meaning illegitimate or mongrel, and this name is sometimes contrasted to proposed Germanic etymologies for the name of the Sciri who lived in the same general region. However, Roger Batty considers this Germanic derivation unlikely. If the name is an endonym, then this derivation is unlikely, as most endonyms have flattering meanings (e.g. "brave", "strong", "noble"). Trubačev proposes a derivation from Old Persian, Avestan "bast-" "bound, tied; slave" (cf. Ossetic bættən "bind", bast "bound") and Iranian "*arna-" "offspring", equating it with the "δουλόσποροι" "slave Sporoi" mentioned by Nonnus and Cosmas, where the Sporoi are the people Procopius mentions as the ancestors of the Slavs. Location. The earliest classical mentions of the Bastarnae locate them north of the Lower Danube, although they apparently made frequent crossings impacting upon the peoples living south of the Danube. Strabo (about 20 AD) made several remarks about the location of the Bastarnae. In one place he described the lands beyond the Rhine and Danube as the home of the Galatian (Celtic) and the Germanic peoples, and beyond these (to the east) were the Bastarnae and their neighbours the Tyregetans "and the River Borysthenes" (Dnieper). However, in another similar passage he says only that "most writers suspect" the Bastarnae to be next beyond the Germanic Peoples, but he indicates that it is also possible that "others lie in between, either the Iazyges, or the Roxolani, or certain other of the wagon-dwellers — it is not easy to say". In yet another similar passage he describes the Bastarnae as the most inland (northerly) of the peoples living between the Borysthenes (Dnieper) and the Ister (Lower Danube), and indicates that their neighbours the Tyregetans are closer to the Black Sea. Strabo also mentioned their interactions with other peoples near the Danube, specifying that in his time, "wagon-dwelling" Scythians and Sarmatians, "as well as the Bastarnian tribes, are mingled with the Thracians (more indeed with those outside the Ister [North of the Danube], but also with those inside). And mingled with them are also the Celtic tribes — the Boii, the Scordisci, and the Taurisci". He confirmed that historically "the Scythians and Bastarnians and Sauromatians on the far side of the river [the Lower Danube] often prevail to the extent that they actually cross over to attack those whom they have already driven out, and some of them remain there, either in the islands or in Thrace". In particular, Near the outlets of the Ister River [Lower Danube] is a great island called Peuce; and when the Bastarnians took possession of it they received the appellation of Peucini." In one passage Pliny the Elder located the Bastarnae "and other Germanic peoples" in the lands beyond the Iazyges and Dacians ("aversa Basternae tenent aliique inde Germani"). In another he describes "the Peucini, the Basternae", as neighbours of the Dacians. In the second century AD, the texts attached to Ptolemy's "Geography" say that "above Dacia are the Peucini and the Basternae"; "between the Peucini and the Basternae are the Carpiani"; "between the Basternae and the Rhoxolani" who he places on the Black Sea coast, "are the Chuni" (otherwise unknown); and "below the Basternae near Dacia are the Tigri and below these are the Tyrangitae" whose names are linked to the Tyras or Dniester river. Possibly relevant, he also mentioned a mountainous region called the "Peuca" mountains south of the Costoboci and Transmontani. The Sidones, named as one part of the Bastarnae by Strabo, are described by Ptolemy as one of the peoples east of the Vistula, although the location is not clear. It thus appears that the Bastarnae were settled in a vast arc stretching around the northern and eastern flanks of the Carpathians from western Ukraine to the Danube Delta. The Peutinger Map (produced ca. 400 AD, but including material from as early as the first century) shows the Bastarnae (mis-spelt "Blastarni") north of the Carpathian mountains and appears to name the Galician Carpathians as the "Alpes Bastarnicae". Because of their apparent cultural and linguistic connections to the west, the Bastarnae are generally believed to have moved originally from that direction, but this remains uncertain. Babeş and Shchukin argue in favour of an origin in eastern Pomerania on the Baltic coast of today's north-west Poland, on the grounds of correspondences in archaeological material, e.g. a Pomeranian-style fibula found in a Poieneşti site in Moldavia, although Batty considers the evidence insufficient. Babeş identifies the Sidoni, a branch of the Bastarnae which Strabo mentioned with the "Sidini" located by Ptolemy in Pomerania. Batty argues that Greco-Roman sources of the first century AD locate the Bastarnae homeland on the northern side of the Northern Carpathian mountain range, encompassing south-east Poland and south-west Ukraine (i.e. the region traditionally known as Galicia). Ethno-linguistic affiliation. Scholars hold divergent theories about the ethnicity of the Bastarnae. One view, implied by some of the earliest reports, is that they spoke a Celtic language. The only explicit description of their language, was a much later remark by Tacitus, who said they spoke a language like the Germanic peoples. However others hold that they were Scythian/Germanic, or mixed Germanic/Sarmatian. A fringe theory is that they were Proto-Slavic. Shchukin argues that the ethnicity of the Bastarnae was unique and rather than trying to label them as Celtic, Germanic or Sarmatian, it should be accepted that the "Basternae were the Basternae". Batty argues that assigning an "ethnicity" to the Bastarnae is meaningless; as in the context of the Iron Age Pontic-Danubian region, with its multiple overlapping peoples and languages, ethnicity was a very fluid concept, which changed rapidly and frequently, according to socio-political vicissitudes. That was especially true of the Bastarnae, who are attested over a relatively-vast area. The Bastarnae maintained a separate name until ca. 300 AD, probably implying retention of their distinctive ethno-linguistic heritage up to that time. Celtic. Polybius (200–118 BC) writing about the time of Perseus of Macedon (d. 166 BCE) explained how the Dardanians sought help from the Romans against the Bastarnae, who were allied with the Macedonian and Celtic (Galatian) enemies of Rome, which can be taken as implying that they were not Galatian. He described them as numerous, physically large, and valorous warriors. On the other hand, a much later report of these events by Livy (64 BC – 17 AD), writing about 10 AD, is sometimes understood to imply that the Bastarnae spoke a Celtic language (or a related language) because when comparing them to the Scordisci, a major Galatian tribe of Pannonia, it specifies that the Bastarnae were "neither in speech nor habits were they dissimilar". The Scordisci are described as Celtic by Strabo, although he adds that they had mingled with Illyrians and Thracians). Much later still, the Greek historian Plutarch (about 46-120 AD), also talking the time of Perseus of Macedon, went further, writing that the Roman consul Hostilius "secretly stirred up the Gauls settled along the Danube, who are called Basternae". Another reason to consider the Bastarnae as Celtic is that the regions they are documented to have occupied (the northern and eastern slopes of the Carpathians) overlapped to a great extent with the locations of Celtic tribes attested in the northern Carpathians. (The modern name of this region, Galicia, is generally regarded as having a later origin, in either a Slavic or Turkic language. However, some scholars have instead suggested that the name Galicia may derive from its former Celtic inhabitants the Taurisci, Osi, Cotini and Anartes of Slovakia and northern Romania and the Britogalli of the Danube Delta region.) In addition, archaeological cultures which some scholars have linked to the Bastarnae (Poieneşti-Lukashevka and Zarubintsy) display pronounced Celtic affinities. Finally, the arrival of the Bastarnae in the Pontic-Danubian region, which can be dated to 233–216 BC according to two ancient sources, coincides with the latter phase of Celtic migration into the region (400–200 BC). In addition, inscription AE (1905) 14, recording a campaign on the Hungarian Plain by the Augustan-era general Marcus Vinucius (10 BC or 8 BC), also appears to distinguish the Bastarnae from neighbouring Celtic tribes: "Marcus Vinucius... governor of Illyricum, the first [Roman general] to advance across the river Danube, defeated in battle and routed an army of Dacians and Basternae, and subjugated the Cotini, Osi...[missing tribal name] and Anartii to the power of the emperor Augustus and of the people of Rome." The three names of Bastarnae leaders found in ancient sources are of Celtic origin: Cotto, Clondicus and Teutagonus. Germanic. Three Greco-Roman geographers of the first century AD associated the Bastarnae and Peucini with the Germanic peoples, and one source, Tacitus, specifies that they spoke a language like the Germanic peoples. The Greek geographer Strabo (64 BC – 24 AD) writing c. 5–20 AD, made several remarks about the location of the Bastarnae in his own time. In one passage he says that their country borders on that of the Tyregetans towards the Black Sea and Danube, and Germanic peoples to the west, and that they "one might say", were of "Germanic stock". The Roman geographer Pliny the Elder (c. 77 AD), classified the Bastarnae or Peucini as being one of the five main subdivisions of Germanic peoples, the other subdivisions as the three West Germanic groups, the "Inguaeones", "Istuaeones" and "Hermiones", and the East Germanic "Vandili". Notably, the Roman historian Tacitus (56–120 AD), writing about 100 AD, described the Bastarnae as probably being a Germanic people, but with substantial Sarmatian cultural influence and intermarriage: As to the tribes of the Peucini, Veneti, and Fenni I am in doubt whether I should class them with the Germans or the Sarmatæ, although indeed the Peucini called by some Bastarnæ, are like Germans in their language, mode of life, and in the permanence of their settlements. They all live in filth and sloth, and by the intermarriages of the chiefs they are becoming in some degree debased into a resemblance to the Sarmatæ. Scytho-Sarmatian. Strabo includes the Roxolani, generally considered by scholars to have been a Sarmatian tribe, in a list of Bastarnae subgroups. However, this may simply be an error due to the close proximity of the two peoples north of the Danube Delta. In the third century, the Greek historian Dio Cassius (155–235 AD) stated that the "Bastarnae are properly classed as Scythians" and "members of the Scythian race". "During the same period in which these events occurred Marcus Crassus was sent into Macedonia and Greece and carried on war with the Dacians and Bastarnae. I have already stated who the former were and why they had become hostile; the Bastarnae, on the other hand, who are properly classed as Scythians, had at this time crossed the Ister and subdued the part of Moesia opposite them, and afterwards subdued the Triballi who adjoin this district and the Dardani who inhabit the Triballian country." Likewise, the sixth-century historian Zosismus (490s–510 AD), reporting events around 280 AD, refers to "the Bastarnae, a Scythian people". However, late Greco-Roman chroniclers used the term "Scythian" without regard to language. The earliest Scythians were steppe nomads associated with Iranic languages, as were their successors the Sarmatians, who were also called Scythians, while classical authors such as Zosimus also routinely refers to the Goths, who were undoubtedly Germanic-speakers, as "Scythians". On the other hand, it is likely that Bastarnae were influenced the surrounding Sarmatians, as reflected in Tacitus' comment that "mixed marriages" debasing them to appear more like the Sarmatians. Material culture. According to Malcolm Todd, traditional archaeology has not been able to construct a typology of Bastarnae material culture, and thus to ascribe particular archaeological sites to the Bastarnae. A complicating factor is that the regions where Bastarnae are attested contained a patchwork of peoples and cultures (Sarmatians, Scythians, Dacians, Thracians, Celts, Germans and others), some sedentary, some nomadic. In any event, post-1960s archaeological theory has questioned the validity of equating material "cultures", as defined by archaeologists, with distinct ethnic groups. In this view, it is impossible to attribute a "culture" to a particular ethnic group: it is likely that the material cultures discerned in the region belonged to several, if not all, of the groups inhabiting it. These cultures probably represent relatively large-scale socio-economic interactions between disparate communities of the broad region, possibly including mutually antagonistic groups. It is not even certain whether the Bastarnae were sedentary, nomadic or semi-nomadic. Tacitus' statement that they were "German in their way of life and types of dwelling" implies a sedentary bias, but their close relations with the Sarmatians, who were nomadic, may indicate a more nomadic lifestyle for some Bastarnae, as does their attested wide geographical range. If the Bastarnae were nomadic, then the sedentary "cultures" identified by archaeologists in their "lebensraum" would not represent them. Nomadic peoples generally leave scant traces, due to the impermanent materials and foundations used in the construction of their dwellings. Scholars have identified two closely related sedentary "cultures" as possible candidates to represent the Bastarnae (among other peoples) as their locations broadly correspond to where ancient sources placed the Basternae: the Zarubintsy culture lying in the forest-steppe zone in northern Ukraine and southern Belarus, and the Poieneşti-Lukashevka culture (Lucăşeuca) in northern Moldavia. These cultures were characterised by agriculture, documented by numerous finds of sickles. Dwellings were either of surface or semi-subterranean types, with posts supporting the walls, a hearth in the middle and large conical pits located nearby. Some sites were defended by ditches and banks, structures thought to have been built to defend against nomadic tribes from the steppe. Inhabitants practiced cremation. Cremated remains were either placed in large, hand-made ceramic urns, or were placed in a large pit and surrounded by food and ornaments such as spiral bracelets and Middle to Late La Tène-type "fibulae" (attesting the continuing strength of Celtic influence in this region). A major problem with associating the Poieneşti-Lukashevka and Zarubintsy cultures with the Bastarnae is that both cultures had disappeared by the early first century AD, while the Bastarnae continue to be attested in those regions throughout the Roman Principate. Another issue is that the Poieneşti-Lukashevka culture has also been attributed to the Costoboci, a people considered ethnically Dacian by mainstream scholarship, who inhabited northern Moldavia, according to Ptolemy (ca. 140 AD). Indeed, Mircea Babeş and Silvia Theodor, the two Romanian archaeologists who identified Lukashevka as Bastarnic, nevertheless insisted that the majority of the population in the Lukashevka sphere (in northern Moldavia) was "Geto-Dacian". A further problem is that neither of these cultures were present in the Danube Delta region, where a major concentration of Bastarnae are attested by the ancient sources. Starting in about 200 AD, the Chernyakhov culture became established in the modern-day western Ukraine and Moldova region inhabited by the Bastarnae. The culture is characterised by a high degree of sophistication in the production of metal and ceramic artefacts, as well as of uniformity over a vast area. Although this culture has conventionally been identified with the migration of the Gothic "ethnos" into the region from the northwest, Todd argues that its most important origin is Scytho-Sarmatian. Although the Goths certainly contributed to it, so probably did other peoples of the region such as the Dacians, proto-Slavs, Carpi and possibly the Bastarnae. Relations with Rome. Roman Republican era (to 30 BC). Allies of Philip of Macedon (179–8 BC). The Bastarnae first appear in the historical record in 179 BC, when they crossed the Danube in a massive force. They did so at the invitation of their long-time ally, King Philip V of Macedon, a direct descendant of Antigonus, one of the Diadochi, the generals of Alexander the Great who had shared his empire after his death in 323 BC. The Macedonian king had suffered a disastrous defeat at the hands of the Romans in the Second Macedonian War (200–197 BC), which had reduced him from a powerful Hellenistic monarch to the status of a petty client-king with a much-reduced territory and a tiny army. After nearly 20 years of slavish adherence to the Roman Senate's dictats, Philip had been goaded by the incessant and devastating raiding of the Dardani, a warlike Illyrian tribe on his northern border, which his treaty-limited army was too small to counter effectively. Counting on the Bastarnae, with whom he had forged friendly relations, he plotted a strategy to deal with the Dardani and then to regain his lost territories in Greece and his political independence. First, he would unleash the Bastarnae against the Dardani. After the latter had been crushed, Philip planned to settle Bastarnae families in Dardania (southern Kosovo/Skopje region) to ensure that the region was permanently subdued. In a second phase, Philip aimed to launch the Bastarnae on an invasion of Italy via the Adriatic coast. Although he was aware that the Bastarnae were likely to be defeated, Philip hoped that the Romans would be distracted long enough to allow him to reoccupy his former possessions in Greece. However, Philip, now 60 years of age, died before the Bastarnae could arrive. The Bastarnae host was still "en route" through Thrace, where it became embroiled in hostilities with the locals, who had not provided them with sufficient food at affordable prices as they marched through. Probably in the vicinity of Philippopolis (modern Plovdiv, Bulgaria), the Bastarnae broke out of their marching columns and pillaged the land far and wide. The terrified local Thracians took refuge with their families and animal herds on the slopes of "Mons Donuca" (Mount Musala), the highest mountain in Thrace. A large force of Bastarnae chased them up the mountain, but were driven back and scattered by a massive hailstorm. Then the Thracians ambushed them, turning their descent into a panic-stricken rout. Back at their wagon fort in the plain, around half of the demoralised Bastarnae decided to return home, leaving c. 30,000 to press on to Macedonia. Philip's son and successor Perseus, while protesting his loyalty to Rome, deployed his Bastarnae guests in winter quarters in a valley in Dardania, presumably as a prelude to a campaign against the Dardani the following summer. However, in the depths of winter their camp was attacked by the Dardani. The Bastarnae easily beat off the attackers, chased them back to their chief town and besieged them, but they were surprised in the rear by a second force of Dardani, which had approached their camp stealthily by mountain paths, and proceeded to storm and ransack it. Having lost their entire baggage and supplies, the Bastarnae were obliged to withdraw from Dardania and to return home. Most perished as they crossed the frozen Danube on foot, only for the ice to give way. Despite the failure of Philip's Bastarnae strategy, the suspicion aroused by these events in the Roman Senate, which had been warned by the Dardani of the Bastarnae invasion, ensured the demise of Macedonia as an independent state. Rome declared war on Perseus in 171 BC and after the Macedonian army was crushed at the Battle of Pydna (168 BC), Macedonia was split up into four Roman puppet-cantons (167 BC). Twenty-one years later, these were in turn abolished and annexed to the Roman Republic as the province of Macedonia (146 BC). Allies of Getan high king Burebista (62 BC). The Bastarnae first came into direct conflict with Rome as a result of expansion into the lower Danube region by the proconsuls (governors) of Macedonia in 75–72 BC. Gaius Scribonius Curio (proconsul 75–73 BC) campaigned successfully against the Dardani and the Moesi, becoming the first Roman general to reach the Danube with his army. His successor, Marcus Licinius Lucullus (brother of the famous Lucius Lucullus), campaigned against the Thracian Bessi tribe and the Moesi, ravaging the whole of Moesia, the region between the Haemus (Balkan) mountain range and the Danube. In 72 BC, his troops occupied the Greek coastal cities of Scythia Minor (modern Dobruja region, Romania/Bulgaria), which had sided with Rome's Hellenistic arch-enemy, King Mithridates VI of Pontus, in the Third Mithridatic War (73–63 BC). The presence of Roman forces in the Danube Delta was seen as a major threat by all the neighbouring transdanubian peoples: the Peucini Bastarnae, the Sarmatians and, most importantly, by Burebista (ruled 82–44 BC), king of the Getae. The Getae occupied the region today called Wallachia as well as Scythia Minor and were either a Dacian- or Thracian- speaking people. Burebista had unified the Getae tribes into a single kingdom, for which the Greek cities were vital trade outlets. In addition, he had established his hegemony over neighbouring Sarmatian and Bastarnae tribes. At its peak, the Getae kingdom reportedly was able to muster 200,000 warriors. Burebista led his transdanubian coalition in a struggle against Roman encroachment, conducting many raids against Roman allies in Moesia and Thrace, penetrating as far as Macedonia and Illyria. The coalition's main chance came in 62 BC, when the Greek cities rebelled against Roman rule. In 61 BC, the notoriously oppressive and militarily incompetent proconsul of Macedonia, Gaius Antonius, nicknamed "Hybrida" ("The Monster"), an uncle of the famous Mark Antony, led an army against the Greek cities. As his army approached Histria, Antonius detached his entire mounted force from the marching column and led it away on a lengthy excursion, leaving his infantry without cavalry cover, a tactic he had already used with disastrous results against the Dardani. Dio implies that he did so out of cowardice, in order to avoid the imminent clash with the opposition, but it is more likely that he was pursuing a large enemy cavalry force, probably Sarmatians. A Bastarnae host, which had crossed the Danube to assist the Histrians, promptly attacked, surrounded and massacred the Roman infantry, capturing several of their "vexilla" (military standards). This battle resulted in the collapse of the Roman position on the lower Danube. Burebista apparently annexed the Greek cities (55–48 BC). At the same time, the subjugated "allied" tribes of Moesia and Thrace evidently repudiated their treaties with Rome, as they had to be reconquered by Augustus in 29–8 BC (see below). In 44 BC, Roman dictator-for-life Julius Caesar planned to lead a major campaign to crush Burebista and his allies once and for all, but he was assassinated before it could start. However, the campaign was made redundant by Burebista's overthrow and death in the same year, after which his Getae empire fragmented into four, later five, independent petty kingdoms. These were militarily far weaker, as Strabo assessed their combined military potential at just 40,000 armed men, and were often involved in internecine warfare. The Geto-Dacians did not again become a threat to Roman hegemony in the lower Danube until the rise of Decebal 130 years later (86 AD). Roman Principate (30 BC – 284 AD). Augustan era (30 BC – 14 AD). Once he had established himself as sole ruler of the Roman state in 30 BC, Caesar's grand-nephew and adopted son Augustus inaugurated a strategy of advancing the empire's south-eastern European border to the line of the Danube from the Alps, the Dinaric Alps and Macedonia. The primary objective was to increase strategic depth between the border and Italy and also to provide a major fluvial supply route between the Roman armies in the region. On the lower Danube, which was given priority over the upper Danube, this required the annexation of Moesia. The Romans' target was thus the tribes which inhabited Moesia, namely (from west to east) the Triballi, Moesi and those Getae who dwelt south of the Danube. The Bastarnae were also a target because they had recently subjugated the Triballi, whose territory lay on the southern bank of the Danube between the tributary rivers "Utus" (Vit) and "Ciabrus" (Tsibritsa), with their chief town at Oescus (Gigen, Bulgaria). In addition, Augustus wanted to avenge the defeat of Gaius Antonius at Histria 32 years before and to recover the lost military standards. These were held in a powerful fortress called Genucla (Isaccea, near modern Tulcea, Romania, in the Danube Delta region), controlled by Zyraxes, the local Getan king. The man selected for the task was Marcus Licinius Crassus, grandson of Crassus the triumvir and an experienced general at 33 years of age, who was appointed proconsul of Macedonia in 29 BC. The Bastarnae provided the "casus belli" by crossing the Haemus and attacking the Dentheletae, a Thracian tribe who were Roman allies. Crassus marched to the Dentheletae's assistance, but the Bastarnae host hastily withdrew over the Haemus at his approach. Crassus followed them closely into Moesia but they would not be drawn into battle, withdrawing beyond the Tsibritsa. Crassus now turned his attention to the Moesi, his prime target. After a successful campaign which resulted in the submission of a substantial section of the Moesi, Crassus again sought out the Bastarnae. Discovering their location from some peace envoys they had sent to him, he lured them into battle near the Tsibritsa by a stratagem. Hiding his main body of troops in a wood, he stationed as bait a smaller vanguard in open ground before the wood. As expected, the Bastarnae attacked the vanguard in force, only to find themselves entangled in the full-scale pitched battle with the Romans that they had tried to avoid. The Bastarnae tried to retreat into the forest but were hampered by the wagon train carrying their women and children, as these could not move through the trees. Trapped into fighting to save their families, the Bastarnae were routed. Crassus personally killed their king, Deldo, in combat, a feat which qualified him for Rome's highest military honour, "spolia opima", but Augustus refused to award it on a technicality. Thousands of fleeing Bastarnae perished, many asphyxiated in nearby woods by encircling fires set by the Romans, others drowned trying to swim across the Danube. Nevertheless, a substantial force dug themselves into a powerful hillfort. Crassus laid siege to fort, but had to enlist the assistance of Rholes, a Getan petty king, to dislodge them, for which service Rholes was granted the title of "socius et amicus populi Romani" ("ally and friend of the Roman people"). The following year (28 BC), Crassus marched on Genucla. Zyraxes escaped with his treasure and fled over the Danube into Scythia to seek aid from the Bastarnae. Before he was able to bring reinforcements, Genucla fell to a combined land and fluvial assault by the Romans. The strategic result of Crassus' campaigns was the permanent annexation of Moesia by Rome. About a decade later, in 10 BC, the Bastarnae again clashed with Rome during Augustus' conquest of Pannonia (the "bellum Pannonicum" 14–9 BC). Inscription AE (1905) 14 records a campaign on the Hungarian Plain by the Augustan-era general Marcus Vinucius: Marcus Vinucius...[patronymic], Consul [in 19 BC]...[various official titles], governor of Illyricum, the first [Roman general] to advance across the river Danube, defeated in battle and routed an army of Dacians and Basternae, and subjugated the Cotini, Osi...[missing tribal name] and Anartii to the power of the emperor Augustus and of the people of Rome. Most likely, the Bastarnae, in alliance with Dacians, were attempting to assist the hard-pressed Illyrian/Celtic tribes of Pannonia in their resistance to Rome. First and second centuries. It appears that in the final years of Augustus' rule, the Bastarnae made their peace with Rome. The "Res Gestae Divi Augusti" ("Acts of the divine Augustus", 14 AD), an inscription commissioned by Augustus to list his achievements, states that he received an embassy from the Bastarnae seeking a treaty of friendship. It appears that a treaty was concluded and apparently proved remarkably effective, as no hostilities with the Bastarnae are recorded in surviving ancient sources until c. 175, some 160 years after Augustus' inscription was carved. But surviving evidence for the history of this period is so thin that it cannot be excluded that the Bastarnae clashed with Rome during it. The Bastarnae participated in the Dacian Wars of Domitian (86–88) and Trajan (101–102 and 105–106), fighting on both wars on the Dacian side In the late second century, the "Historia Augusta" mentions that in the rule of Marcus Aurelius (161–180), an alliance of lower Danube tribes including the Bastarnae, the Sarmatian Roxolani and the Costoboci took advantage of the emperor's difficulties on the upper Danube (the Marcomannic Wars) to invade Roman territory. Third century. During the late second century, the main ethnic change in the northern Black Sea region was the immigration, from the Vistula valley in the North, of the Goths and accompanying Germanic tribes such as the Taifali and the Hasdingi, a branch of the Vandal people. This migration was part of a series of major population movements in the European "barbaricum" (the Roman term for regions outside their empire). The Goths appear to have established a loose political hegemony over the existing tribes in the region. Under the leadership of the Goths, a series of major invasions of the Roman empire were launched by a grand coalition of lower Danubian tribes from c. 238 onwards. The participation of the Bastarnae in these is likely but largely unspecified, due to Zosimus' and other chroniclers' tendency to lump all these tribes under the general term "Scythians" – meaning all the inhabitants of Scythia, rather than the specific Iranic-speaking people called the Scythians. Thus, in 250–251, the Bastarnae were probably involved in the Gothic and Sarmatian invasions which culminated in the Roman defeat at the Battle of Abrittus and the slaying of Emperor Decius (251). This disaster was the start of the Third Century Crisis of the Roman Empire, a period of military and economic chaos. At this critical moment, the Roman army was crippled by the outbreak of a second smallpox pandemic, the plague of Cyprian (251–70). The effects are described by Zosimus as even worse than the earlier Antonine plague (166–180), which probably killed 15–30% of the empire's inhabitants. Taking advantage of Roman military disarray, a vast number of barbarian peoples overran much of the empire. The Sarmato-Gothic alliance of the lower Danube carried out major invasions of the Balkans region in 252, and in the periods 253–258 and 260–268. The Peucini Bastarnae are specifically mentioned in the 267/268 invasion, when the coalition built a fleet in the estuary of the river "Tyras" (Dniester). The Peucini Bastarnae would have been critical to this venture since, as coastal and delta dwellers, they would have had seafaring experience that the nomadic Sarmatians and Goths lacked. The barbarians sailed along the Black Sea coast to Tomis in Moesia Inferior, which they tried to take by assault without success. They then attacked the provincial capital Marcianopolis (Devnya, Bulgaria), also in vain. Sailing on through the Bosporus, the expedition laid siege to Thessalonica in Macedonia. Driven off by Roman forces, the coalition host moved overland into Thracia, where finally it was crushed by Emperor Claudius II (r. 268–270) at Naissus (269). Claudius II was the first of a sequence of military emperors (the so-called "Illyrian emperors" from their main ethnic origin) who restored order in the empire in the late third century. These emperors followed a policy of large-scale resettlement within the empire of defeated barbarian tribes, granting them land in return for an obligation of military service much heavier than the usual conscription quota. The policy had the triple benefit, from the Roman point of view, of weakening the hostile tribe, repopulating the plague-ravaged frontier provinces (bringing their abandoned fields back into cultivation) and providing a pool of first-rate recruits for the army. It could also be popular with the barbarian prisoners, who were often delighted by the prospect of a land grant within the empire. In the fourth century, such communities were known as "laeti". The emperor Probus (r. 276–282) is recorded as resettling 100,000 Bastarnae in Moesia, in addition to other peoples, including Goths, Gepids and Vandals. The Bastarnae are reported to have honoured their oath of allegiance to the emperor, while the other resettled peoples mutinied while Probus was distracted by usurpation attempts and ravaged the Danubian provinces far and wide. A further massive transfer of Bastarnae was carried out by Emperor Diocletian (ruled 284–305) after he and his colleague Galerius defeated a coalition of Bastarnae and Carpi in 299. Later Roman empire (305 onwards). The remaining transdanubian Bastarnae disappear into historical obscurity in the late empire. Neither of the main ancient sources for this period, Ammianus Marcellinus and Zosimus, mention the Bastarnae in their accounts of the fourth century, possibly implying the loss of their separate identity, presumably assimilated by the regional hegemons, the Goths. Such assimilation would have been facilitated if, as is possible, the Bastarnae spoke an East Germanic language closely related to Gothic. If the Bastarnae remained an identifiable group, it is highly likely that they participated in the vast Gothic-led migration, driven by Hunnic pressure, that was admitted into Moesia by Emperor Valens in 376 and eventually defeated and killed Valens at Adrianople in 378. Although Ammianus refers to the migrants collectively as "Goths", he states that, in addition, "Taifali and other tribes" were involved. However, after a gap of 150 years, there is a final mention of Bastarnae in the mid-5th century. In 451, the Hunnic leader Attila invaded Gaul with a large army which was ultimately routed at the Battle of Châlons by a Roman-led coalition under the general Aetius. Attila's host, according to Jordanes, included contingents from the "innumerable tribes that had been brought under his sway". This included the Bastarnae, according to the Gallic nobleman Sidonius Apollinaris. However, E.A. Thompson argues that Sidonius' mention of Bastarnae at Chalons is probably false: his purpose was to write a panegyric and not a history, and Sidonius added some spurious names to the list of real participants (e.g. Burgundians, Sciri and Franks) for dramatic effect.
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https://en.wikipedia.org/wiki?curid=4343
Bavarian
Bavarian is the adjective form of the German state of Bavaria, and refers to people of ancestry from Bavaria. Bavarian may also refer to: